Charlty Number: 1193449 (England and Wales)
Anasiudu Foundation
Report of the Trustees and Financial Statements
forThe Year Ended 28 February, 2025.
Prepared by:
X￿tal Management SeNw Linited
Ilno)rporaled Financial ALtcMJntants)
53 Saxvile Rcod
inglon
Kent
BR5 3AN

Anasiudu Foundalion
L￿31 and PAlminisltative Infomwlion
Board of Trnstees:
Amarachukwu Anadu
Règinald OkWUd￿l Anasi￿lU
(Chair of Twstees)
IT￿￿tea)
Charity Numbgr.
1193449 (ETh3￿nd and Wales)
Reglstered Office
Anasiudu Foundation
33 Canada Road
Erilh
Kent
DA8 2HE
Independent Examiners
X-slar Managen*nl Services Linitad
(Incorporated Financial Actounlants)
53 Saxville Road
Orpington. Kgnl
BR5 3AN

Anasiudu Foundation
Table ol Contents: for The Year Ended 28 Febwary. 2025.
Page
Trustees Annual Rep(¥l
Indèpendent Examirws. RetKYt
Statem8nt of FIn￿￿la1 Activil
Balanca Sheet
Notes to the Finan￿al Slaiement
6-7

Anasiudu Foundation
Report of The Trustees for The Year Ended 28 February, 2025.
The Trustees have ts pleasure of submilbwJ theY Tep(Kt and the financi￿ statement for the
period end8d 28 February, 2025, o)mpty wtlh ojrrenl statutory requirements and the
goveming dr￿ments ofthe tharity.
Structure, Governanco WKI Management
The ¢Jlarity is controFled by ils govemiThJ d(KJJmenls. a CLMtstilution.
Induction and TTrining of Tntstees
The tharity organises irKluclion for T￿￿180$ and avraThJes train#w prLWdmmgS.
Risk Ilanagement
The TnJste8s have condwted a rthry8w of Ihe major risks to whth the Charity 15 exp)s•J. A
risk register has been establish&J aThJ is updaled at leasl annually. V¥There approprk41e.
syslems or pr(￿￿1Ures have oslablished lo miligate lh6 risks Ihg chority facos.
Objectives and Activities
The objects of the FoundalK)n awe:
al The provision of Telief for sid( people. the wegervation and prolactr)n of th& personal
healthcare for publ￿ benefi( in by 9$￿1.5h￿ arnl operaling mediGal treatmgnt
cenlres.
b) Providing ￿841hcaro edU￿110n sefvicos lor the p8opkn who Ixk fin￿¢181 means to
oblain such seNbces.
The Charity operates IhrcAwhwt the UK and in NNJeiia. delails of our operalrons arè
sel out in the charity govemng d(￿uMents.
Volunteers
During the year ended 28 February. 2025 Ihe Charity relied a greal deal on volunteers to
perform a variety of tasks. aCcO￿li￿J. writing bids. administralh)n managernent

Anasiudu Foundation
Roport of The Tn￿tres for The Year Ended 28 Febnmry 2025.
(continuèd)
Constitutlon
The Chanty was registered as a charity with Ihe Charity conmn1ss￿ under registration
number..
1193449
Achievemgnl and Perfommnce
Charitable Aclivities
A summary of the yearfs fina￿al athitss is sh(wi page 4 ￿the atxounts. The
Trustees
consider th8 charty has be￿ satslxt￿.
Total income for the year. as shown ￿ page 4 was..
Total expenditure was:
Total fund restricted as at 28 Feb￿￿ry, 2025 were nl.
£4.222
£2.398
Internal and extornal factors
The Trustees are vgry graleful lo Iho for their kThl swtK)
Flnancial Reviow
Rèserve Policy
The Trustees woukl like lo woth ILywards maintaining unrestricted furKls al a level which
equates appfoximalety three months of unrestricted expendilure.
Mrs Dlana
enduAnasludu
ON BEHALF OF THE BOARD OF TRUSTEES.
Dale

Anasiudu Foundation
Independent Examinefs Report for The Year Ended 28 February, 2025.
I rewrt on the ac£wnts of Ihe rJw*y for Ihe year ended 28 February. 2025, vthich are set
out on pages 4 to 7.
Respectfve Yesponslbilities of tntstees and examiner
The charilVs Iruslees are resFKJnsbt)le for the preparation of the ar£oun15. Tr charivs
tfuslees consider that an audil ￿ nol r8qurBd for Ihis year. under Charities Acl 2011 {Ihe
2011 Acll a￿1 that an indekHNJen( eXanWnati(￿ is needed.
It is our responsibility to:
al examine Ihe a￿ountS (under seclion 145 of Ihe 2011 Act):
bl to follow the procedures laid du4vn in the Genetal Directions gpmn by Charity
CommissK)ners {under 2011 Acl).. and
¢1 lo slaie whethw particular maltews have o)rne lo rny attention.
8asls of indtrpendgnt examinefs Tewxl:
My examination was canied (Art in ￿))[danCe with the G8neral DreclM)ns glven by the
Charity
Commissioners. An ex8minalion Incl￿ a reviaw of the accountFng records kgpt by
charity
and a comparison of Ihe aCC￿nIS presented with IIK>se TeLvrd$.11 also includ05
consideration of
any unusual items or disch)gJrns wi the actsjunts. seekyy gxplanatK)ns from you as
Irusle6S
oncerning any such matters
The Pr￿edureS undertaken do nol provide all Ihe evKlerte thal W￿10 be required in an
audit.
and consgquenlly. I do not exwess an 8￿j11 opinM)n the view given by the acco￿ts.
Independènt examlnefs slaleme
In Connecti￿ wilh my eXam￿ation. M matter has mme to my attention..
11 } which gI￿S mè reasonable cause to believe that in any material respact
the requifem8nls
- to keep acwunting recLYds in aZorda￿ wilh section 130 of the 2011 Acl: and
- lo prepare accounts wh￿h acc￿1 Ihe aLX(MJnling records comply
ws(h the acLxJunling requiremgnl of Ihe 2011 Act have not bogn met" or
2110 which, in my opinion, attgntiw s￿￿ld be drawn in order to enable a
proper understanding ol ihe aco)unts to be reached.
X-slar Management Services Limited
Ilncorpoiated Financial Ac£ounlanl)
53 Saxville Road. Otpiwlon. Kent
BR3 SAN
Dale

ANASIUDU FOUNDATION
STATEMENT OF FINANCIAL ACllVITIES
FOR ACCOUNTS PERIOD ENDED 28th FEBRUARY 2025
GENERAL ttMWCfB>TOTAL
2025
TOTAL
2025
2024
INCOMING RESOURCES
Voluntary Income
Gilt Aid Receipts
Other Income
Investment Income
TOTAI
4.222.(Kl
4,222.(X)
2.520.rx)
4222.Th)
4.212.00
SZO.00
RESOURCES EXPENDED:
CHARITABLE EXPENDITURE:
Building Projects
Management & Admlnlsiraiions
TOTAL
2,198.iXI
2.19&1X)
2.198.IXJ
2.198.00
2.89).
2J90.IXI
t4ET RESOLIRCES EXPENDED:
2.024.1Xl
2.024.
-370.CQ
NET MOVEMENTS FUNDS
BALANCE BROUGHT FORWARD
450.
Transfers.
BALANCE CARRIED FORWARD
2.104.(KI

ANASIUDU FOUNDATION
BAiANCE SHEEf ASAT 28th FEBRiIARY2025
2024
Non.Current Assets.
Tangible Frxed A55ets
Investment5
Total Non-current A5set5
0.00
Current Assets:
Cash at Bank
Loan Account
Prepayments IRent Deposit)
Gifi Aid Receivables
Total C￿￿ent Assets
1.824.09
IA24.09 480.00
CREDITORS:
Amount lallin8 Due within oné year=
Professional Fees
Rent Arrears
other Cfeditors
Total Ctsrrent Uablltles
0.00
4ryJ.00
Net Cuirent A
1.524.09
1.524
FUNDS:
Accumulated Funds
1,524.09
1524.09
80
The Financial hI(YMat￿ was awoved lry Ih? Tnjslees on 2(Kh tkntw, 2025.
s￿nature.............................................
Mrs Diana Ueh6ndu-Anasiudu
Chair ol Tius18es Board

ANASIUDU FOUNDATK)N
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 28th FEBRUARY 2025
2025
Total
2024
Totsl
INCOMING RESOURCES
Volunlary Income
General Fund
Intome
4.222
4.222
2.520
Gift Aid Relurn5
other income
Radio Vow
Other Programmes
Other Donalion5
4.212
4,222
Z.520
Bullding Projert:
Sundry tjonations
TOTAL
4.222
4222
2,520

2025
& AdmSn
20
Total
3 RESOURCES EXPENOED:
Total
Cost of Generatin8 Voluntary income
Charitable Activities
Repairs & Renewals
Music Pro8ram51 In5trumentalistslmedia
Service Charge
Travel & Transport
Accountancy
Subscription
Insurance (Building & Carl
Stationery& Posta8e
Bank Charge5
Administration Cost
Telephone/Fax & Internet
35.00
2.445.
1.591.
1.591.
3(X).(K) 4￿.00
40.(M)
17.(rf)
250.fxj
17.
250.IXI
iO.LK)
Training
Depreciation
Cleaning
Missionary Expenses
0.00
2.198.
2.198AXI
2.89D.00
io

4. TANGIBLE FIXED A55Et5:
Equlw)*nt Fwnt & Fitliiy
TOTAL
COSTIVALUATrON
Bal as at 0110312024
Addition5
Bal as at 2810212025
DEPRECIATION- (Basis- SL 25%)
Balance as at 0110312024
Charge for the year
Balance as at 2810212025
PIET 8OOK VALUE
8a1 as at 2510212025
Bal as at 2810212024
5. Bank & Cash Balan(e&'
3025
2024
Natwest Banklchurch Acc.1
Investment Account
1,824.09
0.00
1.824.09
LOAN . OLLIWAKEMI ONABANJO
6. Credltors .' (Amount Fallirvd thje within one year)
2025
2024
Professlonal Service
Rent
Other Creditors
Total
4(MJ.(M)
3￿.￿? 400.ry)
li