OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-09-30-accounts

REGisfERED CHARrrY NUMBEIL. 11 fA420 AKAAL AID REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2022

CHARITABLE RECAP EMERGENCY MEDICAL SERVICES SPIRITUAL EVENT FLOOD RELIEF EFFORTS SHELTER FOR UNDERPRIVILEGED HYGIENE FACILITIES

MEDICAL EMEFIGENCY Medical Treatment for Needy Individuals: Akaal Aid Charity continues to help people in India who are very sick. We sup- port eight individuals wSth seri- ous diseases, making sure they get the medical care they need. Without our help, they rnight not be able to afford or access this care. Our efftirts make a big difference in improving their health and the well-being of their frdmilies. This also helps create a healthier community for everyone.

Supporting Underprivileged Weddings The charity supported 32 weddings, including 26 in Punjab and 6 in Madhya Pradesh, by providing essential items and assistance to daughters from economically disadvantaged families. 4*11",

During the floods in Pakistan, Akaal Aid Charity provided vital assistance to those affected. They served hot meals to the needy, ensuring they had nourishingfood duringthis challenging time. Additionallyi the charity set up temporary Shelters, offering a safe haven for individua15 and families displaced by the floods. r¥

AiLh Akaal Aid's efforts in providing immediate support helped address basic suThival needs and instilled hope in the affected communities. Their work showcases their commitment to compa55ion and service during humanitarian crises. Through these initiatives, Akaal Aid made a significant impart on the IFvo5 of those afferted by the floods in Pakistan.

Notes Un alrbdsd 2022 2021
Income Funds Trdel Total
Donedone
Donegons and graras
$802,182 802,102 1,036,175
Income from chaAabte
Ogrer bxxxne 4,080
Total Income
Expend Hum
Expendbure
cn raising funds
42.218 42,218 21.124
Expsmlhure
On charitable
gvgles
512,005 512,005 862,740
Toml sxpendb
ro
555,123 555,123 883854
Nel Income before taxagon 47ggg 47,058 184881
Tsxegon {charge)lcmdb
Net mouement
In funds
Tolal funds bmughl
forward el30
~2022
412,345 412~
Total hrnds carrIed forward al

FIXEDASSETS
Tangos sssers 4,357
CURRENT ASSETS
Debtors
Cash al bank and In hand 400415 412208
403dlfI 410,
CREDITORS
Amounts felin9 due wNrln one year 4,507 4,300
NETCURRENT ASSETSI(LIASIJTMS) 459404 412,345
Resolves
UnrestrhM
Funds
459,404 412,345

tfn eariclwl Total T¹¹
Income 2022 2021
DonaUons 6 Non -Performance Grants
802.182 1.036,175
4,080
NL14R 642,142 1ANI4RR5
ExpencMure on raising funds: Total Total
2022 2021
4
Fundrslatng Coats 42418 42,218 21.124
Shops - Relatt
Expendtture on charffsble acts Olrecl Cost ttoc¹edcoal Total Total
2022 2021
Hesbh, Education, Skill develop 81,880 25,850 107,710 164,486
Widows. Orphan supped 107,197 141,049 243,063
Emergency snd natural disaster 200,761 63.395 264,146 455,191
Total expendEure

AOnlntstrag Tohrt
costs
Donegons campaign
Health, Educagon,
Stdll
development 10,288 7,034 10.876
Wtdcvrs. Orphan support
Emergency
and natural
I3,SS6 9411 13,981 58,335
dcasters 25,181 I7,249 26,183 68,613 109,246
133~ 212,128

6TANOEILE RXEDASSETS 6TANOEILE RXEDASSETS
Motor Vshlcl ~
Ettulprnent
Coat hff 4,800
AddNcns
Al 30Sep2022
NET BOOK VALUE
3ty09l2022 ~
3009I202I
7CREDITORS: AMOUNTS FALUND DUE AFTER ONE YEAR 2021
2
Trade Creditors
other Credacre
4~ 4,300
Taxes ftSudra Securky 25r
4,50T
4~

602,182 1,036,175
~859
Suh Total 1NIUIF 14fdgvt55
Etrpeness
Errpendlture
on~acgvBes 828,093
Sadf Wages 41,309
insurance 1,009 1,822
Rant 17,175 8,885
Rates 185 2.605
Telephone 617
Traveglng and Motor Expenses 3,692 2,853
Ught and Hest
Repairs
Legal 8Professional
Accountancy
Sundry 13 130
Sank charges 1,946 2,882
Depredsgon 711
«er««nrnr
SSXPf'