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Participatory Social Action (PSA) logoParticipatory Social ActionPSA · Tharparkar, Sindh

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 soon
  • Code 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
Total IncomeRs. 4,448,000

Expenditure

Administrative & General ExpensesRs. 255,175
  • 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
Distribution of Assistive DevicesRs. 3,966,700
  • 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
DepreciationRs. 48,300
Total ExpenditureRs. 4,270,175

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.