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2024-12-31-accounts

HARIF

Charity Number 1186454

Trustees Annual Report for the year to 31[st] December 2024

Principal Office : 30 Bina Gardens, London SW5 0LA Trustees : Ralph Assor Sandra Dangoor Laurence Julius Governing Document Trust Deed dated 1[st] January 2019

Objectives

Public Benefit:

The charity benefits society in the United Kingdom in general. It is specifically targeted at

Activities in 2024

Educational webinars (recordings available on the Harif website) including

Annual Commemoration of the Exodus of Jews from Arab countries

Our annual Commemoration of the exodus of Jews from Arab Countries, in November at JW3, in-person and online, focused on the Jews of Iran. It featured the Dardashti sisters, who told us the story of their grandfather, the 'Ninghtingale of Iran'.

Film Screening

UK premiere of the film 'A Forgotten Exodus'. We were joined by the director, Marcel Prins, from Holland

Press coverage

Lyn Julius wrote 15 articles. Aurèle Tobelem of Young Harif published four.

Harif Website

The Harif website is a reference resource for information on Jews from the Middle East and North Africa

Presentations to schools, churches and communities

Harif regularly provides speakers to events- these can be in person or via webinars.

Financial Review

Liquidity in the charity remains good and we are well placed to continue our activities in 2025. We are grateful for all thev support from our donors, including two large donations in the last few months of 2024.

Income in the year was £ 31,096 (2023 11,057)

Expenses were £12,846 (2023 £7.210)

Reserves at the end of the year were £40,181 (2023 21,931)

REGisfERED CHARITY NUMBER: 1186454 Rtyort ofthe alld Uniudittd FiAathcial Statements for the Year &ded 31 Detember 2024 Grant HaTmdlKtmaD Trasrys LLP Floor. KiTklaTLd Hous¢ 11-15 PeteA)orou8h Ro&1 HaTrow Middles¢x HAI 2AX

Contents of theFiD8tttithl Statethents for the ye&r ended 311)eeember 21124 Page tport •f th¢ Trustets Inde￿ndthI Examiner's Report Sttethwl rfDThnRti21 Artivities B￿an¢t Sheet Notesto the VIDantial Statements 5 to 7 Detaileil Ststtment of Financi81 Activities

HARtF Report of ttAe Trnstees for tbeyearended 31 Decernber 2024 ThE pos¢n( their Terxbrt with thc f￿all(la1 srat¢ments of the charity for th¢ year e]JdEd 31 Dcccmkr 2024. The Jst¢¢$ hav¢ adopted the provisioths of A¢￿u￿ting and Rtporting by Chanti¢s'. Statsment of R¢￿MMend￿ Prartice aN)licabk to ch￿111¢8 pICp￿Ing their a¢counis in accordance with the Fitwi¢ia] R¢Fortin8 Standard applicabl¢ itt the UKand R¢￿bliC of Ir¢laDd IFRS I021 (eff¢rfive l January 2019). STRUCTURE, GOVERNANCE AND MANAGEMENT Governing doeumetht Th¢ ¢baFity is ¢ontrolE¢d by itsg¢)v¢mitt8th)¢umeDL adeed of ￿sta￿l an ￿In&l￿￿)rated chty. REFERENCE AF4D ADMIN]STRATIVE DETAILS Registered Charity numbtr 1186454 PriDupal address 28-31) BirtaGa]thn$ SW5 OLA Trustees R M Assor L J Jub"us S li Dan8ts)r Independert Exwlliner GraDi Harrod tkrman Davis LIP Sc(x)ndFtoor, KitWatHI Hou Middlesex HAI 2LX Approved by ¢yd¢r of the of ItU5te¢$ ots ............ . and its Tr￿￿fbY'. J JulLU*- Page I

lodependent Examiner's Report to the Trn￿e¢S of HARIF ltrdepeDdentextrniner's ryortto the trustees of FL4RIF tx>rt to chwity tKuths on my &uttLinati¢)n of the acc(yJnts of HARIF lthc Tmst} for the y￿r ended 31 D¢cember2024. RespoDsibililie5 and bMis of rq>ort As tk chaTity t￿￿$ of the Twst Y(￿ ar¢ wnsibk for the preparntion of thr atmts in acLord3nce th¢ qUI￿llents ofthe Chatiti¢s kn2011 Cthe Act). l ill resJXGt of myexamiJJation of thc TDJSL'S ￿unts ¢anied om undcr Sectiou 145 of tb¢ A¢t attd in caNJing out my &￿ill￿10n I have followed all appliL8ble DireaioJ)s giv￿ by the Chaxity. C(thmiwon ullkr SeL#ioD 145{51(bl of IndepEDdeutexamin¢r'$ st•t¢meDt I have completed my examination. I confimi that no mar¢rial matters have t￿¢ to my atyentton in Co[￿e£￿ll with th¢ xaminatK)ti 8ivitI8 me Ca￿ to irlie￿ that in any material r¢speL#.' a¢cO￿titI9 records wuc notkcptlll ￿sP¢¢t of th¢ Trnrtas requirnl by sects.on 130ofthe A¢ or th¢ ac¢ounts do not8£¢ord with th0￿ rttord4 or the do not eA)mply with th¢ applicabte requir¥m¢Dts con¢¢min8 the forni and coutellt of wunts set olrt tILe CP￿111¢5 {AernuJts and RerA>rtsl Rtgu]atioos 2008 crther than any rcquitETtLtnt that th¢ ￿e1)unts give a trne aDd fair view which is notamatt¢T wnsidered aspart ofan iThlependentexaminaiion. I have no concerns a￿1 b&ve come acmss other rn*ters in ¢oon¢¢tton with examination to wlll"¢h attcntion should b¢ drawn inthis tew>rt in Order￿ eDabie &proF¢Funth GTrnt Hattr¥l L¢rnian D4vu8 LLP Chartercd Acwunrants Second FI￿[. KIrklaJ￿ HrNJst 11-15 PckftA)tDugh Road Middl￿X HAI 2AX Page 2

Ststemtrtt of Financi￿ Activities forthe year eodtd 31 December 2024 2024 un￿5￿]¢￿1 fjmd 2023 Notss INCOME AiYD ENDOWMENTS FROM th)Dations l¢w&¢s 31.096 11,057 EXPEiYDITURE ON tharitable Activitie5 Chantsble Acitsvitcs 12.846 7210 NBT INCOME 18250 3.847 RECONCILIATION OF FUNDS Tot￿ byouglrt fo￿￿[d 21931 18.084 TOTAL FUNDS CARRtED FORWARD 40.181 21,931 Th¢ notes formpartof fitt¥tt¢ial stat¢ments

HARIF lance Slkeet 31 Deeember 2024 2024 Unr¢stsiL¢d 2023 Total CURRENT A&SETS Cash at bank 41.381 21,931 CREDITORS Amounts f￿ling￿￿ withtiione Irar {1200) NET CURRENT ASSETS 40.181 21,931 TOTAL A&SETS LESS CURRENT LlABIL￿1Fs 40,181 21.931 NET A&sKrs 40,181 21.931 40,111 21.931 TOTAL FUNDS 40,181 21,931 finan¢iai ststemellts approved by ￿ Board of Tru5tets and issu¢ .Ll.2.<.. alld￿￿ 5igll￿ (￿1 its t¢halfby' The llOtC5 fonnpartof tkse finan¢iai st*meJ Pw4

HARIF Notesto the Fin&ntial Sttttsmtnts for the yw ellded 31 December 2024 ACCOUNTINGPOLICIES BEsis of preparing the financial 9tatemeDts Thc fir￿nCial sw¢m¢nts of the Ch￿lty, w]u"¢h is a public bertefit entity FRS 102, hav¢ ￿en P￿Pared hrt acc4Trrdanc¢ w￿h the Ckn'iies SORP {FRS 102) 'Accowrting and P£rrf)rting by Chaiyti¢s.' Statemcnt of R¢commeJthl Prntice applicable to ¢hartthes prcp&inB th¢ir ae¢oun¢$ in a￿OldanC¢ the Financial ReEK)rtin8 Sfandard arq>licable in th¢ UK and Republic of lffLittd (FRS 102) l¢fftctt"v¢ l January 20J91'. Finanriai R¢p)rtins Stsndard 102 Ib¢ FI￿a￿la1 RE￿rtIng sta￿dard otvlithle in the UK and Rtpublic of Eland. and the Chariti¢5 Art 2011. Th¢ financk41 ststrmejjts hav¢ Fttn p￿paTrAI uth&r thc histori¢a] ¢{ IDtome All incomc is reco￿2d in the Statement of Fi]wmcial A¢tivi1s¢S ODC¢ th¢ ¢harrty bas eDtitlement to th¢ ￿￿&8, it is probabl¢thatthe inc(Kn¢ will b¢ and the amount call bt Measur￿ rEliably. liabilities ar¢ tccognised as expenth'ture as soon as there is a legal or cou5tFudiv¢ obligatioih COJUEUW the dwity to that ¢Xp¢ndItt￿, it is probable that a transf¢r of economic trtrfits will requird iti settlement alld th¢ amount of th¢ obli¥ton ¢an be mea5Uted ffjliably. ExpeAlttur¢ is xcvwitrd for on an accnjais basi$ and h&% Tr¢en classifi¢d he2kn.ngs that agwg3te eost rclatd to the cat¢gory. whC￿ costs Cannot be dittctly trAbuted to partt"¢u]ar headmBs they hav¢ beert aJlotd to adiviti¢S on a b&sis con5i5t6nt with th¢ of repA)UTces. T8K&tiOD Thecjwity is exthnpt from on its chantsble acti14ti¢s. Fmnd attounting Un￿Stil¢d fiuyjs can k ustdin awdan¢¢ with the thantsbl¢ objectives at th¢ dis¢r¢b"on ofthc trusÉces. Restsictd funds can only for particular Trstri¢t¢d puwjses within th¢ obj¢¢rs of the cbarsty. Restrw"ODS ari￿ WI￿ stttified by th¢ donor or when fill￿$ aT¢ raised forpartioJ]ar r¢stii¢t¢d purrK>5e5. FuTtbcr cxplallation of th¢ na1ll￿ andpu￿D¥eofeacb Sjlld is lliduded IJJ th¢ notes to tht fmawial Stktrments. TRUSTEES, REMUP4ERATIOIY AND BENEFIIS Th¢￿ w¢w Lo (nMees' or other l￿Defits fi>r the ycar ended 31 De¢emb¢r 2024 nor for th¢ y¢or ended 31 D#ember 2023. The￿ WCTE bijstees, expcnxs fr>r thc year cnded 31 D¢c£mbcr 2024 ttor for the year ended 31 IkcwnEfr2023. COMPARATIVL8 FOR THE STATEMENT OF FINANCIAL ACTIVITITrS Unrestsicted INCOME AND Ef41)OWMENTS FROM Dt)DatiOTkS alld168￿lCS 11,057 EXPENDITURE ON Ch•ritsble Activities Charitable Arit1￿1¢$ 7210 NET INCOME 3,847 c(mtiDU￿...

HARIF Note5 to the Ststements- eontiuued forthe yeir ended 31 December 2024 COMPARATIVES FOR THE STATEMENT OF FIP4ANCIAL AcfIvITIFS- tonti￿llEd RECONCILIATION OF FUNDS Ti)tal ￿lld$ brcAJght foTwatd 18.084 TOTAL FUNDS CARRIED FORWARD 21,931 CREDITORS: AMOUNTS FALL]NG DUE wrrHIN OIYE YL4R 2024 2023 Otkn creditors 1.21KI MOVEMENT IN FUNDS Nc¢ movemetrt A¢ 31.12 24 At 1.1.24 Unrestrithd fuDd$ Gelleral fund 21.931 18,250 40,181 TOTAL FUNDS 21,931 18.250 40,181 Netmovctn¢ntinfuEth. included in thc th)ve are as fi)Ilows'. In¢omin8 Mov¢m¢nt Untrstritted fund5 G¢n¢rnl ffijnd 31.096 (12.846) 18250 TqyfAL FUP4DS 31,096 (12.846) 18250 C•mp•rativu for movement in futtds moY¢m¢nt At 31.12.23 At 1.1.23 UtyTestri¢t¢d fwids Geneyal fimd 18.084 3,847 21.931 TOTAL FUNDS 18.084 3.847 21.931 LX)ntsm*d...

HARIF Notes to the Ftn8n£iil Ststements- continued fothe year ended JI December 2024 MOVEMENT IN FUNDS- cmtinued cmipaTrtLv¢]￿jDOV¢￿¢ntin fvnds, included iti th¢ kn aTC Is follows.. ltt¢omitt8 R￿UrceS ¢xpend¢d Movcmcnt Unrestricted fund5 Generaj fi]nd 11,057 {7.210) 3,￿7 TOTAL FUNDS 11.057 (7,2101 3.847 A currcnt yw J2 months gJ]d prioryear 12 months cOttkbi￿ p)sitioJJ is as follows.. movement ill fitttds At 31.12.24 At 1.1.23 UDrtJtricteA funds G￿¢1?7 fimd 18,084 22.097 40.181 TOTAL FUNDS 18,084 22,097 40.181 A ojnetrt )¢ar 12 months and prior y¢ar 12 Anonths cornb]]￿d nct rnov¢Jn¢nt ]n fijtsds, iocludcd in the above are &8 follows." iti fiJDds Unrth*ricted funds 41153 (20,056) 22.(Y17 TOTAL FUNDS 42,153 {20,0561 22,￿? RELATED PARTYDISCLOSURES rto related partytr4Dsxti￿ forth¢ year endvj 31 Deeember 2024. Pa8¢ 7

HARIF Detsiled &atemetst of FinAtttlAI Artiiry forthe year trded JI Decernber 2024 2024 2023 INCOMEAND ENDOWMENTS Donations leiAaes t)ttation5 31.096 11,057 Total inc￿1￿¥ re50vr 31,096 11.057 EXPEf4DITURE CThArilabk idtvities SuNIri¥s 11154 6526 Support ewts Finance Bank ch8]xes 98 89 Other SuDdries 594 595 11846 72lO income 11250 3,847 Thispage dtrs notron￿ ptof the stabjtory financial sratemeAts

REGisfERED CHARITY NUMBER: 1186454 Rtyort ofthe alld Uniudittd FiAathcial Statements for the Year &ded 31 Detember 2024 Grant HaTmdlKtmaD Trasrys LLP Floor. KiTklaTLd Hous¢ 11-15 PeteA)orou8h Ro&1 HaTrow Middles¢x HAI 2AX

Contents of theFiD8tttithl Statethents for the ye&r ended 311)eeember 21124 Page tport •f th¢ Trustets Inde￿ndthI Examiner's Report Sttethwl rfDThnRti21 Artivities B￿an¢t Sheet Notesto the VIDantial Statements 5 to 7 Detaileil Ststtment of Financi81 Activities

HARtF Report of ttAe Trnstees for tbeyearended 31 Decernber 2024 ThE pos¢n( their Terxbrt with thc f￿all(la1 srat¢ments of the charity for th¢ year e]JdEd 31 Dcccmkr 2024. The Jst¢¢$ hav¢ adopted the provisioths of A¢￿u￿ting and Rtporting by Chanti¢s'. Statsment of R¢￿MMend￿ Prartice aN)licabk to ch￿111¢8 pICp￿Ing their a¢counis in accordance with the Fitwi¢ia] R¢Fortin8 Standard applicabl¢ itt the UKand R¢￿bliC of Ir¢laDd IFRS I021 (eff¢rfive l January 2019). STRUCTURE, GOVERNANCE AND MANAGEMENT Governing doeumetht Th¢ ¢baFity is ¢ontrolE¢d by itsg¢)v¢mitt8th)¢umeDL adeed of ￿sta￿l an ￿In&l￿￿)rated chty. REFERENCE AF4D ADMIN]STRATIVE DETAILS Registered Charity numbtr 1186454 PriDupal address 28-31) BirtaGa]thn$ SW5 OLA Trustees R M Assor L J Jub"us S li Dan8ts)r Independert Exwlliner GraDi Harrod tkrman Davis LIP Sc(x)ndFtoor, KitWatHI Hou Middlesex HAI 2LX Approved by ¢yd¢r of the of ItU5te¢$ ots ............ . and its Tr￿￿fbY'. J JulLU*- Page I

lodependent Examiner's Report to the Trn￿e¢S of HARIF ltrdepeDdentextrniner's ryortto the trustees of FL4RIF tx>rt to chwity tKuths on my &uttLinati¢)n of the acc(yJnts of HARIF lthc Tmst} for the y￿r ended 31 D¢cember2024. RespoDsibililie5 and bMis of rq>ort As tk chaTity t￿￿$ of the Twst Y(￿ ar¢ wnsibk for the preparntion of thr atmts in acLord3nce th¢ qUI￿llents ofthe Chatiti¢s kn2011 Cthe Act). l ill resJXGt of myexamiJJation of thc TDJSL'S ￿unts ¢anied om undcr Sectiou 145 of tb¢ A¢t attd in caNJing out my &￿ill￿10n I have followed all appliL8ble DireaioJ)s giv￿ by the Chaxity. C(thmiwon ullkr SeL#ioD 145{51(bl of IndepEDdeutexamin¢r'$ st•t¢meDt I have completed my examination. I confimi that no mar¢rial matters have t￿¢ to my atyentton in Co[￿e£￿ll with th¢ xaminatK)ti 8ivitI8 me Ca￿ to irlie￿ that in any material r¢speL#.' a¢cO￿titI9 records wuc notkcptlll ￿sP¢¢t of th¢ Trnrtas requirnl by sects.on 130ofthe A¢ or th¢ ac¢ounts do not8£¢ord with th0￿ rttord4 or the do not eA)mply with th¢ applicabte requir¥m¢Dts con¢¢min8 the forni and coutellt of wunts set olrt tILe CP￿111¢5 {AernuJts and RerA>rtsl Rtgu]atioos 2008 crther than any rcquitETtLtnt that th¢ ￿e1)unts give a trne aDd fair view which is notamatt¢T wnsidered aspart ofan iThlependentexaminaiion. I have no concerns a￿1 b&ve come acmss other rn*ters in ¢oon¢¢tton with examination to wlll"¢h attcntion should b¢ drawn inthis tew>rt in Order￿ eDabie &proF¢Funth GTrnt Hattr¥l L¢rnian D4vu8 LLP Chartercd Acwunrants Second FI￿[. KIrklaJ￿ HrNJst 11-15 PckftA)tDugh Road Middl￿X HAI 2AX Page 2

Ststemtrtt of Financi￿ Activities forthe year eodtd 31 December 2024 2024 un￿5￿]¢￿1 fjmd 2023 Notss INCOME AiYD ENDOWMENTS FROM th)Dations l¢w&¢s 31.096 11,057 EXPEiYDITURE ON tharitable Activitie5 Chantsble Acitsvitcs 12.846 7210 NBT INCOME 18250 3.847 RECONCILIATION OF FUNDS Tot￿ byouglrt fo￿￿[d 21931 18.084 TOTAL FUNDS CARRtED FORWARD 40.181 21,931 Th¢ notes formpartof fitt¥tt¢ial stat¢ments

HARIF lance Slkeet 31 Deeember 2024 2024 Unr¢stsiL¢d 2023 Total CURRENT A&SETS Cash at bank 41.381 21,931 CREDITORS Amounts f￿ling￿￿ withtiione Irar {1200) NET CURRENT ASSETS 40.181 21,931 TOTAL A&SETS LESS CURRENT LlABIL￿1Fs 40,181 21.931 NET A&sKrs 40,181 21.931 40,111 21.931 TOTAL FUNDS 40,181 21,931 finan¢iai ststemellts approved by ￿ Board of Tru5tets and issu¢ .Ll.2.<.. alld￿￿ 5igll￿ (￿1 its t¢halfby' The llOtC5 fonnpartof tkse finan¢iai st*meJ Pw4

HARIF Notesto the Fin&ntial Sttttsmtnts for the yw ellded 31 December 2024 ACCOUNTINGPOLICIES BEsis of preparing the financial 9tatemeDts Thc fir￿nCial sw¢m¢nts of the Ch￿lty, w]u"¢h is a public bertefit entity FRS 102, hav¢ ￿en P￿Pared hrt acc4Trrdanc¢ w￿h the Ckn'iies SORP {FRS 102) 'Accowrting and P£rrf)rting by Chaiyti¢s.' Statemcnt of R¢commeJthl Prntice applicable to ¢hartthes prcp&inB th¢ir ae¢oun¢$ in a￿OldanC¢ the Financial ReEK)rtin8 Sfandard arq>licable in th¢ UK and Republic of lffLittd (FRS 102) l¢fftctt"v¢ l January 20J91'. Finanriai R¢p)rtins Stsndard 102 Ib¢ FI￿a￿la1 RE￿rtIng sta￿dard otvlithle in the UK and Rtpublic of Eland. and the Chariti¢5 Art 2011. Th¢ financk41 ststrmejjts hav¢ Fttn p￿paTrAI uth&r thc histori¢a] ¢{ IDtome All incomc is reco￿2d in the Statement of Fi]wmcial A¢tivi1s¢S ODC¢ th¢ ¢harrty bas eDtitlement to th¢ ￿￿&8, it is probabl¢thatthe inc(Kn¢ will b¢ and the amount call bt Measur￿ rEliably. liabilities ar¢ tccognised as expenth'ture as soon as there is a legal or cou5tFudiv¢ obligatioih COJUEUW the dwity to that ¢Xp¢ndItt￿, it is probable that a transf¢r of economic trtrfits will requird iti settlement alld th¢ amount of th¢ obli¥ton ¢an be mea5Uted ffjliably. ExpeAlttur¢ is xcvwitrd for on an accnjais basi$ and h&% Tr¢en classifi¢d he2kn.ngs that agwg3te eost rclatd to the cat¢gory. whC￿ costs Cannot be dittctly trAbuted to partt"¢u]ar headmBs they hav¢ beert aJlotd to adiviti¢S on a b&sis con5i5t6nt with th¢ of repA)UTces. T8K&tiOD Thecjwity is exthnpt from on its chantsble acti14ti¢s. Fmnd attounting Un￿Stil¢d fiuyjs can k ustdin awdan¢¢ with the thantsbl¢ objectives at th¢ dis¢r¢b"on ofthc trusÉces. Restsictd funds can only for particular Trstri¢t¢d puwjses within th¢ obj¢¢rs of the cbarsty. Restrw"ODS ari￿ WI￿ stttified by th¢ donor or when fill￿$ aT¢ raised forpartioJ]ar r¢stii¢t¢d purrK>5e5. FuTtbcr cxplallation of th¢ na1ll￿ andpu￿D¥eofeacb Sjlld is lliduded IJJ th¢ notes to tht fmawial Stktrments. TRUSTEES, REMUP4ERATIOIY AND BENEFIIS Th¢￿ w¢w Lo (nMees' or other l￿Defits fi>r the ycar ended 31 De¢emb¢r 2024 nor for th¢ y¢or ended 31 D#ember 2023. The￿ WCTE bijstees, expcnxs fr>r thc year cnded 31 D¢c£mbcr 2024 ttor for the year ended 31 IkcwnEfr2023. COMPARATIVL8 FOR THE STATEMENT OF FINANCIAL ACTIVITITrS Unrestsicted INCOME AND Ef41)OWMENTS FROM Dt)DatiOTkS alld168￿lCS 11,057 EXPENDITURE ON Ch•ritsble Activities Charitable Arit1￿1¢$ 7210 NET INCOME 3,847 c(mtiDU￿...

HARIF Note5 to the Ststements- eontiuued forthe yeir ended 31 December 2024 COMPARATIVES FOR THE STATEMENT OF FIP4ANCIAL AcfIvITIFS- tonti￿llEd RECONCILIATION OF FUNDS Ti)tal ￿lld$ brcAJght foTwatd 18.084 TOTAL FUNDS CARRIED FORWARD 21,931 CREDITORS: AMOUNTS FALL]NG DUE wrrHIN OIYE YL4R 2024 2023 Otkn creditors 1.21KI MOVEMENT IN FUNDS Nc¢ movemetrt A¢ 31.12 24 At 1.1.24 Unrestrithd fuDd$ Gelleral fund 21.931 18,250 40,181 TOTAL FUNDS 21,931 18.250 40,181 Netmovctn¢ntinfuEth. included in thc th)ve are as fi)Ilows'. In¢omin8 Mov¢m¢nt Untrstritted fund5 G¢n¢rnl ffijnd 31.096 (12.846) 18250 TqyfAL FUP4DS 31,096 (12.846) 18250 C•mp•rativu for movement in futtds moY¢m¢nt At 31.12.23 At 1.1.23 UtyTestri¢t¢d fwids Geneyal fimd 18.084 3,847 21.931 TOTAL FUNDS 18.084 3.847 21.931 LX)ntsm*d...

HARIF Notes to the Ftn8n£iil Ststements- continued fothe year ended JI December 2024 MOVEMENT IN FUNDS- cmtinued cmipaTrtLv¢]￿jDOV¢￿¢ntin fvnds, included iti th¢ kn aTC Is follows.. ltt¢omitt8 R￿UrceS ¢xpend¢d Movcmcnt Unrestricted fund5 Generaj fi]nd 11,057 {7.210) 3,￿7 TOTAL FUNDS 11.057 (7,2101 3.847 A currcnt yw J2 months gJ]d prioryear 12 months cOttkbi￿ p)sitioJJ is as follows.. movement ill fitttds At 31.12.24 At 1.1.23 UDrtJtricteA funds G￿¢1?7 fimd 18,084 22.097 40.181 TOTAL FUNDS 18,084 22,097 40.181 A ojnetrt )¢ar 12 months and prior y¢ar 12 Anonths cornb]]￿d nct rnov¢Jn¢nt ]n fijtsds, iocludcd in the above are &8 follows." iti fiJDds Unrth*ricted funds 41153 (20,056) 22.(Y17 TOTAL FUNDS 42,153 {20,0561 22,￿? RELATED PARTYDISCLOSURES rto related partytr4Dsxti￿ forth¢ year endvj 31 Deeember 2024. Pa8¢ 7

HARIF Detsiled &atemetst of FinAtttlAI Artiiry forthe year trded JI Decernber 2024 2024 2023 INCOMEAND ENDOWMENTS Donations leiAaes t)ttation5 31.096 11,057 Total inc￿1￿¥ re50vr 31,096 11.057 EXPEf4DITURE CThArilabk idtvities SuNIri¥s 11154 6526 Support ewts Finance Bank ch8]xes 98 89 Other SuDdries 594 595 11846 72lO income 11250 3,847 Thispage dtrs notron￿ ptof the stabjtory financial sratemeAts