REGISTERED CHARITY NiJMBEK. 1182n8
REPORT OF THE TRUSTW AND
FINANCIAL 8TATEMENTS FOR THE YL4RENDED 31 MARCH 2025
FOR
HELPINGEVERY LIVING PERSON
H&dleys & Co.
Ground Noor
Import Buildirt8
2 Clove Cr¢scent
London
E142BE

HELPINC EVERY LIVINGPERSON
CONTENTS OF THE ￿ANC[AL STATEMENTS
FOR THE YEARENDED 31 MARCH 21125
Report of the Thisteu
I to 2
IndepclldeDt knJDlnttli Report
St*t•m¢nt of FIrtath¢I￿ Aetlvltl¢s
Bal*Du Sheet
Notes totbe FIMnclal Statements
6 to 9

HELPING EVERY LMNG PERSON
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The trustees present their report with the firtartcial statements of the ¢b￿lty for the year ended 31 March 2025. The
mjstees have adopted the provisions of Accounting and Reportin8 by Charities.. Statement of Recommended Practice
applicable ￿ charities preparing their accounts in accordance with the Fill￿¢191 Rwting SthDd&rd opplicabk in the
UK4nd Rqwblt¢ of Ir¢l4nd (FRS 102) (cffc¢tiv¢ l January 2019).
OWEcfivES AND AcrIvmF3
Objtttlves And #Ims
The primary objeetives is to relieve finoncioi hardship& distress and sufferin8 amon8 poor pwlq victims of natural
diwlers and oiher p￿PIC in ne>J by means of . bui not exclusively, making g[￿ts or loans for providing or payin8 for
items, equipmeni services and facili11￿. including ptOVi6ion of food clothing 4nd waler wells for the b¢n¢fi¢ of said
pcrsons.
Publlt benefit
The Trustees hive Compli￿ with the duty Se¢tion 17(5) of tht 2011 Chtirities A¢t to have due re8trd w 8uidw
publithejj by th¢ Charity Commission itt tespeet of the publie benefit piAnnin8 the activities for the year, have
kept this in mind.
ACHIEVEMEKfs AND PERFORMANCE
FundrnlsfDg aettvltle5
The charity rr￿1Ved domtions totsllin8 £55,605 {2024..£41.122) durin8 the year.
FINANCIAL REVIEW
R#erv¢8 poll¢y
It 18 the clwities policy to maintain c88h funds 8ufficiendy to cover expected aDnual adminiBtrotive expen*&
8overnartt costs of the charity.
STRUCTUR& GOVERNANCE AND MANAGEMEwr
Coverlllng documtnt
Helping Every Livin8 Pe]¥on (the 'Charity'} wo8 r¢¥i8iered 88 a ¢h8rit8ble incorporated organistsion on the lut April
2019. numb¢r 1182728.
Retrnltment and ippolntmeftt of new truite
Tn￿tee$ are appointed by the boaThY of T￿81¢¢5, if needed. they would eonssder addition￿ Trustees applicaiions if the
ppropriate skill& knowledge and experien¢¢ 1$ met for the ¢ff¢¢tive Administration of the charity. IheT¢ would be
#ppropriat¢ induction of And new Trnstees in order to bjief them on legAI obligations under ¢b￿lty ]aw. the thision
n￿kIn8 process of the charity and its policies and prncedure&
REFERENCE AND ADMIMsniATtVE DETAILS
ReRtstered Charlty number
1182728
Pr1D¢lp￿ •ddr
Unit 3B Katella Trading Esth
IOA Rivw Road
IGII ODG
Thistees
Akuji
M Akuji
O M Maulvi
Page I

HELPING EVERY LIVING PERSON
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 MARCH 202S
REFERENCE AND ADMINASTRATAVE DETAILS
dependent Eyanthier
Hadley8 & Co.
Ground FIL
Import Building
2 Clove CYesc¢ni
London
E14 2BE
11hW2025
Approved by olderof the board of tru5*45 (m..---............-..-........... •￿j 5iwxd on its behplfby:
l Akuji. Tn￿ee

INDEPCINDENT EXAMINER'S REPORT TOTHE TRL'STEEIS or
HELPIIYG EVERY LIVIING PERSON
Independent exanilner'5 report to the tru5tee5 of Helping Every Llving Person
I rewrt lo IIIL clidrily Injslees on my ¢xaminalion of Ihe accounts of Helping Every Livin¥ Person Iihe Trusll for Ihe yeRr
endcd 31 March 2025.
Re5P0115ibilitiey arkd basis of report
As IhL Lh¢irily Ini4lLL% i)r IhL Tn151 you are responsible for ihe preparntion of thc accounts in accordiince with the
rcquiwmLnis of the Chariiie% ALI 101 I I'th¢ Act'l.
I report in re4pcci ufmy examiniiliun of the Tru%l'& accounts carried out under Seciion 145 01. the Act and in carrying out
my cxaminiiiion I liave followl￿ all applicable Direciions given by ihL Chariry Commission undcr Scciion 14515llbl of
the A¢t.
IndL'PL'ndL'lit L'xanilnL'f'5 sIsLtL'IiIL'ILt
I hiivL L()mplLIL(I niy LX&iTiiillEiliiiii. I c()nfirm that no mdtLrial maticrs havc Lomc to my aiiention in ci)nncciion wilh Ihc
examinalivn &yivin¥ Ine Luule 10 bvliLVV Ihui in any malvrial rcsprct..
ULLoulllllltsT fL'Lord5 wcrL' not kept in rebpeLI of tlie TTU&t us required by ScLtion 130 ofthL ALI: or
IhL uL¢oiilli% di) ii(Il Loniply wilh lh¢ Iippli¢dblL T¢qiiirern¢nTs cunc¢min& Ili¢ fonn und bonl¢iil ii¢¢oiinl4 s¢1 oul
true tind fiiir vi¢w whiLII is IILII li ii?iillLr Luiisidered piirt ol'thn in(JLpendeni exuininiillul).
bc drJwn iii iliis ripi)n iii i)rdci' li) Liiabl¢ J propLI' Iiiidcrsiuiidiii&y ol'ilic llLLounl% lo ￿. rLuchLd.
Khulid MLhiiiui)d
ThL In%iiluie ol'chancrcd Accounlanis in England and Walc5
HadlLys & Co.
Groiind Floor
Impurt 13uildin
2 Lli)ve Lre%eni
Loiiclan
E142BE
Date..
Page 3

HELPING EVERY LIVING PERSON
ATEM￿￿O￿ FIP4ANCL4L A￿1VITIEs
FOR THE YEAR ENDED 31 MARCH 202S
2024
unrestri￿ Tots]
59.933
45214
EXPENDITURE ON
Ch*rftsble *ctlvltl
FO￿ for the needy
Zak￿1
Iu¢41iOn
13.175
1,750
13.995
3J(Kl
15,600
11,820
20283
1.137
1.070
Totsl
515115
43.719
Nrr ANCOME
&018
RECONCtLIATION OF FUN
Totsl fun& brou8h¢ foTwwd
21.143
19.648
TOTAL FUNDS CARRIED FORWARD
29.161
21.143

HELPING EVERY LMNG PERSON
31 MARCH 2025
2025
2024
Total
Utir¢5triW
fund
Casb at bafjk
29.851
21.832
Amounts f8Uin8 due withiti oneytar
(69))
(689)
29,161
21.143
TOTAL A&SETS CURRENT
29.161
21.143
29.161
21.143
29.161
21.143
29,161
21,143
and were Si￿¢d on its beh￿rby.
l Akuji. Tntstee

HELPING EVERY LIVtNG PE]LSON
NOTES TO THE FINANCIAL STATEMENrs
FOR THE YEAR ENDED 31 MARCH 202S
ACCOUNTING POLICIES
Basls of preparlng the Ilnanclal statements
Thc financial statements of the ch8rity, which is a public benefit entity und¢r FRS 101 hav¢ been prepared in
rdance with the Charities SORP IFRS 1021 'Accounting and Rcportin8 by Charities: Slatement of
Recommended Prnctice applieable to ch&ities preparing their accounts in accordance with the Financial
Reporting Stslldard applI￿]e in the UK and Republic of Ireland IFRS 1021 (effe£tive l January 2019),,
Fina￿]81 Reporting Stsndard 102 Tr Fhnaneia] Re￿rtIng Standard 4>plieable in the UK and Republic of
Irtl&nd' the Chariti&s Art 2011. The fttwicial sratements have been prepared under the historicol cost
In¢ome
All inconje 15 [￿O8￿lS¢d in th¢ Stst¢m¢nl of FinarKial A¢tivities oDc¢ th¢ dJ#Tiiy h¥$ ￿ti￿¢M¢￿t to the fiv￿ it
is pwbabl¢ the incom¢ will b¢ received #nd the be Mel$￿ reliobly.
ExPendI￿re
Liabilities are recO￿ls¢d ¥ exp¢ndiiw¢ as soon as there 18 2 1¢8al or constructive (l)li8ation wnmitting th¢
chaTity to that expenditure. it is probable that a transfer of economic FKnefits will be required in settlement and
the amollftt of the oblig&tion ean be me8suttd reliably. Expenditure is accounted ftsr on an 2ccru81s basis and has
classified under headings aggTtgate ail cost related to the category. Where costs cannor be directly
attributed to p3rticular headiDg5 thty have been all¢)¢at￿ to activities on 4 bhsis consisten¢ with the use of
The charity is exempt from tsx on its charitsble acrivitie&
Futtd 8ceountin8
un￿StrI￿ Ojnds CAn k usoj inaccordance with the clwitable objectives at the discretion of the tnJs*&
Restricted fi]nd8 only be used for particular restrÈctcd purpow within the objects of the charity. R*ictions
orise when specified by the donororwhen fiJThds Atr raised for p8rti¢ul8rrestricred pUryYJ￿￿.
Further explanation of the natt￿e and purpose of eacb fill￿ is includoj in the notes to the firtsqncl￿ statanents.
TRUSTEES, REMUNERATION AND BENEFITS
There were no ttwtees, mullernion or other benefits for the year ended 31 MArth 2￿25 t￿r for the year etuled
31 M2rch 2024.
There wer¢ no trust¢¢5' ¢XP¢tw¥paid for the year ended 31 March 2025 norforthe year ended 31 Mwch 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcrIvtTIES
Unrestricted
ll¥COME AND ENDOWMENTS FROM
Donations and l¢gacies
45214
EXPENDITURE ON
Charltable acdvltle5
F(*)d for th¢ needy
1.750
13.995
3.300
15.600
Education
OTrhans
Page 6
ontinu¢d...

HELPING EVERY LTVtNG PERSON
NOTES TO THE FINANCIAL STATEMENTS- ¢onthiued
FOR THE YEAR ENDED 31 MARCH 2025
COMPARATIVES FOR THE sTATEmEr￿ OF FINANCIAL AcfivITIES- tontlDued
Unrestricted
fund
1.070
43.719
NET INCOME
1.495
RECONCILIATION OF FUNDS
Totsl fi￿dS brought forward
19.648
TOTAL FUNDS CARRIED FORWARD
21.143
CREDITORS: AMOU￿$ FALLING DUE WITHIN ONE YEAR
2025
2024
Other C￿lit0[3
69Y)
689
MOVEMENT IN FUNDS
Net
At
313.25
At 1.4.24
in fjjnds
Unrcsts4¢ted fund8
G¢n¢ral fvnd
21.143
8.018
29.161
TOTAL FUNDS
21,143
8.018
29.161
Net movement in included in the above are os follows:
Incomin8
R￿ourCeS MOvem￿t
Unrestrlc¢ed funds
59.933
(51.915)
8.018
TOTAL FUNDS
59,933
151,915)
8.018
Pa8e ?
¢ontinued...

HELPING EVERY LIVING PEILSON
r4oTLS TO THE FINANCIAL STATEMENfs.¢ondwued
FOR THE YLIRENDED 31 MARCH 2025
MOVEMENf IN FUNDS.vJHtlTrued
Cojnparndvts for Trovementkn
Net
Ai
31J24
At 1.423
19.648
1.495
21.143
19.648
1.495
21.143
Comporntive net movement in Incl￿ in the al￿t are &% follows."
In￿ning Reg)urtts Movemerrt
Unr¢5tr1L*ed funds
45214
(43,719)
45214
(43,719)
1.495
A year 12 moth ard prityyear 12 ctmnbitied N￿lOtt ts as follows:
At
31.3.25
1.413
Unre5tr1cted
19.648
9513
29.161
TOTAL FUNtKs
19,648
9J13
29.161
¥5 follm:
IKoming Resourt
Movement
Unrestrkted
105.147
(95.634)
9J13
TOTAL FUNtKS
105.147
195.634)
9J13
continu>L.

HELPIFIGEVERY LIVINGPERSON
NOTKS TO THE FINAI¥CIAL sfATEMENTS. contlDued
FOR THE YEAR EP4DED 31 MARCH 2025
RELATED PARTYDTSCLOSURES
Ther¢w¢r¢ no relat￿ p4ty ttwW￿ti0n6 for the yearended31 March 2025.
Pog¢ 9