Documents & reports
Publications
Access PSA's organizational profile, governance policies, reports, and brochures.
Organizational Profile
PSA Organizational Profile 2025–2026
Overview of PSA's vision, mission, objectives, priority sectors, and summary of activities for 2025–2026.
2025–2026Coming soon
Policies & Governance
Policies Manual (Revised March 2026)
Personnel, recruitment, conflict of interest, fundraising, gender, grievance, anti-harassment, procurement, social protection, and travel policies.
46082Coming soonCode of Conduct
PSA's code of conduct on safeguarding, ethics, integrity, and prevention of abuse and exploitation.
2026Coming soon
Annual Reports
Annual Report
Annual narrative and impact report. [To be uploaded once finalized.]
Coming soonComing soon
Audit Reports
Independent Auditors' Report & Financial Statements — FY 2025–2026
Balance sheet and income & expenditure account for the year ended 30 June 2026, audited by A.G. Habib & Co., Chartered Accountants (Karachi/Hyderabad), dated 07 August 2026. Key figures are summarized in the Financial Summary below; the signed report will be uploaded here once available.
FY 2025–2026Coming soon
Brochures
PSA Brochure
Introductory brochure summarizing PSA's work. [To be uploaded once finalized.]
Coming soonComing soon
Financial Summary
Year ended 30 June 2026 · Audited by A.G. Habib & Co., Chartered Accountants, dated 07 August 2026. Registered under the Societies Registration Act (XXI of 1860) — Certificate No. 7361 of 2014–2015.
Rs. 4,448,000
Total Income
Rs. 4,270,175
Total Expenditure
Rs. 177,825
Surplus for the Year
Income
- Funding — Department of Empowerment of Persons with Disabilities, Govt. of Sindh (Assistive Devices for Special Persons)Rs. 4,000,000
- Membership Fee & DonationsRs. 448,000
Expenditure
- Meeting ExpensesRs. 38,475
- Printing and StationeryRs. 19,490
- UtilitiesRs. 105,660
- Newspaper and PeriodicalsRs. 18,000
- Travelling and ConveyanceRs. 39,550
- Miscellaneous ExpensesRs. 34,000
- Staff CostRs. 420,000
- Printing and StationeryRs. 21,580
- Refreshment ExpensesRs. 40,000
- Travel Voucher to BeneficiaryRs. 396,300
- Vehicle Hiring and Fuel ExpensesRs. 478,120
- Transportation ExpensesRs. 32,000
- Wheel ChairsRs. 996,000
- Hearing DevicesRs. 1,282,500
- WalkersRs. 54,000
- LBORs. 35,250
- TripodRs. 35,100
- Blind SticksRs. 33,750
- BesakhiRs. 75,000
- OpticalRs. 57,500
- Bank ChargesRs. 9,600
Balance Sheet Snapshot — as at 30 June 2026
Employment of Funds
- Fixed Assets (net)Rs. 155,200
- Net Current AssetsRs. 33,300
- TotalRs. 188,500
Funds Employed — General Fund
- Opening Balance (1 Jul 2025)Rs. 10,675
- Surplus for the YearRs. 177,825
- Closing Balance (30 Jun 2026)Rs. 188,500
Figures above are drawn from the audited balance sheet and income & expenditure account for year ended 30 june 2026. The full signed report will be available for download above once uploaded.