Kill0￿n Fundraising Group
Annual Report and Unaudited Financial Statements
for the financial year ended 30 September 2025
John Macmahon & Co
Chartered Accountants and Registered Audito
112 Camlough Road
Nowry
Co. Down
BT35 7EE
Northem Ireland
Charity Number. 101958

Killowen Fundraising Group
CONTENTS
Page
Trustees, and Other Information
Trustees, Report
Independent Examiners Report
Financial Statements

Killowen Fundraising Group
TRUSTEES. AND OTHER INFORMATION
Trustee8
Mrs Tracey R
A1￿inn Grant
Roger Morgan
MTS Marga￿t McManu5
MT Martin Grant
Miss Kathleen Grant
Miss Helen McAvoy
Aidan Murdo(*
Mrs Denise Mccann
Mr John Rice
Eimear McAnutty
Mr Brian McAnulty
Mr Michael Grant
Charlty Numbèr In North•rn Ir•land
101958
P￿nCIpal Addr•••
10 CadiTrn's Cove
Warrenpoin¢ Road
Rostrevor
BT34 3GJ
Northom Ir•land
Ind•p•nd•nt ExamlMr
John Ma¢Alahon & Co
Chartered Accountants aryj Re9iSt&red Audrtors
112 Camlough Road
Nev
Cg. Down
8T3S 7EE
Northern Ireland
Prinelpal Bank•rn
AIB
42144 Hill Street
Newry
BT34 1AU
Northem I￿1&n(l

Killowen Fundraising Group
TRUSTEES. REPORT
for the financial year erKled 30 SepternL*r2025
The trustees present their Trustee5' Report and the fiThanaal statements for the finanaal year ended 30
Septernber 2025.
Mi$$ion, Objectives and Stsategy
Mission Statement
Compliance with Public 8enefft
The Charity Trustees have had regard tr> the Chanty CA)mmission for Northem Irdand's statutory public benefit
guidance to ensure that activities entered into during th8 year have helped to aCh￿Ve the charity's aims and
objectives 85 well as providing public benefit.
Obltttlvos
The purposes of the charty a
FunLlraising for ￿searCh Into CU￿ and treaiment of the condrtion known as t￿Chenne Muscular Dystrophy
Giving practical 8 financial help
Lobbying for improvements in standards of Co￿ for Du¢henne Muscular ftystrophy patient$ In local hospitals and
implementation ol Internationally accepted best pra￿1￿ stsndard$ of care by GP$ and ho$pitsl$ in order to improve
life exp&ctancy
- RaisirrfJ awarene5$ of Dwhenne Muscular t*strophy at k¢al, nottonal and govemmental K8vel through information
P8rnphlets and lobbying local councillors. MLA'S. MPS and govenm8nt rninkste
Raising awarenes5 of the need for more funding
Raising awareness of the need to simphfy rneans ol dinKal trials for mad￿ne5 that will bring treatments to
rnathet much more quickty.
Stru¢tur•. Gov•m•n¢• and M•n•o•m•nt
Gov•rnan
The principal d￿Ument re9arding qovemanc4 G4 the chanty is the constitution. The Charity 1$ •n unincorporatsd
organisation.
CompoBltSon ol the Board and Board AppoSntm8nt Proces8
The chanly Is rnanaged by a board of thirteen trustee5, who are respoThsibl8 for the day to day running of th8 charity.
Voluntèèrs are invited to tétorne Irustee5 when they have dtmonstrated consistsnt 5UPPOrt in thè aims of the charity.
They can only be appointed as a trLL8tee on a majorrty vote from Ihe board of trLtstee8.
R•¥l¢w of A¢hl*v¢m¢nts and P¢rform•n¢o
The Chanty recewed various ijonations dunng finanoal year, ind￿11n9 frcm I￿51&XIa Services Duchenne Muscular
and PayPal charitable Giving.
During 2025 the tharity donated £4.OtK) to Muscular ￿StrophY UK for continued re5e8rch into th8 condition
Ouch8nne Muscular ￿strOphY. Th8 charrty also provhled funding to laalltaie phy510th8r8Py to two local boys.
Financial Review
The re￿iptS and payrnents %counts sel out on pa9e 7 reflecl activrties undertaken by the chaiity In 2025. The
charrty income of £3.322 antl expendrture of £15.637 resulbNJ In a defiot of £12.315. The chanty ha(1 unrestride
re$erwe$ of £38.358 al 30 September 2025.
Results and Dlvldends
At the end of the fi'nancial year the charity has assets of £38.356 12024 £50.6801 and liabilitie8 of £O.0012024
£O.001. The net assets of the tharty have decreased by É112.3241.
Resorvos Position and Policy
Reservo8 Policy
Killowen Fundra15ing Group's reserve poliw L% to buikj reserye5 to cover expenditure for a period of 12 rnonths. The
trustees believe that It Is pru¢Jent to work towards hokling 12 months fvnding. The main reason for holding reserves is
to ensure the charty has enough resources trj lund future Charitab￿ ￿￿vi￿"es.
Future Developments
Funds will be utilized from 1st October 2025 to 30th September 2026 in following way..
- to continue lo pledge monies to Research for cure or treatments of Duchenne Muscular ￿$trophY
- to continue to supply eguiprr*nt or other esseThtia15 (not calered for by N.H.S. or other bodiesl to the sufferers, when
and a5 required.

Killowen Fundraising Group
TRUSTEES. REPORT
for the financial year erKled 30 SepternL*r 2
'4/06/2026
Approved by the Board of TM$tees on
and $lgned on Ms behalf by..
Mr Brian McAnulty
TTUStee
Roger Morgan
Trustee
Tra¢ey Rl¢•
Tru8te•

Killowen Fundraising Group
STATEMENT OF TRUSTEES. RESPONSIBILITIES
for the financial year erKled 30 SepterntEr 2025
The trustees are responsib￿ for preparing th8 finanaal statem8rts in accordance with applicable law regulations.
The law applicable to charities in Northem Ireland requi￿5 the tru5tee5 to Pfepare finanual staternents for each
financial year which give a true and fair view of the assets. liabilitE5 and financial p051tion of the charity a5 at the
financial year end date and of the sutplus or defitst of ¢harity and otheTwise Comply with the Charities A¢t
(Ntsrthem I￿land) 2008.
In preparing these finanaal statements. the trustees are required tri..
select surtable accounting polKies and apply them consistenUy.'
obserwe the methods and prirKipks in the Chaiitvès SORP".
make judgements and accounting eslimales that are reasonab￿ and prudent.,
slate whether the financial statements have been prepared In accordance with applicable accounting stsndards.
Klentify those standards. and note the effect and rEason$ for any material departure frotn those standards." and
prepa￿ the financial statements on the 90ing COn￿M basis un￿$ it Is inappropriate to presume that the ¢harity
will continue In operati￿.
The trustees Confim) that they hav6 c￿lpl￿d wilh Ihe above requirements in preparing the financial $tstement$.
The trustees are responsible for keeping adequate a￿￿Unting records that are sufficient lo sh*w and explain the
charrty's transactions and disclose wth reasonab￿ accJJracy at any time the financial p051tion of the charity and
8nabkg them lo ensure that the financial statements cornply wilh the Charities Act (Northern Irelandl 2008. They are
also responsible for safeguarding the assets of the chanty and hence for taking reasonabk 5tep5 for the prevention
and de18Ction of fraud and other irregulaiibes
22/06/2026
Approv•d by th• Board olTN•t•M on
•nd •1gn•d on N• b•h¥lf by..
Mr 8rian McAnulty
Tru•t•e
Roger Moryan
Tru•t•e
Mrn Tra¢oy RI¢•
Tru•l•o

Killowen Fundraising Group
INDEPENDENT EXAMINER'S REPORT TO THE BOARD OF TRUSTEES
OF KILLOWEN FUNDRAISING GROUP
We have examined the financial statements of the charity for the finanrial year ended 30 September 2025, which
CL￿PrIse the Finanoal Statements, the Accounb'r¥J PolKvdS and the related notes.
This report B rnade SO￿lY to the charty's rnembers. as a b£¥Jy, In accordance with the Charities Act (Northem Ireland)
2008. Our work has undertaken so thal we might cornpile Ihe financial staternent5 that we have been engaged
to ￿mplIe. ￿￿X)rt to the Board of Trustees that we have (k)ne $0. and stste those matters that we have agoed to
state lo them In this ￿port an¢J lor no olher purp)se. To Ihe fUl￿$t extent pemirtted by law. we do not accept or
assume ￿sponsIbl1fy to anyone other than the charrty and tt* ¢harrty'$ MeM￿r$. as a body. for our worf%. or for this
report.
Reapoctive re8pon8ibilitio8 of tru8tees and •xamin•r
The charity's trustees are responsible for the preparation of the finanaal statements in accordance with the
r8quirem8nts of th8 Charities Act (Northern Ir8landl 2008. The chanty's tNstee5 consk4er that an aL*Yit is not required
for thi5 financial y88r under the Charities Act (Northern Ireland) 2008 and that an independent ex8rnin8tion is
required.
11 Is our ￿spOnSIbl1￿ to".
examine the financial State￿￿nIS under secbon 65 olthe chant￿ Act".
follow the procedufes laid down by the general ￿re¢l￿)n$ gwen by the Charity Commission for Northem Ireland
under section 6519llbl of the Charrties Act. aThJ
slate whether particular rnattg￿ havg comg to our attention.
Ba?18 of Independent examinerfs report
We have exarnined your charity financial statements as required under 8ect*)n 65 of Ihe Charitie5 Act and our
examination was c8rried out in accordan￿ with the general Direction5 gNen by the Charity Cornrnission for Northern
Ireland under 58ctv)n 6519llbl of the Chanlies Act. An examination indud8s a revh?w of the ae¢ounling record5 kept
by the chanty and a comparison of the finanoal ststements presented with those ￿cOrdS 11 also includes
consideration ol any unusual rtems or disclosures In Ihe financial statements seeking explanations from th8
trustees concerning any such matters. The pr(tedures uThJertaken Oo not provide all the evidence that be
required In an au411 and conwuentjy no opinon L8 gNen as lo wwher the axcunts p￿seftt a 'true and lair, view
and tr* report 1$ limited lo those matters set out in the $WemeTrl bel￿.
In connecton wth our examinat￿n, no rnatter has ccffle to our allention which gNe8 U5 cause lo beI￿Ve that in, any
material respect..
accounting records were not kepl in accordance wth sectson 63 of thè Charitiès Aet
the finanaal statements do not accord with Ih05e accounting records
there Is lurther inlorMa￿0n needed for 8 proper under51andiThJ of aecounts tts b• r•a¢h•d.
Indop¢nd¢nt ¢x•mlnoe• •tst•mont
We have no Concerns and have come across Tro other matters in connection with the examination to whith attenli¢)n
should be drawn in this ￿port in order to enab￿ a proper u￿1￿$￿ndIrfj of the finanoal $tatement$ to be reached.
John G McGinn
JOHN MAGMAHON & CO
Chartered Accountants and Registered Audrtors
112 Carnlough Road
Newry
Co. Dcmn
8T35 7EE
Northern Irtland
22/06/2026
Date: _

Killowen Fundraising Group
FINANCIAL STATEMENTS
for the financial year erKled 30 SepterniEr 2025
Unrestricted
Funds
2025
Total
Total
2025
2024
Nots8
Receipts and Payments Aecount
Roceipts
Activities for generating lunds
Donations & General Fu￿*raisIng
3.322
3.322
5,906
Total ￿teIpts
3.322
3.322
5,906
Payments
Charitsble activities:
Ch8rilabl8 activit18S
16,646
16,646
5,732
Total paym•nts
15.846
15.646
5,732
N•t rKelptsllp¥ym•ntsl lor th• Iln•n¢l•l y•ar
Balances brought forward at 1 October 2024
112.3241
50.880
112.3241
50.880
174
SO,51
Balanc88 carried forward at 30 Soptern￿r 2026
38.356
38,366
50,680
ststement of Aasots and LiabilltS08
Ca?h funds
8ank and cash
38.356
38,366
50,680
22/06/2026
Approv•d by th• Board olTN•t•M and *uthorlMd for fj••u• on
behalf by
•nd •lgn•d on tt•
k>7cArtJty
Mr Brian McAnulty
Roger MOr￿n
Trustoe
Mr8 Tra¢oy Rl¢•