ZAHEER & COMPANY
CHhRTERED CERTIFIED ACCOUNTANTS
CHILD GUARDIANS
REGISTERED CIIARITY
TRUSTELS, REPORT & FINANCIAL sTATEmE￿rs
FOR THE YEAR ENDED IOTH JUNE 2025
COMPANY REGISTRATION NO: CEJ)23295
CHARITY REGISTRATIO￿ NO: 1192250
ACCA
63Kknp*•¥ . Purna8e . Kla)c￿ster klJ91LL
Trt0161-2489898 . E-m•k farlaukh@iaheu￿￿o.£0rn
P*Jtht*i: 74128?l39
Partrnws.. l**. Fm¥th ZI￿r{F(cAl. Mr. QatsarAt*aslFCCAK Mr. wa￿ latélFCCh)

Cllll.l) C*UAHI)IAN8
CONTENTS
P*%e
Directors l Th￿te¢S
T￿￿¢￿% R¢p(Yt
Independent Review
Ststement of finan¢ial a¢tivities
Balance Sheet
Notes to the ￿counts
9-10

riiii.i) (•llARDIAN.4
I)IRF.CIX)RN I I'RUSTF.Tr:S AND PR()FF.*81()NAI. ADVI￿)IL9
I)IXF.CTORS I TRUSTF.F.S:
ittna Sahloul
Amnch Khoulani
Riyad Al-Najcm
Omar Alassil
Sarn Akkad
BUSINLSS ADDRESS:
I l Rom51ey C105¢
MANCHESTER
M125PF
BANKEILS:
CASH PLUS
6th Floor
One L4)Trkn W411
London
EC2Y SEB
ACCOUNTANTS:
ZAHEER AND COMPANY
63 KINGSWAY
BURNAGE
MAINCHESTER
M192LL
Page I

Trustees'Annual Report
Forthe yearended 10June 2025
Charityname: Child Guardians
Charlty recistration number 1192250
Company Tegi5trntlon number CE023295
Page1of4

1. Objéctlvos gnd ActlvStle8
The ch#ril8ble obiectiwts remgln:
"To r•ll•v•th• n••d• of¢hlldronwho are In need, by protoctlngchlldren ond supportlng
childron lo moetthelf baslc neod#, Includlng survlval ond d•v•lopmont."
During the year. tru5t995 directed efforts towhrds Advoc8cy 8warenes8-raising, particularly in
Europe and the United States, while m8lntBlnlng the chArity's governBnce and Compliance
requirements.
2. Aehlevements and Perforniance
Advocacy Work
International Eng8gement* T￿￿ee3 contributed to ad4w8Cy C8mpaign¥ in both the EU and US.
ensuring that issues affectingvulnerable children were included in public and policy debates.
. Child Protection Athrocacr. Actlviiies included highlightingthe dangers of neglect. displacement.
and exploitalion. with emphasis on protecting child￿nS rights to survival. educ8ticn, and
development.
• Trustees also raised awareness lo¢aUythrough community briefings and digital campalgns.
ensuringthat even ￿ryth ￿mItsd funds. 8warene55 01 thildren's needs remained actNe.
• NÈtworkin& Built stronger COnr￿lI0nswlth other chiid-ft)cused organisations in the UL Europe.
8nd the US.
• Systems Te8tln& Initlated groundw<Jrkto Impyove fLrture programmg delivery. Includlng exploring
digital platforms for lundraising and 8UPPOrt.
• Capacity Buiidlng: Invested time into learningfrom other NGOS. pr8ctlces to prepare for scabng
èctiwties once su$tainabLe income is secureil.
EJU￿￿E51￿¥a￿dPuhIl0suPpOll
. No direct funding or donations wore rocgNgd during thls reportlng perlod.
. The Organization focused on strengthening advocacy efforts and deveioplngfundraising
cÈmpaigns. including exploring new approaches a￿1 preparing iniiJatlve$ for implementation in tho
upcoming fin8nci81 year.
3. HnanclAI Revlew
• Total In¢orno: £ 0
. Total expendlture: £1492.29
Pagg2of4

related to )d￿c&cY 8nd lundraialng cogts
. N•t Inwn•:
• Clojlng b8l•nc& ollund•:
E 136.92
Although the charity experiencèd Ilmlt8d Incom8 durlng ihls roportlng period. it successfully
continued promoting its mission ond obJectlve3. Effoils Tem81ned locused on sustaining core
activilies. adM)cacy, tynd communty engagemonl. The o￿anIZation anticipates achieving a stronger
financi81 position In the upcomln8 period. whlch will support mc¥rn st8bl• pl8nnlng and
implementation of futurn È¢tNhle3.
Struetur•. Gov•rn•nc• ftnd Management
• The charity is run by a board of trustees. Ytho aro also the directors ol the charitBbl8 company.
• Trustees s¢Ningduringthe year.
Leena Sahloul
Amneh Khou18ni
Riy8d Al-Najem
Omar Alassil
S8ra Akkad
• Trustees receive no remunèration. 8nd all $ervitss 8r8 proNided velunt8rily.
The board met regulariyto ovtsrse8 governarw fin8ncial oversighL and planning.
5. Plans forthe Future
Lookingforward. the trustees 81m to:
1. Enhance Resource Mobllizatlon Efforts
Develop and implement diverse fundraising strat*$, including online campaigns. eommunity-
based initiatrve& and strategic partnerships Bimed 8t bulidlng long-tenn financial sustainabibty.
2. Broad￿ Ad%*eacy and Awareness Activiliei
Continue strengthening advocacy initiatives across Euiope and the United Ststes. while idenlityng
opportunftFes to ralso awareness and engagement in addit￿)Dol rew'on8 affected by child protection
concerns.
3. Support Chlid-Focus*d Humanltarlan Inltlatlvos
Subject to improved financlal resources. work t(hYard introducing targeted child support actNlties.
Such 88 educaiion81 materials. ba8iG health assistanc8, and other small-scaie interventions
benefitingvulnerable children.
Pagg3of4

4. Str•noh•n giral•ilo Coop•Mion
Build 8nd m8ii)t8in stronger felAlionJhip3 with IOCAI &nd lntèrn81ion•l org8nl2itlons to oncour8g8
collobor8tion. kno￿ed&8 ¥4haiinR. •nd Érefiter collectlvo Imp&ct
6. 51olem•nt ol ReJpon•lbllftl••
The irustees are responsible tor ensufing proper Accountlng iecords are mÈlnt81ned, s#fegu8rdlng
the chArity's a$s91s, and prepailng flnancl81 gt8iement3 In cornpllance with the Charities Act 2011
•nd the Companie5 Aci 2006.
7. Concluslon
This reporting period represented a challengin8 yet important phas8 for Child Gu8rdl8ng. durfng
whi¢h the organization rem81ned committed to it3 mlsyion despite flnanclal limitatlon$ and
constrained operationel capaclty. Throughout the yegr, the charlty continued its advocacy and
awareness efforts. malnthlned its public pr88enw and ￿K)rked on stren8th8ning th8 foundations
for future development.
Key achievements duringthe period included:
• Continuing to womote the organlz8tion* miss*)n and Child protection objectives thmugh
8dvoe8cy and c*rtreach efforts.
MBintBining org8niz8tion81 continuty and core operaiions despite limited financial resources.
• Investing efforts in developingfuture fvndraising opportunities and extemal partnerships,
Preparing for bro8der program Implementation wjd stronger operational grovAh in the coming
perlod.
The trustoe5 romain committed to improvingthe org8nirbtion's fln8nclal su5tsin8bility, ex￿nding
partnerships. and Increasingthe ch8rltys iong-term IMpa￿torvuIn9rablO children and
communities.
Signed on behalf of theTrustees:
Chalrman:
Name: Riyad Al Najem
Date: 10.4.2026
Page4of4

PF.NI>Tr.N"
I'O I'IIE IRLS4T '
ARI)IAN
I report on ihc a￿ounts of ihe Child GuaTdians. ￿lstered ¢h8rity J¥Jmber 1192250 for the
8e¢ounis )'or ￿ded lthh June 2025 set out ort pa8e$ 7 to 10.
R Tr:sp&.crii'
RF.
11.ITILS OTr IIiUSTEES Af*D
The charity's truslees •re responsible for the prewation for the accounts in &ccordance with the wuirement of
thc Charitics A￿ 2011 (-the A¢tl. The charity% ITUSte¢s consider that an audit is not required for this year
(undcr seaion 43(2) Qfthe Charities Act 1993 (the 1993 Ad) and th2t an indepeThltnt cxarnination 1$ netded.
It is my rcsp(xtsibiliiy to:
- L¥amine thc accounts {undw ￿￿10n 145 ofthe 2011 Act)
- to follow the pro¢¢dures laid doltyn in the General DiRdions given by thE Chwity Coryyn555i(11
(under section 14515)(b) of th¢ Asx): and in accordance FRS 102 SORP
- io state whthrparticular matten haye com¢ to my atwion.
ASI8 OF INDF.PF.NDENT EXANIINER'S RE
qy examittation was carried E)ut in arcordanL% with the Gener3] txrectsons given by the Charity
Commi55ioner& An examin&ion indudes the 2ttOLlntin8 records kept by th¢ Eharity and a L¥ympaTison
of the accounts prt5ent¢d with those rewrds. li also incluths wnsiderdtion of any unusual it+xns or
disclosures in the actounts #nd sceking explanation5 frorn you as t￿￿1￿5 roncernin8 any such maltEf5.
The procedures und¢Yaken do not PTovide all the evId￿re that would be requrred in an audi( and
¢Dnsequthtly I do not expre5$ an audtt OPiDiOA on the vi¢w aiTrtn by the xcounts.
I.NDEPEf*DEpif EXAMINER'S sfATEMEPIr:
In connection with our ex2mÉnation. no matter has C4MDe to my attention.
(l) whiEh Si￿5 m¢ ra%)nablc ￿U5¢ to bdi¢v¢ that in w mattr1￿ rE5p¢d the rwuiremthts
. to kE￿ accouniin8 I￿O￿lS in xctydance with s¢dion 41 of the ALt' and
. lo prepare attounts wlhich accord with the ￿￿OI1￿11￿¥ TELvrd5 and ts comply with th¢ awountin8
requirtments of the Ad have noi been met. or
(2) kn whith, in my opinioN attention sh(￿d b¢ drawv in orderto enable a PTOP¢¥ utsda5tundi
of the to bE rexhe4L
Mr. Farroukh /Jhter (FCCA)
/4heerand Company
Chartcred Ccrtified A¢¢x)untants aNI Regidered Auditors
63 Kin8sway
Burna8C
Manehester
M192LL
Date..
8e6

Cllll.D CpUARDIANS
RECEIFfs AND F.XPTr.YDITUXFS ACCUIINT
FOR TIIE I'EAR ENDED IOTII JUNE 101$
Nok
2024-25
2023.24
U*.r¢th1¢41
R¢girkt¢d
.•dowm*n
T•tsl
Tthat
INCOME AND ¥J41)OWMF.f4TS
DONATIONS AND tEGACIES
21.148
iii
Zl.148
17ffi74
TOTAL EXPENDrruRE
1.225
iJ25
18.670
T INCOME I EXPENDMJRE
(1225)
(1.2231
1478
BAIANCE BROIGHT FORWARD
5J42
5.542
BAIAhfE CARRIED FORWARD
4J17
4J17
5.542
Pg8¢ 7

(1111.r> ritAAbll
IAYqT..VIVV.T
I AT i•TIi JITII..
Pl•h•
s.joj
l)tkn Iktr
S.SOJ
TIITRRI".Nf L&SFTS
4Jll
SJ42
yrr ASSFrs
5Jll
JM4
Flythr I￿￿J￿￿E 2015 4T1 oftheCtyyiA Aa X116
T¥nlttl' Ttjpofjthllty..
h•*t#￿TIqUIrfd the 10 ofity fwth• In kn I¢>Yd￿te sttllth 476:
TrTNs*¢s ￿￿41¢d8¢ &ir rcsprytsibilitm the •fthekn *4¢h re<ot& tt
T]%•¢tsJwrfs hv¢ t*en pry)￿d IA wih thE prty4ib•xffj I￿￿14 ¥Jithin kn IS orth¢
brb4fofth¢Bwd
D*lE: 184J5-2026

CHII.D CIIARI)IAN
NC)I'F.S TC) TIIF. ACC-()IINT
TrX)R TIII. I'F.AR Tr.Nl)b.l) IOI'II JUNI: 2011
Ih'COMF. AN'D ENIX)WMF.NTS
tXwtion$ ind Legacies
21.148
21.148
ACCOUNTING POLICIF
Basts of accounting
Thc accounts hah'e been prepared on the histori¢a] CO￿ basis ofaccounting and in
att0rd*￿e Mith applicable accounting stsndards and comply with thc Siatement of
Ree4)mmended Prdctice Accouniing by Charities (FRS 102 SORP).
Income
Income End expenses Ire aLxounted for on a le￿Ipt basi&
Note: 1.2
TRUSTEES REMUNERATION
All t￿￿et$ provide their servlces to the charity free of clwge withoul any retnuneTatiLML
Nott: 2
EXP
IT
RAISING FUNDS
17.5(K)
174
Generdl Expcnses
225
225
225
17.674
liote: 2.1
RE ON CIIAIUTABLF. A
Charitsble Tr>naiion
Bank Charges
545
545
TC
Ac£ountancy fe¢
450
450
450
999
Page 9

CASII AT BANK ANI) IN IIANI)
Cash in hai)d
Cash P1115 11a1)k
Wise Bank
5J66
137
5.366
1.541
5503
6.907
CRF.I)ITORS
Accrual
Oihcr ¢r¢ditOTS
T￿81
720
465
1.185
900
464
1.364
otc5
ACCUMULATED FUNDS
Uo-re5tricted Restricted Endowment
FuAds
Fund$
FuDds
TOTAL
ITOTAL
Opening balance &8 at 11106r2024
5,542
5J42
Net incomeJ¢xpenditure
(1.225)
(1.225)
2.478
Closing balance &s at 10106f2025
4J18
4J18
S542
Page 10