ACCOUlYts
FOR THE YEAR EIYDED 31 DECEMBER 2025
(Final)
Mel)01¥4ALD 09NEILL & CO
CHARTERED ACCOUNTAKrs

SHARING FAIR
CONfENrs
PAGE
Genwal Infornmtion
Trustees ReFK)rt
Acwuatants, Report
Statement of Financial Activities
Balan￿ She¢t
Notes to the Staten]ent of Financial Activities
10
Mcl)onald O*Neill & C(L
Chartered Ae¢owit*Dts

SHARING FAIR
Trustees
Grainne Connolly
Sr Catherine Hughcs
James Toolan
Administrative addre&
19 Rossmor¢ Driv¢
Belfast
BT7 3LA
Aecount*Dts
McDonald O'Neill & Co.
Chartered Accountants
5 Union Buildings
Union Place
Dungannon
Co. Tyrone
BT70 IDL
Bankers
Bank of treland - Belf&8t
Bank of Ireland . Dundalk
Charity Number
101168
Inland Revenue T21 RefereDee
KAU14XG
McDonald O'Nelll & C
Chartertd Acroukntsnts

SHARING FAlli
TRUSTEES REPORT
Struclurfy Governanee & MaDagerneDt ID Northern Ireland
Sharing Fair was fornally established in Northern Sttland on 29 January 2009
following application for it to k recogrriz£d by HMRC as a charity under the
provisions of the Income and COT￿ratiOn Taxes Act 1988. Its inception and
development had been motivated by a desire to engage in internationaI initiative to
supwt Worne￿ girls. children and infants, and their famiIies. living in extremely
difficuEt and impoverished Circun￿anceS within d¢v¢loping countries.
The currenl members of th¢ Management Board of SEwing Fair are:
. Anthony Brennan
Sister Catherine Hughes (TTwurer)
Geralyn Wood5 (Secretary)
James Toolan {ch￿rSon)
Grainne CoDnolly
The Management Board meets at least 3 times yw.
The day.tO-day rumiing of the charity is managed by Sr Myrian] McLaughlin
(Executive Officer).
Charitable Statss
Sbaring Fair has bcen accepted ￿ a charity for tsx pur￿SeS by the Inland Revenue.
The HMRC reference number is: _ KAU14XG.
Sharing Fair has be¢n registued with the Cl)arAty Commission for Nortbern Ireland
fron] 5 Febnw 2016 under the Cl)arity number 101168.
Statement of CompliaDce
In setting our objectives and planning activities for the year the trustees have
given carefiLI consideration to the Cl)arity Con)nussion for Nortb¢rn Ireland's
guidance on public benefit to ensure that the activities bave help￿ to achieve the
charity's putpos¢s and providc a IKncfit to the IKn¢ficiarics.
M¢Donald O'NeSll & C

SHARING FAIR
PriDeipal Aclivhies: Purposes and Beneficiaries
The Sharing FaiT Association was establis1￿ to: .
o relieve poverty
o promote the advancement of ethicatio￿ the preserntion of health and
the in]prov￿￿ent of living conditions in developing countries where
the Sisters of the Good Shepherd are activ
o ty target the alx)ve aims particularly towards worne￿ girls, infants and
oth¢r peTSons who are suffuing from th¢ eff￿ts of adverse social and
cconomic circumstances.
to promote. facilitate and suptM)rt the maintenance, operation and management
of a centre or centres in such developing countiics for activities promoted by
Sharing Fair.
to Sup[￿ and enable the I￿￿tn￿tiOn and training of beneficI￿]eS in
sustainable trades through the teaching and development of skills in
manufacture. pr(xlu¢tioo rq)air. project maDag¢menL administration and
accountancy.
to promote. facilitate and support the establisl￿ellt of educationa] facilities in
the interests of economic and social welfare of Ftneficiaries and with the
objective of improving their ¢onditions of life.
to enable recruitmenl selection and sending out of volunteers for short-terni
service within such are&s when necessary ID the interests of the Association
and for the pron]otion of its objectives and activiti¢5 within the area
conccrned.
to educate the general public &8 to the existence of adverse OI detiimentsl
social and economic ¢ITcwnstan￿S within such developing countries
promote awareness among the public, and advancement of the work
undertaken by Sharing Fair with such developing countries.
Activities and Results for the yur ended 31 December 2025
We are happy to share with you bigblights of our work in Sharing Fair during
2025.
Thanks to volunteers WOTknng with the Siste￿ through donations. we hav¢
the following results:
Total in￿rne
£ 35,009
Sharing fair distributions
Donations to various progrdms
£ 38,695
MCDo￿ald O'F4eill & C
Cbartered A¢￿￿￿tAnts

Donations
From donations reLrivcd d￿]ng 2025 and previous ycat4 thc following distributions
2710312025
ADgola
£10.￿0
Integral Con)munity Development in Mu4 Bond4 Jikuit4 Luinga
Senegal
Women's e¢onomi¢ empowernient tbrough Agri.Food
Bolivia
Ensuring Childr¢n's rights and Meaningfuj Participation for Children
in ORURO
Ecuador
Promoting the Economic and Social Emwwern]ent of Women in
Situations of High Vulnerability
T(Jtal £ 25,000 (Sharing Fair Account)
0910512025
Ethiopia
£5,695
"Kidest MaTiam" Wom¢ns Promotion and Skill Training: Meki
ViC￿late Ethiopia
Tot41 £ 5,695 (Good Sbepherd Mi88ion Fund)
25108r2025
Gu8JteDJala
£3,000
Empowernient of Guatema18n Wome￿ promoting their economic and
social inclusion
Lebanon
£ 5,000
Beyond Confiict: Fosterin8 Peace-Building in Lebanon through
¢ollabor*ive alucalion
Total £ 8.lJ(M) (rn￿ of Dungiven Parish mi￿10￿ Outreach)
Total
£ 38,695
The vario￿8 projects we have supp)rted Iw rcsulted in happier lives and increased
empowern]ent for women, young girls and their familio results hard to quantify.
With the possibility of diversified activity given our clwitable Stat￿8, we would hope
to continue our commitment to helping our mission for women and families in 2026.
MeDoD•ld O'Neill & C
Chartered Ar￿￿￿kn￿ts

SHARIY4G FAIR
Financial Review
Thc Trustees have a pruceth￿ in place to review the accounts annually. The accounts
for the year to 31 Decemkr 2025 show a wsitive balance of £ 20,240.98 (Sterling
Account) and Eum Account É 14.612.53 (£ 12,752 equivalent).
The current financial position of Sharing Fair is ID a ￿sItiOn of IKing able to m¢¢t its
conllnitments.
The Tn￿eS confirni that no harni b&8 flowed from the achievement of the purposes,
benefits or outcomes &ssociatcd with th¢ activities undertaken by ShaTing Fair nor b&8
any private benefit accrned to the Tn￿ or members of Sharing Fair by reason of
its activities.
Risk Management
The Tn￿tee$ are aware of the risks to which the charxty may conceivably be ex￿Sed
but are satisfied that under current arrangements thi5 IS Set at a very low level.
Requests for assistance ar¢ carefully scrutinised and outcom¢s are monitore
Safeguards are fiwther Promoted by the supervising presence of Sisters of tbe Good
Shepherd in areas of Ixnefit with whon] close contsct is maintained. A fonnal risk
a&sessment process and strategies for dealing with identified risk areas is currently
being addressed.
Conclusio
The TrL]Stees of STr￿1￿g Fair together with the Sisters of the Good Shepherd
internationally, wish to thank the member5. volunteers. donors, benefactors and
friends of Shating Fair, for their on-going practical interest and sustaining work on
behalf of Slwing Fair and its mission. Over time and to the present day, countless
individuals and families in remote villages have I￿nefited from the work of Sharing
Fair and the presence of Good Shepherd sisters. Those who have come to our
partnersbip centres have received and conlinue to receive training, education and
crucially the realisation of certain Indep￿DdenCe and ewpe from financial and social
impoverishment through dignified and 5ustsinable work.
SIGNED.
DATE: .-
Stee
SIGNED.- ....................
ruslee
M¢Don¥ld O'Nelll & C(k
Cb•rteT¢d AceounlARts

SHARING FAIR
Independent Exxminer's Report to the Trustees of Sbaring Fair Charity
W¢ report to thc clwity trustccs on our wMi￿on of th¢ ac￿Unts for th¢ yor
ended 31 Decern￿ 2025 wbich are set out on pages 8 to 10.
Respective respoDsibilitie8 of truste¢s aDd examiner
As the charity trustees you arc rc5ponsible for the preparation of the a￿Unts in
accordance with the requirements of the Charities Act (Northern Ireland) 2008.
It is our resFK)D5ibility to:
examine the accounts under section 65 of the Charities Act (Nortlmn Ireland)
follow the PTocalures laid down in thc gen￿1 Directions given by the Charity
Comrnission for Northem Ireland under se£tion 65(9Xb) of the Charities A
state whether particular matters have com¢ to our attentioJL
Basis of independent ¢i¥min¢r's report
We have examined your clwity accounts &8 required UThd￿ section 65 of the Clwities
Act and our eXami￿On w&8 carried out in accordance with the general Directions
given by the Clwity commi￿on for Northern Ireland under section 65(9)0)) of th¢
Charities ACL
Our examination included a review of the accounting records kept by the charity aDd a
con]pari50n of the accounts presented with those ￿rds. It also includes
consideration of any unusual items or disclosures in the accounts, and seeking
explanations from you &$ cEJarity tnLStees con¢enJing any such matters.
Our rol¢ is to state wbether any maknial matters have come to our atiention giving us
ausc to believe:
l. That accou￿1ng Tecords were not kept in accordance with sedion 63 of the
Ckwities Act
2. That the accounts do not accord with those accounting records
3. That the accounts do Jjot comply with the accounting requirements of the
Chatities Act
4. That there is firther inforn￿tiOn needed for a PTh)￿ understanding of the
accounts to k reached.
Independent ¢wDfiner's slaternent
W¢ have completed our exan)ination and bave no conccrns in respect of the matters
(l) to (4) listed above and. in connection with following the Directions of th¢ Charity
Conm)ission for Nortllern trelanl we bave found no matters that require drawing to
your attention.
Chartered AccounlaDts
5 Unlon Buildin28
Union Place
DllngannoD
Co. Tyrone
McDoD¥ld O'NeiU & C
CharteT¢d Accountants

SHARING FAiR
STATElktEwf OF FINANCIAL AcfIviTIES
FOR THE YEAR ENDED 31 DECEMBER 2025
12 Months eDded - General Funds
2025
2024
INCOMING RESOi]RCES
General Donations and Sunthy
Gift Aid Tax Refund Received
35.IX)9
60.287
TOTAL INCOMING RESOURCES
35,IX)9
60,287
RESOURCES EXPEIWED
Adminiitrotive wens
Charitable Donations
Printin& wstsge and stationery
Accountancy
Lossl(Profit) on exchange
Domain and en￿lIS set up costs
Insurance
38,695
69
1.080
(698)
312
202
50.500
59
720
640
650
202
39.660
52,771
Financial Erpensa
Bank Charges
247
316
247
316
TOTAL RESOURCES EXPENDED
39.907
53,087
NET INCOMINGI
(OUTGOING)RESOURCES
(4.898)
7.200
RECONCILIATION OF FUNDS
Funds brought forward
Transfer from Designated Funds
37.730
30,530
TOTAL FUI¥DS CARRIED FORWARD
32032
37,730
McDoDald O>Neill &
Chth¢red AecouDtants

SIIARING FAIR
BALANCE SHEET- 31 DECEMBER 2025
Notcs
2025
2024
FIXED ASSETS
Equipment
CURItENT ASSETS
Bank accounts
Cash accounts
32,993
559
37,844
606
33,552
38,450
CURRENT LIABILTTIES
AcCn￿S & Creditors
720
720
NET CURRENT ASSETS
32,832
37,730
NET ASSETS
32,832
37,730
FUNDS
General funds
32.832
37,730
tksignated Funds
Tol41 funds
32.832
37.730
We approve the financial infom￿tion which compriKs the statement of financial
activiti¢5 and the balance sheet We acknowl￿ge our reS￿nsIbIlity for the financial
inforn]ation and for providing McDonald O'Neill & Co. with all infornlation and
cxplanations ncccssary for its compilation.
SIGNE
gO£L
SIGNED......
Trustee
DATE: ..
MeDonaid O'Neill &
Chart¢red Account*Jkts

SHARING FAIR
NOTES TO THE STATEMENT OF FINANCIAL AcfMTIES
FOR THE YEAR ENDED 31 DECEMBER2025
I. FIXED ASSETS
Fithires,
Offiee
Fitting & Equipmenl
Equipment
Tolal
Cost or valuxtion
At l January 2025
Additions
Disposals
2.778
634
3,412
At 31 December 2025
2.778
634
3,412
Depreciation
At l January 2025
Charge for the year
Elimination disposal
2,778
634
3,412
At 31 December 2025
2,778
634
3.412
Net Book Value
At 31 December 2025
2. GENERAL FUNDS
2025
2024
Brought Forward
Net Incomin￿(out8olng) Resources
Trdnsfer from Designated Funds
37,730
(4,898)
30,530
7200
At 31 December 2025
32,832
37,730
DESIGNATED FUIYDS
2025
2024
Brought Forward
Transfer to G¢neral Funds
At 31 December 2025
McDonald O'Neill & Co.
Chartered ActowitAnts
io