Transparency
We believe donors deserve to know exactly how their contributions are used. Below is a summary from our independently audited accounts for the financial year 2024-25.
Donations received
₹6,98,011
Directly on programs
₹3,65,382
Carried to reserves
₹54,685
Fund utilisation — FY 2024-25
01 April 2024 – 31 March 2025
| EducationProgram | ₹2,21,200 |
| Medical campsProgram | ₹92,300 |
| Relief to the poorProgram | ₹51,882 |
| Salaries | ₹1,56,000 |
| Rent | ₹54,000 |
| Administration | ₹32,400 |
| Miscellaneous | ₹30,100 |
| Bank charges | ₹5,444 |
| Surplus carried to reserves | ₹54,685 |
| Total | ₹6,98,011 |
Figures from the Trust’s audited Receipt & Payment statement for FY 2024-25, audited by Meedivemula & Associates, Chartered Accountants (FRN 022471S). PAN AAITA2939C · 80G Reg. AAITA2939C23HY02.