ChaTity Re￿IOn No. 1167517
Haddis A
Foundation

ONTENrs
Legal and Athninistrative InfornLqtion
Trustees, Report
Independent Examiner's Rewrt
Statement of Financial Acttvities
Balance Sheet

Haddis Agape Fthjndation
Mr Anteneh Reta
Mi&% Wafa Ali Mohamg
Mr Ayaan]e Sigad
Mr Las Cells Williams
Charity Number
1167517
Charity Office
Carrjmea Communiry
27 Northolt Rc
H8Trow
fjreatrr LoTrJon
HA2 OLH
A¢countsnts
Malkit Niiier TIA MSN Acwunling
66 Viold Avenue
Uxbridge
Middlesex
UB8 3PS
Bankers
Trirxkn Bank

HADDIS AGAPE FOUNDATION
Trustees, report for the year ended 5 April 2023
The Trustees. who are also dir￿tOrS of the Charity for the punx)ses of the Companies Act and Statement
of Recommended Practice (SORP) 2005. submit their annual r¢port for the year ended 5 April 2023. The
Trust¢es have adopted the provisions of the Ststement of Re¢omrnended Practice (SORP) "Accounting
and Reporting by Charities" issued in March 2(M)5 in preEihring the annual report and financial statements
of the Charity. The is governed by a Memorandum and Articles of Association.
Principal Activities ARMS and Organi8ation of the Charity
Health
The Haddis Agape Foundation intentions and the good work started in Affiliation with the ALERT
Hospital of Ethiopia. In Ethiopia the demand of plastic and r¢¢onstru¢tive surgeries in enornious due to
the lack of the necessary quantitaiive and qualitative service. Going extra miles towards challenging
situations is of course demanding but I presume it gives much fulfilmenL
We believe the primary and the basic ¢haJlengc is in upgrading the InfrastrLKtU￿ of the operation set up
of the ALERT Hospitsl.
Education
The Haddis Agape Foundation, th¢ advancemen¢ of education through training, research development
services and community projects. Any such other charitsble purp)ses anywhere in the world as the
directors may deterniine. The chatity intends to work in collaboration with plastic surgery unit in F.thiopia
(the county of the founder) and the possible contact of the sur8ery units in England.
The funds obtained to the charity would be completely channelled to the purpose statd and the surgeons
going to the mission field4 as well as Hospital treatment coverage costs.
Plans for the Future
'rh¢ Haddis Agape Foundation envision that this project could also serve in upgrading the skill of the local
plastic surgeons and would potentially open an access for ¢xpatriate doctors specializing in plastic
surgeries as it will be yielding a wide spectnm) of plastic-re¢onstrwtive surgical experiences.
In¢ome Generation
The charity has generdted £0 (£23,425 in 2022) in donations, grnnts and other charitable actives during
the year.
Grnnt Contribution
During the war peri￿ in 2022. different community groups and stakeholders bought and donated for us on
behalf of our clwity, the amount of money of 954.5￿ Birr equals ￿)Ulld s*rling £14256.
The Cbarity's income Streams for the year euded S April 2022
A donation of £4.136 from the members of the community and grants r￿e1ved £9,289 and £IO.000 from
National Lottery Fund.
Trustees
The trustees who served during the year ended 5 April 2023 were as follows:
l) Mrs Hiwot Amare
2) Mr Anteneh Legesse Rets
3) Miss Wafa Ali Mohamed
4) Mr Ayaanle Sigad
5) Mr Las Cells Williams

HADDIS AGAPE FOUNDATION
STATEMENT OF TRUSTEES RESPONSIPLIT1È5 FOR THE YEAR ENDED
S APRIL 2023
Charity law requires the tnEstees to prepare financial statements for each financial year. whith
give a true and fair view of the stale of affaits of the charity and the income and expenditure
of the charity for that period. In preparing those financial statements the trustees are required
to Sel￿t suitable accounting policie5 and then apply them consistrntly.
The charity is newly estsblished. and it 15 growing up fas( the objectives of the charitv are the
advan¢¢ment of health fordisadvanthged children and young adults in Ethiopia suffering from
paediatric neurosurgery problems and also conditions that require plastic surgery tsratment
and reconstructive surgery by the provision of financial assistance for the purchase of h05pitsI
equipment not otherwise available. We have managed to help more than 50 people so far.
Following year, In order to inctease our activities and the number of people we a￿ going to
help, the charity is planning to manage and guarantee some activiiies including renting a new
offi¢¢, purchasing some impottsnt equipmeni's whi¢h aff not availablc in the area we are
serving at the moment. We are also planning and manage some more activities to securr funds
for the new activities including fund rnising even￿ finding Individual donor5. TV appeal,
Charity shop, Fund Me online. crowd funding elc.
The Trusi¢e5 ofcharity have pleasure in presenttng independently examined accounts for the
Charity's activities in the ￿riod to S April 2023. Th¢ financial ststcments compl!. w'ith current
Statutory requirements. the Constitution and the Staiemeni of Recomm¢nd¢d Practice
Accounting and Rewrting by Charities (SORP 2005) and the ChariTh s qoverning Charity
C.ommi5sion Scheme. the Charities Act of 2011. The report t4ke5 accouni of the requirement
for Trustees to report annually on public benefit and the Trus*es hai'e had regard to the
Charity Commission's guidance on public benefiL The report takes account of the requirement
for Trustees to report annually on public benefit and the Trustees have had regard to the
Charity Commission s guidance on public benefiL
Trustees
Approved by the trustees
Signed on behalf by
MRS HIWOT AMARE
34

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examinerfs
report on the accounts
Section A
Independent Examiner's Report
Report to the trusteesl
members of
H&Jdis AgaFe Foundat
On accounts for the year
ended
S April 2023
Charity no
(Ef any}
1167517
Set out on pages
lij IrwJiAk. tFitb P.¥¥• Iltrnb(¥:.
I report to the trustees on my examinatK)n of the accounts of the atM)ve
charTty (Ihe Trusf) for the Feriod ended osI041tszs.
R￿pOnSibl11t1eS and As the chanty truste8s of the Trust, YOU are ￿pOnsIble for the preparation
basis of report of the ac￿Unts in a￿dance with the requirements of the Charitles Act
2011 nhe Prf).
I report in respect of ry examination of the Trusfs acrnunt8 carried out
under sectron 145 of the 2011 Act and in carying out my examination. I
have folk>wed the applicable Directions given by the Charty Commission
under section 145(5)(b) of the Art.
I hav8 1￿mP￿ted my examination. I confimi that no matsrial matters hava
come to my attenti¢)n (Other than that disclosed below ') in connection with
the examination which gp4es me cause to believe that in, any material
Independent
examIne￿5 Statsment
accounting records were not kept in acv)rdance with sectK*n 130 of
the Act or
the accourrts do not accord wlth the a(￿UntIng re￿rdS
I have no ￿n￿rn$ and have com8 ac1c￿S no other matters in connection
with the examination to which attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
. Please delet& the words in the brackets rfthey do not apply.
Signed:
Name..
Malktt Niipr
Relevant prole88lonal
quallficatlon(s) or body
(if any)."
66 VIOLET AVENUE
HILUNGtION, MIDDLESEX. UB8 3PS
B.. 07854 829233
Address:
66 Violet Avenue
Uxbridge. Mtddlesex
U88 3PS
Section B
Disclosure
Onty complete rf the examiner needs to highlight matters of concern (see CC32,
Independent examination of charity aco)unts.' directions and guidan￿ for
examiners).
IER

Give here brief details of
any items that the
examlner wishes to
dlsclose.
IER

CHARITY COMMISSION
FOR ENGLAND AND WAiES
Receipts and payments accounts
CC16a
Forthe perio(1
To
Section A Receipts and payments
End(¥wment
Total lunds
L￿tY￿r
th•n••rn¥t t knth• n•w•4t£ b)th• TrMr•¥t¢
A1 Recelpts
Volunla
Attmles forgoner*
Irrt¢m
4.138
laedK•1
GTOM bfinkint•r&¥t ￿l¥ed
12
19.289
Sub totslfGrcKf8 for
ARJ
12
12
23.428
1¥8e tablel.
Sub totsi
12
12
23,428
A3Pa
12.$17
12.617
3.26$
Prqec4 con$Lllthn lee
150
2210
Venu&and fuTrJrd
Subgcnplbns
Tolephjne
Prnlity lial
9*nk ch4ffj•#
AroJunt4
26
175
528
9.723
150
1S0
Sub total
1S.670
15.870
A4 Asset and Investment
urcha888,
Svo total
15.670
15,870
9,723
Net ofie¢¢ipW(pa￿j .
AS T￿r￿fer5 tset￿pen funlts
A6 Cash funds last year end
Cash funds this yearend
15.658
15,658
13.703
17.766
2.108
9.733
9.733
27.499
11.841
4,063
17,766
CCXX Rlaccry￿tsIS$l
29m1r20221

Section B Statement of assets and liabilities at the end of the period
Unrnstri¢t¢d
stricted
funds
to r*rnbt£
Endowment
funds
c￿e90r1@S
Detai15
B1 Cash funds
11r
Total cash fimds
2.108
9,733
Endowmènt
lund$
fvnds
Fundtot*hkh
CuM•rrt
D?tilf-
FundWtwhb¢h
Dotails
¢••tlopYon¥l
720
nal
84 As$ets retalned for the
charfty'¥ ¢)wn u
7>)
NBt BDDkVauD
1.740
Nei 8wk V¥A
TOT
Furnlto whlch
W￿n due
{cption*}
BS Llabilities
325
S¥ned byone tru5tee5 on
behalf of all Ihe trusl*s
SvJrwlure
Print Nwn8
Date of
app￿Val
RS HIWOT AMARE