Unaudited reports and
Financial Statements
For the year ended 31 December 2024
ECHO International Health
Services Limited
Registered in England and Wales
Charity No: 264681
Company No.. 1059894
Conlents
Page
Legal and administrative details
Report of the Trnstees
Independent examiners, report
Statement of Financial Activities
Balance Sheet
Notes to the financial statements
9-11

AccouNfs 2024
ECHO tNTERNATIONAL HEALTH SERVICES LTD
REG CHARITY NO 264681
REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2024
LEGAL AND ADMINISTRATIVE DETAILS
Legal Registration
Registered in England and Wales
Company limited by guarantee- Number 1059894
Registered Charity- Number 264681
Trustees (Directors)
Alan Butler {Treasurer}
lan Campbell
Andy Jong
Joan Maycs (Resign¢d 3 July 2024)
Stanford MuzBvazi (Appointed 3 July 2024)
Nick Wooding (Chair}
Compally Seeretary
Stephen Travis
Registered Office
6 Grosvenor Road
Banbury,
OX16 iFtN
Independent F.%amineT
Mrs M R Hickson FCA CTA
JCS Accountants Limited
5 Robin Hood Lane
Sutton
SMI 2SW
Bankers
HSBC pl¢
42 Chipstead Valley Road
Coulsdo
CR5 2RA
Investment Company
Investec Wealth & Management
2 Gresham Street
London
EC2V 7QN
PAGE I

AC.C.OUNTS 2024
ECHO INTERNA TIONAI. HEALTH SERVICES LTD
REG CHARITY NO 264681
REPORT OF THE TRUSTEES
FOR THE YEAR F.NDED 31 DECEMBER 2024
The tru%tees pr¢sent tlieir report and financial sratements for the year ¢Jided 31 December 2024.
STRUCTURE, GOVERNANCE AND MANAGEMENT
1.1 Constitutl()n of the Charity and Status: ECHO International Health Services Ltd is an incorporated charity
limiled by guarantte. having no share capiial and is governed by lis Memorandum and Anicles of Association. Tlie
compan! numbcr is 1059894 and the charit! is regisiered with the Charitv commi.￿510n number 264681.
Trustees {Director5): The irustees Iii,ho are also Directoi's for Ihe purpose of Company Law), who held office
durinLy the year ale listed oli page I, Legal and Admir)isirative Information. TrusLtt5 dre appointcd and elecfed i
aceordan¢e with rhe MeTnorandum and Articles of Associaiion throll￿ a vote of n)eMbe￿ at the AGM and are
appoinied for a ihrec year tenn. There are currently five Trustees, ttll of whom hav¢ bccn given relevant Charity
C.ommission's publications.
1.3 Organisatioll Management of the Charity: The charity hds staff and the trustee5 are actively involved
in the running￿ of the charity. The charity is a member of Global Connections, a netwo￿ of mission agencies, and
several tru%Eee.q u%e the nctivork for training and peer learning. The operations of the Lharity are conducted in
accordance with Ihe policies and %iratc&v approv¢d by tlie trustc¢s. There are no sub-con)mittees.
1.4 Trustees. meetings and procedures: The trustees schedule approximately three mectings a year. All meetings
art fully rtcorded iwith clear decisions and action p)ins. There are clear governance procedures and lines of auihoriry.
None of the trustees had anj. financial inteTest in any transaction or arrangement with charity, during the year and
no trustee received any remuneration from the charity other than the repayinent of expenses (nole 5}. 'l-he trustees
maintain a conflict ol- interest5 register. There is a clear procedure that if there 15 a poteiitial conflict of interest on any
matter, the trustee ivith ihe potential conflict of interest is asked to leave the room and take no part in the debate or
decision.
1.5 Risk Management: During the year. the trustees coiitinued to review ihe risks to which the charity is exposed.
seeking to id¢ntify all the major risks, in particular Ihose relating to the grant ￿aking operations, administration and
finances of tlie charÈty. The tru5t¢¢s ar¢ satisfied that there are systems in place to Enstsgat¢ ihe exposure to major risks.
Intemal risk5 are ￿l￿liniSed b) the iinplemeiitatioii of control procedures for all financial transactions. This included
data back-up of all r¢¢ords and r¢vieiping illonitoring and reporting relating to all grants made. External risks are
minimised b), regular monitoring of the extemal envirLinment covering grant recipicnts and health care issues.
OBJECTIVES AND ACTIVITIES
2.1 Objectives: The object for which the chariry Is established 15 to relieve sickness abroad in any way which is
chariiable according to the Law of Lngland and Wales.
At its foundation in 1966, ECHO had Sought to achieve this objeciive through ihe provision of medical equipment and
pharmaceuticals. Since becoming a grdnt-making body. the chariry has concentrated on grant making ￿ mission
hospltals. other providers of health care and innovaiive health initiatives, especially in suL>Saharan Africa. The
objective of the gr2nls programme is..
'Tke impruvÈm¥nl in h¥olikcui'e to people in undL)i.developeJ euunlriLJs, particularly ￿ra1 areas of sub-sahara
Afi'iLa, wkgre access to appropriale levels ofheallhcare is very difficuli"
2.2 Aetivities". ECHO seeks to tulfil its objectives aiid provide public benefit through providing support via grants
and advice to institutions, in conjunction with a UK partiier who has a long-terni commitinent to an area. The trusEees
consider that the charity pi'ovides public benefiL in ihe h¢altlicare sector io poor communiiies Ihrough its focus on
helping improve sustainable health care faciliiies.
PAGE 2

ACCOUNTS 2024
ECFIO JNTERNATIONAL HEALTtI SERVICES LTD
REG CHARITY NO 264681
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024 (CONT'D)
ORJECTIVES AND ACTIVITIES (CONT'D)
ECHO aims to allocate each year at legst the income from donations and interest. The grants programme focuses on..
Support for the sustainable pi'ovision of hospital equipment and infrastructure
> Support for Iraining programmes
Support for programmcs which focus on the improving health systems in tlie community
> Support for innovative projects which have a potential long- (enn benefit 10 an area or health activiry
ACHIEVEMENT& PERFORMATrICE AND OUTCOMES
3.1 Review of the achievemeDtS 2nd performance of tbe Charity: The charity has invested a majority of ils funds
in longer terni investments as described in section 4.4 beloiv. ECHO Continues to use its General Funds io provide a
W2de range of grants and sub5idie5 lo appropriate bodies. All funds are channelled via UK registered ¢harities. Detailed
infortnation on graJ)ts mdde is contain¢d IR tlie noie 5 to the financial siaiemcnts. During the year ihe main area5 of
subsid> and grants included-
EMMS International- Duncan Hospital Nurse Trainin& India
Amplifying Voices- Adiv&8i, Nashik project. India
Arukah Network- strengthening eommunitv health networks. E.Africa
WorldShare- Chaplaincy community health proj¢ci, DRC
Amos Trust- Ment81 health and wellbeing project, Gaza
MAI- Pioneering rural palliative care programme. India
Brickworks- Renovation of facilities at Martha PHCC Yei. South Sudan
Many Hands- community einpowerinent and developm¢nl
Friends of Kiwoko Hospltal - Operaiing Theatre construction, Uganda
MAI- ICU and General Medical Ward construction, India
Amplifying Voices- SALT community, Counselling workshop, India
i 0.000
20,000
i 0.000
20,000
20.000
i 0,00
15.000
400
20,000
i 0,000
138 900
3.2 Asse55ing outcomes: ECHO aims tc> iinprov¢ healthcare to people in underdeveloped countries, where ac¢e55
to appropriate leve15 of healthcare is very diffJLult. The trustees assess carefully all proposals for funding put to theJn.
The trustees also mtsnit0T any granis awarded through reparts from beneficiary groups and Neek clarification on ii,hether
the aims of funded projects have been mei. All projects funded submitted reports that wcr¢ due during the period except
for one.
Public BeDefjt: The Trustees are Commiiitd to improiwing the organisaiion's practice and ensuring thai it
delivers public benefit as it seeks io strengthen healthcare facilitates. In particular, th¢ Trustees consider hoiv grants
made will contribute to th¢ aims and objectives ihat they hai'e Eet. The trustees have had regard to the guidance from
the Charity Commission on rcporting on Public Benefit.
PAGE 3

ACCOUNTS 2024
ECHO INTERNA TIONAL HEALTH SERVICES LTD
REG CHARITY NO 264681
REPORT OF THE TRUSTEES
FOR THF. YEAR Ef4DED 31 DECEMBER 2024 (CONT'D)
FINANCIAL REVIEW
4.1 Results: The charity's activities for 2024 are summarised in the Statement of Financial Activities on page 6. The
results show net expenditure of £114,000 (2023: net expenditure of £81,207).
The financial position of the charity at 31 December 2024 is shown in the B¢ilance Sheet on page 7. The trustees
considei. the financial ptssilion at 31 DeceTnber 2024 to be satisfactory. The £1,367.482, (2023.- £1,410,710) of
unrestricied fulld5 currently held is required to finance the charity's long terni grant-making prograinm¢.
4.2 Going Concern: There is no material uncertainty about the ability of the chariry to continue as a going concem.
4.3 Reserves Policy: Free reserves are those unrestricted funds not invested in tixed assets nor d¢5ignated for
specific purposcs OT Otherwise committed. Siiice the closure of the trading aspects of the charity and the sale of the
prDperry, the irustees have soug)hi lo invest th¢ funds ra15¢d to provide an annual income so Ihat they can pursue their
grant making policy over a loiiL period. Over 20?) and 20?4 Ihe trustee5 have given careful thought as to how io besi
balan¢r thc nc¢ds of grant receiving organisations, against maintaining the capital sum invested. From 2024 the trustees
have decided to gradually draw-down the capital invested enabling higher levels of grant making to be made.
The level of free reserve5 Stands at £l1.166 (?0?3- £64.582). Free reserves show a significani reduLtion frotn 2023 due
to capital draw-down and Lareful cash management. This reduced liquidiry is not a concern to thc trustces as funds can
be made available from ihe investTncnt.5 I￿1th1n a fell days.
4.4 Investment Policy: Tlie trustees liave discussed the investnienl policy on various ULLasion% durin&F the year. The
trustees have continued with investing in various invesimenis via a professional investn)eni company. In doing this thc
trustees have sought appropriate investment advice and the charity reviews whai funds should be held in equities wilh
longer term groiNth in mind on a rcgular basis. Thcrc is an approved investment policy which the profe55ioiial
iiivestEnent compajiy follows, which proliibits investments in coinpanies whose main irade is based on aMI￿￿entS,
tobacco, bTambling, th¢ scx trade or aninial testingF for cosmetics.
FUTURE DEVELOPMENTS: ECHO is planning to carry on its grant making programme over th¢ ¢oming
years. using at least the income froin its donations and investments ¢acli y¢ar. Several mission hospitals are receiving
regulai. assistance. as are a variety of other charitable bodies. It is hoped to be able to continue to increase the grants
in the coming years as appropriate pi'ojects are identified.
INDEPEP4DENf EXAMINER: Miriam Hickson at JCS Accountants Limited .8eTved as the Independent
Examiner to the c.harity. A resolution 10 reappoint Miriam Hi¢kson as Independent F.xaminer will be proposed at the
Annual Gcneral Meeting.
PAGE4

ACCOUNTS 2024
EC.HO INTERNA TIONAL HEALTH SERVICES LTD
REG CHARITY NO 264681
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024 (CONT'D)
STATEMENT OF TRUSTEES, RESPONSIBJLITIES: The Irustees, who are also the d1￿ClOr5 for the
purpos¢s of ¢ornpany law, are responsible for preparing the Trustees, Report and the financial statements in accordance
with applÈL&ble law and regulations and United Kingdom Generally Accepted Accounting Practice. Company IANN.
requires the trustees prepare financial siatements for each financial year which give a true and fair vieiN of the state of
affairs of the charity as at the balance sheet date and of its income and expenditur¢ for th¢ financial year. In preparing
those financial statements, Ihe trustees are required to'.-
> select suitable accounting policies aiid then apply them consistently.
observe the methods principl¢s Ifl the Charities SORP-
mak¢ judg¢m¢nls and estimates that are reasonable and prudent.
omply with applicable accounting stsndards, subject to any material departures disclosed and explained in the
financial staternents., and
> prepare the financial statements on the going conc¢rn basis unless it is inappropriate to presume the charity will
continue in business.
The trustees are responsible for maintsining proper accounting records ivhich disclose with reasonable accuracy at any
time the financial position of the charity and to enable them to ensure that the financial statements comply with the
Companies Act 2006. They are also responsibl£ for safeguai'ding the assets of ihe charity and hence for taking
reasonable steps for the prevention and det¥Ltion of fi.aud and other irregulariiies.
The financial statements have been prepared in accordance with the special provisions of the Companies Act 2006
relating to small companies.
Approv¢d by the Board on 23 July 2025 and signed on its behalf by..
N Wooding, Chairnian
PAGE 5

ACCOUNTS 2074
ECHO INTERN.4TION'AL HE.4LTH SERVICES LTD
REG CHARITY NO 764681
INDEPENDENT EXAMINERS. REPORT TO THE TRUSTEES ON THE UNAUDITFD
ACCOUNTS OF ECHO INTERNATIONAL HEALTH SERVICES LIMITED
I report on the finan¢ial ststements of Echo Internaiional Health Services Limited for ihe )'ear ended 31 December
2024. which are sei out on pages 6 10 10.
Respective responsibilities of tbe Trustees and examintr
The Iriisiees {wlio are also the direciors of ihe compan!, for ihe purposes ot Coiiipany lawl are responsible lor lh¢
preparation of ihe financial sts¢emenis in accordance i￿1th ihe r¢quir¢nienls ol- the Companies Aci ?006 1.the ?006
Acl'l.
Having gaiisfied myself that the financial stsiements of ihe chariry, are not required io be audited under Part 16 of the
2006 ALI and ar¢ eligible lor independeni ¢xaminarion. I repon in respeci of m). e.xaminaiion of ihe Lharity's financial
statetnents as Carried out under section 14) of ihe Chariiies Aci ?01 I Iilie ?01 I Ac¢i. In ¢arrying our my examination
I have folloived ihe Dire¢iions given by the Charil) Cominission under section 145(b} of the 201 l Act.
This report, including my siatemenl. has been prepared for and only for the charity's trusie¢s as a body. Mi ￿Ork has
been LindeTiaken so ¢hai I mighr siaie io lh¢ charity's irusi¢es those niaiiers l an) required 10 $131e io ili¢m in ali
independent examiner's r¢pon and for no oiher purpose. -fo ihe fullesi exieni permitted b). la￿. I do i)01 a¢cepi or
assuine responsibility io anyoiie oiher than ihe ¢hariry and the ¢hariiv's irusiees as a bod>. foT niy examination work.
tor this report. or for ih¢ siaiements I have made.
Ba4is of independenl eiamiD¢r's report
My exaintnaiion ￿a$ carried oul in a¢¢ordance ivith ihe general Dire¢iions g)iven bv ihe Charity Commission. An
exaininaiion includes a reviem. of ihe ac¢ouniing records kept b). the Charity and a comparison of Ihe financial
qialements presenied with ihose records. li also includes consideraiion of any unusual ii¢n)s or discSosuTes in Ilie
Iinancial 8iateinenis. and seeking explanaiions Irom l'ou as iruslees concerning anw such maners. ThL procedures
undertaken do no¢ provide all the evidence thai ivould b¢ required in an audii. and consequen¢ly no opinion is giiven as
io whether the financial staien)ents present a'irue and fair view. and the report is limited to those matters se( oui in Ihe
slalement below.
Independent examiner'8 slatem¢tyt
In conn¢ction iih ni). excllllini11ioii. M hkch is compleie. no matters have come io my anention which gTive me reasonable
cause ro b¢lieve that in any n)at¢rial respeci
accounting records i¥¢re nol kepl in respeci of Echo Inlernaiional Health SeNices Lin)iied in accordanLe with
sectioi) 386 of ihe 2006 Aci; or
Ihe financial statements do not accord with ihose records. or
the finan¢ial siaienienis do not coiiipj). w ith the accounting requiremen15 of 5e¢tion 396 of ilie ?006 Act other Ihaii
any requirement that Ihe linancial 51aiemenis give a -Irue and fair vieiv which is no( a mdiier considered as part or
an independcni examination- or
the financial stateiiien¢s have noi been prepareil in a¢¢ordance with ihe nieihods and principals of ilie Staieiiieni or
Recominended Practi¢e for accounting and reporting bi. ¢harilies applicable io charities preparing Ihcir a¢¢ounis
in aecorddnce with the Finan¢ial Reporting Siandard applicable in ihe UK and Republic of Ireland {FRS 1021.
I have no con¢¢rns and have come a¢ross no other malters in Connection i*iih the examinalion to which, in my opinion.
attenlion should be drawn in order to enable a proper understanding of the flnancial siaiemenis to be reached.
Mrs M R Hick50n FCA CTA
JCS Accountant5 Limited
-5 Robin Hood Lane. SuttotL SuTre>' SM I ?SW
Date. 28 J+ ￿25
PAGE 6

AccouTrrrs 2024
ECHO INTERNATIONAL HEALTH.SERVICE5 I.TD
REG CHARITY 264681
STATEMENT OF FINANCIAL ACTIVITIES
(If4CLUDING INCOME AND E.XPENDITURE ACCOUNT)
YEAR ENDED 31 DECEMBER 2024
nrestricted
Notc
202
INCOME
Donaiioiis, le8acits and Srants
IDvesltllEllls
2.473
40,188
3.438
34.892
TOT.4L INCOME
42.661
38J30
EXPENDITL'RE
Raising funds
Grant making aciiviites
12.727
106.810
143.550
TOTAL EXPEINDITliRE
119,$37
NET IEXPENDITiTREI
181.207
Gwnslllosscsl on investsllcnt5
70.772
T MONTMENT IN" FL'i%DS
143.228
2J32
RECONCILIA TION QF FIl￿DS.
Total funds broughi fon¥ard
1.408.478
TOTAL FLft4DS CARRIED FORM'ARD
I J67A82
1,41V,710
The chwiry has no t￿￿iled gall]5 or loss￿ oth¢r Ihan th¢Te5uIt for the }'¢ar
All incom¢ gnd ¢xpendiiure derive ftom continuing aaiviiies
The note5 on pages 9 10 1 I fom pgrt ofthe5e financiDi statetnents
PACJE 7

ALLOUTrtFS 2024
ECHO TNTE.RNATIONAL HEALTH SERVICES LTD
REG CHARITY 264681
BALANCE SHEET
AS AT 31 DECEMBER 2024
2024
2023
VNVESTIIENTS
A￿¢ts Inv¢51ed in ¢qiiilies
,J56,J16
I,J46,1?8
Cl'RkEIl T ASSETS
DebEOr.
C&%h ai b8nk and In h8ttd
9.624
3.75B
9,613
57.309
13.382
66.922
CREDITORS:
Amounis falling due Ivslhin on¢ y¢ar
(2.3401
NET C.IIRREP4T.4SSETS
64,582
TOTAL ASSETS
l J67.482
.410 710
UnrE5tricted Fund$
(If.NF.RAI_ fiJN
lin¢lud¢s Revaluation Rc5CTve of £I40.78612023.. £147,60?1
.367.482
TOTAL FIJYDS
l J67.482
1,410.710
The Trustees consider Ihai Lhc is entiiled to exeinption frum th¢ rcquirenienl to haN'e aiidit under the provision& of
sectson 477 of IhL con1p￿leS Act 7006 1"The A¢t-'l and mcmb¢rs bave not requircd the ¢hariti' 10 obrain an audii for the }'eaT
In 4ULstio￿ in aLLurdanLe i¥iih s¢iiion 476 of die .4ei. Tlie T￿slee8 acknoi¥ledg¢ thiir rL5ponsibilities for ensuring (hat the
chanty k¢¢ps accounting rccords which complli ivith.£Lvliiin 386 (If Ilic.4rt and lor preparing lin￿7claI Sl#¢¥ments wthich BIIE
Irue and f&r vieH of the state of affairs of the ¢hariti as at 31 December 2024 of dclicil for thc year then elided In
aCcord￿lce with th¢ rtyuir¢m¢nts uf beclion J96 ul the Act a￿d iNhicli othenvise comply with the reqMirem¢nts of the
comp￿11CS Act 2006 r¢latin8 10 Ili¢ financi￿ 51alciTKIIts 50 far as appliczble LO die cliarity.
-rhe linancial staletnents have b¢¢n prepared m accordance with the special ptovisjons ot'the Compania% Aci 2006 relating to
Th¢ on pages 9 1 I forrn pgri of these financi￿ slatLM￿n(S
These fjnanci
We￿ approved by the Board and signed on their bthalf by.
Nick Il'ooding
Cliairman
I>￿e.. 23 July 20
CoThp#th). limitcd by guarantee. Number 1059894
PAGE B

ACCOUNTS 2024
F.CHO rwrF.RNATIONAI. HFALTH SF.RVTCF.S LTD
REG CHARITY 264681
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
I. ACCOIINTING POLICIES
'I'he ChtTity is a private ￿fflpanY litnited by guuanlee incorporaied in Englalld and Wdes registered wthin the Charity
Commissiun im F.ngiand W41¢s. Th¢ re¥ibt¢red offi¢t is 6 Grosveftor Ruad, Banburn. OX16 SHN.
The financial %iatements h&ve been prepared under the Coinpanies Act 2006 and In accordancc ihe Chanties StaEement of
R¢wmnYnded Practice Icliariiies SORP IFRS 1021. tlie Cliariiies ALt 2011 Jttd Finallcidl Reporting Siaiidard 102 IFRS1021
The Particul￿ accountitsg policies adopied aTe desLribed belom.
Accounting convention
The financial siatemenis aTe prepared undeT the hisioti¢al cosi convention modified to ￿Clude u]vestments ai fair value,
rounded to the ne2resi pound sterling. 'I'hc Eharit) meets the definition of'a public benetit cntify undcr l.'RS 102.
Incom¢
Tncome s sho11￿ on an gc¢ruals basis nortaiions co￿ls1 vf fvod5 reL¢iv¢d for bPL¢ifii Irrslritykdl and gcncial lunrcslriclcdl
purposes The donat&ons are to pri)vide 8rants to vario￿¥ he2lUI iare projects and insiiiuEI()ns. l.e89iies are accollnied for
ag incorne either upon ieceipi or ￿-here the receipi of the legaci. prob3ble.- this will be once confirmation has been received
fro￿ the representatives of Ihc ￿tateS that the pavment of the legaci ivill be rnade and once all conditions attached to die
legacy knve been fulfilled.
lttvesimtnt$
nvesltTren15 are stai¥il al fair aT the b3]ance sheei date. All nTh)venienis In value arising froin Invesunent clwi8es or
revaluaiion are included in the siaiement of financial aciiviiies. Gains or losses on inv￿[Me￿iS are ealtulaicd &% thc ditTcrence
betweell the dispod proceed£ and tlie carryiiig valu¢. T)Ividend Incon1¢ i.£ a¢¢ounied for ag Inioine and availablL lo bc applied
to th¢ 8en¢raE purposes of ihe chanty.
EipeDditure
'rhe Chatiiy is m￿nI￿ d gr￿¥ makiftg tharil). Grants Pdyable *e ¢harged in the )"ear when Ihe offEF is conveved to the
Te¢ipienl excepl in Illo￿, cascs I￿th¢re Ihe offer Is eondiiional. sucli granls being Fecognised as expenditLire when the condiiions
aiia¢hbd arL fullillLd Graft￿ vlTLr¢d 5ubj¢¢l Iv conditivrts whi¢h hdv¢ nul b¢cn m¢L at thc )'car ¢nd nol¢d ￿ a ￿0￿￿718m<￿t,
bul not accrued ￿ expeiiiliture.
Goveinance costs cofflpnse all costs involving the public accountability of ihe charit} ana Its compliance with r¢guiaiion and
good pradice. These cosis include cosrs related to the stalUlor>' exaTnination. together t￿lee%, expense5
Other than governanct cosis, the ongoing suppori and adminisiraiion ¢oslS form an integral pari of the LOSI ofcdrrying out the
direct chaTitabl¢ objcctiV¢5 of th¢ chdril).. IrreroNcrablc VAT 15 charg¢d a¥ains1 ihc ¢ai¢gory of cxpendiiurc foi Ilknich il was
ij)curr¢d. All support 8nd governance costs have been ￿lOC8¢e￿ ggainst the cliaritsble 3ctivitJi in accordanie wilh FRSIO2.
Unrestricted ￿ndS are those which are not subjeci to ally special resiriciions and they can be used as Ilie trllstees decide
Restricted fi￿dS ￿[e ihose where ihe donor has irnposed iesrrictions on how the fund may be used. bui which do llot prevent
lh¢ fwid being spent. There are ¢wrenil}' no reslric¢¢d tiinds.
Cash and ¢8sb tquiY¥l¢llt$
C.&4h at hank 3nd Iii haiid Include Cdsh and shori tenn highly liquid Iiivesiiiient ii?th a.£hori lilat￿rIty of three monihs or less
from th¢ dat¢ of opening of Ihe deposit. C￿h held on dep051t Includes cash and shon I¢Ftn liquid inTre5tyn¢ni w'ith a longer
mgturiry of belwEen three ￿ld twelvc months frorn Ehe daEe of openiiig ol.the dcposil
LiabilitiE5
I,iabililic5 arL rLIo8rtl%¢d whert th¢ ¢hariry has a preseni obli8a110n ari%iii8 from a past ei'enl that i￿111 probably resuli in tFt
transfer of funds to a third patt) and the Jtnowii due to settle ihe obligation can be rneasured or esliTmled reliablv. Ciediiors
ar¢ re¢ogt]15ed at the￿ settletnent arn{￿nt
Th¢ charity financial &ssets and liabilities of a kind that qualify as b￿lC financial instruments Basic financial instruments
aT¢ iniiiajly r¢¢ogtiised ai trauactiott value attd sth¢queJJtly measured at their SettIen￿￿t I'alue
PACIF. 9

AecouNFS 2024
C-HO INTI..RNA'IIIINAI. HF.AI.TH.%F,RVICIS LTD
REG CHARrrY 264681
NOTES TO THE FINANCIAL STATEMENTS (CONT'D)
YEAR ENDED 31 DECEMBER 2024
L'nre5tricted
FU￿d5
2024
ITnre5tricted
FyJbd$
2023
2. DONATIONS..IND GR4N'TS
CyLncral donations- inc lax reclaim
2.473
3,438
3. 1Tr4WESTMENT INCOME
BDnk intere%t reccii'cd
Dii'iden&s re¢¢ived
212
-39,976
40,188
.34,892
34892
4. RAJSING FUIDS
ThL charit5 dnc5 1i01501icit funds fmni the gener￿ public. Most of lis income comes from dividends relating to lis investsnent
portfolio. The rrvdnag¢nxni fees charged b). the inve%tment company char￿d lo r￿SItt8 funds
5. CIR.4YT ￿lA1￿l￿(l Al.'TI1IITIE￿J
Semiliki TrLL%t. qiialitN- health outcomes prt)Je¢i. DRC
Tlie14riikw(Irk-b IPubliL hLalih Siaff Ir3inin£ S.Sudanl
Thc Bri¢kworks (Martha Cliiiic..S Sudattl
Amplilyin8 voice5, comtnunity h¢￿th. India
Amplityingvoices. Nashik projtii, Tndia
Manv Hands. Zambia
Mcdic Assisi IIiLeniaiionai_ Pglliaii%'e Care, India
Medic Asslst Tntcmaiioiial N¢w Mard, India
Medic Assist Tnt¢mational- Guinebor2 Qliad
I'orldshare- Chaplainry DRC
International NepDi Fellowship- L¢prosy frcr PToJect
Fri¢nd5 ofKiwoko Hospiial Theatre exP￿s1{m. Uganda
Fnends nt-Kiwoko Ilospiial nuTSC'S aEcomodaiion. lJganda
Anthah Neiwork
Amos. DSPRIN¥ECC & G8za
EMMS- N¢pal
Tot*1 grani$ pay￿b]e
20.000
6.715
i.%.000
20.UOO
i.500
400
10.000
10.000
14,947
2.0(JO
5.000
10,000
20,000
8,500
8,650
20,(M)O
10.000
20.000
10,000
16,443
102 Ji5
138,900
Support eo%ts'.
Ocll¢ral admillisrrativc cosis
Indepeiident Exwniller's ftes- arcvunts preparaiion
111d¢ptndcnl LxaTnincr's fee5- examinaiton
Toi*l suppori ¢o$ts
2,930
334
2.150
1.085
4.650
45)5
TOTAL CJ114liT MAKING A￿1}yITIEs
143440
106,810
There were no grants paid to IndividuD15 during the I'tar [2023". nonel.
No remuiieratioii %4Tras p4id 10 an)- Trus*e In respect ofsucli office Exp¢nses were paid to i trUsiees1202i-. 21 for trgvel io
trustees meelin&s iithicli amnunted 10 £38012023. £2531 In thc )'cat.
There were no other rdai¢d part) iransaclion$1202J. none).
6. DEBTORS_ within on¢
(Ilhcr dcbiors
TolAI d¢btor5
9.624
9,624
9.613
9,613
7. C'RLDII'ORS- falling due within one year
Gener&1 ACtru￿5
Total creditor5
2.216
2,216
2.340
2 J40
PAGE 10

ACCOiTwfs 2024
ECHO TNTERNATIONAL HEAI.TH SLRVICES LTD
REG CHARITY 264681
NOTES TO THE FINANCIAL STATF,MF.NTS (CONT'D)
YEAR ENDED 31 DECEMBER 2024
. tNIWSTNIENTS
c.ajh wilh
Broktr InvtsÈments
Tota]
Movements during die year ivere as follows..
Quolcd tnarket value at 15E JanuaFI' 2024
Aildiiions
Disposd PFotteds
Dividends
apitsl drai4.down
Fees and ¢hws
realised illvesLneni g￿n$/(lo55eSI
Nei unreaiised inv￿￿￿en1 gainslllossesl
Quotsd mArktt VAlue at 31$t D¢cember2024
16.832
1466.7381
i24,601
1,329,296
466,7J8
1524,6011
,346.1211
2,527
150.(K)O)
150.0001
34.794
35.978
1342,207
34_794
35.978
1.356.316
H￿l0[]C cost at J IstDecembeT 2024
1,215.S)0
9. ANALYSIS OF N￿.4sSETs BETWEEN FIl￿Ds
Inve5tment5,
Other ntl
dep051t5 and
(￿rrent
¢a5h At B2nk As5ètsllLiabl
2024 {£
2024 (£1
1.560,074
7.408
,36th,074
7.4011
Tot*l
A$sets
21)241£1
1.367.48?
1,367,482
An*tysi5 for 2Q24
Unrestricted Funds
Ov¢rall FMnd5 2024
c.omparison for 2023
lJnrLstricted FunJ£
Ovtr*ll Fulld$ 2023
20231£1
20231£)
211231£)
1.403A37
7273
1.410,7JO
10. RV.LATED PARTY IYfERESTS
Tlic chariiy tnaini2ins x Lonfli¢lS ofinteresi regisierand Iruslees re8isreF an) relaied part). interests before there ts discussion on
an}, grants and In￿l￿ do noi wke part In any thcisivns ￿hcn thcr£ 15 a Lonflicl of interest.
11. TAK4TIIIN
The Lompdny is a regi$iEred Lhyriry and is exanpi from Corporation on its Lharitsble acliviues.
12. LIMITLD LL4BILII'I'
The cotnpanv Is IiiniEed by guarantee 2nd the liabiliry of eacli niemb¢r Is noi to e%ce¢d £IOD.
Al 31 D¢¢emb¢r 2024 there ivere 5 In¢rd)ers of Ihe company.
PACIF. I I