Charity Registration No. 1195294
ARITY
RGANISATION
Trustees Reports and Financial Statements
For the year ended 31sf March 2024
TAHIR ACCOUNTANTS
EPCA Office N
l Thorpe Close
London WIO 5XL

Accountants. report
To: Trusteeslmanagement Committee for Makaado Charity Organisation
In accordance with instructions given to us we have prepared your accounts for the year
ended March 31 st 2024 on Receipt and Payment basis and an independent examination
is not required as The Charily's gross income is less than £25000 for the relevant
aGcounting period.
ts are prepared from the records and information and explanations supplied
Thea
to
drisKTahir
Licensed Accountant
2410112025

.AISAADO
gami¥aflon
Makaado Charity Organisation
TRUSTEE. REPORT FOR THE PERIOD
From 0110412023 to 3110312024
Introduction
Established on July 26. 2021, as a Charitable Incorw)rated Organisation (CIO), our
organisation is committed to alleviating hunger and poverty both loeally and globally. Our
mission is to empower Éndividuals by promoting sustainable income generation and providing
the skills needed to achieve self-sufficiency.
In tliis year's trustees, r¢por¢ we are pleased to announce the signing of a Memorandum of
Understanding with a charity registered under the Federal Democratic Republic of Ethiopia's
Authority for Civil Society Orgat]isations on February 9, 2024.
AddiLionally. we launched a fundraising campaign for Iftar during the Month of Rarnadan in
2024, which commenced on Marcl) 20th. The campaign was successflllly concluded, with
funds collected and distributed to those in need in Addis Ababa. The details of this initiative
will be included in our financial report for th¢ fiscal year ending Mawh 31, 2025.
Objects of the Charity:
The prevention or relief of poverty or flnancial hardships sp¢¢ifically but not limited
to the neighbouring countries of Eritrea and throughout England and Wales by
providing grants, ilems and services to indivlduals in need and lor other charities and
organisations, sponsoring of orphans and assistiiig in the provision of eduLation,
training, healihcare projects and all the necessary support design¢d to enable the w>or,
needy and refiig¢e Qomniunities and individuals to subsist and generate a sustainable
income to become self-sufficieDt.
The provision of facilities for recreation or other leisure time occupation with the object
of improving the coi)ditions of life of those persons who have need of such facilities by
reason of their youth. age. infinllity or disablemen¢ financial hardshipy or social and
econon)ic circiimstances.
Statement of Trustees Responsibiliti

The gov¢rning document requires the Trustees to prepare financial statements for ¢ach
financial year. which give a true and fair view of the state of affairs of the charity and of the
financial trends of the charity for that period. In preparing the financial statements, the
Trustees are required to..
1 Select suitable accounting policies atld th¢n apply them consistently.
2 Make judgements and estimates that are reasonable and prudent.
3 State whether the policies adopted are in accordance with the Charity commission Act 1985
moreover, with applicable accounting standards. subject io any material departures and
explain¢d in the financial statements.
4 Prep<ire the financial statements on the going concern basis unless it is inappropriate to
presume that the charity will continue in business.
The Truste¢s are responsible for keepiiig proper accounting records, which disclose with
reasonable accuracy at any time of the financial position of the charity. Also, to enable them to
ensur¢. that the financial statcments comply with the "Statement of Recommended Prnctice
(SORP)" The Trustees are also responsible for safeguarding the assets of the charity and hence
for taking reasonable steps for the prevention and detection of fraud and other irregularities.
Risk Management
The Tr￿Stee$ have looked at the major risks to which the charity may be exposed, and the
action rquired to mitigate those risks. Procedures ar¢ in place to keep areas of risk under
rcvicw and identify future risk areas. These procedures are in tum reviewed on a regular basis
by the trustees. The trustee has seen the need of setting up of an effective and professional
financial and thinistrative system in plac¢ to enable the Charity to obtain the r¢quired fund
to n]eet the objectives.
Registered Address
Flat 44, Perronet House
Princess Street
SEI 6SL
Legal and Administrative details:
l. Omydr Idris
2. Ahmedsaad Mohanjed
3. Abdalla Jabir
Chair & Trustee
Trustee
Trustee
B8nker:
Lloyds Bank. Business Debit
Andover
BXI ILT VICTORIA (309950) Branch
Sort Code.. 30-99-50
AccouTht: 42042268
r4

Accountant details
Idris Tahir (Accountants & AudÈtors)
Tel:07931318136
Email: tahira¢cOunL￿cXL￿7ooUlell1aI1.¢oIll
Statement of Public Benefit
The trustees confinn that they have complied with the requirements of section 17 of the
Charities Act 2011 to havc due reLyard to tli¢ public benefit guidanc¢ published by the Charity
Commission for England and Wales.
Trustee Induction and Training
The Trustees has been obtained a professional advice all stages to comply with Charity
Commission rules and regulations by chArity lawyer and received training on trustee legal
duties.
Approved by Chaimwl.
Omar Idris
2010112024

Page 1 of2
CHARITY COMMISSION
FOR ENGLAND ANO WALES
Receipts and payments accounts
CC16a
For the perood
from
To
011Ct412023
3110312024
Section A Receipts and paymertts
Unrestricted
fund¥
to lh• r￿r￿t
Restricted
funds
Endowment
funds
Totsl funds
Last year
tothe ngarnst £
trj the ne8r0St £
to thtr noorgst £
ttsthe npare$t£
Al Rtteelpts
General Donations
Ramadan Iftar Si
am
Mèdia Income
1.7LX)
380
192
192.
Sub tot81 (Gross income for
AR)
1,892
A2 Asset and investment Sales,
(see lablel.
Sub total
Total recelpts
1,892
380
2,272
A3Pa
ment$
LEGAL FEES
ADMIN ExpeMSES
414
130
.130
Sub total
S44
44
A4 Asset and Investment
purcha8e$, (see table
Sub total
Total payments
Net of receipt￿(paYMents)
AS Transfers between fund¥
A6 Cash funds last yèar end
Cash funds this year end
1,348
380
1,728
19101r2025
CCXX R1 a¢wunts ISSI

Pa982of2
Section B Statement of assets and liabilities at the end of the period
Unrestrlcted
fufids
to noarest È
Restrlcted
funds
to ne&rvst£
Endowment
funds
to n9•rgSt£
Catsgorips
Details
81 Cash funds
BANK ACCOUNTS-LLOYDS
BANKACCOLINTS-CPLUS
10
CASH IN HAND
Totsl cash funds
{4ree ba18TKe8With receiptèAnd P￿T￿$
Unrestri¢t¢d
funds
to nearetst£
Restrlct¢d
funds
to 0oafgst£
Endowment
funds
to nearest £
D&tail$
-"z#•8
Furtd to whlch
as8Ot belon
Curr8ntv8luo
tional
DeÉalls
Co8t loptionall
Fund to whl¢h
a858t ofrlo
Curront value
D￿•)1$
Cost Iopflongl
B4 Assets retained for the
charlty's own use
Futtd to whlch
rtrlai8S
Amouni dug
ional
Whèn due
onal
Details
Accountancy fees
B5 Llabilities
Signed by one Dr tr￿0 Irustsgs on
beharf of all the tru$te88
Date of
rDva1
Signature
Print Name
OMAR IDRIS
2010112025
CHAIRMAN
CCXX R2 accounts ISSI
1910112025