Charity registration number 1012357 IEFtgland and Wales)
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
c?,,, xeinadin

TraC￿.1￿g ID 1022-,89-12rOIS
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
Mt S DadhN¥ala
MrlMRaJ2
Mr M J l)esai
Mr E H Sader
MrYMKJada
Chority number (England and Wale51
1012357
Principal address
Thomton V*w Road
Clayton
Bradford
BD146JX
Auditor
XeinadinAudit Limited
Ground Fkjor. Crtygate
Longridge Road
Preston
Lancashire
United ￿.￿dorn
PR2 5BQ

Tra&ing 10 T923J89-12J 0166
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
CONTENTS
Pa9e
Trustees report
IndepeThlent audbtorfs report
Statement of financial activities
9alan￿ sheet
10
statement ol cash flow5
Notes trj the finanual statements
12-19

Trac￿1￿ ID 1023rag-12101$6
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
TRUSTEES REPORT
FOR THE YEAR ENDED 31 AUGUST 2025
The trustees present their annual report and finanrial stslements for the year ended 31 Au9USt 2025.
The fina￿la] statements have been prepared in acL0rdanC￿ with the accounting polices set out in note 1 to the
financial statements and cornpty with the chanty's goveming document th& Charities Act 2011. FRS 102 'Th8
Fin3no31 Reporting Standard applicable in the UK aThJ Republic of Ireland. and the Chanties SORP 'Ac¢ounting
and Reporting by Charities. Statement of Recornmended Practi￿ applicable to charities preparing their accounts in
a¢cordance with Ihe Financ￿1 Reporbng Standard applirable in the UK and Repubti¢ of Ireland IFRS 1021"
Oblecbves and activitie5
There are currently approximately 410 students on roll and appr0￿m>1ety 130 siudents are in the post 16 promsion.
The majority of students a￿ 8ribsh Muslims. As education providers. Jaamia endeavours to promde all thèir
students wrth as many opportun￿"e$ In education as possible_
The school prides itself lor beirg an instttute that offets both a comprehensive Aalrnah Cout5e and Secondary
curriculurn. We aim to connect the curricula as much as possible within the school. such that the teaching of the
secondary curriculum is not divorced and separated trom Islamic Con￿pts." rather rt is enhanced by introducing
Islatnic concepts. believe. through the prowsion of tsvo curricula within the school". namely the secx)ndary
cumculum and the Islamic Soences Curriculum. our students enjoy increased opportunities.
The school aims to ensure that the kn.me spent at Jaamia. fa(alitate students to attain. pn"manly the hvJhest levels of
5Piritual. moral. cultural and Islamic awareness and. in dose conjunction with this, Ihe highest levels of physical
intellectual achievement of which they are capable. Moreover. SCI￿ seeks to prepare students for the 21st
century, through religiou5 faith. by raising their awareness to the different tsJltuos around us and how we can Iwe as
a cohesive c(Nnmunity in a plural souety by a￿ptsn9 and respecting diversty by being tolerant to others in
accordance with fundamentsl Bnbsh value5. This 15 achieved by acbvely promobng attitude5 such as ￿SpeCt for
rule of law. IndivKlual libertes. democracy and mutual respect for dIffe￿rtt fw'ths and beliefs arKJ foi those wthout
faiu).. all of which conslitute fvndarnent318rth.sh values. In addition. the school seeks to empower Students and
prowde them with a stror*J reluious arKI Britsh ￿ents"ty where Ihey feel confKlent of both their fel(qious and Brity"sh
identity-
The schod has a friendty atmosphere where the stikyents leam and adapt to get on wrth others. h8ve the
opportunty to meet girts trorn different oJhural bad(grouThJs. improve thw'r interaction atyj communication skills.
learn indep8ndenc£ and Increase their farth_
The school offers a good broad rarye of subjects from Ihe National Curriculum. The appropriate curriculum policies
which are In place a￿ supported by good qualty sthemes of work for all subJ"ects. cJJrntsJlum provides for girts
to be¢ome Muslim scholars and relvJious teachers and also prepares them for any further educstion they would like
to pursue. The broad curriculum ensures that students are appropriatety prepared for life beyond school. The
school s promsion for study of Hadith (Piophetic Trad￿OnSI. the Qurani¢ studies (the practical aspects of Islamic
lifel and the Aiabic and Urdu language is outstandiTrJ.
Support sessions a￿ provided for students in need of extra help and there are also extra<urricular actiV￿e5 which
include cooking and art & STEM dubs etc. Public sk*aking. sporting and gardeniro activit￿5 are also organised.
Fun¢Jraising opportunitie5 have been organised for registered charit*S.
Th8 school has an embedded programrne of career educats.on and guidor￿ Ihat is known understocé by
pupils. parents. teachers and employers_ Further to service. students then have opportunty to go on to work
experien￿ pla￿Ments. In addilion, we have extended our career5 adm￿ enabliry pupils. access to
apprenliceships enhancing their key ski115 and have also ethnded vists frorn professionals. They also re￿1ve
regular visitors from different walks of life lo talk to thern aboutjob opportunites in their oryan15ations.
Subject specific educational trips are also in pl￿ to further enhance the student's knowledge and learning as well
as trips out. Educational visits were arranged for different year groups to the Magna Science AdvenbJre Centre, Nell
Bank. Go Ape. Botton Abbey. 14aknonal Emergency SWi￿s Museum. Doe Path and Malham Cove.
The school undertakes all the required checks to ensure that its staff and the proprietors are suitable to wort( wth
children. The school maintains a singk central register whith meets ihe ￿ula￿.0ns.

JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Commitment to Equality
The Charity is committed to promoting and ath*wrvJ equality. and lo ensure that unfair discrTmination Is eliminated.
It believe5 that unfair discrimination is totally unacceptable. Discthmlna￿.0n on the grounds of gender. race, disability.
age. religious or political belief. sexual orientation. soual badtground. mantsl status or pregnancy will not be
t0￿rated wthin Jaamia.
A¢hlevements and perfonnance
Significant actNitffj8s ènd achievements against objecfwes
Jaamiatul lrnaam Muhammad Zakaria Muh4ir Madani offeys a unK4ue o)mrnunity and enwronment in which
students leam and eXpenen￿ a vast array of social and academic skills in a safe and highly organised school that
endeavours to make Students. schooling hvjhly fnjitfijl and memorable. The sdwl day is stru¢tured so that student5
utilise their time well and in a balanced manner. Vve a￿ ￿nfident that the edurAtiOn pro￿ded equips our students to
deal wth dema￿￿$ of adutt lrfe in a mature and responsible manner.
This year has ￿erTr parnojlarfy significant. marked by the In¢*pendent Sch(rtYs Inspectorate IISII inspection in
October 2024. which was highly positive. The report high1￿hled strorYJ leadership and govern8rt￿, with trustees
maintaining effective oversight arKI ensuring Cc¥npIian￿ wth all standards. The sthool's 5slamic ethos Is deeply
ernbedded in bott) academic and boardiry life. fostering a respectful and welkmannered student body. Pupils
benefit from a broad DJrThculum. robust pastoral care. and stsuclured personal development programs.
ongside this. a major challenge for management ar￿ twstees has been adapting to the VAT legislation that came
into force at the end of October, requiring significant work to ensu￿ complonce ard finanaal stabilty.
The twstees of the sthoc4 nawgated other s￿nificant financial thalleroes t(M). indudiwJ business rates. In￿eaSe in
NalioTral Insuran￿ contributions, and the broader impact ol finanoal hardship on families. These pressures
neces511ated a careful reV￿W of school fees to ensure sustainability while remaining mindful of the financial burden
on parents. To rnbtigate these c*allerwes, fundraising efforts were expanded. seeking communty support and
altematsve revenue strearns to maintain the Scho￿.$ h￿h slandar(Js of edU￿tion and pastoral caiE.
Despite th15. th& 5th001 conbnues to move forward with resi1￿n￿. loojsing on both imme(liate priorities and long-
tem developrnenL
ar8 a150 delighte(J with our SUC￿$5￿1 cornpletion ofthe Bradlotd HeJllhy Minds Charternark GO￿ Award.
The Twstees are pleased that the PerfOman￿ of the school has been more than satisfactory through the year. In
the GCSEIA Level examinations, Jaamiatul Imaatn Muhatnrnad Zakaria Muhaiir Madani enjoys yet again a positive
year on year examination results which are evKlent indicators of SUC￿$S1vI teaching and ￿arning. wth parbcular
strength in Modern Foreign Languages and GCSE core subjects.
The school curienuy has full memtrErship vrith ISC (Ind4)e￿Ient Schth)Is Counrill. ISBA and ISA Ilndependent
Schools Association).
Building Development and Infrastructure Improvernents
The following building and infrastructure improvemenis were rnade".
. Safety urgrades.. inst311aton of handrails aThJ replaC￿ent of damaged play area panels
. Plumbing & methanical works". rnajor re-yping. boiler ￿pairS. manifold fixes. and 5y5tem corrections across
multiple buildings
Water system improvements" replacement of taps. shwr upJrades. and new installations.. thermostatic valve
replacèments
Electrical upgrades." insiallab.on of an ewn'c generator to Djrtail any dIstUrf)an￿ in the event of any power euts,
new distribution board and irnproved fuse box S￿nage
IT & communications. Installalion of VOIP payphone5 and an Fntemet leased line
StrLJCtural repairs." chirnney reslorabon, roof repairs and wall ie-poinbng
Bui1é1ng maintenan￿. plasienng. repainting. and preparation of comrnon areas
. Fumiture & fittings". upgrades to ftjrniture and rnattre5ses across buildings
. Heabng system Improvement5". boiler ￿paIrs. tnstallats.on ofgas Ly)oster. and slpporttng C2b￿ ￿layS
. Site stability." installation of buttress 5UPPOrts along the boundary walls

Tta¢king ID 7023J8>12iQtgfj
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Financial revlew
ReseThes policy
It 15 the policy of the charity that unrestricted funds which have not been designated for a specific use should be
maintained at a level equwalent to between three and six month s expenditure. The trustees Consider that reserves
at this ￿v￿ will ensure that. in ihe event of a sonificant drop in funding. they wll be able to conbnue the charity's
current activities while con&deration is given to ways in which addits'onal funds may LE ra15ed. This level of reserves
has been maintained throughout the year.
Plans for futur8 poriods
1. Window Repla￿ment Prqect
Replacement of approximately 500 W￿dow5 acro￿ èll builth"ngs. amed al improving safety. insulalion, and overall
energy 8fficiency.
2. Indoor Sports Hall I Prayer Room PrLyect
Development ola much-neededmulttpurpos8 facility to accommodatephystGal a¢tivibes. assefflblies. and salah.
Stnjcture. governance and management
The trust is an unincorporated trust. ¢onstitut8d urKler a trust deed dated 12 June 1992 as amended by scheme
dated 11 August 2021 3nd 15 a regislere(I charity. number 1012357. The trust was estsbiished to prornote the
advancement of eduGqtion and the adVan￿Ment ol Islamic failh parb'cularty by estsblishing and operating an
The trustees who 5etved during the year and up lo the date of svJnature of the finanaal statements were..
Mr S Dadhiwala
MIlMRaja
Mi M J Oesai
Mr E H Sader
MrYMKJada
Re¢ruitrt7ent and appointmerjt of trust88S
Appolntment of Trustees
The trustees are appointed by the Board of Trustees. The trust deed prowdes for 5 trustees. The Prinupal for the
tirne ￿Ing of the instrtution if not otherwise a trustee shall be an a¢Jditional trustee ex-offiao.
The power of appointmellt of I￿sleeS is vested in the conbnuing twstees lexduding any ￿tiring trustees). Th8
appointsnent ol teachers. a¢Yministrators and other people require(I for the running of thè Institution is the
responsibility of the Prinupal. The trustees have responsibility foi appointing a Prinupal.
Induction of Trustees
There are Intemal procedures for induction and trainiThJ of new trustees In However. Trustees a￿ encouragecl
to attend ￿t￿rTha1 briefings at¥J trainiNJ CoU￿eS too. All trustees undergts fomial training in Safeguarding. Heallh &
Safety and other relevanl training. TrUS￿e meeDngs a￿ hekl 3 times a year to revw and agree maior areas of
policy.
Risk Assessment
The trustees have examined the Major strategic. business aThJ ¢Jperational r6ks which the chanty la￿$ and confirm
that systems have been established to enable regulaf reports to be produ￿￿ so that ts necessary Steps can be
taken lo ￿du￿ and manage these risks.
Compliance
The school meets the Schedule to the Educats"on Ilndependent School Standaidsl Regulation$ 2014 and associaied
requirements. In addition, the sthool meets the National Minimum Standards for Boarding Sd)00Ss.

Trad¢ins 10 1023-'0S-12rOl￿S
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Location, Structure, Governance and Management
Jaamialul Imaam Muhammad Zakana Muhajir Madani is an indepei¥Jent boaTtJiry school for Muslim girfs 8g8d 11
years to 23 years. All students atten(l school full ty'me.
Thè school is situate¢Y in Clayton. Bradford. Vi*st Yorkshiie. Bradford is a metrr4)olitan trxjrough of West yort(SMi￿ in
Northefn England. It is situated in foothills ol Ihe Pennines. 8.6 miks 113.8 kml west of Leeds. and 16 miles
125.7 kml northwe51 of Wakefield. Bradford became a mUn￿paI borough in 1847. and receivecj its charter a5 a cty
in 1897 Fdlowing local govemment ￿f0m) in 1974. uty status was bestowed upon the wthr metropoltsn borough.
The schod is situated on a ten-aue 5rte in several kfge Victorian premises buill in 1854. The site houses several
building5 which a￿ used for educabon and boarding. The school was opened in 1992.
Reference and Administrative Detalls
The registered name of the chanty is Jaamiatul Imaam Muhammad Zakaria Muhajir Madani. The registered
charity nurnber is 1012357.
Tf* names of the Trustees who served Ihe insbtute duriThJ the year endiro 31stAugust 2025 are as fdlows..
Shokal Ali Dadhiwala
Yu5uf Karaiada
Ebrahirn Hasan Sader
Mohmed Juned Desai
Ismail Mohammed Saeed Raja
Registered office of charity: Thomton View Road.
Clayton.
Bradford
B014 6JX
Bankets:
Zempler Business
Cottons Centie. Cottons Lane
London
SE1 2QG
Ctroperatwe Bank
1 Balloon Street
Manchester
M60 4EP
Metro Bank
Orbe Southampton Row
London
WC1B SHA
Accountants.. Adam & Co Accountants
251, Derby Street
Adamson House
Bdlon
BL3 6LA
Auditors.. Xeinadin Audrt Ltd
Ground Floor
Ctygale
Longridge Road
Preslon
United Kirudom
PR2 5BQ

Trathn9 ID 1023-,&5-12iQlg
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
stst8m8nt of trustee5 respon5ibilitie$
The trustees a￿ ￿sponSible for prepanng the Trustees Report ar¥J the finanoal ststements in acrA)rdance with
applicable law and United Kinglom Accounting Standards (United lQ"ngdL¥n G￿ralty A￿pted Accounting
Practic&l.
The law applicable to charities in EnglarKJ and Wales requr￿$ the trustees to prepare financial statements for each
financial year which give a true and fair wew of the state of alfairs of the chanty and of the incoming re50urce5 and
appliCat￿n of resources of tr* charty for that year.
In preparing these financial statements. Ihe trustees are required to".
Se￿Cl suitable accountsng policies aThY then apply them consistenty.
obseNe the method5 and pnnciples in Ihe Charities SORP".
- make judgements and estimates that are reasonable and prudent
state whelhef applicable accounting Standar(Js have been followed. subj.ect to any material departures disclosed
explained in the finanoal statements". and
- prepare the financi81 staternents on the going concem basis unless rt is inappropriate to p￿sUrne that the charity
will continue in operation.
Th& trustees are responsible for keeping suffio.ent ac¢ounb"ro records that d15dose wth ￿350￿abltt accuracy at any
time the financial rK)silion of the chatty and enable thern to ensure that the finanrial statements cofflply wrth the
Charities Act 2011, the Charity (Accounts and Reports) Regulatsons 2008 and the pro￿$10n$ of the trust deed. They
are a150 responsible lor safeguarding the assets of the chamy and hence for taking reasonabk steps for the
prevention and detection of fraud and other irwulariles.
Approved by order of the board of trusteès and signed on rts behalf by..
Mr S Dadhwala
Trustee
3010612026
Dale".

JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
INDEPENDENT AUDITOR'S REPORT
TO THE TRUSTEES OF JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR
MADANI
Opinion
We have audited the finana81 statetnents of Jaamiatul Imaam Muhammad Zakaria Muhajir Madani Ithe'charity'l for
the year ended 31 Augusl 2025 which comw5e Statement of Finanual Actiwtses. the Staternent of Financial
P051tion, the Statement of Cash Flows and notes to the finanaal statements. Induding significant accounting
policies The financial reporbThJ framewo￿ Ihal has been applied in their preparation Is applicable law and United
Kingdom Accounb"ng Standards. induding Financial Reporting Standard 102 The FinaFycial Reporting Slandard
apphcable in Ihe UK and Republic of Ir8land Iunrted Gerer8l￿A￿p¢ed AccountitYJ Pracbeel.
In our Lpinion, the finanoal ststemenls..
give 3 true and fair wew of the stste of ihe thantys affairs as at 31 August 2025 and of its incoming reSoUr￿S
and applicabon of resour￿$. for the year then ended.
have been properly prepared in accordance vAth Uniby ￿ngdoM Generalty Accepted Accountsng Pra¢ts¢x.'
and
have been prepared in aCCOAlance wrth the CharibesAct 2011.
Basi5 for opinlon
conducted our aLKlit in accordan￿ wilh Intemational Standards on Audib'ng IUKI IISAS IUKII and applicable
law. Our responsibilities under those standards are further described In the Audifols ￿sponSIbl111ies for th8 audit of
thè financial statements sethon of our ￿pOrt. are independent of the charity In accordance with the ethir31
requirements Ihal are relevant to our aL¥Jr( ol the finanaal staternents in the UK. including the FRC s Ethical
Standard. and we have fUlfil￿d other elhical responsibilibes in accordance vthh these reqU1￿ments. ￿ believe
that the aLMJIt evidence we have obtained is sufficient and appropriate to provide a basis for our opinion.
Conclusions relating to going concem
In auditing the financial statement5. we have cond￿￿ed that the trustees usè of the g￿ng corK2rn basis of
accounting in the yeparation of the finantsal statements is appropriaie.
B8sed on the work we have perfomied. we have not identified any material un￿rtain￿"es relating to event5 or
nditions that. indivKlually or collectivety may cast significant doubt on the charity's ability to continue as a going
cortem for a period of at least tsvelve month5 from when the finanoal statemenis are auth￿iSed for issue.
Our re8ponsibi11tie5 and the responsib"rlths of the tW5tees with respect to going concern a￿ de$￿t)ed in the
rekvant se¢tions of this report.
Other information
The other information compfises the information ind￿Jed in the annual ￿pty¢ other than the finanaal ststements
and our auditorfs report thereon. The Irusiees are ￿sponSible foi the other Info￿ation cont8ined within the annual
rort. Our opinion on the financ4al statements does not cover the other inforrnation and we do not express any fomi
of assuran￿ Condusion thereon. Our respon51bility is to read the other Information and. in doing so. consider
whether the other Information is materially incAMSlStent wlh the finanual statements or our knowledge obtained In
the course of the audit. or othetW5e appears to be Material￿ rnisstated. If we Kjentify such material inconsistencies
or apparent material rnisstatements. we are required to detennine whether this gives rise to a tnaterial misstatement
in the financial statements themsefves. If, based on the work we have perforn￿￿. we conclude that there 15 a
material misststement of this other infomab"on. we are required to report that fact.
È have nothing to report in this regard_
Matters on vthich we are required lo report by ex¢eption
have nothing to report in respect ol the following matters in relalK)n to whith the Charities (Accounts and
Reports) Regulations 2008 requires us to report to you if, In our opinion.
tt)e Infonnation given in the finan(ial siatements is inconsistent tn any material ￿$t￿¢t wrth the trustees
report", Of
sufficient accounting records have not tEen kept". or
the financial statements are not In agreementwith ts accounbro ￿CordS.. or
we have not received all the inforrnabon and explanabons we require for our audrt.

Tr3tsing ID 1023 ras-12101-6
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE TRUSTEES OF JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR
MADANI
Responsibilities of trusteos
As explained more fully in the statement of trustees responsibilthes. the trustses are respon51ble for the preparation
of the finaficial statements and for being satisfied that they give a and faTrr view. and for such Intemal conlrol as
the trustees deterrnine is necessary to enable the preparation of finanaal statements that are tree from material
misstatement. whether due to trauLI or error. In p￿panng the finanoal statement5 the trustees are ￿Sponsible for
assessing the charity s abi11ty to conb.nue as a going cOn￿rn. ¢Yisdosing. as applicable. rnatters related to going
concern and using the going concern ba￿5 of aCCo￿nbn9 urless the trustees *ther intend to ￿ase operatsons. or
have no realistic alternative but to do so_
Auditorfs Trsponsibilities for thè audrt of the financial statements
W& have b*n appointed as auditor under section 144 of the Charitse5 Ad 2011 and ￿port in arxordance with thè
Act and relevant regulations made or having effect ¢hereunder_
Our objectives are to obiain reasonable assuran￿ about whether the finanual statements as a whole a￿ free trom
aterial misstatement. whether due to fraud or erlor. and to issue an a￿Y1t¢￿S report that indude5 our opinion.
Re850nable assurance 15 a high ￿Ve1 of assurance txjt is not 3 guarantee that an 8￿rt conducted in accordance
wrth ISAS IUIQ will ah¥ays delect a material misst2￿ment when rt exist5. Misstatements can arise fvom traud or
error and are Constdered m8terial 1f. ifidividualty or in aggregate. they could reasonabty be expeded to Influen
the economic decisions of users taken on the basis of these finantsal statements.
The extentto whith c>ur procsdures are capable of detecting irregularities. I[￿(￿1¥ng fraud, is detailed below.
Our approach to identifying and assessiry Ihe risks of rnaterial mis51atement in respect of irregularib"e5, induding
fraud and non-compliance wth laws regulations. was 8s follow5".
the engagement partner enSU￿d that the engagement team wlkcb.vely had Ihe appropriate c(Thpeten￿,
capabilities and skills to identify or recognise non-cornpliance wrth applicable laws and regulatlOn5",
we identified the laws and wulalions applirable to the charrty through disixjssions directors and othei
management. and from our comtneroal knO%￿edge and experienc* ofthe relevanl sector.
we focused on specific laws and regulations which we Considered may have a direct material effect on the
financial statements or the operations of the tharity. induding the ChaNies Act. data protectson. anti-bribery,
ernployment. and heath and safety legislation..
we assessed the extent of Complian￿ wth the laws and regUla￿'onS identified above through mak5ng enquiries of
rnanagement and inspects.ng I￿8% corTespondence." and
identified laws and regulakn'ons were communicated wtthin the audii tearn regularfy and the tearn remained alert to
in$tsn￿S of non-compliance Ihroughout the audit.
ViÈ assessed the SUs￿ptibI(ty of Ihe tharity's finanoal ststernents to material misstaternent. includirvJ obtaining an
understanding of how traLKJ mKJht occur. by..
making enquiries of management a5 to where they consKJwed there was su5cepbbibty to traL¥J. their knowledge of
actual, suspected and alleged fraud." and regulabor55.
To address Ihe risk of fraud through mariagement bias and ovefflde of contro15 we".
perfom)ed analytical procedures to lden￿"fy any unusual or unexpected relationships".
tested lau￿al ertlries lo ￿entIfy unusual transactions".
assessed whether Judgements and assumpts.ons made in determinirvj the accountswj est#nates We￿ indicative of
potential bias. and
investigated the rationale behind si9nificant or unusua transactions.
In ￿sponSe lo the risk of Irr￿Ul3n￿es and n0￿Mplian￿ ￿th laws and regulalon5, we designed procedures
which Included. but were not limited to..
agreeing fin8ncial statetnent discbsures to underty1r￿ supporbng d(xxJrnentstsOn.
' reading the minutes of rneetings of those charged witr g0veman￿.
enquiring of management as to actual potential litigation atKJ daims. an(1
iewing Corresponden￿ wilh HMRC. re￿vant regulaiors indudin9 Ihe Heatth and Safety Executtve. and the
chanty's legal advisors.

Tra¢￿Th9 10 1023189-1210186
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
INDEPENDENT AUDITOR'S REPORT {CONTINUED)
TO THE TRUSTEES OF JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR
MADANI
A fvrther descriptiori of our responsib¢'lIt￿ 1$ available Ihe Finan¢ial Reporting Counol's website at. https'.11
w￿W.froorg.u￿laudltor5re$p0￿sIb1Ilkn"es. This desoipbon fomis part of our auditorf5 rewt.
There are Inherent limitation5 in our audit prLKedu￿s described above_ Auditing st8ndards a150 lifflit the audit
pr￿￿￿￿$ required to idenbfy non-fAynpl1an￿ ￿ laws and regulab.ons to erouiry of the directors and other
management and the inspeclk)n of regulatory and legal corresponden￿. if any.
Materi21 mi5Staternent5 that arise due to frat¥J can be harder to detec# than those that arise from error as they may
involve deliberate con￿alMent or collusion.
Use of our report
ThLS report is Tnade solely to the thanty"s twstees, as a brAty. in ac£￿ance vrilh Part 4 of the Charitses (Account5
and Reports) Regulations 2008. Our audit work has been undertaken so that we rnight state to the Charity's trustees
those matters we are required to State to thern in an auditors report and for no other purpose. To the fUl￿$t extent
pemitted by law. we do not accept or assume responsibilty to anyone other than the charity and the charity'5
trustees a5 a LKJdy. for our audit work. for this reporL CK for the opinions we have fotmed.
Farook Patel BEng FCA Isenior Statutory Auditor)
Forand on behalf of Xeinadin Audrt Lirnrted. Statutory Audrtor
Chartered Accountants
Ground Floor, Citygaté
Longndge Road
Preston
Lancashi
PR2 5BQ
United Kingdorn
Dale." ..?.6. ..
Xeinadin Audit Limited Is e119ible for appointment as auditor of the charrty by wrtue of tts eligibility lor appointsnent as
auditor of a company under section 1212 of the Companies Act 201￿.

JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
STATEMENT OF FINANCIALACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2025
un￿StrICted
funds
2025
Unrestricted
funds
2024
Notes
Income and endowments frtsm:
Donations and I￿a¢le$
Charitable actiwties
Other income
286.517
1.561.663
47.630
275,604
1.310,747
6,027
Total Income
1.895.810
1.592.378
Exp8nditure on=
Chantsble actiwties
1.959.171
1.885.049
Tolal expenditure
1.959.171
1.685,049
Net eX￿ndItuTe and movement In funds
163.3611
192.6711
Re¢on¢iliation of funds..
Fund balance5 at 1 Septernber 2024
5,519.753
5.612.424
Fund balances at 31 August 2025
5.456.392
5.519,753
The stslernent of financial acbmties inctude5 all gains and k)sses recA)gnised in the year. Atl Income and expenditure
derive trom continuing actiwtie5.

Trapking ID 1023J 89-12rO148
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
BALANCE SHEET
AS AT 31 AUGUST2025
2025
2024
Notes
Fixed assets
Taffjib￿ assets
11
5.449.145
5.562,912
Current assets
Debtors
Cash at bank an¢J in hand
12
70.132
113.870
35.671
76.284
I84.￿2
111.955
CreditOTS= amounts talling due Mthin
one year
13
1176.7551
1155.1141
Net current as$etsl{liabilitiesl
7.247
143,1591
Total assets less current liabilitiès
5.456.392
5,519.753
The fund$ of the charity
Unrestricted fund5
14
5.456.392
5.519.753
5.456.392
5.519,753
3010612026
The financial statements ￿￿￿ approved ty the trustees on .........................
Mr S Dadhwala
Trustee
10-

JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 AUGUST 2025
2025
2024
Notes
Cash Ilows from operating activities
Cash generated from operations
16
59.116
147.474
Investlng actlvllles
Purchase oft8￿&ble fved assets
121.5301
1128.9761
Nat eash used In inve$ting activities
{21.5301
1128.9761
Net cash generated from finan¢in9 activities
Net Increase Èn ¢ash and cash tqulvalents
37.586
18,498
Cash and cash equwalents at beginning of year
76.284
57.786
cash and ¢2$h equivalents at end of year
113.870
76.284

Trapking ID 1023189-12101?6
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Accounting policies
Charity infornation
Jaamiatul lrnaam Muhammay Zakaria Muh8jir Madani is an unincorporated chanty regi8tered in Eryland and
Wales. The chaW5 registered number and wistered Offi￿ addres5 can be fouThJ in Trustees reporL
1.1 Basls of preparation
The financial ststernents have been prepared in accorda￿ wth the goveming d(tument. the Charities Act
2011. FRS 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland" and the
Charities SORP 'Ac¢ounting and ReportiThJ by Charibes" Statement of Recomrnended Practs"ce applicable to
charities preparing their accounts in accordan￿ with the Finanaal RepDrting Standard applicable In the UK
and Republic of Ireland IFRS 1021" The Chanty is a Public Beneffl Enkn"ty as defined by FRS 102.
The financial statements have departed from the Charities IAcoJvnts and Reportsl ReguTats"ons 2008 only to
the extent ￿qui￿d to provkle a true and fair wew. This departure has involved followng the Statement of
Recomrnen(Jed Practice for charits'es app￿r￿j FRS 102 rathei than the version of the Ststetnent ol
Recommended Practice which is ￿erred lo in the Regulations tmjt which has Sin￿ been wthdrawn.
The finanoal statements are prepared in steding. which ts the funthonal ajrrency of the chanty. Monetary
amount5 in these financial statements are rounded to the nèarest £.
The financial staternent5 have been p¥epar&J under the histOriGg1 cost conveth"on. The prinopal accounting
lioes adopted are sel out telow.
1.2 Going concern
At the tirntr of appro￿ng the financial statements. the truste85 have a ￿sOnab￿ expectation that the charity
has adequate resourTr5 to continue in operabonal e￿sten￿ for the foresee*ile future. Thus the trustees
o)ntinue to adopt the 901ng ￿nCern basis of accounbro In preparing the finanual 5tstetnents.
1.3 Charltable ￿ndS
Unrestricted funds are availab￿ ts use at the discxetion of the trustees in furtheran￿ of their charit8ble
objectives.
Restricted funds are subject to speofic ¢￿￿l￿On$ by donors or grantor5 as to how they may be used. The
purposes and uses of the restricted futKls are set out in the notes to the finanryal staiernents.
1.4 Incom•
Income is ￿COgnIsed when the chanty is legalty enlthd to it after any perfO[man￿ conditions have been mel
the amounts can be measure(J reliably. and it 15 probatAe that income will be re￿wed.
Cash don*"ons a￿ reco9nised on recwpL Othei donations are recognise(J once the charity has been nots.fied
of the donatiori. unless perfomiance coThlthons require deferral of the amount Income tax recoverable in
relat￿n lo donations received under Giftlkn¢J or ¢Jeeds of covenant is recognised at the ts.me of the donation.
Legacies are recognised receipt or otherwise if the chanty has been ntstrfieé of an impending distribution,
the amount is known. an¢Y rec£1Pt is expecled. If the amount is not known, the legacy is treated as a
contingent asset
12-

Tracking 10 10231.
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Aceountlng policies
IContinu•dl
1.5 Expenditu
Expenditure is recogni5ed once th￿ is a kgal or oJnstw¢tive Obl￿atiOn to transfer economic benefit to a
third party, it is probable that a transfer of e¢￿orni¢ benefits wll be requith in selllernent. 3nd the amount of
the obligation can be MeaSu￿d reliably.
Expenditur8 is das5ified by acb"vity. The costs of each ￿*¥ity are made up of the total of direct costs and
shared costs, including support costs invofved in undertaknng each adiwty. Direct costs attnbutable to a single
adivity are allo¢ated directty to that activty. Shared costs which contribute to rnore than one activity and
support costs which are nol attributable to a 5iThJJe actiwty a￿ appothoned between those acti¥￿e5 on a basls
consistent with the use of resources. Central staff costs are all¢xated on the basis of time sp8n( and
depreciation charges are allLtated on the porbon of Ihe asset's use_
1.6 Tangible fixed assets
Tangible fixecl assets are inrtially measured at r£sSt and subwL*nUy Measu￿ at I￿￿t or valuabon, net of
depreryation and any impaiment tosses.
Depreciation Is ￿cOgnIse[l so as to write off the cost or valuatbon of assets less thw'r ￿idUal values over their
useful lives on the following bases".
Freehold land and buikliThJs
Plant and equipment
Fixtu￿$ an¢J fitt5ngs
Motor vehicles
Slraighl line over 50 years
25% on redu(irvJ balance
25% on reduong balan
25% on reduong balance
The gain or bss 8risiw on the disposal of an asset is detem)ined as the (JIfferen￿ belween the Sa￿ pro￿0$
and the carrying value of the asset. and is recogni5e(J in the statement of finanrxal activities.
1.7 Impairment of fixed assets
Al each reporting end date. the charty reviews carrying amounts ol its tsngible assets to detemine
whether there is any indication that those assets have suffered an Impairment loss. If any such Indication
exists, the recoverable amount ol the asset is estimated in order to determine the extent of the impairrnent
loss lif anyl.
1.8 Cash and cash equivalents
Cash and cash equivalents indude cash in hand, deposits hekl al r2U wth banks, other short-temi liquid
investments with original maiuntEs of three m(x)ths or less. and bank overdraft5. 8ank overdrafts a￿ shovm
thin borrown9s in current liabil￿e5_
1.9 Financial instruments
The chanty has elected to apply the provisi0r￿ of Section 11 'Basic Finanaal Instwments, Section 12
'Other Financial Instrument5 Issues. of FRS 102 lo all of its finanual Instnjrnents.
Financial instruments are ￿COgnised in the cha￿S balan￿ sheet when the charity berA)rnes party lo the
ntractual provisions of the instrument.
Financial assets ar¥J Iiabilibes are offset. with the net arnounts presented in the finanryal statements, when
there is a legally enforceable nght to Set off the recognised amounts there s an Intents"on to settle on a net
basis or to ￿alIse the asset and setoe the liability simuttaneously.
13-

T¢ackiw ID 1023-, 89_12-.0IS6
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
ACCOUn￿n9 pollcies
(Continued)
Basi¢ fitTrancial assets
Basic finanrial a55et5, which Ind￿Je debtors and r25h aThJ bank balances. are initially rneaSu￿d at
transaction price Including transaction costs and are subsequendy carried at amottised ¢ost using the effective
Interest Meth1￿ unless the arrangement constitutes a finanong transaction. where the transacbon is
measured at the p￿sent value of the fubjre reTripts discounte(l at a rnarket rate of Interest. Financial assets
dassified as ￿eeNable wthin one year are not amortised.
Basle financial liabilities
Basic finanaal liabilrties, Induding creditors and bank loans a￿ rnitsally rwnised at transaction p￿￿ unless
the arrang&ment constitutes a finanung transaction. where the debt instrument is measured at the present
value of the future payments discounted at a marke¢ rate of intefe5L Finanual liabilib.es dassified as payable
wiihin one year are not arnorbsed.
Debt instruments ale subsequenvy carried at amorbsed cost. using U)e effecb.ve inte￿t rate method.
Trade cte(litors are ¢*Jligation5 to pay for goods or seNiw thal have trEen a(4uired in the ordinary course of
Lyerations trtsm suppliers. Amounts payable are das5ified as current Iiabilitss if payment 15 due within one
year or less. If not. Ihey are p￿sented as non<urYent 11abilities. Tr*k Creditors are recogn15ed initialty at
transaction price and suwuelltly measured al amLvbsed cosl using the effective interest methcml.
Derecognition offinancial liabilities
Financial liabilikn.es are derec(MJni5ed when the charrty's contractual obluations expirè or are discharged or
c2ncelled.
1.10 Employee benefits
The cost of any unused holTday enb"Ilement is recArynised in the peri￿J in which the employee's 5erwces are
receNed.
Termination benefit5 ale ￿e0gniSed immediately as an expense when the charity is dernon5trably CDtnrnitted
to terminate the employrnent Of an employee or to prowde termination beneffts.
1.11 Retirement benef
Payments to clefined contribubon reb"rement benefit schemes are Charged as an expense as they fall due.
Income Irom donations and legacfjes
Unrestri¢tsd
funds
2025
Unrestricted
funds
2024
Donats"ons and gifts
286,517
275,604
14-

TraCk.n9 ID
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
Income froffl charitable actlvtiies
Unrest￿eted
funds
2025
Unrestricted
funds
2024
S¢h¢)ol fees
School fees
1,561.663
1,310.747
Other ineome
Unrestricted Unrestricted
funds
funds
Z025
2024
Other income
47,630
6.027
Expenditure on charitable a¢tivitie$
Ch2rttable
activities
Charitable
activities
202S
2024
Direct costs
Staff costs
626.193
571,094
sha￿ of support and gov8rnart¢e costs (See note 61
Support
Governance
1.326.839
6.139
1.099.450
14.505
1.959.171
1.685,049
Analysis by fund
Unr*tricied funds
1.959.171
1,685.049
15-

Tra&.Ing ID 1023185-1210188
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Support costs allocated to a¢tivftles
2025
2024
Staff cost5
Depreoabon
Rates and Vfdter
Insurance
L￿ht and heal
Telephor
Postaje and stationary
Repair and ￿new81$
Cleaning
Canteen
Motor and travel expenses
Governance costs
223,319
135,297
165.212
9.572
232.840
4.628
165.973
126,280
34,796
208,319
20.603
6.139
191.910
148.769
92.119
8.795
197.693
3.133
120.969
66.250
28.721
222,156
18,935
14,505
1.332.978
1.113.955
Analysed between..
ChantabLe a¢tsvities
1.332,978
1,113.955
2025
2024
Govemance ¢o$ts ¢omprise:
Audit fee5
Accountancy
2,097
4,042
4,307
10,198
6.139
14.505
Net movement in funds
2025
2024
The net movement In funds is stated after chargirVJllc￿￿th"ngl".
Fee5 payable for the audit of the chantys finanaal statements
Dep￿CiabOn of owned tangible fixed assels
2,097
135,297
4.307
148.769
Trustees
Trustees expenses
There We￿ no trustees expenses pa￿ for the year ended 31 August 2025 nor lor the year ended 31 Auousl
2024.
16-

Tt8¢kin9 ID '.0231 89-721018
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Employees
The average rnonthly nurnber ofemployees duriThJ the year was..
2025
Number
2024
Number
Teathing
Admin
21
21
Total
87
87
Employment costs
2025
2024
Wages and salanes
Social secunty costs
Other pension ¢osts
828.698
19.764
1.050
747.303
14.690
1.011
849.512
763,004
There were no empkjyees wlK)se annual r8muneration was MO￿ than £60.IYY).
Rernuneration of kèy management peysonnel
The remuneration of key management personnel was as lollows-
2025
2024
Aggwate compensab'on
18.339
19,738
10 Taxation
The charty is exernpl from tsxation on 115 acti￿￿e5 beouse all its income is appled for tharitable purp05e5.
17-

Tr3¢kJng ID 1023-, 85-12tr0146
JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
11 Tangible fixed assets
FreehDW tsnd
and buiSdin95
Plant amd Fixiures and
equipmerrt
fittings
Motor
v*hiele5
Totsi
Cost
At 1 September 2024
Additions
6,085.134
740.968
21.530
415.160
12,LKJO 7.253.262
21.530
At 31 August 2025
6,085.134
762.498
415.180
12,000 7.274,792
Depreciation and Impalnnent
At 1 September 2024
Depreciation charge(1 in the year
757.550
71.074
560.336
50.541
365.533
12.415
6.931
1.267
1.690.350
135.297
At 31 August 2025
828.624
610.877
371.948
8,198 1.825.647
Carrylny amount
At 31 August 2025
5.256,510
151.621
37.212
3.802 5.449.145
At 31 AugLSSt 2024
5.327.584
180.PJ32
49.627
5.069 5.562.912
12 Debtors
202S
2024
Amounts falling due wfthin one year=
Trade debtors
Prepayment5 and accrued income
47.208
22.924
18.928
16.743
70.132
35,671
13 Creditor5'. amounts fallÈny due within one year
2025
2024
Other tsxation and sotsal secuiity
Trade ￿dItorS
Oiher ￿ditorS
Accruals and deferred incorne
60.605
6.432
41,568
58.150
2.036
36.047
63.672
53.359
176.755
155.114

JAAMIATUL IMAAM MUHAMMAD ZAKARIA MUHAJIR MADANI
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
14 Unrestricted funds
The unrestricted fvnd5 of the charity eompnse the unexpended balances of donations and grants which are
not subject to specific conditions by donors aThY grantors as to how they may be used. These indude
designated funds which have been set asKSe out of uvrestricted fur4ts by the trustees for speafic purposes.
At1
Incominy
September resources
2024
Resources At 31 August
expended
2025
General funds
5.519.753
1.895.810
11,959.1711
5,456,392
PTevlous year:
At1
September
2023
In¢oming
resources
Resources At 31 AugU$t
expended
2024
Gèneral funds
5,612.424
1.592.378
11.685.049)
5.519,753
15 Related party transactions
There were no trustee5' rernuneiation or otsr terefits for the year ended 31 August 2025 nor for the year
ended 31 August 2024 except Mr Isrnail Mohammed Saeed Raja was paKI £18.339 for his role as pnncipal
12024". £19.7381.
16 Cash genèrated from operations
2025
2024
Deficit fof the year
163.3611
192,6711
Adjustments for.
Depreciabon and trnpaitrnent of taTrJible fixed assets
135.297
148.769
Movements in vmrklng ¢apltsl:
(Inc￿¥sel1￿euease in debtors
In¢￿aSe in (Yeditors
134,4611
21,641
21.032
70,344
Cash generztod from optratlon$
59.116
147.474
17 Analysls of changes in net funds
The chanty had no material debt during the year.