REGISTERED CHARITY: 1199389
COMPANY NUMBER: CE029501
Orphan Children Charity
REPORT OF THE TRUSTEES AND UNAUDITED FINANCIAL STATEMENT5
FOR THE PERIOD
I" JUNE 2024 TO 31" MAY 2025

REFERENCE AND ADMINISTRATIVE DETAILS
The trustees, present thelr feport wlth the financial statements of the charlty for the period 151 June 2024 to
3151 May 2025.
INCORPORATION
The CIO Foundation was incorporated Dn 20 June 2022.
R¢gl$tered Chlrlty Numbtr
1199389
•415tered Office
61 Beechwood Road,
Luton
LU4 8RR
Trusteei
Mr 5irfraz Ali Choudhry
Mr Moharnmed Nasar
Mr Freed Chaudhari
Chair
appointed 01.04.22
ppointed 01.04.22
. zppoinied 01,04.22
Trustee
Trustee

STRucfuRE, GOVERNANCE AND MANAGEMENT
Board of Trustees
The Board of Trustees sets our future aims and priorities fDcusin8 on 5tfate8ic planning and governance and
also evaluates our performante ancl pro8ress in our work to alleviate poverty and sufferlng.
The Board of Trustees appralse5 the SEnior Management Team and can make appointments to It as well as
dlsmi55a15. The Board of Trustee5 a150 make 5uro that we sat15fy the re8ulatory requirements Oll U5 a5 a charity
and works with key stakeholders.
Re¢rultlnK and Appolntlng Twstees
All our trustees are volunieer, chosen bÉcause ihey 311 havÈ thÈ diverse range ol skills, knowledge and
experlence that we need to respone to the ¢hallen8es ol today. Stakeholders and partners may nominate
trustees and sometlmes we wlll rnake a personal approach to iotential candidatcs.
GovernlnK documwt
Orphan Children Charlty refer5 to the charlty Incorporated orgonlsatlon wlth a 8overning document known a5
CIO con5tltution by foundatlon orlglnally incorporated on 20 June 2022.
Re$ponslbllltl•s of Tnjsteei
The annual report and financlal st3¢ements are prepared accordln8 to the relevant law and approved by the
trustees.
The trustees keep adequate accountlng records and they Show and explain our transactions. The records also
dlsclose our flnanclal po5￿tIOn with rea50n3ble accuracy at any tlme ancl enable trusiees to ensure that the
financial statements cgmply wlth Charlty Commisslon Statement ol Recornmended Practice ISORPI 2015,
Gr•nt Maklni Pollcles
We provide grants lo project5 il the request meets our charltable objectives and triteria, Project 8rant makin8
Is mana8ed accordin¥ to a de518naled process, which ¢s documented in our Qperational Risk-Mana8ement
Framework. We alm to treat all grant appllcatlons professlgnally, equally and lalrly. We make the flnal declslon
a5 to ellgibillty to receive a 8ranL at our dlscretlon.
Publ1¢ 8enellt
We develop strète8ic plan5 to make certaln that we provlde maximum publlc benefit and achleve our Strategic
objEctive5, which fall under purposes defined by the Charity Act 2(X)6.

Oblectlves and Strateglc artlvltles
The objert5 of the charity are Set below".
FOR THE PU8LIC BENEFIT TO RELIEVE THE NEEDS OF ORPHANED CHILDREN AND YOUNG PEOPLE IN
THE UK AND PAKISTAN BY PROVIDING GRANTS OF FINANCIAL ASSISTANCE, SHELTER. FOOD,
CLOTHING. BEDDING. ESSENTIAL ITEMS. EDUCATION AND MEDICINES TO INDIVIDUALS IN NEED
ANDIOR CHARITIES OR OTHER NOT FOR PROFIT OAGAN15ATIONS ESTABLISHED TO SUPPORT THEM.
Achlevements & Performances
Durin8 the year, Orphan Children Charity provided food 35S15tance to vulnerable group by organizing
re£ular meal distributions and supplying essential food item5, thereby helping to meet their basic
nutrltlonal need5 and Improve their overall well-belng.
FSnan¢lal Revlew
The charlty received sum of £12,342 in donation5 from various sources.
The charlty doe5 not have aThy reserye policy.
No funds are in deficit at tfve balance sheet.
The funds are in surplus by £12,573 al the balance sheet.
Declarallon
The trustees declare that they have approved the trustees report above.
Signed on behalf of the charity's trustees,
Slinature
.£I(WAL Au-
Posbtlon.. Chalrperson
Date:
2Dty

CHARITY COMMISSION
FOR ENGLAND AND WALES
Orphan Chlldren Charfty
1199389
CC16a
Recelpts and payrnents accounts
For the
period
from
To
l-Jun-24
31-May-25
Section A Recoipts and pa
ments
Unrestricttd
lund8
To thtr
noarost
Restricted
fund&
Yothe
n•aroSt
Endowmefil
Total lunds
Last year
To the
To th•
*bllOr•At
To th•
n•aro•t
A1 Recolpts
Donalioii
Gfft Aid
2.614
SL4btot•l jGro•i Incom• for
AR
12,342
12.342
7,805
A2 A¥¥8t and Inv•8lm•nl
Sub tot•1
Tot#1 r•¢•lpts
12,J42
12,342
7,605
A3Pa
m•nl•
Ch8rilaNe Aclivitl&$
Adrnin181ralivg gx
on88
Gov8rnance c051
8.680
700
7QO
Sub ltstal
10,405
A4 Assel and Investmant
urcha8e8
let table
Sub lotal
Totsl
mènts
Not of wgl t#1
ayment$
1.725
B,680
10.405
AS Tran8for8 b¢hToen fvnds
1D.638
5.416
A8 CJ•h fund• last g•r Qnd
Cash fvnd$ th18
ear gn

Section B Statement of assets and liabilities at the end of the period
Restricted
Endowment
funds
funds
12,573
81 Cash funds
Cash hand & a¢ Bank
Total Cash fvnds
(agree balances Wlth receipts and
payments accountlsll
12,573
&4re.einent
Errtsr
CIK
rJK
Detall$
Unrestrl¢t•d R?sirl¢t•d
Endowment
tund5
funds
tunds
To nèarest £ To nearest £ To ncaresi E
BZ Other moneilry
asset5
Fund5 to
whlch
assets
belon
fyetalls
C05t
IOpilon•ll
Current valu•
IOptboMII
B3 Investment asset5
Fu*ds to
whlch
assets
btlon
Oetalls
Co$t
Ioptlonall
Current value
Ioptlonall
84 Assets retalned for
the ¢h•rlty'S OWII Lise
Funds to
whlch
Deta115
Amount dye
(Optlonall
When due
(Optlonall
belong
Si8ned by one or two
trustees on behalf of
all the tWU5tee5
Signature
Print Name
Date of approval
i•