REGISTERED CHARITY NUMBER: 1164074
rt of the Trustee5 And
Un#udited Flnanei*l Statements for the Year Ended 31 Deeember 2024
for
Ligi50n AmAni Children's Chari
Derek Young & Co A¢¢ountants LLP
Chartercd Accountants
Estate House
Evesham Street
Redditch
Worcestershtr¢
B97 4HP

Liai50n Amini Children's Chari
f h Fin40¢i#I
ded31 De
•tements
r202
Page
Report of tbe Tru5t¢es
Independent Examiner'$ Rtwrt
StAternent of Financial Activities
Balance Sheel
Not¢s to ¢h¢ FinAncial Statements
7 to 10
Detailed Ststement of Financial Activitles

on Aman5 Children's Chari
ofth Tr
ear ended 31 December 2024
for the
Th¢ iNst¢es pres¢t)t their r¢wrt wilh the financial statements of ihe ¢hariiy for the year ended 31 December 2024. The tnjstees have
adopted the provisions of Accounting and Rerx)rting by Charitie$'. Statement of R¢commet)d¢d Ptactice applicable to charities
preparing their accounts in ac¢ordan¢e with the Financial Reporting Standard applic&ble in the UK and Republic of Ireland (FRS 1021
(effective l January 2019).
The trustees have complied with the duty in se¢tion 17 of the 2011 Charities Act to have regard to guidance published by the Charity
Comtnission.
OWEcfivEs ANDACTIVITIES
Objectiv¢$ And aim5
The main objectives of the Li￿son Amani Childr¢n's Charity as stated in our gov¢rning docum¢nt ar¢..
l. The relief of marginali5¢d and vulnerable youth in Tanzania particularly street children. through financial and othtt support for ihe
prov15i0n of care and protection and 5UPPQrt in their rehabilitation into faTnily or comtnunity life.
2. The advancement of education for marginalised and vulnerable youth in Tanzania through financial sUp￿)rt for iheir education or
vocational trainin8 and the rdisin8 of the awareness of the public in the UK of the situation of street Children in Tanzania.
3. The prevention and relief of poverty amongst familie5 and communities in Tanzania through the protection and rehabilitation of
vulnerabl¢ youth in that country.
Publie benefit
The trustees have coftsidered the Charity Commission's guidance on public benefit.
ACHIEVEMENT AND PERFORMANCE
Charit#ble a¢tivities
DuTing the period we wntinued with our sp¢¢ifi¢ long term project: raising funds to estsblish and run a satelllte centre in Singida, in
cortnection with The Amani Children's Charity of Tanzania.
In July 2016. with OUT help. The Amani Children's Charity was able to open a brand new ¢entre and has ¢ontinu¢d to welcome
children in Wlth open amis ever sin¢e.
Fundraising activitie5
During the current flnancial year there have been numerou5 fundr8isiTh8 activitte5.
Our main fvndrdiser was the London to Paris Cycle Challenge which raised fwids totalling £17,382 inclusive of gift rec¢ived in
connection with this event during ihe period.
Another significant fundrdiser w&5 th¢ Ltaison Corpor8te Day whi¢h rais¢d fijnds totalling £6,715 during th¢ p¢riod.
FINANCIAL REVIEW
Principal f￿ndIng sour¢ts
The PTin¢ipal funding source in the year was income from voluntary donation5 at 68Yè with incorne from fundraising events
repr¢s¢ntin8 310/0 and income from investments representing ihe remaining lQ/o of total incorne.
Reserves poliey
The trustees have reviewed the charity's nted5 for reserves in accordance with the 8uidan¢e issu¢d by the Charity Commission.
Due to the nature of our activities & the fact that we have very little expendiiu¥e, it is noi Mnsidered necessary to keep a 5pccific
reserve ¢0 cover expenses.
Our reserves Gurrently stand at £36,868. We expect furth¢r grants to be made in due course.
The results for the year show a surplus of £5,506.
The expenditure for the period was £652 in relation to support ￿StS and further grant monies totalling £60.000 being sent to The
Amani Childr¢n'5 Home charity.
No expenses or remuneration was paid io any of the iwstee5.
Page I

Liai50n Amani Children'5 Chari
rt of the Trustee5
ear ended 31 December 2024
for the
FUTURE PLANS
The main fund rdising activtty in the 2025 financial year will be the S Peaks Challenge in June. followed by our Liaison CorForat¢
Day. which is taking plac¢ in Noveinber.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
Th¢ gov¢ming d￿Um¢nt is the Liaison Amani Children'5 Charity Constitution ad0￿d on 21 August 2015 whi¢h became re¢ogni$ed
by the Charity Commission when the Charitable I[Lco￿orattd Organi5ation was registered on 22 October 2015.
Reeruitment ind #ppointment ofn¢w tru$tee5
New trustee5 must be appointed by a resolution passed at a properly ￿nv¢t)ed meeiing of the ¢harity tnjstees.
At present the trustees do not currently anticipate the need to aproint any new trustees. The existing trustees possess all the skills and
experi¢n¢¢ required to run the charity at this sta8e in its developmenl. Should further Skills be required in the futUTe then the need for
additional irust¢¢s will be reviewed.
Organisational structure
The trustces meet bi-monthly io consider the business of the charity. In addition to this there is monthly telephone and email
mmunication between the twstees regaTding day ￿ day operaiionAI matiers.
Induction and tr9ining of new trustees
All Trustees work within the Liaison Group of companie5. and such they are aware of the chatity and the demands prior to
applying. Once accepted th¢ new trusiees are then invited io allend their first board meeting where they are formally appointed to the
board.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity number
1164074
R¢gi$t¢r¢d offic¢
The Markei House
61 High Street
Tring
HP23 4AB
Trustees
BJTh¢w
R A Ni¢hols
I C Jordan
A S Amiitage
M Dickson (appointed 3.1.24)
H L kknehardson {appointed 3.1.24)
Independent ExRminer
Derek Young & Co Acwuntants LLP
Chartered Accountants
Estate House
Evesham Street
Redditch
WoK¢stershir¢
B97 4HP
Bgnk¢rs
Clydesdale Bank PLC
l36- 138 New Sireei
Bimingham
B2 4QJ
Page 2

LiAison Amsni Chlldren's Charl
Re rt fheTrn
gr ended 31 December 202
Approved by order of the board of trustee5 on 29 July 2025 and signed on tts behalf by-.
A S Artnitag¢ . Trustee
Page 3

nde
ndent Eximl ert Rt
IAais
Id
fo IheTThitett o
I rep)rt on theaccounts forth¢ ￿0d cn¢kd 31 Dccembw2024. which llrc sel OLTrI ott pases five to len.
Responslbllltles and bAsls of teport
As the ch¥tiy'S iTuMees you ar¢ r¢sF*)nsible forthe prepar￿1￿ accounLS in a¢¢ordpn¢¢ with the Twuir¢m•ts Of￿ Charithe5
Aci2011.
HavSng salisfied myself thai the charity is not $ubjKi th audii and is ¢ligible for independethi exomln*ion, I have ¢xamit)ed your
chDrity'$ 8ccountS Ls required utldtr seciion 145 of the Tharities Ad 2011 I'lhe Acl'l. In cllnying out rny ¢x•minNtion I have
follow￿ Ihe Dirtstions given by the Charity Commi55ion uNler seclion 14315llbl of the 2011 A¢t.
My role 1$ to $181¢ wbdb¢r wy mai¢ri*l mitter5 havecome to my attention Bivin8 me cluse to believe:
thai a¢¢ouniing ￿￿rdS W¢￿ notktpl as required by section 130 of the Charities Act 2011: or
thai th¢ 8¢¢ouTri$ do fv)i ac¢ord with those records.. ot
thai Ihe K¢ounts do not comply with Ihe method5 aThJ principles of th¢ Ch•rili¢S st￿eMent of Re&￿￿mended Praciict
applicDblo to charities preparin8 iheir ac¢oynts in 4KordBnce with thc FtnBn¢i￿ R¢porlin¢ Swthrd •pplicable in the UK
d Republic of Ircland- or
th?ithcr¢ is further inforniairon neded for a r￿er￿nde[SIandln&0f the accl￿llts.
Independent exAThinerfs Statemenl
I have completed my examination and h8ve no concerns in rt$pert of ihe matters {11 w (41 lis1￿• th)ve in conrKdN)n wlih
following Ihe Dire¢tlons of the Charity Commission I have found no matt¢rn re9￿]￿ drnwin8 10 YOUT attention.
S*phen Yo
¢FC
Derek Young & Co
Chmer¢d A¢￿￿1)￿Ls
Estste Hou3e
Evesham Str¢ct
Reddi*h
Worcestetshire
B97 4HP
ntsnts LLP
29 July 2025
Page 4

Ligison Amgni Children's Chari
tAtement r Fingn
h¢
¢or ended 31 December 202
for
2024
Unrestricted
fund
2023
Total
funds
Not¢5
INCOME FROM
Donations and legacies
44.950
41,198
A¢iiviiies for 8eneraiing funds
Investment income
20,194
24,650
903
Total
EXPENDITURE ON
Ch*ritable activities
Raising funds to run a satellite centre in Singida
Activities for generating fund5
56,000
751
652
Totsl
60.652
56.751
NET INCOME
5,506
10.0
RECONCILIATION OF FUNDS
Total fiJnd5 brought forward
31.362
21.362
TOTAL FUNDS CARRIED FORWARD
31,362
The notc5 forni part of th¢se finan¢ia] statements
Page 5

Liaison Arnani Children's ChAri
Balance Sheet
31 December 2024
2024
Unrestricted
fund
2023
Total
funds
Notes
CURRENT ASSETS
Cash at bank and in hand
36,868
31.362
NET CURRENT ASSETS
T(¥fAL ASSETS LESS CURREiYf LIABILITIES
36.868
31.362
NET ASSETS
36,868
31,362
FUNDS
Unrestricted funds
36,868
31.362
TOTAL FUNDS
31.362
The financial statements were approved by the Board of Tru51ee5 and auth0ri5ed for issue on 29 July 2025 and were signed on its
behalf by..
A S Armitsge- Trustee
The notes form part of ihese financial statements
Page 6

Igts n Anbinl Chlldren's Ch#ri
Notes to the FinAn¢ial St#tem¢nt$
for the
ear ended 31 De¢¢mber 2024
ACCOUNTING POLICIES
Accounting convention
The financial statements have been prepared under the hi$lori¢al wsi ¢onw¢otion, and in a¢¢ordan¢¢ with the Statement of
Recommend¢d Pra¢ii¢¢." A¢counting and Reporting by Charities preparing their accounts in aG￿rdance with the Ftnan¢ial
Reponing Siandard applicable in the United Kingdom and Republic tsf ITtland (FRS 102} and the Charities Act 2011.
Ineoming resources
All incorning Te50urces are included on the Statement of Financial ActivitlC5 on a rcceipts basis.
Resources expended
Expenditure is accounted for on a payments basis and has been classified und¢r headings that aggregat¢ all cost r¢lated to the
ategory. Where ¢osts ¢annot be dir￿llY atiributed io particular headings ihey have been allo¢aied io a¢tiviiies on a basis
consisi¢n¢ wilh the use of resources.
Grants offtrvj subject to condition5 which have not been met at the year end date are noted as a commitment but not accrued
&$ expenditure.
TAxatio
The charity is exempt from eorporation tax on its charttable activities.
Fund *e¢ouniing
Unrestricted fund5 can be used in accordance with the charitable objectives at the discretion of the trustee5.
DONATIONS AND LEGACIES
2024
2023
Donations
Gift aid
43,238
1,712
38.374
2.824
41.198
ACTIVITJES FOR GENERATING FUNDS
2024
2023
Fundraising events
INVESTMENT INCOME
2024
2023
Deposit account interest
903
Page 7
continued...

Ligi
ni Chlldren's Chari
Notes to the Fingnci#l St*t¢ments- ¢ontinlled
ror the
egr end¢d 31 D¢¢ember 2024
GRANTS PAYABLE
2024
2023
Raising funds to run a satellite centre tn Sin8ida
Th¢ total grants paid w ins(iluiions during the year was as follows..
2024
2023
The Amani Children's Charity of Tanzania
60.0&)
56.000
SUPPORT COSTS
Management
Finance
Totals
Activities for 8enerdting funds
400
252
652
TRUSTEES. REMUNERATION AND BENEFITS
There were no trusiees, remuneration or other benefLt5 for the year ended 31 December 2024 nor for the year ended
31 December 2023.
Trustees expenses
Th¢re wei¢ no trustees, expenses paid for ihe yeAr ended 31 December 2024 [￿r for the year ended 31 December 2023.
COMPARATIVES FOR THE STATEMENTOF FINANCIAL ACTIVITIES
Ut)r¢strt¢ted
fund
INCOME FROM
Donations and legacies
41.198
Activities for generating funds
Inve5tmerht income
24,650
)3
Tot•1
66.751
EXPENDITURE ON
Charitable &etivitie5
Raisirtg funds to run a satellite centr¢ in Singida
Act2Vitie5 for generating funds
56,000
751
Totgl
NET INCOME
10,000
RECONCILIATION OF FUNDS
Total fvnd5 brought forward
21,362
TOTAL FUNDS CARRIED FORWARD
Page 8
¢ontinued...

Liai50n Amani Children'5 Chgri
Notes to the Financial Staternents continued
for the
ear ended 31 Detember 2024
MOVEMENT IN FUNDS
Net
mov¢rn¢nt
in funds
At
31.12.24
At 1.1.24
Unresirlcted thnd$
General fund
31.362
5,506
36,868
TOTAL FUNDS
N¢t movement in funds, included in the above are as follows..
In¢oming
resources
Resour¢es
expended
Movem¢nt
in fund5
Unrestrided funds
General fund
66,158
160,652)
5,506
TOTAL FUNDS
60,652
5,506
Compgrativu for movement in funds
Net
movement
in funds
At
31.12.23
At 1.1.23
U*re$tTltted funds
G¢neral fund
21.362
10,000
31.362
TOTAL FUNDS
10,0
Comparativ¢ n¢( movement in fund& included in the aFx>ve ar¢ 8$ follows..
Incotning
re50urce5
Re50urce5
expended
Movement
in funds
Unrfstr5¢ted funds
General fund
66.751
{56,7511
10.0
TOTAL FUNDS
Page 9
¢onttnued...

iaison Amanl Ch51dren'$ Chari
Notes to th¢ Fin•meial St#tements- continued
for thc
ear ended 31 Decernber 2024
MOVEMENT IN FUNDS- continued
A current year 12 months and prior year 12 months combin¢d posiiion is as follows..
Net
movernent
in funds
At
31.12.24
A¢ 1.1.23
Unrestricted funds
General fund
21,362
15,506
36.868
TOTAL Fuf4DS
21.362
15.506
36.868
A Current yeaT 12 months and prior ycar 12 months combined net movement in ￿nds, included in the above are a5 follows..
Incoming
resource5
Resources
expended
Movement
in funds
Unrutri¢ttd fund$
General fund
132,909
{117.4031
15,506
TOTAL FUP4DS
132.909
(117.403
15,506
io.
RELATED PARTY DISCLOSURES
There were no related party transactions for the year end¢d 31 D¢¢¢mber 2024.
Page 10

Lixison Arnani
hiri
DetAiled
for the
tatement of Fin#Ntial Activities
exr ended 31 December 2024
2024
2023
INCOME
Donations and legaeies
Donations
Gift aid
43,238
18,374
44.950
41.198
Ac(ivitiu for g¢n¢r4tinE fund5
Fundraising events
20.194
24,650
Inve5trnent income
Deposit account interest
903
Total incoming resources
66.158
66.751
EXPENDITURE
Charitable *¢tlvltles
Grants io insiiiulions
60.000
56.000
sUp￿rt eo$ts
MinAgement
Insurance
Gambling license
380
20
366
20
400
386
Finance
Bank charges
252
365
Total resources expended
56.751
Net income
5.506
This page does not forni part of the statutory finan¢ial staternents
Pagell