As at | As at | |
31 December 2024 | 31 December 2023 | |
Assets | ||
Non-current assets | ||
Property, plant and equipment | 2,647,738 | 2,686,016 |
Capital work in progress | 145,786 | - |
Intangible assets | 3,289 | 13,901 |
Other assets | 76,375 | - |
Total non-current assets | 2,873,188 | 2,699,917 |
Current assets | ||
Cash and cash equivalents | 7,790,018 | 9,266,151 |
Other bank balances | 11,705,851 | 9,860,001 |
Receivables from donors | 2,989,976 | 1,905,596 |
Other assets | 463,611 | 280,901 |
Total current assets | 22,949,456 | 21,312,649 |
Total assets | 25,822,644 | 24,012,566 |
Liabilities | ||
Non-current liabilities | ||
Employee benefit obligations | 1,188,330 | 1,316,168 |
Total non-current liabilities | 1,188,330 | 1,316,168 |
Current liabilities | ||
Payables | 1,791,932 | 1,325,079 |
Deferred income | 5,068,404 | 5,608,507 |
Employee benefit obligations | 1,061,780 | 1,261,665 |
Total current liabilities | 7,922,116 | 8,195,251 |
Total liabilities | 9,110,446 | 9,511,419 |
Fund balance | ||
General reserve | 3,657,090 | 3,214,880 |
Operational reserve | 13,055,108 | 11,286,267 |
Total fund balance | 16,712,198 | 14,501,147 |
Total liabilities and fund balance | 25,822,644 | 24,012,566 |
Year Ended | Year Ended | ||||
Notes | 31 December 2024 | 31 December 2023 | |||
Income | |||||
Contribution from Donors | |||||
Core Contribution and Institutional Support | 11 | 8,260,560 | 6,586,027 | ||
Programme Support | 22 | 4,818,804 | 3,078,992 | ||
Special Projects | 21 | 7,473,759 | 5,296,225 | ||
Total Contributions from Donors | 20,553,123 | 14,961,244 | |||
Other Income | 12 | 740,913 | 744,406 | ||
Total Income | (A) | 21,294,036 | 15,705,650 | ||
Expense | 13 | ||||
Core and Institutional Support Expenses | 6,925,514 | 6,126,240 | |||
Programme Support Expenses | 22 | 4,818,804 | 3,078,992 | ||
Special Projects Expenses | 21 | 7,405,427 | 5,247,684 | ||
Total Expenses | (B) | 19,149,745 | 14,452,916 | ||
Operating surplus for the year | (A-B) | 2,144,291 | 1,252,734 | ||
Other comprehensive income | |||||
Items that will not be reclassified to Operating surplus | |||||
Remeasurements of post-employment benefit obligations | 66,760 | (334,821) | |||
Total other comprehensive income | 66,760 | (334,821) | |||
Total comprehensive surplus for the year | 2,211,051 | 917,913 |