SMILES TO TANZANIA REGISTERED CHARITY NUMBER 1171029 TRUSTEES REPORT FOR THE FINANCIAL YEAR ENDING 31" ooBER 2025 During this financial year we achieved an income of £5,654.15 compared to the previous year's amount of £4,007.51. Our expenditure was made up entirely of grants to our NGO partner. Lake Victoria Children. In all, we provided an amount of £4,500.00, of which £2,500. was for school uniforms and other educational items which all children have to have in order to attend school. Over the years we have provided the funds for many thousands of children to gain an education, and we are proud to see that many of these are now progressing to Secondary School. A further £500.00 was sent for our Medical Fund, whTch is used when parents/guardians cannot afft)rd to pay for their children's medical care. Due to the lack of running water in many homes. a lot of children in the villagessuffer with stomach problems. Malaria. anaemia and sickle cell conditions are all prevalent on the Island. A separate amount of £250.00 was provided for the Sickle Cell project which was ongoing during the year. The project is aimed at identifying children and adults who are experiencing the first signs of this condition, so that medical care can be provided in the early stages. During 2025 we received a donation of £1,250.00 which was specifically requested by the donor to be allocated to the Chicken rearing project being run by Lake Virtoria Children. This scheme produces both eggs and meat which is sold in the local community with a view to making our NGO partner more self-sufficient. Once again. we would like to thank those organisations and individual families who have helped our charity during the year. both wlth financial donations and goods which we have been able to sell online. It is our intention to carry on operating in the same manner in the forthcoming year.
Smlles to Tafizania Statement of In¢ome and Expendlture to 31st October 2025 114th Year of actlvltyl Incomè Expendilure Donation5 & Collectlons E-bay StallslT3ble Top Sales of Goods 2,94S.55 2,662.51 Grants to LVC 4,500.00 46,09 Surplus for the year 1,154.15 5,654.15 5,654.15 Balance Sheet 8S at 31st October 2025 Assets Represented by Reserve Fund as at 1111124 Surplus for the year 5,069.58 1,154.15 Cash at Bank 6,223.73 6,223.73 6,223,73