REGISTEREO COMPANY NUMBER: 12330469 (En
REGISTEREO CHARITY NUIABER: 119
land and Wales)
874
ortofth Tr
tees and
ndati
Argon & Krypwn Collsulting Ltd
(Chart¢red C¢rtifi¢d Accounwits & Tax Advisers)
Unli 6
Town Quay Wlwf
Abbey Road
Barkin
Euex
IGII 7BZ
'AOCLFDDK*
#32
CCWPANIES H¢JUSE

nte
f rtheye
30 Dece
Page
Report of the Trustees
Independent Examiner's Report
Statement of Financial Actluitie5
3to 5
Statement of Financial Position
stalenient of Cash Flows
10
Noles to the Statement of Cash Fli)ws
Note5 to the Financial Statements
12 to 18
Oetailed Statement of Financial Attiuities
19 to 21

for
e Year En
O Oecember 2
The trustees who are also directors of the charity for the purposes of Ihe Companies Act 2006. present their
re
ort Wlth the financial statements of the charity for the year ended 30 December 2023. The trustees haue
ted the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice
app
icable lo charities preparin9 their a£counls in accordance with the Financlal Reporting Standard
applicable in the UK and Republic of Ireland {FRS 102) leffective l January 2019).
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng document
The charity is controlled by its governin9 document. a deed of trust. and constitutes a limited company, limited
by guarantee. as defined by the Companies Act 2006.
REFERENCEANO ADMINISTRATIVE DETAIL5
Registered Company number
12330469 (England and Wales)
islered Charity nurnber
874
Re
Registered office
Suite G041 Quality Court
Chancery Lane
London
WC2A IHR
Trustees
18 Adeagbo
8 O Olagundoye- Chair (deceased 15.2.24)
A A Ishmael
Y A Raimi-odimayo FCA- Treasurer
O J Famakhnwa FCA FCCA- Chair {appointed 15.2.24)
Com
IBA
an
eag
Secretary
o FCA FCCA
Independent Examiner
Olusola Makinwa {MSc FCCA)
Argon & Krypton Con5ultin9 Ltd
Ichartered Certified Accountants & Tax Advisers)
Unit 6. Town Quay Wharf
Abbey Road
8arking, E55ex IGII 78Z
Approved by order of the board of t￿￿tee$ on 26lh September 2024...and signed on its behalf by:
O J Famakinwa- Ctriairman

IA- Foundatlo
Report of the Tnjslees
for the Year Ended 30 Oecember 2023
l am honoured to present the 2023 Trustee's Report, highlighting IA-Foundation's achievements. progress.
and impact over the past year.
I would like to pay tribute to Late Pastor Babajide Olagundoye, our former Chair who sadly passed away on
T51h February 20241. his leadership and impact to our Foundation was enormous. We really miss him and may
his soul rest in peace.
Mission and Objectives
Our mission remains unchan
ed. to transform liues through education in Ni
School Children" back into c
assroom. This year. we focused on increasing
expanding programs, and enhancin9 governance.
Achieuements
oundation hosted its 4th Charity Gala and Fundraislng event in the UK. The event was aimed at raisin9
funds and aujareness for its educational programs. The event featured a dinner, s
eeches, live
erformances.
and an auction. brin
ing together supporters and stakeholders. The gala success
ullg raised £
4.000, which
were directed towar
ursaries and resources for the 20.2 million underpriuileged children In Nigeria.
Weals0 hosted our first maiden edition of Out- of-school Children Surnrnil in October2023, themed-panacea
to a menace". The summit focused on creating national awareness about the menace of out-of-school
children and the potential consequences of continuous rele
ation of universal education in Nigeria. The
summil gathered experts, educator5. policymakers. and a
vocates to discuss strategies for improuing
enrolment rates and educational opportunities. It provided a platform to achieve multi-sector awareness.
inuolvement, and investnent in addressing the embarrassing statistics of ouer 20.2 million out-of-
schoolchildren in the country.
As a follow up to the summit. we organized a Charity Walk to raise awareness for out-of-school children.
Thirty-three Participants undertook a 5KM walked from Ikeja Under bridge to Lagos Sale House of Assembl
Alausa Secretariat to seek the audience of the members of House of Assembly to address the issue of out-o
school children in the slate. The participanis were all united in the cause of supporting educational initiatives
for children in need. These events hi
challenges and fostering opportunities
hled IA-Foundation's commitment to addressing educational
ildren to succeed.
As part of our six strate
ic strands. the Foundation launched an advocacy and education awareness
campai9n, with our Foun
er and CEO, Mrs. Ibironke Adeagbo. makin
appearances on various television
stations to increase publ(c awareness of the natton'5 Out-of-school chi12ren problem.
eria and Africa. 8ring -out of
undrai5ing. building capacity.
orc
The Foundation recently experienced an increase in the recruitment of ¢i9ht more uolunteers Luith a total of
Ihirty-five uolunleers. reflecting its growinp impact and appeal. This increase in uolunteer numbers is driven
b the Foundation's expanding outreach ef
orts and the compellin9 mission to supp
orl educational initiatiues.
e Foundation has acttuely en9aged its uolunteers with a uariety of meaningfu
activities, one of which is
visiting the twent -tLUO schools to check up on the beneficiaries. During these school visits. volunteers assess
the students. aca
emic
rogress. address any challenges they may be facin
individual needs. We sa
y lost one of our sludents In Abuja, Aisha Zubairu an
and offer support tailored to
one volunteer In Edo state, Mr5
Joy Odia. May their gentle %>ul rest in peace.
The Foundation generously donated to the orphans affected by the terrorist bombin9 of the An91icart Church
In Owo Tou)n, Ondo State. ensuring they haue the necessary support to continue thelr educalion.
The Foundation took a significant step to enhance its online presence and outreach efforts b revamping the
website. ReL)amping the website improves uisibility and makes it easier for uisilors to
earn about the
Foundation's mission and iniliatiues. Also. the Foundation has deueloped a new portal focused on
encouraging donors to sponsor a child. offering a more streamlined and engaging experience for potential
sponsors.
In our commitment to f05terin
education and addressing the challenges that keep children out of school, the
Foundalton is sel to empower t
e mothers of out-of-school children. This initiatiue reco9nizes Ihe pivotal role
that mothers play in the liues of their children and seeks to enhance their capacity to support their children's
education.
Financial Report
Our Foundation continues to operate with strong financial governance ensuring all programs are self-
sustainin9. maLntain adequate reserves to ensure continuily for six months in the euent of a material event
that temporaril
constrains the fundraising of the Foundation.
For the ¥ear en
ed 30th December 2023, the Foundation delivered a deficit of £4.708. Compared to a surplus
of £355 in 2022. The deficit for the current year. this is due to a key change In strat¢9y to employ an Interim

Chlef Executive Office durin
full details are coniained in t
the
eau
ear to driue fundrai5in9 and capacity buildin
ited financial statements on pages 7 to 21 of t
within the Foundation. The
is Annual Report.
Looking Ahead
In the coming year, we will focus on building capacity by emrloying a permanenl in-country Chief Executive
officer, recruiting new staff members suitable for the recent
y agreed mana
ement Structure which I belieue
will take our Foundation to the next level where we can increase the number o
children we take off the streets.
We will improue our reuenue by diuer5ifying the funding streams. we will now host two Charity f undrai51ng
events annually (in the UK and Nigeria). We will seek and find le
acy donors Icorporate & Personal) to prouide
long tern benevolent funds from which we would derive annua
operaling income. We will develop a number
of project pro
osals to assist other NGOS to achiwe our mutual goa15. These proposa15 will also generate funds
for our Foun
ation. We will build a databank to track current beneficiaries and their guardians. as we belieue
they will form the future IA-Foundation Alumni.
We will continue to enhance our dlgltal presence on our webslte, ensuring improved user experience and
donation functionality. Expandin
our social media reach ihrough targeted campai
ns and engaging content.
lementing a robust online fun
raising platform to streanline donations. We wil
redouble email marketing
orts to keep supporters informed and engaged.
8y strengthening our digital presence. we aim to increase tyjr visibility. reach new audiences, and prouide a
seamless experience for our supporters and beneficiaries.
Conclusion
In conclusion, I want to Èxpress my sincere gratitude to fellow trustees. sub-committee members. patrons,
anbassadors. the Founder/CEO. staff niemb¢r$ 6 volunteers, strategic partners. generous donors 8
supporters for contributing to the success of 2023.
IA Foundation remain5 commitled to making a meaningful difference in the liues of all children ihal we have
taken off the streets and those we are passionately desirin9 to take off the streets. Thank you for your
contlnued support. Together, we can achieve even more.
O J Famakinwa FCA FCCA MBA
Chairman. IA-Foundation

In
IA- Foundation
Independent examiner's report to the trustees of IA- FoundatloA {'the Company.)
I report to the charity trustees on my examination of the accounts of the Company for the year ended
30 DeceTnber 2023.
Res
nslbilities and basls of report
Ast
e charily's trustees of the Company (and also its directors for the purposes of com
responsible for the preparation of the accounts.in accordance with the requirernents of t
2006 ('Ihe 2006 Act,).
an
lawl you are
ompanie5 Act
Hauing satisfied m
self that the accounts of the Company are not required to be audited under Part 16 of the
200fj Act and are e
ible for inde
endent examination, I report in res
ect of my examination of your charity's
accounls as carrie
out under
lion 145 of the cl￿ritieS Act 2
11 ('the 2011 Act'l. In carr
in
out my
examination I have followed the Directions given by the Charity Commission under Section 145¥51 Ibl of the
2011 Act.
Independent exarnlner's stalement
I have completed my examination. I confirm that no matters haue come to my attention In connection with
the examination giving me cause to believe:
accounting records were not kept in respect of ihe Company as required by Section 386 of the 2006
Act: or
the accounts do not accord with those records: or
the accounts do not compl
than any requirement that t
with the accounting requirements of Section 396 of the 2006 Act other
e accounts give a true and fair view which is not a rnaller considered as
parl of an independent exarnination: or
the accounts haue not been prepared in accordance with the methods and principles of the Statement
of Recommended Practice for accounting and reportin9 by charities {ap
licable to charities
their accounts In accordance with the Financial Reporting Standard app
icable in the UK an
of Ireland (FRS 102)).
Republic
I have no concern5 and haue come across no other matters in connection u>ith the examlnation to which
attention should be drawn in this report in order to enable a proper understanding of the accounts to be
reached.
Olusola Makinwa (Msc FCCA)
Ar
(c
on & Krypton Consulting Ltd
artered Certified Accountants 8 Tax Aduisers)
Unit 6
ToLun Quay Wharf
Abbey Road
Barking
Essex
IGII 78Z
Date.. 26th September 2024

In
oratin
he Year Ended
mean
Ex
en
iture Account
30.12.23
Total
funds
30.12.22
Total
furtds
Unrestricted Restricted
fund
fund
Notes
INCOME AND ENOOWMENTS FROM
Donations and legacies
16.299
7.484
23.783
22.377
Charilable actiuilies
Events Income
39,031
39.031
12.609
Total
55.330
7.484
62.814
34,986
EXPENDITURE ON
Charllable activities
Events
19.381
19,381
1.879
Others
39,552
8.590
48.143
32.752
Total
58.933
8.589
67.523
34,631
NET INCOMEI{EXPENDITURE)
(3.603)
(1.105)
(4.708)
355
RECONCILIATION OF FUNDS
Total funds brought forward
16.562
1.958
18,520
18.165
TOTAL FUNDS CARRIED FORWARO
12.959
853
13.812
18,520
The notrs forni part of these flnancial statem

Financi
30 December 2023
30.12.23
Restricted
30.12.22
Total
Unrestricted
Toial
fund
fund
funds
funds
Notes
FIXED ASSETS
Tangible assets
CURRENT ASSETS
Debtors
Cash al bank
2.719
2.719
4.115
12
2.957
8,570
2,957
9.423
853
14.406
11,527
853
12,380
14.406
CREDITORS
Amounts falling due ujithin one year
13
(1,013)
(1.013)
NETCURRENT ASSETS
10.514
853
11.367
14.405
TOTAL ASSETS LESS CURRENT UABILITIES
13.233
853
14.086
18,520
ACCRUALS ANO DEFERREO INCOME
14
1275)
1275)
NET ASSETS
12.958
853
13.811
18.520
FUNOS
Unrestricted funds=
General fund
Restricted funds:
Restricted
15
12.958
16.562
853
1.958
TOTALFUNDS
13.811
18.520
The charitable company is entitled to exemption from audit under Section 477 of the Conipanie5 Act 2006 for
the year ended 30 Oecember 2023.
The members have not required the company to obtain an audit of its financial statements for the year ended
30 December 2023 in accordance with Section 476 of the Companies Act 2006.
The trustees acknowledge their responsibilities for
(a)
ensuring that the charitable company keep5 accounting records that comply with Sections 386 and 387
of the Com
anies Act 2006 and
preparing
inancial statements which 9ive a true and fair view of the state of affairs of the charltable
company as at the end of each financial year and of its surplu5 or deficit for each financial year in
accordance with the requirements of Sections 394 and 395 and which otherwise comply with the
requirements of the Companies Act 2006 relatin9 to financol statements. so far as applicable to the
tharitable company.
(bl
The nores forni pan of these fjnancial statem

ial Posi
in
These financial statement5 have been prepared in accordance with the prouisions applicable to charltable
companies subject to the small companies regime.
The financial statements were approved by the 8oard of Trustees and authorised for issue on ..26th September
2024...and were signed on its behalf by:
O J Famakinwa- Chairman
A Raimi-odimay
Treasurer
The notes fi)rm w of diese f￿ancial ststem

IA- Foundation
30.12.23
30.12.22
Note5
Cash flows from operatlng actiuities
Cash generated from operations
(3.690)
4.058
Net cash (used in)/provided by operating activities
(1.263)
4.058
Cash flows from inu¢sting activitie$
Purchase of tangible fixed assets
(5.0001
Net cash used in investing activities
(5,000}
Change In cash and cash equlvalents In
the reporting period
Cash and cash equivalents al the
beglnnln9 of the reportlng period
Cash and cash equiualents al Ihe end
of the reporting period
(3,690)
942)
14.406
f5,348
9.423
14.406
The notes form part of tiiese fthancial statem

Found tion
hes
f the Year End
hFI
r 2023
RECONCILIATION OF NET I£XPENDITURE>/INCOME TO NET CASH FLOW FROM OPERATING
ACTIVITIES
30.12.23
30.12.22
Net {expendilure)/income for the reportlng perlod (as per the
Statement of FlrMncia( Actiuities)
Adjustments for:
Depreciation charges
{Increase)/decrease in debtors
Increase in creditor5
(4.709)
355
2.689
{2.9571
.287
1.433
2.270
Net cash (used in)/prouided by operations
(3.690)
4.058
ANALYSIS OF CHANGES IN NET FUNDS
At 31112122
Cash flouj
At 30112123
Net cash
Cash at bank
14.406
(4.983)
9.423
14.406
(4.9831
9.423
Tolal
14.406
(4.9831
9.423
Th¢ notes for￿ part of these f￿ancIal statem

io
ial Sta
Ended 30 December 2023
ACCOUNTING POLICIES
Basis of pre
The financia
aring the financlal statements
statements of the charitable company. which is a public benefit entity under FRS102, have
been prepared in accordance with the Charities SORP (FRS102)'Accounting and Reporting by Charities-
Statement of Recommended Practice applicable to charities preparin9 their accounls in accordance
with the Financial fieporting Standard applicable in the UK and Republic of Ireland IFRS 1021 {effectiue
l January 20191, Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the
UK and Re
under Ihe
ublic of Ireland, and the Companies Act 2006. The financial statemenls haue been prepared
istorical cost convention.
Incorne
All income is reco
funds, it is probab
ExpenditUTe
Liabilities are recognised as expenditure as soon as there is a le
committing the charity to that expendtture, it is probable that a trans
al or constructive obligation
er of economic benefits Lvill be
required in settlement and the amount of the obli
accounted for on an accruals basis and has been
ation can be measured reliably. Expenditure is
assified under headings that aggregate all cost
related to the cate9ory. Where costs cannot be directly attributed to particular headings they have been
allocated to aCtI￿lieS on a ba515 con515tent with the use of resources.
nised in the Statement of Financial Actiuities once the charity has entltlement to the
e that the income will be receiued and the amount can be measured reliably.
Grants offered subject to conditions which have not been met at the year end date are noted as a
commltment but not accrued as expendilure.
Tangible fixed assets
Depreciation is provided at the following annual rates irt order to write offeach asset over its estimated
useful life.
1. Computer Systems written off over 4 years with nil Residual value
2. Photographic Equipment written off ouer 5 years Wlth nil Residual Value
Taxatlon
The charity is exempt from corporation tax on 115 charitable activities.
Fund accounting
Unrestricted fund5 can be used in accordance with the charitable objectives al the discretiort of the
trustees.
Restricted funds can only be used for particular restricted purposes within the objects of the charity.
Restrictions arise whert specified by the donor or when funds are raised for particular restricted
purp05e5.
Further explanation of the nature and purpose of each fund is included In the notes to the financial
statements.
Hire purchase and leasin9 commitrnents
Rentals paid under operatin
line basis ouer the period of t
leases are charged to the Statement of Financial Activitles on a stralght
e lease.

IA-F
undation
Note
ial Statements- continued
r 2023
Donallons and Legacies
30.12.23
30.12.22
Donations Ilndividua15 & Corporate
Trustees. Donation
Sponsor A Child
Donations (Off ice Rent)
7.765
3,211
7,410
5.397
8,905
2.841
3,206
7,426
Events Income
Euents UK
Out90ing Resowces
Euents Activilies
Rental, Travels. and Raffle Tickets
Drinks, Food. & Entertainment
Brochure. PhotO9raphy. & Publicity
3.106
11.986
1.260
450
Charilable Activilies
Direct Charitable Costs
Educational Donations
Rent of Office Space
6.290
10.315
9,023
6,528
other Charitable Actluities
Le
al fees
Ot
er Charitable Cost
Consultancy Cost
3,382
7,312
1.468
,702
NET INCOME/(EXPENOITURE)
Net income/(expenditure) is stated after charging/(crediting):
30.12.23
30.12.22
Oepreciation- owned assets
1.396
1,433
TRUSTEES. REMUNERATION AND BENEFITS
There Lvere no trustees, remuneration or other benefits for the year ended 30 Oecember 2023 nor for
the year ended 30 Oecember 2022.
A trustee was paid the sum of £8.531 for the seruices rendered In the furtherance of ihe charitable
objects and not as a trustee
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
Reslricled
fund
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
Charitable activities
Events Incorne
19.803
2,574
22,377
12.609
12.609
Total
32.412
2.574
34.986

LXPENOITURÉ ON
Charitable activities
Events
1.879
1.879
other
32,136
616
32,752
Tolal
34.015
616
34,631
NET INCOMEI(EXPENDITURE)
(1.603)
1.958
355
14 IPa

nc
ed 30 Decem
io.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- continued
Unrestricted
Restricted
fund
fund
Total
funds
RECONCILIATION OF FUNDS
Total funds brought forward
18.165
18.165
TOTAL FUNDS CARRIEO FORWARO
16.562
1,958
18.520
TANGIBLE FIXED ASSETS
Computer
equipment
COST
At 31 December 2022 and 30 December 2023
5.730
DEPRECIATION
At 31 December 2022
Charge for year
1,615
1.396
At 30 December 2023
3.011
NET BOOK VALUE
At 30 December 2023
2.719
At30 December2022
4,115
12.
OEBTOR5: AMOUNTS FALUNG DUE WITHIN ONE YEAR
30.12.23
30.12.22
Prepayments
2.957

IA- Foundation
13.
CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
30.12.23
30.12.22
Trade creditors
1.013
ACCRUALS AND DEFERRED INCOME
30.12.23
30.12.22
Accrua15 and deferred income
27S
15.
MOVEMENTIN FUNDS
Net
mouement
in funds
At
31112122
30112123
Unrestricted funds
General fund
16.562
(3.6041
12.958
Restricted funds
Restricted
1,958
(1.1051
853
TOTAL FUNDS
18.520
14.7091
13.811
Net mouement in funds. included in the above are as follows:
Incoming
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
55.330
(58.934)
(3.604)
Restricted fuA(ts
Restricted
7.484
{8.5891
11,105)
TOTAL FUNOS
62.814
(67,523)
{4.709)

IA-F
es t the Financia
16.
MOVEMENT IN FUNDS- conlimied
Coniparatlves lor movement in funds
Net
mouement
in funds
At
31112121
At
30112122
Unrestricted funds
General fund
18.165
(1.603)
16.562
Restricted funds
Restricted
1.958
1.958
TOTAL FUNDS
18.165
355
18.520
Comparatiue net mouemenl in funds. included in the aboue are as follows:
Incoming
resources
Resources
expended
Movement
in funds
Unrestrlcted funds
General fund
32.412
(34,015)
(1.603)
Restricted funds
Restricted
2.574
{616)
1,958
TOTAL FUNDS
34.986
{34.631)
355
A current year 12 months and prior year12 months combined position is as follows:
Net
movement
in funds
At
31112121
At
30/12123
Vnrestrlcted fun¢ts
General fund
18,165
(5.207)
12,958
Restrlcled funds
Re5tricled
853
853
TOTALFUNDS
18.165
{4.354)
13.811

Financial Statements- continued
for the Year Ended 30 December 2023
17.
MOVEMÉNT IN FUNDS- continued
A current year 12 monlhs and prior year 12 months cornbined net mouement in funds, included in the
above are a5 follows..
Incoming
resources
Resources
expended
Mouement
in funds
Unrestricted funits
General fund
87,742
(92.949)
(5.2071
Restricted fun¢ts
Restrhcted
10.058
19,205)
853
TOTAL FUNDS
97.800
(102.154)
{4,3541
18.
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 30 December 2023.
Ouring the
ear a trustee
rovided the office space asgift to the charity. the cash equiualent tvas £3.135
relatin9 lo t
e London Off
ice.

he Year Ended 30 Decembe
30.12.23
30.12.22
INCOME AND ENDOWMENTS
Donatlons and !e9acies
Oonation5 - Individual
Oonation5 - Corporate
Donations - Website
Roducate Oevices
TruslEes' Donation
other Restricted Income
Office Rent
other Donations
6.727
20
26
7,932
972
3.135
7.410
5.397
1.018
2.842
3,205
7,426
23.783
22.377
Charitable activities
Dinner- Advert Income
Oinner Raffle Ticket Incorne
Oonation towards Dinner
Dinner Tickets Income
Pro Bono Raffle Prizes
Charity Walk
goo
1.005
8,227
1.120
.267
16.586
15.331
7.114
39.031
12.609
Total incoming r¢s￿r¢¢$
62.814
34,986
EXPENDITURE
Charltable ac¢ivltie$
Pro bono Raffle Pri2es
OJ
Dinner Orinks
Dinner Entertainment
Dinner Food
Dinner Health 6 Safety
Hire of Hall
Dinner- Publicity
Photogralhy I Video
Dinner -
tationeryl
680
800
450
1.230
1.900
8,156
700
2.427
1,590
706
1.992
460
raphy
ertificate
169
19.381
1,879
Other
Aduertising/Promotion/Markeling
Carried forward
50
50
735
735
This page does not fonn pan of the statu(ory fwpncial $tat¢m

30.12.23
30.12.22
other
Brought fonuard
General Office Administration
Small Asset
Office Space Rent
Travel and Accommodation
Books
Printing, Postage 6 Stationery
Telephon£ & Mobile Working
735
128
143
7,426
2.422
.257
135
839
561
5,397
1.225
1,070
77
662
9,042
13,085
Support costs
Managemenl
Educational Donations
Other Donation
Volunteers Cost
Subscriptions
Accountin9 Software
Website-Hostin
& Maintenance
Training & Deue
opment
others
10.315
20
247
6,528
39
381
682
205
78
734
616
1.084
1.293
12,959
9,263
Finance
Hospitality
other Charltable Expenses
.Consultancy
other
Volunteers (Nigeria)
Marketin9 (Nigeria)
Advocacy {Ni9erial
Hospitality (Nigenal
Computer equipment
643
8,531
25
7,092
2.221
1.396
1,661
.432
11,025
3,093
Other2
Consultant
Bank Charges (Nigerial
5.520
220
5.159
41
5.740
5.200
This page does not frimh Part of the statutory f￿ancIal statem
20 |Pa

e Year End
r 2023
30.12.23
30.12.22
other 2
Gouernance costs
Legal & Prof Fees
845
1.468
Total resources expended
67.523
34,631
Not {exp¢nditure)/income
{4.7091
355
This page d(Ks not foruL part of the ststutory flnancial stole