CHARITY REGISTIL4TION P4UMBER." NXC105792
GRANAGHAY4 OUTIiEACH
CHARITABLE TRUST
RECEIPTS AND PAYMENTS ACCOUNTS
FOR THE YEAR ENDED 28TH FEBRUARY 2025

GRAI4AGHAN OUTREACH
CHARITABLE TRUST
CoDt¢Dts
Page No
JnfoThnation patre
Trustee's a]]nual report
Independent Examiner5 Report
Receipts ond Pairynonts Accounts
Statement of f5nancial position
Note5 to the Aexounts

GBANAGHAN OUTREACH
CIL4RtTABLE TRUST
Trustees
Maev¥ Quinn
Christtne Friel
Eoin McGuckian
PauE Ward
{ChairpeTson)
(Secretary)
(Vi¢e- Chairper50D)
(Treasurer)
Secretary
ChTi5tine Friel
18 Mullagbnjore
Magh¢rn
BT46 5DX
Accountants
PFS Accountants and Auditors Ltd
Chartered Certifked Aeeountants
122 Main Street
Dungiven
Co. L'de
BT47 4LG
Solicitor5
Edwards & Co. Solicitors
28 Hill Street
Belkt
BTI 2LA

GIL4NAGHAN OiJTREACH
CHARITABLE TRUST
TRusfEES' ATr4NUAL REPORT
FOR THE YE1￿ ENDED 28TH FEBRUARY 2025
The trustees present their reportond the unaudited financial statements accounts of the ch&ity for the year ended
?8 FebruaJy 2025.
Referenet and administrative detsils
Registered Charity Nam¢
Grayaghan Outreach ch￿l￿ble Trust
Charity Tegistrxtion number
NIC10579?
Principal office
Grdnaghan Re50ur¢e Ceiltre
Main Street
Swatr
BT46 5GB
The trustees
Ma¢ve Quinn
ChTiStine Fri¢1
Eoin McGuckian
Paul Ward
(ChairpeFSOn)
A¢eouDtants
PFS Accountants and Auditors Ltd
Chartered C¢rtified Ac¢ountsnts
IL? Main Street
Dungiven
Co Deny
BT47 4LG
Structurfy govcn)ance and m#nagement
The Granaghan Outreach Charitable T￿t was established in 2007 artd was set up by way of a Trnst Deed dated
5th March ?007. The charitsble ttust constituted by this deed (th¢ Charity) and its propety (theTrnst Fund) shall b¢
administered and n￿laged by the tTUSt¢es under the nam¢ of Grènaghan Outreach Ch¥itablc TTU5t orby such other
name as the trustees from tim¢ to time d￿ld¢. There is no retnuneratiorL of any nthre made to th¢ Trustees.
Board of Tnjstees
TILe Trust is managed by a B0￿d of Trustees which meets QTL a regular basis and is chaired by Mis& Mseve Quinn.
The appointment of new Tn￿tee5 is made by a resolution to the existing Trustee5 P155ed at a special me¢ting.
Administration
The administration of the frust is undertaken by th¢ Treasurer, Paul Ward. Important decisions are carried out
only with the approval of the Board of Trustee
Objertivu and activities
The objects of the trust are exGlusiv¢ly chatitsbleb¢ing the promotion and provision of educalional. sociaL vo¢ational.
ultura] and Tecreational faGilitie5 and r¢li¢f of poverty for the communities ￿home and abroad WI￿ these objects
provide Telief and are n¢ed¢d.
Page ?

Achievement and performance
During the year the Charity continued ts fjjnd trusted mission8ri¢s with their work
Fingncial review
During the year Gran8gh8n Outreach ha5 ￿ntittUed to rdi5e fi]nds throu￿ various collections and donations.
The Charity made a surplus of £20,065. This is shown in the Statement of Re¢eipts and Payments Account tsn page 5.
The tn)stee5' annual Teptsrt was approved OTh 71FL January 2026 2nd sI￿¢d on b¢haIf of the btsard oftru5tces by.
Maev¢ Quinn
Trusts¢
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GIL4NAGHAN OUTREACH
CHARITABLE TRUST
Independent examiDeV5 report to the charity trustees of Granaghan Outreach Charitable TrusL
I report on the financial state¥Dents foT year ended ?8 February 2025. which are set out on paoes 5-6.
Respective R¢sponsibilities of charity trustec5 and examiner
As the charity's tntstees you are responsibk foT the Preparation ofthe accounts in accordance with the Ch8rtties Act
(Northern Irelend) ?008.
It is my T¢sponsibility'to=
examine the acGounts under sectton 65 of the Charities Act
follow th¢ PTocedure laid down in the general Direaions oiven by the Charity Commission forNorthem
Irelandunder section 65(9)(b) of the CTrRrities Act
state whether partiGular matters hav¢ Gome to my attention.
Basis of independent examinerf5 report
I have examined your Ghexity accounts as required undeT section 65 of the ChaTities Act and my examination was
caTTied out in accordance with ths general Dimctiot]s given by the Charity Commission for Nortbem Treland und2r
seczion 65(9)(b) of the Ch8rÉties Act.
My examination inGluded a revi¢w of the accounttng r¢cords kept by the Qharity and a compaTison of the accounts
presented with those recor(ts. It also included tonsideration of unusual itgms or disclosures in the accounts, and
seekinry explanations from you as ¢harity trustses concerning any such matters.
My role is to state whether any material matters have come to my attention givinv me cause to believe-
That accowitinry records were not kept in accord￿Ce with section 63 of the Charities ACL
That the ac¢ounts do not attord with those ac¢ountin4 records.
That the accowits do not comply with the accounting requirements of the ChaTÉties ACL
That there is f(ther inforntstion needed for a proper understanding of the accounts to be
reached.
I have o)mplet¢d my examiDation and have no coneerns in respect ofthe matters (l) to (4) listed above an¢ in
connection with followinu Directious ofthe Cbatity Commission foT Northern Irelan4 I have found no matters that
require drawing to your attention.
PFS Accountsllts ¥nd Auditors Ltd
Chartered Certifled A¢¢ountants
122 Main Street
Dungiven
Co Derry
.BT.47 4LG
Dat¢-
7th January 2026
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GRANAGHAN OiJTREACH
CHARITABLE TRUST
STATEMENf OF RECEIPTS AND PAymE￿s ACCOUNT
FOR THE YEAR E￿DED 28TH FEBRUARY 2025
UMr<$tri￿ed
Funds
R&stri¢ted
Funds
Notes
Totsl 2025
Totsl 2024
Receipts
Voluntary R¢¢eipts
96.370
96J70
24593
96,370
96.370
24.593
Payments
Travel & Accommodation
Insuran¢e
General Expenses
Accountancy
Donations
Zambia project
Kenyi project
Bank Charge5
4,877
902
345
179
600
179
600
250
3?,269
37,897
239
1,450
32269
37.897
239
39
76.305
76,305
13,759
Payments for assets
Total Payments
76.305
76.305
13.759
(Deficit) I Surplll5 for the year
20,065
20.065
10,834
Reconeiliation 28 Febrnary 2025
Cash at bank & in h8nd ?8 FebTuary 2024
Surplusl (defi¢it) this year end
Cash at bank & in hand ?8 February 2025
26,641
20,065
46.706
?6,641
20.065
46,706
15,807
10.834
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GIL4NAGHAN OUTREACH
CHARITABLE TRUST
STATEMENf OF F[NANCI￿L posrrIoN
FOR IEE YEAR ENDED 28TH FEBRUARY 2025
2025
2024
Current assets
Cash at bank and in hand
46,706
46,706
26,641
26,641
Net current 2ssets
46,706
26.641
Net assets
46,706
26,641
Funds of the charity
Unrestricted funds
Tot2J charity funds
46,706
46,706
26.641
26,641
These financial statements accounts were approved by the board of trustees and authoTised
for issue on 7th January 2026. and are signed on behalf of the board by:
Maeve Quinn
Trustee
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GRANAGHAN OUTREACH
CHARITABLE TRUST
NOTES TO THE FINANCIAL STATEMEwfs Accouwrs
FOR THE YEAR ENDED 2STh FEBRUARY 2025
l General infctrniation
The charity is a registered charity in Northern Ireland and is unincorporated. The address of the principal office is
Granaghan Resource Centr¢ Main StreeL Swatrdgh. CD. Derry. B T46 )GB.
2 Stateiiient of eomplianee
These financial 5taterncnts accounts have been PTepared in compliance with FRS 102. The Financial Reporting Standard
applicable in the UK and the Republic of Ireland,. the Statement of Recommended Practice applicable to chartttes preporing
their ac¢ounts in accordance with the Financial Reporting Standard appIl￿ble in the UK and Republi¢ of Jreland (FRS 10?)
(Chartties SORP IFRS 102)) and the Charities Act (Northem IrelarLd) 2008.
3 Atcoullting policies
Basis of preparation
The financial Statements accounts have been prepared on the histOTiGal cort bzsi5, as modified by the revaluation of certain
finan¢io1 assets and liabilities and investment properties measured at fair v&lu¢ through income or exp¢ndityre
The f)nancial statements accouats are prepared in stsrlin& whi¢h is the fvn¢tional QU￿￿nCY of the entity.
Going concern
There are no matsrial uncertainties about the charitys ability to continue.
4 T2xation
Granaghan Outreach Charitable Trust is registered as a charity for PUTP05es with HMR¢venue and
accordingly is ¢xempt from taxation. HMRC referenc¢ number- XT5466.
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