SllElKM NAZDI suri TRUST
CLIRITY 110. 10417

Page I
SBELKH IIAZIM SIIFI TrUST
REPORT OT TRUSTEES
YLIR KEIDZD 31ST J(ILY 2025
The trustee8 pr•$•nt thelr annual report togetber wlth tbe flllAtLelal statement8 of
Shelkh NAzlm Sllfl Tru8t Itbe charlty) for the year ended 318t July 2025. The tru8tee8
eonflrn that the annu41 report 8Thd fln4ne141 8tAtevnts of tbe charlty comply wlth the
requlremeTht8 of the Charltle8 Aet 2011. the charlty $ trust deed and Accountth8 and
Reportkng by Charltle8: Statement of Recommended Practlce appllcable to eELarLtle8
preparlng thelr accowits aeeordAnce wlth the Flnanelal Report£n8 Standard8
appltcable ltt the Unlted Klngdom and Republ£¢ of Ireland IFRS 1021 le£fectlve 18t
January 2015).
ESTABLISHIIEIIT OF TRUST
The Chartty w48 e8¢8bll•hed on 10th tl#y 1994. It 18 8overned by a Tru$t Deed
attd w•8 re8I8tered as charlty number 1041754 on 18th October 1994.
THE OBJECTS
The object8 of ckn Charaty aré as £0ll¢)ws:
lal ProU￿rIn8 the advancement of l$lBmlc falth In partlcular Imvolvln8
peopl• of Br£tl8h Andlor Europtart J4tlonAI orl81ll.
Ibl Provldtng and malntalnln8 a plaee of t•mr6hlp.
lel Provldln8 Iervlees to relleve sufferlng. 8lekThe88 And poverty
Aeeordance wlth the pt*tt¢lplee and practleo of 1s14P.
Idl EelplD8 to Improve tbè Ilvln8> Inental alld moral stAnd4rd of people.
(el Carryln8 Out rell8lou8 $ervl¢e8 Such as covtssellln8.
If l A$sl8t&n8 Iolarnlc tralnlng and edue4tlon.
DEVELOF•IINTS ACTIVITIES AIID ACHIIVE141MTS
It wa8 a 8ueee88flll yeAr wlth tbe Trust eontlnulng to Batl$faetorlly 8ehleve Its
8tated object8 and It £8 Intended that thls wlll Cl￿tInue for future yeAf8.
aln achlev¢mettt gf the Charlty durln8 the year wa8 to provld• Its 801e
propertytr located at 277 St. Aan's Road. London. 1115 5RG A8 a place of wor8blp
and refu8e to those of the lslawlc falrh.
Monetary funds t8t$ed rhrough rental IAe¢)me ar£$lng from the property h4ve beett
sed In covetlttg the operatln8 C08t6 of the 8ub81dlAry* Shelkh Ilazlm Sufl Cetttr¢
Ltslted.
FiNANCL￿ REVIEW
Ilearly all tru8t flnancaal actlvltle8 have been catrled ¢)n through the subsLdlary
ShelklL Nazth Sufl Centre Llmlted.

Pa8e 3
SUEIKH NAZIM SUFI TRUST
1ST
277. S¢. Ann'8 RoAd. L¢>ndon. N15 5RG.
Sant4nder UK ple• 2 Trlton Square* Re8ent'8 PIAce• London. EITII 3AN.
Nevron & Garner Ltd, Bulldln8 2, 30 Frlern Park. Ilortb Flnchley J London. 1112 9DA.
Bartlett61 38 Wllloughby Road. t￿Tra011. N8 OJQ.
TRUSTEES I RXSPON51BILITIES
Law 4pplleAble to charltleB *n Ellsland & Wales requlre8 che trii8tee8 to prepare
flnan¢lkil gtAtement8 for each flnAnelal year whleh glve a true Attd fAlr vlew of
the charlty'8 flnanclal actlvltles durlog the yeLt of It8 flJ)Anel41 pos£tlo
at tbe end of tbe year.
In pt*p4r£tt8 fln•ne141 statements 8lvlllg a true and falr
vlew, the trnstees should follow best practlce and
(*)
Select sultable aeeolmtltsg pollele8 and then apply them con51stently.
{11) Ilake Judgement8 and e6tlmates that are rea8¢)n&bl¢ And prudent.
{111) Prepare the flnanclal 8tat¢m¢nt8 Qn the C4XLcern bas18 uDles6 It
18 InApproprl•te tts presume that the cbarlty wlll contlnue In operatton.
The trustee8 are respoL8lble for keepln8 4CCOUlltlng records whleh dl8elo6e wlth
reo$onoble *eeur*ey the flnanclal posltlon 0£ tlLe cbarlty and wblch ellAbl¢ them
to ensure tELat the flnanelal 8¢Atemeat$ comply wlth the tTh¥st deed. They are
a180 respon8lble for $afe8ll*rdln8 the as8etB Ot the cbarlty and hence for tAkth8
re•son•ble 8tep6 for the preventlon and detectlon of fraud and other Irr¢8U1Ar￿t1es.
Nev tru8cee8 ￿Y be appolnted by a majorlty of tbe trustees In Theetln8.
roved b
Tr
2026 and 61
ed orl thelr behalf
- TRUSTEE

Pale 2
NAzni SUFI TRUST
REPORT 07 YHE
CBARITT POLICIES
Tbe Trust does not currenrly ¢JLgage IDve8tment acrivlry aud any lucb actlvLty
would Involve the seek*ng of profe88*onal advlce before Buch aetlvlty took place.
The Trtysteeo revlew tbelr mRnagemetLt pollele8 on an annual ba816.
They are of
oplnlott that there Are no ￿ajOr rtsks to whleh the ChArlcy 18 exposed and
tberefore. systems to mltl8ate r*8k Are ttot eonsldered nece88Ary.
The Trnstees have not set a level 0£ ancome rèserves nece884ry to walntaln the
Ch4r*ty because It Is not consldered Thece88&ry.
The Tnx8tee8 select beneflclarles *eeordln8 to the a8sesBed needs of Ind£vlduA16
and IDBtltut*on8 And In accordance wlth the Stated object8 of the Charlty.
Tlke Cbarlty truatees who havé 8•rved durln8 the year ¥erè:_
Cutteyt Yumakc
Haj I Serkatt (re8l8tted)
tthm¢az Taf taf
Moballlllled Adll (appolnted 27.01. 26)
The Trn8teeg ¢gnrluue to provlde thelr 8ervl¢e$ free of chatge to the Ch4r£ty,

PA8¢ 4
SHEIKH NAZIM siin TRUST
110. OT CHARITY - 10417
IIIDXPENDENT EXAMINERS REPORT TO THE TRusfEBS OF SHEIKK NAZIM siirI TRUST
I report on the account8 of the TruBt for the year ended 318t July 2025.
whlch Are set out on pa8e8 5 to 10.
R¢¥ eettve re• oM•lb£llt£•• of tYu•t•e• Attd ex•mlD•r
The eharlty's trustee8 are re$ponslble for the preparatlon of the aeeouttts.
The eharlty 8 tru8tee8 con8lder that an audlt la not requlred for tlLl8 year
under $ectlon 144121 of the ChArltle8 Aet 2011 It￿ 2011 Aet} and tbAt a
Independent examlnatloll Is Deeded.
It 18 my respott$lblllty to:
11) ExaTrlDe the accounts wider $ecrlon 145 of the 2011 Aet.
12) To follrrA7 the procedure8 lald doTm In the General Dlrectlon8 8*ven
by the Charlty ColloDlssloner8 ullder sectlon l45151 Ib) of the 2011 Aet and
13) To 8tate whether partlcular matters have e¢)mt to my attelltlon.
BaBI8 of Inde
eudent exa*£n•r • r•
My wa8 carrled out In accordance wlth the General Dlr•ctlLTh8 glven
by the Charlty CotDTrI881oners. kn exathlLAtlon Include8 a revlev 0£ tTrLe ACC01ATltln8
records kept by the charlty and a ¢omparl8on of the a¢counc8 preaented wLtkn those
records.
It aloo In¢lud¢¥ conslder4tlon of any unusual Item8 or d£8¢loaures
tILe ALccpunta> and seekln8 explanAtlon$ from you as tru6tee6 concern*ng any 8u¢h
atter8. The pro¢edute$ undertaken do not provlde all the ev*dence that would
be requlred an audlt• arLd con8equently I do ttot express an oudlt oplnlon on
the vlev gtven by the account8.
Ind
end•at
o¢r • •t•t•M•nt
In conllectlon vtch my ex4mlnatlon> no matter bA8 come to my Attenttoni
11) S￿V¢S Jne rea80nable cause to belleve ¢ht In *ny materlal respect
th• r•qulremeTht8 t
(11 fo keep aeeountltt8 recgrd• accordance wlth 8éet£on 130 of the 2011 Aet
(11> To prepare ac¢ount8 whlch accord wlth tbe Ae¢QlUItIrt8 rÈeord8 and coxply
wlth the aeeoulltlng requlrer*nts of the 2011 Act
have not been met• or
<21 To whlch. In my optnloa* &tt¢tttloA 8hould be dravTh In order to enAble a
ptoper understandln8 of the 4eeountB to be reached.
l¥-
R. KEIIGHT FCCA ATII ACA.
BUIU)ING 2, 30 FRIERN PARK.
NORTH TINCHLEY,
LOIIDON. NI2
DATE

Page 5
F FINAIICIAL ACTIVITIES
Unre8¢rl¢ted fund8
GeneraL
Property Re8trleted
Funds
TotaL
Total
Notes
INCOIIING IZSOURCZS
Don8tlon8 & glft8
Rental In¢ome
35.705
35,705
46,908
TOTAL IN
NG
SOURCES
£35. 705
£35.705
£46.908
RESOURCES EXPENDED
Dtreet cbarltable
expertdlture
M4nA8evnt &
AdwlDl$tratloo e08t8
35,650
35,650
49,268
1.810
1,810
1.242
AL RES
£37, 460
£37.460
£50,5IQ
Iirr OUTGOING
RESOURCES FOR YEAR
Tr4n8fer between fundB
11,755)
(1.755)
13,6021
11.755)
(1.7551
13,6021
Balattee at 16t Au8u5t 2024
4,820,310
4,820.310 4.823,9I2
1ST JULY 202
£4,8l8,555
£4.818,555 £4.820,310

Page 6
SllKIKH NAZLII SUFI TRU
AT
IST JUL7 20
FIXED ASSETS
Tan8lble 4o$et$
Inve8tment
Inveotment property
83
loo
18.000.000
103
loo
10.475,000
18,000,183
10.475,203
CIIRREMT ASSITS
Debtors
Cash at bank & In hand
780
2,306
5,888
3,086
5.888
Credltors
433, 936
435,003
CUR2Ewf LIABI
(430,850)
(429,1151
ET
£17,569.333
£10,046,088
BESTUCTED TUNDS
General fund
Revaluatlon re8erve
9 & 10
9 & 10
4,818.555
12.750.778
4.820,310
5.225.77B
£l7.569,333
£10.046.088
roved b the Tru
- 2026 and
helr behal£
TRUSTEE

Pa8e 7
SEEIKH MAZIM surI TRtIST
CASB FLOW STATEMKWI
AT
NET INCWNG
ESOIJRCES FOR TIIE 7ZAR
{1,755)
(3,602)
Depreclatlon
IIThcre4$el Idecrea8e In debtors
D•er•88• In credlcor8
20
17801
11,067)
20
15.353
(20.904)
FRI￿ ORDINARY
TIVITIES
13,582)
(9.133)
Investment ptoperty addltlon
Ftsed asset Addltlon6
Loan$ reeelved
L¢AttS ]llade
MET CASH DECREASE
£(3,5821
£19.133)
at baDk
At 1st Au8USt 2024
Net cash decreaBe
5,888
(3.582>
15.021
(9.133>
£2,306
£5.888

Page 8
NAZIH SUFI TRUST
MOTES TO
l. AccouYfiNG POLICIES
The fln8nelo1 statements have been prepared In Aecord4nce wlth #ppl*e4ble
accountlng standards arLd The Statement of Recomnended Practl¢e> 46Account*n8
by CILarltles". The partlcular accountlng pollcles adopted are detalled below.
The flnanclal 8tatwllent8 are prepared under the hlstor*eal cost conventloll•
Donat*on• 4r• accounted for Tknn recelved.
IlThexpended 8raatg In re8peet of UAeompleted 8peclal project8 are carrled
foTh7ard a reotrlcted funt1 occouLt as opproprlaee.
Ftsad a88•t8
Flxed a$set8 are stated 8t the lower of c08t and net reallsable valuè.
raelatlon
Dépteclatton l¥ calculated to wrlte off the c08t of tanglbl• flxed assets over
thelr estthated useful Ilves ork a gtral8ht-Ilne bA818 48 follow8:
F*%tures1 f Ittln88 & equlpment
15Z
No depreclatlon provlded on Investment propertle8.
The Trust has madè the property known 88 the Shelkh NAZLM Sufl Centre ava£labl¢
to 8eTre As accoll￿0aatl0tt for otherwlse homele$s refugees.
The rental £ne¢)me
has been reeelv¢d by the operatln8 8ubsldlary J STrLelkh Nazlm Sufl Cetttre Ltd.
2. DIRECT CHARITABII EXPEIIDI
D*reet expendlture In support
of tlke Charlty'8 obJe¢tlve8
Donatlons
Teacb*n8 expen8e8
32.950
2,700
46,568
2.700
£35,650
£49. 268
There were no st8nlfl¢attt beneflelat£es 0£
dlreet charltable expendlture In the year.

P•8e 9
SllKIKH NAZDE surI TRUST
NOTES TO ThE ACCOU￿$
YEAR ENDBD 3IST
3. IIAMAGKIIEwf AIID ADMINISTRATION
Cleanthg & Tea boy & R•madan obopplrLg
Intere$t Pald
Aee¢xuit4Dcy f ee8
DepreclAt£on: Flrture81 flttlng8 & equlpment
523
331
936
20
382
840
20
£1.810
£1,242
Addltlon8 Dl8 0s418
F£xtures tr ftttlDgs & equlpmettt
£43.085
£43,085
Depn.
char
L24 D16
TI
osal8
Ftsture8? flttlttgg & equlpment
£42,982
£20
£43.002
Flzture8 Tr £tttln88 & equlpment
£103
£83
J. IIIVISIIIEITf Iii SUBSIDIARY CCXIIPAIIY
100 OrdlnAry 8hares of tl each
In SIEelkh Ndzlm Sufl Centre Ltd.
£100
£100
The 8ubBldlary earrles out the operatkng actlvltle8 of the trust provldlttg
AeeonuDodAtlon and related Berwlee8.
It8 re8erve8 were In deflclt by £18.611
at 31st July 2025 tbe last accountltt8 date.
It had lTheooa 0£ £202,253
and A surplu6 of £9.586 for the year then ended.
Its re8uLt8 have not been
eon8olld8ted Into ttrAe8e £lrLanclal 8t*te•ent8.

Page 10
SHEIKH NAZlll SUFI TRUST
MifIES TO ACCOUiITS
202
6. IEIVESIIIENT PROPER
Shelkh Naztfy SufL Cetstre: At ¢08t 18e au8U•t 2024
Uttre•ll8ed surplu8 or revalu8tloD
5.249.222
12.750,778
5.249.222
5.225,778
At 31st Jul 202
£18,000,000
£10.475.000
property wa8 revalued at £10,475.000 In March 2008 by B4rket & A880elatès. mtmbét6
0£ the Royal In8tltlltlott of Cb4ttered SurYeyor6. ITh the trustee's oplnlon* tbe
v4luAtl¢)n has Increased to £18,000,000 on 318t July 2025.
Other debtor8
£780
8. CREDITORS
Bauk Loan
Loan
AcerualB
11.567
420,593
l.776
13.948
419.435
1,620
£433.936
£435. 003
9. IINREST&ICTBD FUIIDS
Balance
oi.
Move
rAt
Balance
31.
General £und¥
Revaluatlon re$¢rve
4.B20.3IO
11,7551
5,225,778 7.525.000
4.818.555
12.750,778
£10.046.088 £7.523.323
£l7.569.333
io.
YSIS OT llT
Tanglble
f Ixed
Asset
Int4ts8lble
Elet
f Ixed
¢urrettt
I2￿& Ilabllltl¢8
ta
re
trlcted futtds
Ceneral fund8
RevAluatlon reserve
5,249,305
12,750.778
loo
1430,850)
4.818,555
12,750,778
£18.000.083
£100 £(430,772} £17,569.333