Global Aid Care
Charity No: 1189187
Annual Report and Flnan¢ial Statements
for the Year Ended
31 March 2024

ANNUALREPORT*JID FIIIAIICIALSTATEMENTS
FOR THE IW ENOED 31 MaYch2024
Contents
Page
Legal and administrative information
Report of the Trustees
Independent Examiner's rqy)rt
Statement of financial activities
io
Balance sheet
li
Notes forniin8 part of the financi81 stat¢m¢nts
12

Global Care IReglstered Charity No. 11891871
ANNUAL REPORT AND FINANCIAL5TATEMENTS
FOR THE YEAR ENDED 31 Ma￿h 2024
Legal and Administrative Information
Trustees
Mr Mohammad Sajjid Sarwar
Mr Maged Ahmed M Ghalib
Ms Asma lftakhar
Chairman
Mr Mohammad Sajjid Sarwar
Correspondence address
Suite 2A
Blackthorn House
St Pauls Square
Birmingham
B3 IRL
Website
,lobalaidcare.or
Email: info
lobalaidcare.or
Bank
Lloyds Bank PIC
25 Gresham Street
London
EC2V 7FtN
Accountants
K¢yLax Ltd
220-222 Warwick Road
Birniingham
B112NB

FORIHE YEAR ENDED 31 Marth Z014
REPORT OF THE TRUSTEFS FOR THE YEAR ENDED 31 MARCH 2024
The trustees preseni their re￿rt along with the fll)ancial statements of the clmrity for the year
ended 31 March 2024. The fuwi¢ial statements bave been preparnl in accordanL% with the
accounting p)li¢ies set out on page 12-14 and fidly Ll)mply with the charity's tnL8t deed and
applicable law.
•ntsatlon and Ob
eetlves
Global Aid Care (GAC) is a British charitable organisation establish￿ in 2020. It was
registered with the ￿ty c0nllni￿0n as a CIO Foundation on 23 April 2020 {Re￿tered
Charity No. 1189187).
The In￿te<s who have s¢[v￿1 duting the y￿r are s& wt on pag¢ 3. TrUSt￿S are appoint￿ by
a resolution of the Injstees at a Sp￿￿1 mtttin& The trustees me& &$ and when wuired to
dI￿U$S the busin￿ of the clwity.
Ob"ectives of the Cbarl
The objects of the CIO are all for the publi¢ benefit and are specifically restrict￿ to the
following: The prevention or ￿lief of p)vaty or financiaI haThlslllp aoywhffe in the world by
providing financial support to charities and individuals to assist in the provision of educatio
trainin& healthcare projects and all the necessary support designal to enable individuals to
generate a sustaithle income and be self-sufficienL
Revlew of Aetivities and Achievements kn 2023124
Global Aid Care made significant strides in addressing urgent hunwiitsrian neals during2023-
2024, responding to crises and providing essential support to vulnerable communiti¢s a¢TOSS
the glob& The year's key achievements in the Ye￿ 2023-24 include the following:
Moroc¢o Earthquake Responx: On S*mbez 8. 2023, a pwerful earthquake with a
mwitude of 6.8 struck the Higb Atlas Mountsins in Monjcco. eausing widwead
dev&statioL The tremor partiadarly affa￿ rural and niountsiwvs region4 where buildings
collaprf thousands were killal OT injur& Over 2.900 p)ple lost their live4 and many
more were displaceiL facing a lack of access to forf water. shelter, and medical care. The
destruction of infrastructur4 induding roads and (x)mmwiication network4 significantly
hamper&l the delivery of ai
Global Aid Care rwond&l swiftly to this hunw)itarian disasttt by mobilising emergency
relief. We sent a delcgation and WOTkol in partnerthp with other organisations to ensure aid

ANNUAL REPCftT AND HNAP40ALSTATEMEIITS
r¢ath¢d th¢ most aff￿t￿ areas. Our rwonse included the distnlmtion of bl8llke￿ food
parcels. and temporary shelters for displacal families. These efforts provided in]mediat¢ r¢li¢f
and h¢lped restore a sense of s￿lty for those who had lost everythin&
Bangladesh Medle*l Am1st￿¢t. tn Bangladdl ￿lcUlarlY in rural aod unde[serv￿1 areas,
access to healthcare is limiteAI. The ￿Unty faces a sigDifiwt sknrtage of medical r&qources.
and many conununities are vulnerabl¢ to preV￿labl¢ diseascs and health L￿MplIcatiOns. tn
2023-2024. the strain on the healthcare system was exacer￿ by the infiux of internally
displaced people and ongoin8 Mvironm￿tal challenges as floodi￿ which further
strained medical infr&strnLtut
Global Aid Car¢ foatseAI on improving healthcare *￿t$S for nllal commw)ities in Bangladesh
by delivering essential M￿le11 supplies in parthership with a wialist team of Malics from
the UL Our assistanee reach￿ thousands of individual4 ensurin8 that lo￿1 clinics and health
facilities were stockoa with the m4li¢ations. Th¢ge efforts help&1 address both
urgent health Lyises and ongoing medical improving the quality of care in remote ar¢a3
whcre health￿e resources are often scarce.
Turkey and Syrla Earthquake Rellef: On February 6, 2023, a devastating earthquake with a
magnitude of 7.8 8tN¢k southern Turkey and northern Syri4 killin8 over 50.(M)O p￿pIC and
injuring tens of thousands more. The ￿Uake 8everely damaged cities, towns, and
infrastsucture. and left millions of people homeless. The situation in Syria especially dir4
&s the wunty wag already stN881in8 with a d¢￿der[on% Confli￿ which had weakened its
healthcare and emergency respoL8e systems. Both Turkish citizens and Syrian refu8e¢s living
in Turkey were disprop)rtionately aff¢ctrf f￿ill8 limited a¢¢¢ss ¢0 foo￿ water. Shelter. and
medical ¢are.
Global Aid Care quickly mobiliz•J to provid¢ emer8fflCy telief to thos¢ most affect&l by this
catastrophic evenL Our focus w&8 on supporting the ￿th￿Table Syrian refugees who had
already been livin8 in pr￿arIOuS conditions. We joined our partner charities to provide vital
supplies, including food, bl8nk¢ty shelters. malical al￿ and hygiene kits. Our efforts were
aimed at alleviating the IMm￿late suffering of those displacal by the disaster. particularly the
most vulnerable w)pulations who had already be￿ affect￿ by the ongoing refugee crisis.
Gaza Emerg¢DV Support: Gaza bas be￿ faang an ongoing hum8nitsrian crisis for years.
exac¢rbatoa by political conflic¢ militsry opffation4 and blockades. tn 2023-2024, the
situation in Gaza worsened with escalating violeJKe and blockade4 leading to a shortage of
basic goods. medical supplie4 and essential services. The CODfiict caused severe physica] and
psychological harni to civilians, particularly childrw who make up a significant portion of the
population. The healthcare system was overwhelma( and many families were displacoa from
their homes, stsuggliThg to fmd forf clean water. and medical ￿e.

ANUAL REPORT AND ANA•IIULsfATEMElnS
FOR THE YE￿ ENDED31 Marth 2014
Global Aid Care provid￿ criti￿1 emergency supwtrrt througbout the year to address the
worsening hutnanitsrian crisis in GazL Our relief efforts includoa the distribution of foo
tnedÉcal supplie4 and basic necessities. We Work￿ closely with partners to ensure that aid
reached the most vuInerable families, alleviating immaliate suffering and providing essential
goods to those who had lost their homes and livelihoods due to the conflicL
Publk Benefit
The trustees confirni they have given thie consideration to public benefit and have complied
with the Cl￿1￿￿ Act 2011 in this rew
Risk MAnagement
GAC employs a comprehensive risk management sttategy to identify, ￿$¢s% and mitigate
potential risks to our operations. Our risk register is regulaTIy Tev1¢W￿ by the Board of
Trustees, ensuring compliance with guidelina8 and effective governance.
Looklng ahead
As we look to the futw4 Global Aid Care ranains steadfast in our wmmitni¢nt to expanding
our reach and enhancing the effectiveness of our opuations. Key priorities for the upcoming
period include:
Strengthening Disaster Response Resilience: We will continue to focus on delivering
limely, responsive aid to eommuniti&s affected by natural disasth and humanitarian crises.
ExpAndlDg and Deepening Partherships: We will WO￿ to strengthen and expand our
parttL¢rships withlocal orgaoisation4 ¢￿sUring0W rwinK8 areboth efftctive and sustainable.
These strategic collaborntions will help us improve yrational efficiency and m￿lMise the
impact of our initiatives.
Enhanelng Dlgltal Presence and Stakeholder Engagement RecO￿ls1og th¢ ]m￿rtance of
digital platfOrn￿ in modem fundraisi￿ we will enhance our social rn￿11a presence to engage
Improving Fundraising Efforts: Fundtaising remains a celrttal focus for Global Aid Care.
We will inlplement new strategies to diversify our funding sources. including expanding our
online campaigns and Cultivating major donors. Efforts will b¢ fo¢us¢d on building long-tenn
relationships with our Sup￿rta4 *W]ting that funds are dircct&l ¢fft¢tively to where they are
nealed mosL
Upgrading DonatioD Procasing: We are conurritted to making it easier for our supporters to
contribute to our CAuse. To this en( we will inv&st in up8radmg our donation pro￿$1n8
systems to ensure a seamless. secur4 and user.friendly expeTience.

ANNUALREPORT AND RNPJIOALsfATEMENTS
FOR ThE YEPA EIIDED 31 Marth 2024
Flnanclal Revlew
During the year, the charity receival a tota] In￿Me of £318.702 (2023: £90.432). Of the totsl
funds receive4L £82285 of the funds was restricted and £236.417 was received as unrestricteAI
The total funds expfflded amountal to £152,077 (2023: £92592). Thi8 in¢lud&8 the sum of
£84.214 (2023: £5.((16) expenda on charitable activities.
The cost of raising funds amounted to £69.792 (2023: £87,586). The totsl amount carri
forward to be expended in the following year as part of the restricted fimds amounted to £0.00.
The unrestricted amount carried forward amounted to £166.625.
The trustees have review￿ the financial p)sition and are ￿mmitt￿ to continuing the positive
growth of the ¢harity.
Reiervu Pollcy
The trusttts have established a policy wher¢by th¢ unrestricted funds not committed or
invested are Maintain￿ at a level that allows the charity to operat¢ &8 & going concern for at
least one year. The actual unrestricled reg¢rves G4rri￿1 for*vard for the year amounted to
£166,625. which is sufficient for the PUTpose of covc¥in8 operational ¢osts and plann
charitable expenditure.
Goln8 Concern
The tswtees consider that there are no material uncertainties about the TnL8t's ability to
continue as a going concern. This assessmrnt has been mad¢ on th¢ b￿1$ of th¢ r¢vi¢w of the
financial position and the opmtional risks. The trustees are satisfied that the financial
position of the chority is sound with the appropriate safeguards in pla¢&
ststement of trnitee•' Mponilbllltkn In relallon to fill￿¢1*1 statsmeots
The tDJStees are rwnsible for prepar1￿ the Tn￿tee8. Rwrt and the financial statem¢nts in
accordance with applicable law and United Kingdom ALYounting Standards including
Financial Rep)rting Stsndard 102 The Financial Rq)orting Standard applicable in th¢ UK and
Republic of Ireland (United Kingdom Generally Accepted Ac£vunling Practi£Y).
The law applicable to charities in England and Wales rquiTU the trustees to prepare fllwicial
statements for each financial year which give a true and fair view of the state of affaxrs of the
charity and of the income and expenditure of the eharity for that pertod. In preparing these
financial statement& the trustees are lequir￿1 to:
select suitable a¢(x*unting w)licies and then apply them ￿nSIstentIy•
ob￿r¥e the mdhods and prin¢ipl¢s in the Charities SORP;

FOR THE YEARÉ14DED 31 Marth2024
make judgements and acwunting ¢5timates that aTe reasonable and pruden¢
state whdher applicable accounting stsrmjarts have been followal. subject to any
material departures disclos&1 and explainoa in the financial statements" and
prepare the financial statements on the going concern basis unless it is inappropriate to
presume that the charity will continue in business.
The trustees are reswn5ible for maintaining proper aco)unting r￿ordS which disclose with
re&sonable accuracy at any time the financial wlsition of the charity and a)able them to ensure
that th¢ fmancial statements comply with the Charities Act 2011. the Charity (Accounts and
Reports) Regulations 2008 and the provisions of the trust deeiL They are also responsible for
safeglwding the assets of the charity and hence for taknng re&wnable stq)s for the prevention
and d¢txtion of fraud and other irregularities.
The trustees are resw)nsiThle for the n￿IntenanCe and itiwity of the clwity and financial
inforniation includ￿] on the d]arity's w&ite. Legislation in the United Kingdom governing
the preparation and dIsserri￿ti0n of financial statanents may dityer from legislation in other
jUTisdidions.
Approved by the trustees and signoa on its behalf by:
Moham
ajjid S2rw
Chairman Trustee
Date: 281011202S

Global Ald Care IRe8kntsred CharltyNo. 11891871
ANNUfvI REPORT APID AMAt40ALSTAThIENTS
FOR ThE YEAR ENDED31 M•rth2024
INDEPENDENT EXAMINERIS REPORT TO THE TRUSTEES OF GLOBAL AID CARE
I report to the trustees on my examination ofthe a￿ounts ofGlobal Aid Care for the year ended
31 March 2024, which are set out on pages 12 to 14.
Respon8lbllltles and basls of report
As the charity trustees you are responsible for th¢ pr¢p&ration of the accounts in accordance
with the requirements of the Charities Act 2011('the Act,).
I report in respect of my eXamI￿tion of th¢ thority's accounts Carried out und¢r section 145 of
the 2011 Act and in carrying out my examination I have followed all the applicable Directions
given by the Charity Commission under s¢¢tion 145(5)(b) of the Act.
Independent exandn¢r'$ itAtemeDt
I have completed my examination. I confinn that no material matters have come to my attention
in ￿nnectIOn with the examination giving me cause to believe that in any material respect:
accounting records were not kept in respect of the charity as required by s¢¢tion 130 of
the Act; or
2. the a¢¢ounts do not accord with those re￿rds. or
3. the accounts do not comply with the applicable requirements concerning the forni and
¢ont¢nt of a¢¢ounts set out in the Charities (Accounts and Reports) Regulations 2008
other than any requirement that the a¢￿Unts give a 'true and fair view, which is not a
matter considered as part of an independent examination.
I have no ¢on¢¢m8 and hav¢ com¢ across no other matters in o)nnection with the examination
to which attention should be drawn in this report in order to enable a proper understanding of
the accounts to bc r¢a¢h¢d.
Keytax Ltd
220-222 Warwick Road
Birniingham
B112NB
Date:
loil&

FOR THE YEAR ENOED 31M*th 2024
Statement of f￿1￿Cl21 A¢tivitw for th¢ Ye•r Ended 31 Marth 2024
2024
Totsl
Funds
2023
Totsl
Funds
Notss
Income from:
Donations and Grants
236417
318,702
314702
90.432
90,432
Total ineome
23A417
8¥85
Expendlture on:
Charitable activities
Raising fijnds
Total expelldlture
81285
82285
s.￿6
87,586
92A92
69.792
69.792
152,077
NerfincoEneyexpenditurc
166.625
166,625
(2,160)
Reeonciliation of funds:
Total funds brought
forward
12240
12240
14,400
Total ￿lld8 carried
forward
17&865
12.240
There are no recogDisal gains and losse5 othc¥ than those EmsSi￿ through the Statement of
Financial Activitia. All income and eXp￿ditUre is derived from continuing activiti¢s. Th¢
notes on pages 12-17 forni an illte￿￿ of these financial statcme4ts.
io

FOR ThE YEAR ENDED31 M*rth 2024
BalADce Sheet u at 31 Mareb 2024
Notes
2024
2024
21)23
2023
Flxed Assets
Tangible Assets
Current kn¢ts
Debtors
Cash at bank and in hand
4,389
I80.843
14.872
Cr¢dltor$: •mounts
falllng
due wlthlD one year
Iyet Curr¢nt Assets
l78 865
Net Aii¢ts
17
12
Funth
Restricted
Unrestricted
Totsl Funds
17
12
These financial stat¢rn¢•ts wex¢ apwved by the Board of Trusttts and s1￿cd on their behalf
Mohamma
aiiid Sarw
Ch8Jlrman Trnstse
Date: 2woir2025

Global Ald CarelRqlsteredCharty 11891871
ANNUALREPORT AND ANANQALSTATEMENTS
FOR THE YEAR ENDED 31 Marth 2024
Notss formlDg part of the Ilnanclal statsments for the year ended 31 Mareb 2024
l. Accountlng Polldes
The principal accounting policies. of which have been applied ¢on8iStently throughout the
year. are set out below.
a) Basls of preparatlon
The financial statements have been prepared under the historical cost convention and in
a￿OrdanCe with Accounting and Reporting by Charities: Statement of Recommended Practice,
applicable to charities preparing their acrA)unts in accordance with the Financial Reportin8
Standard applicable in the UK and Republi¢ of IT¢land (FRS 102)- (Charities SORP FRS 102)
(as updated through second edition - October 2019). the Financial R¢porting Standard
applicable in the UK and Republic of Ireland (FRS 102) and the Charities Act 2011. These
accounts are presented in pound8 8terlin8 and rounded to the n¢ar¢st pound.
b) Publle beneflt entlty
The charity constitutes a public benefit entity as defined by FRS 102.
e) Golng eoneern
The Trustees have prepared financial projections. taking into consideration th¢ ¢UTr¢nt
economic conditions and hav¢, at th¢ time of approving thex accounts, a reasonable
expectation that the charity has adequate resources to continue in operational existence for th¢
fore$eeabl¢ future. Thu8, they ￿ntinue to adopt the going concern basis of aC￿unting in
preparing the accounts.
d) Fund Sceounthig
Funds held by the Charity are:
Unrestrictal funds- These are fJnd$ whith can be us&1 in accordance with ¢haritsble objKtives
at the discretion of the trustees.
Restricted funds - These are funds that can only be used for particular restricted pu￿Ose$
withitj the objectives of the Charity. Restrictions arise when specified by the donor or when
funds are raised for particular purposes.
e) Ineome reeognition
All income is recognised once the charity h8S an entitlement to the incom4 it is probable that
the income will be received and the amount of income receivable can be measured r¢liably.
Donations and grants are reco￿lSed in the period in which the charity is entitled to receipts
where the amount can be measured reliably. The income from Ch￿ltable and fundraising
activiti￿ are shown gross with the associat¢d ¢o$ts Includ￿ in the expenditure.
12

FOR THE ENDED 31 Marth 20Z4
tnv&8tment profits on funds held on dep)sits are includa when receivable and the amount can
be measured reliably by the dwity: this is nonnally u￿n the notification of the profit paid by
th¢ banL
O Volunteers
The value of the time and servic&8 providoa by volunteers is aot inLX)rporatal into these
financial statements in aCC4)rd￿ with the Chariti¢5 SORP FRS 102.
g) Expenditure recogDition
Expenditure is reCo￿lised as soon as there is a legal or eonstnmxive obligation comnlltting the
ch￿lty to that expenditur4 it is probable that settlement will be requirol and the amount of
the obligation can be measured reliably.
h) Debtors
Trade and other debtors are reco￿]8￿1 at the ￿l¢Mellt amount thie after any trade discounts
offered. Prepayments are valued at th¢ amount wepaid net of any trade discounts du&
D Cgsb at bank and In h￿d
Cash at bank and cash in hand includes cath and short tern] highly liquid investtnents with a
short maturity of three mooths or less from the dat¢ of acquisition or opa)itig of the deposit or
sirnilor a¢￿U￿L
J) Creditors and provisions
Creditors and provisions are recognised where the charity has a present obligation ray￿tIng
from a past event that will probably result in the transfff of fi]Dds to a third paty and the amount
due to settle the obligation can be me&surnl or estirnatcd reliably. Crolitors and provisions ar¢
norn￿llY recognis&l at their s&danent amount after allowing for any trnde discounts due.
k) P¢n$ion costs
The charity opffates a defined contribution pa)sion schane. ContnTr•utions to the scheme are
charged to the statement of financial activities for the period to which th¢y r¢lat¢ to.
13

Ar4NUAL REPORT ANO FINANaALWAIEME1￿5
FOR ThE YEAR ENDED al 2024
Notss fornthig part of the Iln*nelal statements for the year ended 31 March 2024 (conL)
2. Key Judgements and estimation uneertainty
The Trustees do not consider that there are any significant judgoneLts and sources of
estimation uncertainty at the rekK)rting date.
3. Income from donatlons and grants
Unrestrlcted RestrAeted
Funds
Fund5
Totsl
2024
Total
2023
Donations & Grants
236,417
82.285
318.71T2
90,432
236h17
31&702
90,432
4. Expendlthre on clwit*bk aetivities
The amount payable in the year comprises:
Unrestrkte Restrlcted
Funds
Totsl
2024
Total
2023
Funds
Emergency Relief
77285
77.285
Medical Relief
5.OlX)
Support Costs
82385
4938
14

(¥obal Ald Core (Reilstrred Chwlty 11891871
ANNUPI REPORT APID ANANCIAiSTATEME14TS
FOR THEYEAR ENDED 31 Mwch 20Zd
1¥4otes formlng part of the finandal ststements for the year ended 31 Mareh 2024 (eonL)
S. Fundraising And Operational Costs
Unrestri¢te
Restricted
Funds
Total
2024
Total
2023
Funds
Bank & Donation pro£￿s1Thg
charges
Printing & Advertising
Wages and SalaTies
Pension costs
Premises rent and other relat&1
4.380
4.380
1.301
1.550
61,557
665
1.550
61,557
655
6.989
81.322
1.095
890
890
Arxountancy fees
Legal Professional fees
750
750
750
1.135
69,792
69.792
92,592
Staff numbers
The average number of employees during the year was as follows:
2024
2023
Marketing and Fundraising
Management and Admin Support
During thc year no anployees had emoluments ovu £60,000 {2023- None).
Totsl employee benefits including remuneration and pension Contributions eosts payable to the
key management personnel for the year were £25,552 (2023 - £32.500). This represents costs
payable for the Fundraising Department Manager.
15

fjlob•l Atd ca￿ IR*ernd Ch¥ky Ilo. 1189187)
ANNUAL AEPORT AND Pth*II(IALSTATEMElnS
FOR THE YEAR ENDED31 M•rth 21P4
Notes fornthig part of the fin*ttdAI rtatements for the yur ended 31 Mxr¢h 2024 (¢onL)
6. CredltorJ- amollnts fthg due wlthln one year
2024
2023
Trad¢ ¢ratitOTS
Other cralitors
750
1228
750
1,882
1.978
2.632
7. Restrlcted Funds
B*knDLY at
l Aprll
2023
Ineomlng
Funds
Outgolng
Funds
Balance At
31 MAreh
2024
Emergency Reltef
PrO￿e
Medi￿1 Relief Prowune
77.285
77285
5,000
82285
82285
8. Unrestrl¢ted Funds
General
Funds
BalanrK at l April 2023
Net expenditure
12.240
166,625
Balance at 31 Marth 2024
17
16

FOR ThE ITAR EIW 31 IA•th2024
Notss formlng part of the financial statements for the year ended 31 Mareh 2024 {eonL)
9. Analysls of Net Assets between Funds
u￿r￿trICte Re5trieted
d Funds
Funds
Balanee at
31 Mareh
2024
Fund balances at 31 Marth 2024 are
represented by.
Fixed assets
180.843
(1.978)
180.843
(1.978)
Current liabilities
Totsl net assets
10. Related Party Transactlons and Trust¢¢s RemuD¢r*tion
The In￿teeS received no remuneration during 2024 (2023 - nil). During the year th¢￿ were no
other relateAI paty transactions.
17