CHARITY REGISTEIiED NUMBER:1021669
WALSALL BANGLADESHI PROGRESS'IVE SOCIETY
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
ABU & ABU
CHARTERED CERTIFIED ACCOUNTANTS
ABU NOWSHED CENTRE
71 WORDSWORTH ROAD
SMALL HEATH BIRMINGHAM
BIO OED
WEST MIDLANDS

WALSALL BANCLADESHI PROGRESSIVE SOCIETY
LEGAL AND ADMINISTRATIVE INFORMATION
Registered Charity Number:
1021669
Cbairman:
Noor Miah
Trustees:
Noor Miah
Aktber Ahmed Chowdhury
Mohanuned Mosur Ali
Reglstered Office:
291 Wednesbury Road
Pleck
Walsall
WS2 9QJ
Accountants:
Abu & Abu
Clwtered Certified Accountants
Abu Nowshed Centre
71 Word8WOrth Road
Small Heath, Binningham
BIOOED
West Midlands

WALSALL BANGLADESHI PROCRESSIVE SOCIETY
FOR THE YEAR ENDED 31 MARCH 2024
CONTEKrs
Page
Charlty - Exarniners report
Trustees, report
Balance sheet
Statement of financial activities
Schedule of funds
Notes

INDEPENDFNT FXAMINF.
'S Rf.i)ORT
TO THE TRUSTEES OF WALSALL BANGLADESHI PROGRF,SSIVF. SOCIETY
FOR THE YEAR ENDED 31 MARCH 2024
I report on the ac¢ouiits which are set out on pages 4 to 9
Respective responsiblllties of the
The trustees are responsible for the preparation of the 8ccouiils. The lrnstees consider Ihat an audil is nol
required for this year under sectioii 144(2) of ¢he Charities Act 2011 (the ?01 l Act) and that an indepeijdent
examinalion is needed. IÈ is iny responsTbility to:
The trustees who are also dire¢tOTS of the ¢ompally for the purpose or
Examine the accounts under section 145 of the ?01 l Act; follow the procedures laid down in the general
directions given by the Charity Commission (undeT sectioii 145(5)(b) of die ?01 l Acl); and state whether
particular matters have corne to my attention.
Basis of ind¢pendent examiner's report
My examination was carried out in accordance with the Generdl Directions given by the Charity Commlssion.
An examination incliides a review of the accounting records kept by the charity ￿]d a coniparison of the
aceounts presented with those records. It also includes consideration of any unusual items or disclosures in the
accounts. aiid seeking explanations from you as trustees concerniiig ￿]Y sucli malters. The proclditres
undeTtaken do not provide all the evidence that would be requirLd in an Éiudil, and coiiseqiieiitly iio optnic)ii is
given as to whether the accounts present a "true ￿]d fair view" and tlie report is liinited io diose inatters set out
iji the statetnent below.
Indepe
dent examiner's statement
Dated:4 June ?024
Abu Noiv5hed. FCCA
Chartered Certified Accoiinlants
Abii Nowshed Ccnlre
71 Wordsworth Road
Stnall Heath. BirTningham
BIOOED
West Midlands
Page

WALSALL BANGLADESHI PROGRESSIVE SOCIETY
REPORT OF THE
FOR THE YEAR ENDED 31 MARCH 2024
The Charities Act 2011, together the financial statements for the year, and confirni that the latt¢r Comply
with the requiT¢ments of the Act, the TTh￿t Deed and the Ch￿ltieS SORP 2005.
Structure> GovernAnc¢ and Management
Risk policy
The trustees have examined th¢ niajor strategic, business and operational risks which the Charity faces and
onfirnl that Syste￿ have been established to enable regular reports to be produced so that the necessary steps
can be taken to lessen these risks.
Objectives and activities
The principal activity of the Ch￿lty ¢ontinues to be that of charitable activities., providing community well
being servi¢¢s to the ¢ommunAty.
Financial review
Plan5 for future periods
Trustees ar¢ confident that post pandemic, the organisaton will wry on its vitsl Community activities and
provide necessary services to vaTiOW ¢onununity on matters adversely affecting theuL
Page

WALSALL BANGLADF.SHI PROC:RESSIVF. SOCIETY
REPORT OF THE {Coiitinued)
FOR THE YEI AR ENDED 31 MARCH 2024
Accounting and reporting responsibilities
The trustees are responsible for prep￿-llig the Trustee5' A1￿lla1 Report ￿]d tlie finaiicial stateinents in
accordance with applicable law and United Ki]igdom Acco￿ltIng Standards (United Kingdom Generally
Accepted Aecounttng Practice).
The law applicable to charities in Eiigland and Wales requires ilie trustees to prepare fuwicial siatements for
eaeh financiaA year which give a true and fair view of the stale of affairs of the charity and of the incoming
resources and applieation of resources 0£ the charity for tliat period. In preparing these financial statem¢nls, the
trustees are required to-.
select suitable accounting policies and apply then) consisleutly.
observe the methods and principles in the Charities SORP.
n]ake judgements and estimates that are reasonable and prudent"
state whether applicable accounting standards I￿ve been followed,subject to xny matei'ial departures
disclosed and explained in
the fmancial staternents-
pirpare the fmancial statements on a 8OitLg concern basis uiiless it is iiiappropriate to presume that the
charity will continiie lli operation.
The tI￿Stee$ are responsible for keeptng proper accounting recoi'ds which disclose with ￿aSonable accuracy at
any time the fu￿￿¢1a1 position of the chai"2ty and enable them lo eiisure that the fmancial slatemt1115 con]ply
with the Cbarities Act 2011, the Charity (A¢counts and Reports) Ilegulations ?008 and the provisioii of the trust
deed. They are also respoll5ible foi" saleguarding the assets of d]e charity and hence for taking reasondbke steps
for the prevention and detection ot- fraud and other I￿egUlaTitle5.
Approved by the trnstees on 4 June 2024 signed on its behalf by:
Noor Miah
Trustee
Page

W ALSALL BANGLADESHI PROGREssIvf SOCIETY
BALANCE SHEE,T
AT 31 MARCH 2024
Note
2024
2023
Tangible fixed assets
Tangible assets
1.195
Current assets
DebioTS
Bank Accounts
6,000
19,414
?1.144
21,144
Creditors
noiiiits falling due withiii
one year
R.70?
72
Net current assets
23,712
21,072
Total assets less eurrent liabilities
24.907
?1,072
Net assets
£?4,907
£?1,072
Capital funds
Rcsts"icted fi￿dS
UnTe5tricled funds
19,8?3
5,084
18.503
2,569
Total funds
£24,907
£?1.07?
Approved by the trustees on 4 Jwie 20?4 and signed on its behalf.
Noor Miah
The annexed notes fonn part of these financial statements.
Page

WALSALL BANGLADESHI PROGRESSIVE SOCIETY
STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR EIWED 31 MARCH 2024
Rest'd
llleome
Funds
Total
Funds
2024
To(al
Funds
2023
Unrest'd
Funds
Incoming resourtes
Incoming Resources from
g¢nerat¢d funds:
Voluntary in¢om¢
3,933
55,783
59,716
63,502
Total kncoming resources
3.933
55,783
59,716
63,502
Resollrc￿ expended
Cbaritsble activities
320
54,463
54,783
65,983
Gov¢rnan¢¢ Costs
1.098
1,098
500
Totsl resources expeDded
1,418
54.463
55.881
66,483
Net moyement in funds
2.515
1.320
3.835
(2.981)
Totsl funds brought forward
£ 2.569
£18,503
£21,072
24,053
Total funds earrled forward
£ 5.084
£19.823
£24,907
£21,072
Details of Incoming resources and Tesources used are given in the notes
to the financial statements.
Page

WALSALL BANGLADESHI PROGRESSIVE SOCIETY
STATEMENT OF FINANCIAL ACTIVITIES
DETAILED ANALYSIS OF MOVEMENTS IN FUNDS
FOR THE YEAR ENDED 31 MARCH 2024
2024
2023
General Fund
Balance B/fivd
General awards
Costs re general ￿tiVitieS
Accountancy
Depreciation
2,569
3,933
(320)
(700)
(398)
2,069
9,000
{8.000)
(500}
5,084
2,569
- Restricted Income Fund l -
Opening Balance
Project grants
Costs of project activities
18,503
55,783
(54,463)
21,984
54.502
(57,983)
19.823
18,503
Totsl funds at 31 Myrch 2024
£24,907
£21,072
Page

WALSALL BANGLADESHI PROGRESSIVE SOCIETY
NOTES TO THE FINANCIAL STATEMENrs
FOR THE YEAR ENDED 31 MARCH 2024
Accountkng pollcie5
The financial statements hav¢ been prepared under the historical cost conventton in accordance with the
accounting policies set out below,
These finanoial statements hav¢ been prepared in a¢¢ordance with FRS102 Se¢tion IA - The Financial
Report&ng StaTkdard applicable in the UK and Republic of Ireland and the Companies Act 2006.
Ineoming resources
All incoming resources are included in the SOFA when the clwity is le8&lly entitled to the income and
the amount can be quantified with reasonable accura¢y.
Resourees expended
All expenditure is accounted for on an accnthls basis and has been classified ulldw headings that
aggregate all costs related to the category Wh￿¢ costs cannot be directly attributed to pftrticular headings
they have been allocated to activities on a basis consistent with use of the resources. Plant & Macbinery
under Fix¢d Assets consists of lteD￿ bought using fimds rec¢iv¢d from Big Lottery. Peopl¢s Health
Tn￿( and Awards For All.
TAngible r￿ed assets and depre¢iation
Ton￿bIe fixed assets are stated at ¢05t less depreciatio￿ Depreciation is provided at rates cakulated to
write off the cost less estimated residual value of each asset over its expected useful life, as follows:
Land and buildillgs- 30/0 per 8nnum of cost
Plant and Machinery- 25•/0 per annum of c05t
Fixtures and Fittings - 25 /0 p¢r annum of cost
Grants received
Organisation received following grants during the accounting period. Trustees are grateful tothe
awarding bodies for their immense contsibutions Th¢ awarding bodies ar¢ as below . Big Lottery .
£32797 BBC Children In Need . £12462 Peoples Health Tn￿t . £3711 National Grid £6600 Sport
England . £2992 Cole Charitable Trust . £IOOO Eveson TNst . £3000 ( received in Feb 2023)
Turnover
Orgdllisation do not hav¢ any subsidiary to gen¢rdt¢ income except provid¢s chatitsble activitie8 to its
beneficlaries on receiving grants fmm vaTiOUS awarding bodies.
Page

WALSALL BANGLADESHI PROGRESSIVE SOCIETY
NOTES TO THE FINANC
AL STATEMENT
(Conlinued)
FOR THE YEAR ENDED 31 MARCH 2024
Staff tosts
The av¢rnge number of persons employed by the company, including directOT. during the year was &8
follows:
2024
2023
Administration
Txngible rued assets
Plant
and
Machinery
Cost:
Additions
1.593
At 31 March 2024
1.593
D¢preciation'.
Charge for the year
398
At 31 Ma￿h 2024
398
Net book value:
At 31 March 2024
£1.195
Debtors prepayments
Amounts falling due within one year.
2024
2023
Prepayments and A¢crued tn¢om¢
6,000
Page

WALSALL BANGLADESHI PROGRESSIVE SOCIETY
NOTES TO THE FINANCIAL STATEMENTS (Continued)
FOR THE YEAR ENDED 31 MARCH 2024
Credltors
Amounts falling due within one year:_
2024
2023
Sundry Creditors
Other Taxes & PAYE
600
1,102
70
£1,702
£ 72
Incomlng resourees
Rest'd
Ineon
Funds
2024
Unrest'd
Funds
2024
Total
Funds
2024
Total
Funds
2023
VolulltAry Income
General awards
Project grants
3.933
3.933
55,783
9.000
54,502
55.783
3,933
55,783
59,716
63,502
Charltable activities
2024
2024
2023
Costs of project activities
Costs re general activities
54,463
320
57.983
8,000
Governanee costs
2024
2024
2023
Accountancy
Depreciation
700
398
500
1,098
500