MEDAID INTERNATIONAL
Annual Report and Unaudilgd Financial Statements
for tho flnanclal year •ndad 30 Junè 2026
Fllnthxm Mo¢k•nzi• Umltsd
Chartored Accountants
277-279 Ch15wick Hlgh Rood
London
W4 4PU
¢harfty Nurnb•r. 1210108

MEDAID INTERNATIONAL
CONTENTS
Pago
Reference and Administrative InfDrmation
Truslees. Report
Slalement ol Trusta8s' Rosponsibililies
Independent Examinèrfs Report
Statement of Finanraal Activities
Balanc8 Shè&1
Notes to the Financial Statements
9-12

MEDAID INTERNATIONAL
REFERENCE AND ADMINISTRATIVE INFORMATION
Slr Go￿￿ Nlol Rankln Bt.
Mr Nlchol85 Davld Mathèr
MI Mane Chantsl Genlllard Cow
Charfty Nurnbor In England and Wal
1210108
Indepohthrt Examln
Fllntham Mackonzle Umit
Chartered Aecountants
277-279 ChI￿Ck High Road
London
W4 4PU

MEDAID INTERNATIONAL
TRUSTEES. REPORT
for the finanaal yèar Ènded 30 Jutie 2026
The trustee$ prosenl thoir Twstee5' Report and the unaudit8d finan¢i81 statements for Ihe financial year ended 30
Juné 2026.
The financral ststernents are prepared in accordance with Ihe Chatilies Act 2011, FRS 102 Yhe Finan&￿ RÈporting
Slandard applicable in the UK 8nd Republic of Ir&land" anLI Accounting and Reporting by Charilies". StateTnent of
Recommended Pra¢ti¢È applicaNe to charities preparing their financial slalÈtnents in accordance with the Financi
Retx>rting Stsndard applicable in the UK and Republic of Ireland IFRS 1021.
The Trustees. Report contsins the information required to be provided in the Trustees, Annual Report under the
Statement of Recommended Practice ISORPI 9uidelines. The Irus188s of the chartty are also tharity Irusieos for the
putpose of charty law and under th8 charity's constitution arè Known as members ofthe board of tNst88s.
In thi8 report the trustees of MEOAID INTERNATIONAL wesent a sumrnary of its purFrf)5e. governance, 8cli¥Aties,
achievements and finances for Ihe financial year 30 June 2026.
The charity is 8 registered charity and allknugh not obliged to eornpty wlh the Statement of Reccrfnmgnded Pra¢tice
applicable in the UK and Republic of Ireland FRS 102, tha organisalion has implernented its recommend8lion5 %vhere
relevanl in these financial stalem8nts.
Principal ActlVLty
Providing Medical supplies and Ments1 health 5UPPOrt lo thos8 affected by war
MI88lon. Oblècllve$ and StrAtÈyy
Misslon Statsment
Med￿d IntBfnational exi515 to reli¢v¢ $i¢kness and preserve heath among p&oplè affèdèd by armed conflict,
pa￿t￿l￿￿Y in Ukr3ine. The charty prowdes medic81 Care, supplies. and Inental health support through local partr￿rS
and field operatbons. aiming to alleviate suff&nng. support recovery. and slrength8n healthrAre resilienc¢.
Oblertlve5
During the year, medA￿ focus8d on..
Delivering ernergency medical car8 via mobile medic81 lÈaJns in conflict area5.
Supplying hospitals and th@Id facilities with essential tnedione5. wnsumables, and equipm8nL
Provldlng psychologifjal support trauma therapy ttirough partner Organisa￿an$ such a$ Moe Kolo.
Building IoGal capaaty and resilien￿ through Ir8inSng and partnership.
Our strategy aMpha￿se3 CDllaboration ￿ local NGOS. effid8nl loglstics, flexible response to emer9in9 needs. and
continuous monrtorin9 evaluation.
FSn8nclal Revlew
The results for th8 financial year are set out on page 7 and addftk)nal Dole5 arg provlded shmng incom8 and
expenditur8 in greater detail.
Results and Dividends
Al the 8nd of the financial year Ihe charity has assels of £274,25912025 £51,334) and liabililles of £4.800 12025-
£2,400). The nÈl a$5et5 of ¢h9 Gharity have increased by £220.525.
In accordance with the COnsbtut￿n. the trustees retire by rotstK)n and, being 2ligib￿, i)ffer Ihem5elv85 for r8-el8clk)Th.
complian￿ with SeGtor-Wlde Leglslatlon and Standards
The charity eng8ges pro-8CtNely wth legislation, stsndards and cod8s whl¢h are developed for the seclor. MEDAID
INTERNATIONAL sub$thbes to and is COTnpliant with the following..
The Charities SORP IFRS 102}
Approvèd by thè Board of TwsteÈs on_28th Juty 2Q26
and signed on its behalf by:
Sir Gavin Rankin Bt.

MEDAID INTERNATIONAL
STATEMENT OF TRUSTEES. RESPONSIBILITIES
forth8 financlal y8ar ￿ded 30 June 2026
The trust88$ arts Tr$pon$Sble for p￿parfng the financkql statements in 8ccordance wth appll¢able and regU￿tK)n5.
Th8 law applif2ble to chartti8s In England and Walos raquires the trusteas io prepare financial slatwoents foT each
financlal yo8r whlch give a true fair ¥￿￿ of the assets. liabl1￿"6$ and ffinanual p0s￿On of Ihe charity 88 at the
finaneial year end date and of Ihe surplus or defi¢it of the charity and otherwise comply with the Charities Act 2011.
In preparing these finarKlal slaL&ments, the trustees a￿ fvquired to..
se18Ct suitable aCxx)un￿n9 PDIiGie5 and apply them consistently.,
make judgements and accounting 8slmates that are rea50nabl£ and prudent..
slat8 whether Ihe finan¢ial statements have been prepared h a¢¢ordan¢e wlh appllcable aC(￿Unting $tsndar¢s,
identify those standards, and not8 tho affect Ihg rva50ns for 8ny materi81 departure from those standards,. and
pr8pare thè finanL4al Statements on the going cO￿8M ba$1$ unle55 it is inappropriate to presume that Ihe tharty
11 continu8 in oporation.
Tho tru5tee5 confirni that they {￿pI*d ¥￿th Ihe above requirements in p￿parfTr9 the fiTh8nual statements.
As extAoined in nole 4, stale whetherthe applica￿0 ia lh8 UK 8nd Republic of Ireland FRS 102 has been followed.,
The trustses are responsib￿ for keeping ad8quate accounbng records that are suffi¢lent to sh(Iw and ex Jain the
aritys tmnsaclions dlsdose wilh reasonable accuracy at any lirng thg financial position of tre thar[￿ and
enable them to ensure that the financlal sialements comply %Mth the Charities Act 2011. Thoy are also ie5ponsible for
safeguarding the 855ets of th& cwty and hence for taking reasonabb steps for the prevention and detection of tra￿1
and other Irregula￿b&s.
Approv￿ by th* Board of Tru8ts8$ on
1 2026 and slgn¢d on its bohalf by:
Sir G&vin Rankwi BL

MEDAID INTERNATIONAL
INDEPENDENT EXAMINER'S REPORT TO THE BOARD OF TRUSTEES
OF MEDAID INTERNATIONAL
We have examined the financial statemen15 of Ihe charrty for Ihe financial year ended 30 June 2026. which comprise
the Statement of Finanoal AclivitEs, the Balance Sheét and the rolated notes.
This report Is made soldy to the charitls members, as a body. in acthrdance with section 145 of the Charities Ad
2011. Our work has been undertaken so that we might compile the financi818tatemenls that we have been epgaged
lo complle, report trj the 802rd of Trustees that we have done so, and st31e those matters that we have agreed to
stale lo them In this report and for no other purpose. To the fullest ext8nt permitted by law. we do not accept or
assume ￿SponsIbl11ty lo anyone olher than Ihe charity and the charity's mernbers. a5 a body, for our work, or for this
report.
Respective responsibilit185 ol trusteè8 and examiner
The charills trustees are respDnsible for Ihe pr8paralion of th? financi81 statements in *¢ordanG8 wlh the
reouiremenls of the Charitie5 Act 2011. The charity's trustees ronsider Ihal an audit is rK)t r8quir8d for this financial
year under Secuon 145 of the Charities Act 2011 and that an independ8nt examinètK)n is required.
It is our respDnsibility to..
examine the financial statements under section 145 of the Act".
follow the Pro￿dureS laid down by the general Oirections given by Ihe Charity Commission under 5eGbon 145151
of the Charities Act 2011.. and
state whether particular matters have come to ourattention.
Bas18 tsf IndÈpÈhdÈnt examinerf$ report
Our examination wa8 carried out In accordance the 98neral Directions given by the Charity Comrnissv)n. An
examination includes a review of thg accounting records kapt by the Gharity and a cornpari50n of the financial
statenients pre5ent8d wlth thos8 records. 1181so Intludé8 tonslderalion of any unusual items or disclosurè8 the
financial 81atemenl$ and seeking explanations frorn trus18*s concerning any such Tnatters. The procedures
underfaken do not provid& all the evid&nee that would be required in an audit and consequontly no opinion 1$ given as
lo whelher the a￿￿nts present a 'lrue and fair, view and the report is limited to those matters Set out in the
slatornent below.
Independent •xarninges $tatsmont
In connection with our exarninalion, no mattor has ¢ome to our attèntion which glvts US Cause to believe that in, any
material respect..
aGGounting ￿COrdS were not kept in accordance with section 130 of the Charities Act 2011
the financi81 s1818m8nts do nol attord with Ih05e accounting records
thè financial 5ts1ements (lo not comply with the accounting requir&m8nts of the Charities Act
thÈ financial statements have not been preparèd In a¢cordence with the Statwnenl of Recommended Practice
applicable to charities prep8ring Ihelr accounts in accordance with the FinarKial RÈptsrting Standard applicab18 Iri
the UK and Republi¢ of Ire13nd IFRS1021
there 15 furlher informalion needed for a prop8r understanding of th6 ac¢ounts to be reached.
We have rK) concems and have come auoss no other mallers in connetlion with the 8xaminabon to ￿leh attanlion
shDuld be drawn in this report in order to enable a pnper understanding of the financial statements to be rea¢hed.
FLINTHAM MACKENZIE LIMITED
ChartÈred Attountanls
277-279 Chiswick High Road
London
W4 4PU
Dale..
LOLL

IJIEDAID INTERNATIONAL
STATEMENT OF FINANCIAL ACTIVITIES
forthe finaTrGrdl y￿r ended 30 June 2026
Unrestricted R88¢rl¢ted
Funds
Fund5
202S
Ttstsl Unrestricted Rastricted
Fund8
Funds
Funds
2026
2025
2025
Total
Funds
2025
2026
Nots$
Incom8
Charitable actwth8S
Donation$ r¢¢elve
OU)er In¢om*
329,027
2.589
266.800
595,827
2.589
77,186
890
1&3,046
260.232
Total Incomg
331.010
286,800
598A16
78.076
183,046
261,122
Expendmu
Rai$lNJ funds
Charftable activibes
Otherexpendllure
12.089
91,263
8,850
12.089
357.152
1650
3.614
24,
3.614
207,946
628
265,889
183,046
Total Exp•ndStur*
112.002
265,889
377.891
29.142
183,046
212,188
Net kncomellexpendituro)
219,614
22Q.525
48,934
Transfer5 Yunds
Not mov•ment In lund$ lor
tho financlal ygar
219.614
911
220.525
48,934
Reconclllatlon of fund5=
Total fund$ beginning of lh8
yeaf
10
48,934
44934
Total fund5 at the end ot
the year
268.548
269.459
48,934
48,934
The state[￿nt of Flnandal Acti¥Aie$ indudes all gain$ arKI k)ssos reeogn18ed In the flnanoal year.
All Income and expendi￿re re￿e to contin￿n9 Octfv￿e$.
The not•9 ¢n palle$ 9 10 12form WofthefinOnd￿ st818ments

MEDAID INTERNATIONAL
BALANCE SHEET
a8 at 30 Jun& 2026
2026
2025
Notes
Curr•nt A558ts
Cash 8t bank and In hand
274,259
51,334
CredrtOf8: Amounts falllng due wlthin i)ne year
14,8001
12,4001
Not Current A88ets
289.459
48.934
Total Assets less Curyent Liabiliti9$
269,459
48,934
Funds
Restri¢ted tnjstlunds
General fvnd lunreslric18dl
911
268,548
48,934
T¢)tal fvnds
269,459
48,934
The finandal statgments have been prepared in accordan￿ with the provisions upplicable to companies subject to
Ihe small c4Jmp8ni8s' regirne and In ac￿rdance wth FRS 102'Th8 Finandal Reporung Standard applirabk in tIE UK
and R8publlc of Irdand., appI￿r¥a S•ction 1A of Ihal Stsndard.
Approved bythe Board olTru•t¢Ès hnd *uthwlsed for188uo on
b¢h411 by
and sign8d on It8
SIrG￿n BL
Th¢ DOt•s on r•o88 9t0 12form F*rtdth• fir￿r￿al st8temems

MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
for Ihe financial year ended 30 June 2026
GENERAL INFORMATION
MEDAID INTERNATIONAL 18 a chaF6ty Srtorporated in the United Kingdom. The ￿giStered office of tha
charity is 206 Hammersmlth Grove, London, W6 7HG. UK whiGh is also the principal place of buslness of Iho
charity. The financial statements hav8 been presentsd Pound 1£) ￿1)Ich is also the funGtv)n85 currency ol
th8 charity.
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
The follovring sccounting Olclos have been wplied conslst8ntly in deallng wth items which are cOTrSkle￿d
mat•ial in r8lallon to thè (*aiiWs finanoal 8tstemenl5.
Basls of preparatlon
Tho finanaal Statements have b8èn prepared
under the hist0￿cal c05t convention. modified to include
certèin items at fair value. The finanaal statements have been prepared in accordan¢e with th£ Statement of
Recommended Practice ISORPI 'A¢wunting and Repor￿ng by ChatitEs weparlng Iheir accounts in
8¢cordance with the Finar￿[al Reporlng Stsndard appllcable in the UK and Republic of Ireland FRS 102.,
app￿"ng Se¢b•i IA ofthat Standa￿.
As pemiitted by the Ccmpanles Act 2006, th8 chartty has varled tho stsndard f0m￿ts In that aGt for Ihe
Statement of Fina￿￿81 Activ￿eS ané the Balan￿ ShÈet. Oepartures from thÈ $tsndard forrnats are to comply
with Ihe requlrements of the Charitles SORP and ar8 compfiance wlh sedion 4.7, 10.6 and 15.2 of that
SORP.
Statgment of Gompllanco
The financial statements of the charity for thè finan(xal year ended 30 June 2026 have been preparod on Ihe
going concern ba515 and in accord8ncs wth the Statement of RecDtnmended Practice ISORPI "Acwunting
and Reporting by Charl1￿ preparing thdr accounts In actordance wilh thè Fin8ntsal Reporting Sl8nd8rd
aP￿1¢ab￿ in the UK a￿1 RewlAlc of Ireland FRS 10r. applying Serthon 1A of that Slandard.
Fund accountlng
The following are the G￿tegOrieS of fvnds maintsined..
Restrict8d funds
Reslrfcted funds represent income receNed which &2n only be used for particular txJrrM)ses. as SFecified by
the ¢Jonor5. Such purposes are wllhin the overall objectives of the chartty.
Unr¢$trl¢ted funds
Unrestricted funds consist of G&￿Tal and Designated funds.
- General funds repr8$ent amounts which ar& expentbble at the distteUon of board. in furlheonce of th8
objectives of the tharity.
Designated funds comprise unr051ricled lunds that th¢ board has, at its discretion. Sel aside for partiGular
purposes. These de$ignalH)n$ have 8n administrative purpose only. and do not legally restrict the boards
discreb.on to 8pply the fund.
Donotlons and legacl88
Donations are recoanis￿ when the charity has beEn notified In Wri￿n9 of toth the amount and 5eWernent
date. In the èvent that 3 donation Is sybja¢t to condib"on$ that require 8 18vel of t￿MIan￿ by the charity
before the ¢haiity is entilled to the fvnds, the income is deferr￿ and not ￿GOgnISed until either those
Conditions are fully me¢ or the fulfilment of those condilions is wholty ￿thin the control of the ¢harty and il 18
prtsbable that these cOnd￿onS wll be I￿￿11￿d in the reporung p&rKXI.
Expenditure
Expenditure is analysed belv￿ ojsts of charilablg ac￿¥￿tIeS aTh1 oising funds. The costs of each activty arè
separatdy 8ceumulaled and dlsclosed, and 8nalysed according to their major ¢ornwnents. ExpenditUTe is
reco9nls8d when a legal or ¢onstructNe obligation exists as 8 result Df a past event, a transfer of econi)mlc
be￿fftS Is required in sètuernent and tr* amount of the obligation can b8 rellably mgasvred. Support Gost5
a￿ those fundon$ that assist the WDrk of the charity but rannol be attrfbuted to one 8Ctivity. Such C0$15 are
8llocat&d to actiVit￿S in proporf¢)n 10 staff ttme Spont or other suitable measure for 88th acuvity.
Cash at bank and In hand
Cash al bank and in hand ￿Mpr￿e$ c8sh on deposit at bgnks requirirw le55 than thrae tYK)nlhs notice of
wlthdrawal.

o)nbnue
MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
lor Iho finan￿al year ended 30 Junt 2026
Taxatlon and deferr6d taxatlon
No current or deferred taxation aiise5 as the charity has been granted charNable 8X8mption. Irr8coverabl
valued added tax is expen88d as incurred.
PERIOD OF FINANCLAL STATEMENTS
The cornparalive figtjres rdat8 to the month period 8nd8d 30 June 2025.
GOING CONCERN
The finanual ststgmenls have been prepar¢d M a going Goncetn basis. As at th8 dale of thls rerN>rt the
trustees consider the eharty to be resilient considering its healthy finanual posftion continuing donations
being réceived. Ihe support of the trustees and robust Gharitable Gontinuity plans. Notwthstsnding this the
trustees reco9nise an Increased level of unceilainly over the short term opportunIt￿& and arg conliDuou51y
evaluating the risks of e¢onomic factors as they unfold. The trustees belie￿ thal therè are no material
uncertalntles effe¢ting Ihe charrtvs ability to tontinue as a going concern nor any signthcant ar6as of concem
that affect the carrying value cf the a55els held by the charity.
INCOME
CHARITABLE ACTMTIES
&1
Unresthrted Restricted
Funds
Fund$
2026
202S
Grnnts from governmènts and other eo.lunder5:
Income from charilable activities
329.027
266.800
595,827
260,232
52
OTHER INCOME
UnrestrK¢ted Restricted
Funds
Funds
2025
Olher Income
2￿89
2.589
890
EXPENDITURE
RAISING FUNDS
Dlrect
Costs
Other
Costs
Supp¢xt
Costs
2026
2025
Raistng funds
12,089
12,089
3.814
CHARITABLE ACTIVITIES
Direct
Costs
Other
CD5t5
Support
Costs
2026
2025
Expenditurè on charitable actiwt8S
Govemance Costs (Note 6.41
354.752
354,752
2,400
205,546
2,400
354.752
2.400
357,152
207,946
OTHER EXPENDrruRE
Olrect
Costs
Support
Costs
2025
G¢$ts
Other expenditure
8,650
8,650
628
GOVERNANCE COSTS
Direct
Costs
Other
Cost5
Support
Costs
2026
2025
Chatitable acliwties- governance
C05tS
2,400
2AOQ
2.400
10

continued
MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
for the financial y8ar ended 30 June 2026
SUPPORT COSTS
Other G¢)vernonce
Expendlture
Costs
2026
2025
Support
8,6SO
2,400
11,050
2,400
INVESThIENT AND OTHER INCQME
2026
2025
Bank iTrt•rest
2.$89
CRED￿oR5
Amounts falllng du8 wllhln ¢4ne year
2026
2025
Acc￿815 and deferred Incnme
4,800
2,400
RESERVES
2026
2025
At Iho be9inning of the year
Surplus forthé fjnancld yèar
48.934
220,525
48,934
At the end of the year
269,459
48.934
10.
FUNDS
10.1 RECONCIUATION OF MOVEMEKf IN FUNDS
Unr¢strf¢wd Restrficted
Fund8
Fund$
Total
Fund
At 1 J￿Y 2025
Movoment durfng the fin￿n￿81 ye
48.934
48.934
At 30 ￿ne 2025
Movament during th6 finandal ye
48,934
219,613
48.934
220,524
911
At 30 June 2026
268,547
911
269,458
Current a
ount of F
the Balance Sha
￿￿th thè not4
10.2 ANALYSIS OF MOVEMENTS ON FUNDS
8alanc•
l July
2025
In¢onw Expendlture
Balance
30 June
2026
Restricted funds
Restricted
Vnr88trlctod fund$
UThrestri¢ted General
911
911
48.934
230,663
11.050
268,547
Total fund$
48,934
231,574
11.050
269,458
11

(¥Jnlnued
MEDAID INTERNATIONAL
NOTES TO THE FINANCIAL STATEMENTS
for th• finandal ygar end￿ 30 June 2026
10.3 ANALYSIS OF NET ASSEfs BY FUND
Current
assets
Current
118bllities
Total
Unr86trTct&l general funds
274.258
(48001
269.458
274,258
269,458
11.
RELATED PARTYTRANSACTIONS
Durfng the Feriod ended 30th June 2026, the tharity rnade the fO￿ling related party transactions:
la} Tho tru8tèe Mr Nitholas Dawd M8th•r donatwj £11,tKIO duriThJ the year
12