M.D. Omer LECO
Ch3rl•red Certitled A¢oountant8
& Rvsltrtorod Audl¢or
14orn of Afrlca People's Ald Northern Ireland
HAPANI
18112120Z4
Botanic House
1-5 Botanic Avenue
Belfast
BT7 IJG
Basis of independent examinef s report financial year 31March 2024
I have examined YOUT charity accounts as under section 65 of the Charities Art and my
examinarion wa5 carrled oui in accordance with the general Directions given by the Charity
Commission for Northern Ireland under section 65{9){b) of the Charities Act.
My examination included review of the accountlng records kept by charity and comparison
of the account5 presented with those record5. It also included consideration of unusual
items or disclosures in the accounts. and 5eekin8 explanation from you as charitytnJstee5
oncernin8 any such matters.
My role to state whether any material matters have come to my attention 8Ning me cause
to believe:
l. That accounting recordswere not kept in accordance with section 63 of the Charities
Act.
2. That rlie acccunts do not accord wifh those accounting records.
3. That the accounts do not comply with the accountin8 requirement of the Charities
Act
4. That therels furlher information needed for a proper understanding of the accounts
to be reached
Independent examinerfs statement
I have completed my examination and have no concems in respect of matters (11 to (4)
lisied abovp and, in connection with following the Directions of the Charity Commission for
Nortliern Ireland, I have found no matters that require drawing to your attention.
Thanks
Your5 Sincerely
Mohamed Omer MSC, FCCA, CPA, PIIA
.D.OMER&CQ
26e-269 Ilorylf.*DM R
Lorvw
l.D. f)Ihvf & Co. 159-269CIIJ.I4arylpbulle Londgfy 571,1 SIIA
Tel: (02013W2-OlbJ, FL%1 (0201 ¥W3waS65. Dirvct: 07?5￿ 8i349. Etuail.. IvfrfkJttdoar.LYIIITitin8.

FIAPANI
Charity No
CoTnpany No
Annual Accounts for the period
Period start date 1-4-2023 to 31-3-2024
Satement of financial activities ( including summary income gnd expenditure account)
Restricted
NIC101637
N1606740
Unrestricted
income
Endowment This year
fund5
Total funds
Prior year
funds
Recommended Categories by Activity
funds
funds
Income ( Notes 3)
income and cndowments from:
Donations and ledgacies
Chartiabl¢ aclivities
Othcr Iradiiig activities
Investment
FOI
F02
F03
F04(2023)
F05{2022)
204.222.00
204.222.00
203,006.38
Separat¢ material of income
Otlier
TotAI
204,222.00
204,222.00
203.006.38
Expenditure on:
Raising liirjds
Charitable ￿tIvItieS
Separtate Inaterial expense item
Other
93,067.00
26.912.09
93,067.00
26.912.09
151,192.46
39,402.99
Totsl
119,979.09
119,979.09
190.595.45
Net Ineomel{expenditure) before tax for
the reporting period
1 ax payable
Net Incomel{expenditurel After tax before
investment gains(losse5
Net gain5(losses) on investment
Net incomel(expenditure)
Extraordinary items
Transfers between funds
84,242.91
84,242.91
12,410.93
84.242.91
84.242.91
12,410.93
84.242.91
84.242.91
12.410.93
Other Tecognised gains{losses)'
Gain and 105se5 on revaluation of fixcd &￿ets
ror the charity's own use
Othcr gains{Ios5esl'
Net moveffltnt in funds
84.242.91
84.242.91
R2,410.93
Reconcilation of funds
Tolal fund bi'ought forward
Total fund Carried forwlrd
84,242.91
84.242.91
12,410.93

This j'enr
Prior year
riNLd A.%SL15
Totnl Fixcd ,Issets
CiirrLnl .4%%c15
Cic bli ai bdiik and iii hand
98.3i8.77
98.3i8.77
15.J16.Oi
15,316.05
3.215.1?
12,100.93
12,100.93
Total Current A555¢ts
CILditors
98,358.77
98.3i8,77
Nel £urr¢nt 15sets(liAbilititsl
Tot91 ,l55ets less current I1￿bIlitIeS
98,Ji8.77
98.358.77
98 J.$8.77
98,358.77
l ot21 net A5s¢ts or Liabilitie5
98,358.77
98,3i8.77
12,1 QO.9J
l.-unds orthL Chilrily
Rk.sifiLLII Tncofflc fund
UnrLsirict¢d funds
4 ?4? 91
S4,242.91
14,115.86
1,41 O.L)3
IILvJlualion TttsLrv
14,1 li.86
r.1ii' I'aluL rcsLrve
98,3i8.77
98,358 77
1? 410.93
Signature
Chair
SiEnature
Trea5uree
Oate
Date