Globydl Aid Care
Charlty No: 11891
Annll￿ Report and Flnandal StstemeDts
for tbe Year Ended
31 Mar¢kn 2025

ANNUAL IIEPORT AND APW4QALSTATEME1115
FOR ThEY6AR ENDÉD31M•ryh 1025
Contsnts
Page
Legal and administrdtive inf0m￿tion
Report of the Trustees
Independent Examiner's rewi
Statement of financial activities
io
Balance sheet
Notes forniin8 part of the financial statements
12

Global Afjd Care IRe8i5tered Charity No. 11891871
ANNUAL REPORT AND FINAPKIAL STATEMENTS
FOR THE YEAR ENDED 31 Mar¢h 2025
Legal and Administrative Information
Trustees
Mr Mohammad Saiiid SaThvar (Resigned 0911212025)
Mr Magcd Ahmed M Ghalib
Ms Asma lftakhar
Chairmgn
Mr Maged Ahm¢d M Ghalib
Correspondence address
Suilc 2A
Blackthorn House
St Pauls Square
Birniingham
B3 IRL
Website
wwiv. lobalaidcare.or
Email: inf
obal
icare.or
Bank
Lloyds Bank PIC
25 Gresham Street
London
EC2V 7HN
Accountan¢$
Keytax Ltd
220-222 Warwick Road
Birniingham
B112NB

FOR ThEYEAA Et4DEO JI Alatth21R5
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2025
The trustees present their report along with the financial statetnents of the charity for the year
endd 31 March 2025. The financial statcrnents have been prepared in accordance with the
accounting policies set out on pa8e 12-14 and fi￿lY comply with the charity's trust deed and
applicable law.
anlsadon and Ob
ectlves
Global Aid Care {GAC) is a UK-re￿SteTCd charitable organisation (Charity No. 1189187).
established in 2020 as a CIO Foundation. The charity's primary goal is to relieve poverty and
f￿anCIAl hartskn'p worldwide by supportin8 educatio￿ trainin& healthcare projects, and other
initiatives that crnpow¢r individuals to becomc self-sufficienL
The trustees who have served during the year are set out on page 3. Trnstees are appointed by
resolution of the trustees at a special meeling. The In￿ mcct a5 and when required to
discuss the business of the clwity.
The charity's objectives. for the public benefiL include the relief of poverty, financial hardship,
and access to essential services such as education and healthcare. GAC provides wts,
emergency aid. and development support to individuals and organisations.
Revlew of Aetlvlda and Aehlevements In 2024125
In 2024-25, Global Aid Care maintsined a strong focus on emergency relief, responding to the
ongoing crises in the Middle East. The charity continued to strengthen partnerships, enhance
operational capacity, and improve visibility through its digital platfOrn￿. Key achievements
during the year included:
Ggzg Em¢ryefj¢y Response
Gaza remained at the center of GAC'S humanitsrian efforts as the crisis deepened. Throughout
the year, GAC WOTked closely with trusted paTthct3 on the ground to deliver life-saving
assistance. Support included the distribution of food p8rcels. hygiene kits. medical supplies,
winter ¢lothin& and other csscntial items to displaced and vulnerable familie5.
GAC'S social media ¢hanneJs played a vital mle in documenting and communicating the
escalating needs iti GO￿ Regular updates. field footage shared by partners, and awareDess-
rnising carnpai￿ on platfOrn￿ such as Instsgram, TikToK FacebooL and X hclpcd amplify
the situation, mobilise donors. and rnaintain international attention on th¢ humanitarian

FORIHÉ YEAR ENDED 31 Marth 20ts
emergeney. The increased engagement across these channels contiibuted to wider public
awareness and strengthened donor confidence.
i&banon- Food Rellef Prngrnmme
In response to risin8 food insecurity a￿1 severc cconomic hardship in Lebanon, GAC supported
a dedicated food relief initiative. Working with our partner organisations, the programme
delivered esscntial ffy)d supplies to vulnerable households, including refugees, low-incorne
familic4 and eldcrfy individuals facing bungcr and fllwicial strai
Rupondlng to Humanltarlan Crlses
Beyond Gaza and Lcbanoffj GAC continued to monitor and respond to broader humanitsrian
developments. Through ongoing ¢ommunication with parttiers, the charity provided assistance
in I￿atiOnS aff¢¢ted by ¢onfli¢L displacemenL or nath￿&1 disasters.
So¢lal Medl• Growth and OrgantsAdo•*l Developm¢Dt
The financial year also marked a period of sustsined digital grovrth for GAC. Social Media
engagement increased significantly, driven by consistent content productio￿ storyt¢lling from
the fiel(l and regular updates on hunjanitarian activities. This ￿Owth enlwiced the charity's
visibility, broade￿ its donor base. and helped Strengthen transprncy and accountability.
tnternaily, GAC continued its development trajectory by inwoving operntional systems,
expanding administrative capacity. and refining processes to support future growth. These
improvements fomi part of the orginisjtion's long-tctm stratcgy to increase its impact and
ensure th¢ sustainability of its hullwiitarian program￿8.
Onzolng Support
During the year, Global Aid Care used donations thd ￿antS ￿ provide huMani￿18n assistance
to communitiu in Gaza facing scvere bardship. Our work focused on delivering food parcels.
medical supplies, hygiene kits. clean wat¢r suppo¢ and e&8ential housel)old items to families
affected by the on80ing Crisis.
These activities aimed to address urgent shortages, help maintain basic living condition3, and
alleviate immedxate suffering among vuInerable housebold4 inclu<ting Childre￿ older people.
and those with health needs. The clwity remains committed to directing resource5 to priority
humanitsrian needs and ci)ntinuing to provide practicaL iife-SU8tainiDg assistance to people in
Gaza throughout the y¢ar.

ANNUAL REPORT AND A14pj￿srA1E￿El1TS
FOR THE YEAA ÉMDÉD31 Maffh2025
Publie Benellt
The tn￿ confirn they have conwlied with the Chariti¢s Act 2011 in eDsuring the charity's
activities provide clear public benefiL All pro8rammes directly support those in need and align
with GAC'S charitable purposes.
Rtsk Management
The charity Continues to apply a St￿￿tt￿ed risk nLqnagement approach, identifying and
addressing operdtional, reputational, f￿ancial. and compliance-related Tisks. Tn￿tee5 regularly
Tevicw the risk regisler and implement necessary controls.
Looklng *heAd
As we look to the future. Global Aid Care remains steadfast in our commitment to expanding
our reach and enhancin8 the effectiveoess of our operations. Key priorities for the upcoming
period in¢lud¢:
Strengthenlng Dtsaster R¢spoDX and Reslllence: We will continue to f(Kus on deliverin8
timely, responsive aid to communities aff￿d by natural disasters and humanitsrian crises.
Expandlng and De¢peDlng Partnenblpj: We will work to stren￿hen and expand our
parlnerships with I￿81 organisations, ensuring our respoDses arc both cffectivc and sustainable.
These strategi¢ collaborations will belp us improve operntional efficiency maximise the
impact of our initiatives.
Enhanclng Dlgllal Prejenee And Stakeholder Eng•gemeDt: Recognising the importance of
digital platfornis in modern fundraising, we will enhance our social media prese￿¢ to en8age
a broader audi¢nce. raise awareness, and promote our ¢ampaigns.
Improvlng Fundraislng Efforts: Fundrdising remains a central focus for Global Aid Care.
We will implement new strategies to diversify our funding sources, including expanding our
online carnpaigms and rultivating major donors. Efforts will bc focused on building long-terni
rciationships with our supporters, ¢tL8uring that funds are directed effectively to where they are
needed mosL
Upgrldlng Donatlon Pro¢esslng.' W¢ are committcd to making it easier for our supportets to
contribute to our cause. To this rt we will invest in upgrnding our donation processing
syst¢ms to ensure a seamless. secure. jnd wer-friendly experience.

GlobalAhl CarelRe*ieredCharttyPlo. 1189187
ANNUAL REPORT AND FINANCIALSTATEMEI
FOR THEYEAR ENDED 31 Mar¢h 2025
Flnanclal Review
During the year, the charity received a totsl income of £395,738 (2024.. £318.702). Oethe total
funds receive4L £24,653 of the funds was restricted and £371,085 was received as unrestricted
fimds.
The total funds expended amounted to £189,974(2024: £152,077). This includes the sum of
£99,500 (2024- £82,295) expended on charitable activities.
The cost of raising fimds amounted to £42,646 (2024.. £67,487), the cost of operation support
amountcd to £47,828 (2024: £2295). The total atnount carried forward to be expended in the
following year as part of the restricted funds amounted to £0.00. The ut)restricted amount
Carried foLward anwunted to £178,865.45.
The tn]stees have review￿ the financial position al￿ are ¢ommitted to continuing the positive
grovrtb of the charity.
Reserves Policy
The tntstees have established a policy whereby the ut)re5tricted funds not committed or
invested are maintained at a level that allows the ¢harity to operdte as a going con¢em for at
least one year. The actuaI unrestricted reserves carried forward for the year amounted to
£178,865.45. which is sufficient for the putpose of coveting operational costs and planned
charitable expenditure.
Golng Concern
The t￿￿teeS Consider that there are no material uncertainties about the Trust's ability to
Continue as a going ¢on¢em. This &8sessm¢nt has been made on the b&sis of the review of the
financial position and the operntional risks. The ttustees are satisfied that the financial position
of the charity is sound with the appropriate safeguards in place.
Statement of tru$tees' respoDsibilities In relation to flnan¢lal statements
The tr￿tee8 are responsible for preparing the Trustees, Report and the financial statements in
accordance with applicable law and Uni*d Kingdom Accounting Standards including
Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and
Republic of Ireland (United Kingdom Genernlly Acceptsd Accounting Practice).
The law applicable to charities in England and Wales requires the trustees to prepare financial
statements for each financial year whi¢h give a tNe and fair view of the state of affairs of the
Iwity and of tbe income and expcnditure of the chatity for that period. tn preparing these
financial statements. the trustees are required to:
select suitable accountlng policies and then apply tILem consistently;
ob￿rYC the m¢thods and principles in the Charities SORP.

GlohlAldC•M (R¢￿tered£h￿ty 11891871
ANNUAL REPORT ANO FINANCIALSTATEMeNTS
FOR TIIE YEAR ENDED JI March 2025
make judgements and accounting e5timatcs that are reasonable and prudent.
state whether applicable accounting stsndards have been followed, subject to any
material departures disclosed and explained in the financial statements. and
prepare the financial statements on the going concern basis unless it is inappropriate to
presume that the charity will wntinue in business.
Th¢ trustees are responsible for maintainin8 proper a¢¢ounting records which disclose with
reasonable accuracy at any time the financial position of the charity and enable them to ensurc
that the financial statements Comply with the Charities Act 2011, the Charity (Accounts and
Reports) Regulations 2008 and the provisions of the trust deed. They are also responsible for
safeguarding the assets of the charity and hence for taking rctssonable steps for the prevention
and detection of fraud and other irregularities.
The trnstees are responsible for the maintenance and integrity of the charity and financial
inf0m￿tion included on the charity's website. Legislation in the United Kingdom governing
the preparation and dissemination of financial statements may differ from le8islation in other
jurisdictions.
Approved by the trustees and signed on its behalf by:
&.
Maged Ahmed M Gh81ib
Trustee
Date: 0610112026

Global fvjd Core IRe8lstered Charlty li89￿
ANNUAL REPORT AND FINANCIAL STATEMENTS
FQR THE YEAR ENOED 31 Marth 20ZS
NDEPEiYDENT EXAMINER'S REPORT TO THE TRUSTEES OF GLOBAL AID CARE
I report to the trustees on my examination of the accounts of Global Aid Care for the year ended
31 March 2025, which are set out on pages 12 to 14.
Responsibilities alld basis of report
As the charity trt￿tee8 you are responsible for the preparation of the accounts in accordanr
with the requirements of the Charities Act 2011('the Act,).
I report in respect of my examination of the charity's accounts carried out under s#tion 145 of
the 2011 Act and in carying out my examination I have followed all the applicable Directions
given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner's 8tatement
I have completed my examination. I confirn] that no material matters have wme to my attention
in connection with the exarnination giving me cause to believe that in any material respect:
accounting records were not kept in respect of the charity as required by section 130 of
the Act; or
2. the accounts do not accord with those records. or
3. the accounts do not comply with the applicable requirements concerning the forn) and
content of accounts set out in the Charities (Accounts and Rep)rts) Regulations 2008
other th8n any requirement that the accounts give a 'true and fair view, which is not a
matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination
to which attention should be drawn in this report in order to enable a proper understanding of
the accounts to be reached.
Signed:
Bushra Jahangir
Keytax Ltd
220-222 Warwick Road
Binningbam
B112NB
Date: 0610112026

Global Ald tsre IRe8lrtered Ch•rliyll(+. 11891871
ANNuALftEpO￿AHD FINANCIAisfAIEMEPITS
FOR THE YEARENOED 31 M*ch 2025
Statement of Flnan¢l41 A¢rfvltle$ for the Year Ended 31 March 2025
2025
Total
Funds
2024
Total
Funds
Unrestrleted
Fund8
Re8trieted
Funds
Note
Ineome from:
Donations and Grants
371085
395 738
318,702
31&702
Total Ineome
371,085
24.653
395,738
Expendlture on:
Charitable activities
Raising funds
Op$ Support C08t
Total expendlture
74,847
42,646
24.653
99,500
82295
42,646
67,487
47 828 ￿95
189,974
152,077
165J21
24.653
N¢rfin¢om¢y¢xp¢nditure
(205,764)
(205,764) (166,625)
Re¢onclll4tlon of fundj:
Totsl funds brought
forward
178.865
178.865
12,240
Total fundi arrled
forward
384,629
384,629
178,865
There are no recogDised gains and losses other than those passing thmugh the Statement of
Financial Activities. All income atKI expenditure is derived from continuing activities. The
notes on pages 12-17 forni an irtte￿ part of these financial ststements.
io

Glob•lAhl Carn IReRbt•red Charfw No. 11891871
ANNUAL REPORT AND FINANCIALSTAIEPAENTS
FOR THE YEAR ENDED31 Marth2015
Balgnce Sheel as at 31 Mar¢h 2025
Notes
2025
2025
2024
2024
Current Assets
Debtors
Cash at bank and in hand
387 417
387,417
180,843
Credltorn: amountj
falllng
due wlthln one ye•r
Net Current A8setJ
384 628
178 865
Net knsets
178 865
Fund8
Restricted
Unrestricted
384 628
178 865
Total Funds
384 628
178 865
These financial statements were approved by the Board of TNstees and signed on their behalf
by:
Maged Ahmed M Ghalib
Tn￿¢¢C
Date: 0610112026

Notes forming part ofthe finandgl statements for the year ended 31 Mareh 2025
l. A¢eounllng Policies
The principal accounting poli¢ie& all of vknich have been applied Consistently throughout the
year, are set out below.
A) Basis of prep2ration
The financial statements have been prepared under the historical cost conv¢ntion and in
accordance with Accounting and Reporting by Charitie5: SL*ment ofRe¢ommended Practice,
applicable to charities prepating their accounts in accordance with the Financial Reporting
Standard applicable in the UKand Republic of treland (FRS 102)- (Clwities SORP FRS 102)
(&s uytsted through second edition - October 2019). the Fi[w￿la1 Reporting Standard
applicable in the UK and Republic of Ireland (FRS 102) and the CharitiL8 Act 2011. These
accounts are presented in poun(ts sterling and fOUDded to the nearest pound
b) Public benefit endty
The charity constitytes a public benefit entity as defined by FRS 102.
¢) Going Concern
The Tn￿te¢S have prepared financial projection& tsking into ¢onsideration the current
economic conditions and have. at the time of approving these accounts, a re&sonable
expectation that the eharity has adequate resources to continue in operational existence for the
foreseeable future. Thus, they conlinuc to adopt the goin8 concern basis of accounting in
preparing the a¢￿￿nts.
d) Fund aeeounting
Funds held by the Charity are:
Unrestricted fi]nds. These are fundswhicb canb¢used in accordan￿ with charitable objectives
at the discretion of the trustees.
Restricted fim(18 - These are fiwlts that can only be used for particular restricted purposes
within the objectives of the Chatity. R¢stTi¢tiOUS ￿]5¢ wh¢D specified by the donor or when
funds are raised for particularpurposes.
e) In¢ome reeognition
All income is recognised once the charity has an entitlement to the income, it is probable that
the income will be received and the amount of income receivable can be measuttd reliably.
12

Globalpdd Carn IR40rt4Nd Charfw No. 11891871
ANNUAL REPORT ANO FINANC•ALSTAIEMENTS
FORIHE YEAR E140EDJI Marth 1025
Donations and grants are re￿gnised in the period in which the charity is entitled to receipts
where the amount can be tncasured reliably. The income from charitable and fithisin8
activiti¢s ar¢ sh¢)wn gross with the associated costs Included in the expenditur¢.
Investtnent profits on fijnds held on deposits are included when receivable and the amount can
be measured reliably by the charity. this is nornmlly upon th¢ Thotification of the profit paid by
the bank.
O Volunteers
The value of the time and services provided by voluntc¢r5 is not incorporated into these
financial statements in accordance with the Charities SORP FRS 102.
¥) Expendlture recognldon
Expcnditure is recognised as 8oon a8 there is a legAI or consttuctive obligation committing the
ch8rAty to that expenditure, it is probable that settlement will be require4 and the amount of
the obligation can Ix measured reliably.
h) Debtors
Trade and other debtors are reCO￿lSed at the settlement arnount due after any trade discounts
offered. Prepayments are valued at the amount prepaid net of any trad¢ discounts due.
l) Cash at bank and In band
Cash at bank and cash in hand includes cash and Short terni highly liquid investments with a
short maturity of three months or less from the date of acquisition or openin8 of the deposit or
similar arKounL
J) Cr¢dltor$ And provtslons
Creditors and provisions are recognised where the charity has a present obligation resulting
from a past event that will probably result in the transfer of funds to a third party and the amount
due to settle the obligation Can be measured or estimated reliably. Creditors and provisions are
nonnally recognised at their settlement amount after allowing for any trade discounts due,
k) Penslon Costs
The charity opetates a defined contribution pension scheme. Contributions to the scheme are
charged to the statement of financial activities for the period to which they relate to.
13

fjlob•l Ald Carq IRqtsered Charfty No. 1189187)
ANNUAL REPORT ANO FINANCIALSTAT¢MENTS
IOR THEYEAR ENDED 31 Ma￿h 202S
Notes fomlng part of the flnanclal statements for the year ended 31 Mareh 2025 (eont.)
2. Key Judgements and esdmatlon uncertalnty
The Tn￿teeS do not consider that there are any significant jud8ements and sou￿&* of
estimation uncertainty at the r¢portin8 date.
3. In¢om¢ from donallons and grants
Unreitrlctsd Restrlcted
Funds
Funds
Totsl
2025
Total
2024
Donations & Grants
371,085
24,653
395,738
318,702
371,085
24,653
395,738
318,702
ExpendAture OD ¢harlt•ble qcdvltles
The amount payable in the year comprises:
Unrestrlcte
Restrleted
Funds
Total
2025
Total
2024
Funds
Emergency Relief
Programme
Medical Relief
Programme
74,847
24,653
99.500
77,285
5,000
74J47
24,653
99,500
82,285
14

obalAldCare IRe8tsie￿d(h9rtty No. 1189187)
ANNUAL REPORT AND FIPIAP4CIALSTATEMEIITS
FOftThE YEARfNDED31 M•r¢h 1025
Notes formlng part of the IlnAnclal statements for the year ended 31 March 2025 (Cont.)
5. Fundralslng Costs
Unre$trlded
Funds
Re8trleted
Funds
Total
2025
Total
2024
Bank & Donation processing
charges
Printing & Advertisin8
IT & Related Cost
1,471
1,471
5,000
1,090
29,510
5,525
50
4,380
1.550
5.000
1,090
29,510
5.525
50
FR Wages and Salaries
Di8ital M8rketin8 Contractor
Subscriptions (FR Regulator Cost)
61,557
42,646
42,646
67387
6. Operntlonil Support ¢o$ts
Unrutrleted
Funds
Res¢rl¢ted
Funds
Total
2025
Totvdl
2024
Ops Wages & Salaries
Pension Costs
29,510
169
29510
169
655
Equipment Cost {PC)
Outsourced Support Services
Premises rent and other related
costs
Accouniancy ftcs
Travel Expense
534
10,800
534
10,8(X)
5.677
5,677
890
750
750
750
388
388
47,828
47028
2395
15

AIINUAiKPORT AND RNAr4aAL5fATEMEPIWS
FOR ThÉ YEAR ÉNDED31 M*db2f125
taff numbers
The averdge number of employees during the year was as follows:
2025
No.
2024
Marketing and Fundraising
Management and Admin Support
During the y¢ar no employees had emoluments over £60,000 (2024- None).
Total employee benefits includin8 remunerntion and pcnsion contributions costs payable to the
key management personnel for th¢ year were £28.(YXI {2024- £25.552). This represents costs
payable for the Operations Director.
Notts fornilng part ofthe IIDan¢l￿ statements for the year ended 31 Mar¢b 2024 {eont.)
6. CredltorJ- #mounts fdllng due wlthlD one y￿r
2025
2024
Trade creditors
Other creditors
1,500
1,289
750
1,228
2,789
1,978
7. Restrlcted Fnnds
Balance at
l Apru
2024
Intomlnz
Fundi
Outgolng
Funds
Balanee at
31 March
2025
Emergency Relief
Programme
Medi¢al Relief Programn
24,653
24.653
16

al0￿1 ￿ CaTeffte8htered C￿rIty Nth 1189187
ANNUAL REPORT AND FINA14QAiSTATEMENIS
FOR ThEYEAR ENDED 31 Mar¢h 2025
24.653
24ffj53
& Unrestricted Funds
Gener
Funds
Balance at l April 2024
Net expenditure
178,865
205,763
Balance at 31 March 2025
Notss forniing part of the fmanelal statsments for the year ended 31 March 2025 (eont.)
9. Analysts of Net Assets between Funds
Unrestricte
d Funds
Restrlcted
Funds
Balance At
31 Mar¢h
2025
Fund balances at 31 March 2025 are
represented by:
Current assets
387,417
(2,789)
378.417
(2,789)
Current liabilities
Totsl net assets
10. Related Party Tranjaetions and Trustees Renlunergtlon
Th¢ Intstees received no remuneTation during 2025 (2024- nil). During the year there were no
other related paty transactions.
17