MEDAID INTERNATIONAL
Annual Report and Unaudited Financial Statsments
for the financial period from 19 September 2024 {date of incorporation) to 30 June
2025
Fllntham Mackenzle Llmit•d
Chartered Accountsnts
2TT.279 Ghlswick High Road
London
W4 4PU
Charlty Numbtt: 1210108

MEDAID INTERNATIONAL
CONTENTS
Pag8
Reference and Administrative Infomialion
Trustees, Report
Statement of Trustees, Re5ponsiknI￿eS
Independent Examlneffs Report
Stslement of Financial A￿l¥￿eS
Balance Sheet
Notes lo the Flnancial Statements
9-11

MEDAID INTERNATIONAL
REFERENCE AND ADMINISTRATIVE INFORMATION
Trustees
Sir Gavin Niall Rankin
Mr Nicholas David Mather
Mr Chartes Desrnond Harman
Ms Ariane Chantal GenIlla￿ Cowky
Charlty Numbor Sn england and Wales
1210108
Independent Examlner
Flintham Macken￿e ￿n￿ted
Chartered Accountants
277-279 Chiswith Hyh Road
London
W4 4PU

MEDAID INTERNATIONAL
TRUSTEES. REPORT
for the financial peiiod from 19 September 2024 Idate of incorporation) to 30 June 2025
The trustees pre5ellt their Tyustees, Report and the unaudrtgj financial statements for Ihe IinaNGial pEiv)d Itorn 19
September 2024 Idate of inttJrpor8tionl to 30 June 2025.
The financial Statements are piepaied in aceordanee with the Charities Act 2011, FRS 102 The Financial Repcrbng
Stsndard applicable in the UK and Republic of ITeland' and Accounting and Reporting by Charitses.. Ststement of
Recommended Practice applicab￿ to charities preparing their financial statefflents in accordance with the Financial
Reporting Standard applicab￿ in the UK and Republic of Ireland IFRS 1021.
The Trustees, Report contsins the intormation required to be provided in the TNstee8' Annual Report under the
statement of RecoMme￿jed PractKe ISORPI guidelines. The trustees of the charity are also charity trusiees for the
purpose of charity and under the charity's constitub.on are knDwn as members olthe board of trustees.
In this teport the trustees ol MEDAID INTERNATIONAL present a summary of tts purpose, gO¥ernan￿, activthès,
8ehievement5 and finanr£s forlhe financial peri￿1 30 June 2025.
The charity is a ￿gIStered charlty and allhDugh not obliged to (xmply ￿1th the Ststement of Rewrnrnended Pracli
applicable in the UK and Repthlio of IreLqnd FRS 102, the Organ￿ation h88 implemented its recommenda*'orts where
relevant In the58 financial staiernents.
Principal Activity
ProvidiThg Medical supplies and Mental health supportto those affeded by war
Mission, Objectives and Strategy
Mission Statement
MedAid Intetnational exists to ￿lieVe sickness and preseNe health among people affected by armed wnflict.
Partscularty in Ukraine. TFE charrty provides medical rare. supplies, and rnental health support through local partners
and fie￿ operations, aimin9 to 811eviate $ulfering, supplyt recovery, and strengthen healthcare resilien￿.
Objectives
During the year, MedAid focxjsed on..
Delivering emergency trEdical care via moblle medical teants in conflit areas.
Supplying hospitals and r￿Id facilit*s with e55ential medicine5. consUmab￿s, and equipment
Providing psychol(oi¢al support and trauma therapy through partner organisabons such as Moe Kolo.
Building local capacty and resilience through training and partnership.
Our Strategy emphasises collaboration lo¢a1 NGOS, effi¢ienl logistics, flexible response to emerging needs. and
continuous monitoring and evaluation. In 2024, MedAid's teams delivered over 44,0(￿ medical consultations and
thousands of therapy ses&ons for tonfiict-affected Ukraini8Th8
FIDan¢ial Revlew
The ￿sUlts for the financial pericd are Set out on page 7 and additional notes are prowded showing incorne and
expenditure in greater detail.
Results and DlvldÈnds
At the end of the final￿la1 period the chanty has a558ts of £51,334 and liabilities of £2,400. The net &%set5 of the
th3rrty are £48.934
In arxordance wth the Constrtubon, the trustees retire by rotstlDn and, being eligible, offer themselves for re-ekction.
Compliance wlth Se¢tor.Wlde Leglslatlon and Stsfidards
The chairty engages pro-a¢tively with legislation, standards and codes which are developed for the 5edor. MEDAID
INTERNATIONAL subscribes to and 15 c￿￿PIlantwIth the folbwng..
The Charities SORP IFRS 1021
Approved by the Board of Trustees on 17 O¢tob•r 2026 and slgned on its behalf by:

MEDAID INTERNATIONAL
STATEMENT OF TRUSTEES, RESPONSIBILITIES
lor the finar￿la1 period from 19 September 2024 Idato ol incorporation) to 30 June 2025
The trustees are responsible for preparing the financial ststements in accordan￿ wlh applicable law and regulations.
The law applicable to Charit￿ in EngLind and Wa￿5 require5 the ttU5tees to prepare financial statements for each
financial peri￿ 4thi¢h give a true and fair view ol the a55ets, liabilitie5 and financial position of the charity as at the
financial per￿d end date and of the surplus Dr deficit ol the chaity and othervase comply with the Charities Act 2011.
In preparing these finanoal ststements, the trustees are required to..
select suitable accounting policie5 and apply them consistentty.,
make judgements a￿￿ acGounting estimate5 that are reasonable and prudent..
state whether the financial statement5 have been prepared in accordance with applicAble accounting standards,
identify those standards, and note the effed and the reason5 for any materia5 departure from IhDSe standards,. and
p￿pare the financial Statements on the going con￿rn basis unless it ts inappropriate to presume that the charity
11 continue In operation.
The trustees t￿rIrM that they have cornplied with the 8tr>ve requirements in preparing the finan￿￿ stat￿nents.
As explarned in note 4, State whether the applicabk in the LIK and Republic of Ireland FRS 102 has been follow*d',
The trustee6 are resFonsible for keeping adequate accountirvJ records that are sufficient to show and explain the
ch8rity's transactions and disclose wrth ￿asonab￿ atturacy al any time the financial POSitiDn of the charity and
enable them to ensure that the finan¢ial statetnents comply wth the Charrties Act 2011. They are also responsible for
safeguarding the assets of the ehanty and hence for taking reasonable steps for the prevention and detecborb of fraud
arKJ other irregularities.
Approved by the Board of Trustees on 17 October 2025 and 8lgned on Its behall by:

MEDAID INTERNATIONAL
INDEPENDENT EXAMINER'S REPORTTO THE BOARD OF TRUSTEES
OF MED4ID INTERNATIONAL
We have examin￿ the financial ststements ol charity tr the financial period from 19 September 2024 Idate ol
incorporation) to 30 June 2025, bthich wmprise the Statement of Financial ActniitEs, the Balan￿ Sheet and the
related notes.
This report Is made silely to the charity's members, as a b(x1y, in a¢0)rdan￿ wth section 145 of the Charlties Act
2011. Our work has been undertaken so that we might CA)mpile the financial $tstements that we have been engaged
to compile. report to the Board of Trustees that we have done so, and stste those matters that we have agreed to
State to thern In this report and for no other purpose. To the fullest extent pe￿Itted by law. we do not ae(*pt or
assurne ￿sponSIbl1￿Y to anyone Dther than the charity and the charitys mernbers, as a body, for our work. or for this
report.
Respèctlvo resp0nslbl1￿es of trustees and examiner
The tharity'5 trustees are responsible for the preparation of the financial statements in accordan￿ with the
fequireffl8nt5 of the ch8rits.es Act 2011 The charity's trustees consider that an audit ￿ not required lor this finanaal
period under Section 145 of the Chartyes Act 2011 and that an independent eXaminat￿n is required.
It is our responsibility to..
examir* the financi81 statements under 5eGtion 145 of the Act."
follow the pro￿dUreS laid down by the general Directions given by the Charity CotnmissK)n under sec*ion 145151
of the Charthes Act 2011", and
stste bvhether partlculai mattors have Gorlle to our attention.
Basis of independent examlner's ￿pOrt
Our examination was Carri￿ out in accordan(E ￿￿th the gener81 Directions given by the Charty CommSs$ion. An
exarninalion Indudes a review of the accounting records kept by the charty and a comparison ol the financial
statewenls presented with those records. It also indudes consideratvn of any unusual items or disdosures in the
financial statements and seeking explanati(￿3 from the trustees cOn￿rning any such matter5. The procedures
undertakÈn do not provide all the eVKIen￿ that would be required in an audit and Gonsequenlly no opinion is gwen as
to whether the accounts po5ent a true snd fairf view and the report is limited to those matters set out in the
statement below,
Independent examlnerfs stalÈment
In connedion with our exarnination, no matter has crKne to our attention which gives us causè to ￿lieve that in. any
material respect..
accounting records ￿r& not kept in 8ccord8nce with section 130 01 the Charrt￿$ Aei 2011
the financial statements do not a￿Ord with those accounting records
the financial Ststements do not comply with the accounting requirefflents of the Charities Act
the fnancwl statements have not been piepared in aeeordance wth the Slatement of Recommended Pradice
applicable to ¢harrties preparing their ae¢ount5 in accordance with the Financial Reporting Standard applicable in
the UK and Republic of Ireland IFRS1021
there is further inlormJtion needed fora pyopei understsnding of the a¢￿Unts to be reached.
We have no concems and have come acros5 no other matters in connection the exarnination to which atteThtson
should be drawn In this ￿port in orderto enable a proper understsnding of the financial statetnents to be reached.
FLIN
HAM MACKENZIE UMITED
Chartered Accountants
277-279 Chiswid( H¥h Road
London
W44PU
Date- 17 October 2026

MEDAID INTERNATIONAL
STATEMENT OF FINANCIAL ACTIVITIES
lof the financial period from 19 September 2024 (date of incOrp￿ation) to 30 June 2025
Unrestricted Restrlcted
Funds
Funds
Jun 26
Jun 25
Total
Funds
25
Notes
Ineome
Charitable activit￿¥
tksnations received
Other income
77.186
890
183,1)46
260,232
890
Total incomg
78,076
183,046
261,122
Expendlture
Raising funds
Charitable adi¥"rties
Othei expenditu
3.614
24.900
628
3.614
207.946
628
183,046
Total Expenditur•
29,142
183,046
212,188
Net Incomellexpenditurel
48.934
48,934
Transfers bet%sEen funds
Net movement In funds for the financlal perlod
48,934
48,934
Totsl funds atthe end of the year
48,934
48,934
The Ststement of Financial Adivthes includes all gains and k)sses recognised in the financial peric¥J.
All income and expenditure relate to continuing activit￿.
The notes on p8ges 9t0 11 ftrm part ofthe fin4nGial statements

MEDAID INTERNATIONAL
BALANCE SHEET
as al 30 June 2025
Jun 25
Notes
Current Assets
Cash at bank and in hand
51,334
¢￿d￿or$.. Amounts falling due within one year
12,4001
Net Current AssetsllLlabllStlesl
48,934
Total Assets less Current Llabllltles
48,934
Funds
Ganeral lund (Unrèstr￿tdI
48,934
Total funds
48,934
These a￿Unts have been prepared in awordance with Ihe special provisions of Part 15 of the Companies Act 2(K
Te18ting to srnall Compan￿8.
For the year ended 28 February 2025, the company was entitkd to exempts.on under seclKJn 477 of the Companie5
Act 2006 appliCa￿e to sm811 ￿MpanieS.
The members haYÈ not required the company to Dblain an audit in acctrdance wth seCt￿n 476 of the Cornpanies Aet
2006.
The directors ac*nowledge their re5pon51bilitie5 for comptying with the requirements of Ihe Companies Act 2006 wilh
respect to accounts.ng records and the p￿ParatIon of accounts.
The finan￿al ststements have been prepared in arLordance with the Staternent of Recommended Practi￿ ISORPI
"Accounting and Repofiing by Charitvès prepanng their accounts in acujrdance ￿th Ihe Finan¢i81 Reporting Standard
applic3ble in the UK and Republicof Ireland FRS 102" applying Section 1A olthat Standard.
Approved by the Board of Trustses and authori3ed for issue on 17 October 2025 and slgned on Its behalf by
The notes on pages g to 11 form part oflhè finan￿￿ s13lements

MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
for the financial period from 19 Seplembei 2024 Idate ol in£oiporationl to 30 June 2025
GENERAL INFORMATION
EDAID INTERNATIONAL 15 a charity incorporated in (he United KingdDm. The ￿gIstered offic* of the
charity is 2(K Hammersmith Grove. London, W6 7HG, UK which is also the prinapal Pla￿ of bu51ness of the
charity The f1nancial statements have been presented in Pound l£} which is also the funetional curTency of
the chaiity.
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
The followng a￿￿UntIng policies have been appl￿d consistently in dealing with items which a￿ considered
aterial in relation to the charity's fina￿la1 statements.
Basi5 of preparation
The financial statements have been prepared under the historical cost convention, modified to indude
certain items at fsir value_ The finan￿al stalernents h8ve been prepared in accordantt with the Statement of
Recommended Practi￿ ISORPI Accounting and Reporting by CharitEs preparing their occounts in
accordance with the Financial Reporting Standard applicab￿ in the UK and Republic of Ireland FRS 102"
applying Section 1A of that Standard.
As perniitted by the Companies Act 20(￿, the charity has varied the standard formals in that act lor the
Statement of Financial Acivities and the Balance Sheet. Departures from the stsndaid forrnèts are to cotnpty
with the requirements ol the char￿eS SQRP and are in compliance with sethon 4.7, 10.6 and 15.2 of that
SORP.
Statement of compliance
The financial statements ol the charrty for the financial Feriod ended 30 June 2025 have been prepared on the
going con￿rn basis and In accordance ￿ryth the Statement of Recommended Practice ISORPI A¢(a)unting
and Reporting by Charities preparing their account5 in accordan￿ with the Finanaal Reporting Standard
applicable in the UKand Republic of Iieland FRS 102 applying Section 1A of that Standard.
Fund a¢¢ountlng
The followAng are the categor*È of rnaintair￿d.
Restrieted funds
Restricted funds ￿present income retsived which can only be used for particular purp08es, as specified by
the donors Such purposes are wtt)In the overall objective5 of the charity.
Unrestrl¢ted funds
Unrestrl¢ted funds eonsist of Gèneral and Designated lund5.
General funds represent amounts which are expendable at the discretion of the board, in furtherance of the
objectNe$ of the tharity.
Designated funds comprise unrestricted funds that the board has, at it5 discrets"on. set aside for particular
purposes. T￿se designations have an adrnini5tralive purpose only. and do not legally restrict the board's
d¢scretion to apply the fund.
Donallons and legacoes
Donation5 are recognised when the charity has been notrfied in writin9 01 both the amount and sellement
date. In the event that a donation is subject to conditions that ￿qui￿ a ￿Ve1 of performanee by the charity
fore the charity is entitbd to the funds. the income is deferred and not recognised until either those
condilions are fully rnet. or the fulfilment of those condltions is wholly within the control of the ¢haThty and it Is
probable that Ihese condition5 wll bg fulfilled in the reporting period.
Expendlture
Expenditiire Is ana￿Sed between ¢o$ts of charitable actNitie5 and r8i8ing funds. The costs of each activity are
separatety aoxmulated and disclosed, and analy5ed according to their major components. Expendituie is
re￿gniSed when a legal or ¢onstrucb"ve obligation exist5 as a result of a past event, a transfer ol economic
benefits is required in settletr*nl and the amount of the oblig3tion can be reliably measured. Support costs
are those functions that assist the work of the charity but cannot be attributed to one activity. Such costs are
allocated to actiMtEs in proportion to staff time spent or other 5Ultable measure for each actwrty.
Cash at bank and in hand
Cash at bank and in hand compri$e$ cash on deposrt at banks requirirvJ les¥ than three rnonths no*"¢e of
thdrawal.

o)ntinued
MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
for the financial period from 19 September 2024 Idate of incorp(Kationl to 30 June 2025
Taxatlon and deferred tsxation
No current or deferred laxalion arises as the charity has teen granted charitable exemption. br￿coverab
valued added tsx is expensed 8s incurred.
PERIOD OF FINANCIAL STATEMENTS
The financial statements are for the 10 month peri(NJ from 19 September 2024 Idate of inwrporat￿nI to 30
June 2025.
GOING CONCERN
The financial 5taternenls have been prepared on a going concern basis. As al the date of this report, the
trustees consider the charity to be resilient Cons￿ering its he8￿hY finan¢ial posrtion with continuing donations
being recewed. the support of the trustees and robust ¢harrtable wntinuity plans. Notwithstanding this the
trustees are continuously ev8luatrng the risks of economic factors as they unfold. The trustees bdieve that
there are no rnateri81 uncertaint￿S effecting the charity's atiility to continue as a going conom nor any
svJnrficant areas of con￿rn that affect the carrying value ol the assets held by the tharity.
INCOME
CHARITABLE ACTIVITIES
Unre¥trlcted Re$trkted
Funds
Funds
Jun 25
Grants from governments and other co-funders..
Income from charitable activrties
77,186
183.046
260,232
OTHER INCOME
Unrestrlcted Restrlcted
Funds
Funds
Jun 26
other income
890
INVESTMENT AND OTHER INCOME
Jun 25
Bank interest
890
REDITORS
Amounts falllng due within one year
Jun 25
AccruaL8 and deferred incomè
2.4(M)
RESERVES
Jun 25
for the financial period
48.934
At the end ol the year
48,934
10

continued
MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
for the financial peri(KJ liom 19 September 2024 (date of incorpoiabonl to 30 June 2025
FUNDS
RECONCILIATION OF MOVEMENT IN FUNDS
Unrestrlcted
Funds
Total
Funds
At 19 September 2024
At 18 September 2024
Movement during the financial year
48,934
48,934
At 30 June 2025
48.934
48,934
ANALYSIS OF MOVEMENTS ON FUNDS
Ineoffle Expenditure
Transfers
bets¥een
funds
Balancè
30June
Jun 26
Unrestricted funds
Unr8stricted Genetsl
SS.576
6.642
48.934
Totsl funds
SS,S76
6,642
48.934
ANALYSIS OF NET ASSETS BY FUND
Current
assets
Current
Ilabllllles
Totsl
Unrestricted genèral funds
51.334
{2,4001
48,934
61,334
{2,4￿}
48.934
10.
RELATED PARTY T￿ANsACTIONS
During the peTiDd ended 30th June 2025, the (*arrty made Ihe following related party trnnsactions..
lal The tnjstee Sir Gawn Niall Rankin donated £2.630 during the year
Ibl The Iwstee Mr Nicholas David Mather donated £1.000 during the year
Ic} The trustee Ms Anane Cowley donated £300 during the year
11