REGISTERED COMPANYNUMBEIL. 03303521 (England And Wale5)
REGISTERED CHAiufY Ni]MBER: 1061120
REPORT OF ThE TRUSTEES AND
Al]DrrED FINANCIAL STATEMENI3 FOR THE YEAR ENDED 31 DECEMBER 2023
FOR
A￿￿00R FOUNDATION LIMtTED
(A COMPANY LIMITED BY CUARANTEE)
Pr￿tOn8 & Jacksons Partn¢rnhip Ltp
ststutory Audit(Y8
364 . 368 Cranbmok Road
Ilford
IG2 6HY

AL-NOOR FOIJNDATIOF4 LIMrfED
CoNT￿s OF THE Fll¥ANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023
Report of the ThMIM•
I to 13
Report oftkn IDdepETh￿ Audttor•
14 to 16
Sljtement OfFInM¢￿ Acthl
17
statement of Flnlnctsl Polldon
18 to 19
Notu to the Flnandal Statsm¢nts
20 to 30
Detalled St*tsm¢nt of FtnIn¢l￿ Aetivltl
31 to 32

A￿N00R FOUNDATION LIMITED
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2023
The trustees who are also directors of the charity for the purposes of Ihe Companies Act 2(J16, present their
rcport with the fllLgn¢ial $tstement8 of the charity for the ycaT cnded 31 December 2023. The trustees have
adopt￿1 th¢ provisions of Acwunting and Reporting by Cbarities: Stst¢m¢nt of Recommended P￿Ctice
applicable to clwities preparing their accounts in accordance with the Financial R¢porting Standard
appftirnble in thc UK and Republic of Ir¢land (FRS 102) (effective l January 2019).
OBJECllVES AND ACTIVITIES
Publlc bettfit
Tr Trust￿8 confirni that they have complied with the duty in section 4 of the Charities Ad 2011 lo have
due rcgard to public bcncfit guidance published by the Commission in deternining the aciivilie8 undertaken
by the Clwity.
STRucfuRE, GOVERNANCE AIYD MANAGEMENT
GovernlDg document
The charity is controlled by its governing d￿Ull￿t. the Articles of Association. and constitute8 a limited
company, limited by guarantee, as defined by the Companies Acl 2006.
OryaDl$atloDal strncturn
The existing trustees are responsible for the recruitment of new trustees. In selecting new trustees, we seek to
identify p￿P]e who are committed individuals whose views are align¢d to the charIt￿S vision in addilion to
being able to offer relevant skills and experience.
Potential trustees are invited to atl￿d tru8ttt8' meetings lo mcel the tri￿tt8 and have an infornial interview
and are given more details about the charit￿8 aims and activitie8 and, if all agreA they are then prop08ed a8
new trust¢¢s as the subsequent trustees, meeting.
This process allow8 duc consideration of the person's eligibility, personal comwenc4 8peciali8t l¥￿wIedge
and skills.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglst¢red CompaDy Dumber
03303521 (England and Wales)
Reglstered Charlty Dumber
1061120
Registered office
Newton Industrial Estale
Eastern Avenue
Romford
Essex
RM6 SSD
Page I

NOOR FOUNDATION LI￿￿￿ED
REPORT OF THE TRUSTEES
Our Vision:
¥IDdividual4 faJnllle• and ¢omMunitI￿ that truly understAnd and accept thelr puryoR of bejng
thls Worl￿ cOnf￿entlY Mve And work togelher for a Jusl responsible and ¢ompa88ion&te 80deW.
Al.Noor Foundatiou was laun¢h¢d in 1998 with a vision of rnaking a positive change in our comrrity.
AS local residents growin8 up in IA}nd0￿ w¢ wanted to give Son￿thIngbackto our ¢onJmunity. Wc wanted
to make a p05itivc chang¢, to invest in our futur¢ generation by imb&MiDg core values such as knndnes4
resrt compassion and g(x)d cl)aracter alongside developing God COJLqciousness.
Ow strategy is to Unlock the amazing potential within po)ple, sthrting at thc younge8t of a8e8, Al.
Noor Independent and Al Noor Voluntary AAd¢d Primary SchLK)l. We b¢Ji¢v¢ our balanc¢d education of
primaTily good ¢lJara¢ter. along with ￿deMiC excellen¢4 deLiveArd against the backdrop of & strong
Isjamic ethos provides a holistic aucation for the future citix¢ns of our con)muJ)ity.
Our Misslon
Al-Noor works with young pwle and or8aDi8ation8 to ￿h1¢Ye ih¢ir potential with kDowled8e. 8ki118 and
expuience8 through its ¢du¢ation programes and service8 to c￿at¢ a p08itsv¢ ¢han8e.
Four value• of Al-Noor:
tegrfty
We believe inte￿Ity. boDe8ty, tran8p8rency and truthfulne88 18 the corner8tone of ourproject aud th¢ mantle
froth which all tlriving comM￿tieS Should be built. We believe that all involve4J in Al-Noor should strive
to have inte￿Ity in their FYivat¢ and profcssional life. Thi8 will allow our community to confidently liv¢
and work togdher.
Contlnuoui Improvejnent
W¢ believe to create leadff8 in the Community. we musl be a people that eontinuously ImproY¢. W¢ must
improve in our charn¢t￿. our professionalis￿ workingpra¢tic¢s and most importantly our dcyotionto Goll
Valulng Peopk
We believe that Individua16 make families, families make communities and con)munities make the wod
It is foT this reason that 'valuing people, 18 central to our organisati(m. Witbout people our eAaucation
programme8 arc bricks and mortar.
Poslllve ehnge
We believe that as a t¢8m we must aspire and Inspi￿ Positiv¢ ¢haDge in the world around us. We believe
that ourproj¢cts will THuIt ia a positive cbange in thc ¢olluDunity and act as a Ca￿ySt for a ju6L rc5pon8l￿lC
and cornpa88ionate society.
Our aim 18 to establi￿ nuintsin and conduct SCI￿15 for the alucation (including 80¢ial physical
training) of boys and giTI8, (in which religious instroclioJ]8 in a¢¢ordance with the doctrines and principles
of the tslamic faith are given), w as to be a school within thc m¢alli￿ of that exp￿810￿ as defin￿ An The
EducatiOD Act.
Page 2

AL- NOOR FOUNDATION LIMITED
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECIMBER 2023
Our objectives
Our s¢hool objcctives are to providc moral and academic excelleDcc in a caring and secure cnvironment.
We belicvc that througb the partnctship of good goveruance. caring and professional staff and dcdicated
parents we can provide a balanced opportunity for the realisation of our cbildren'8 fv11 potential.
Our values prevail through wtbin8 we do: in the moral. the academic and the professional. These values
f(ts a responsible and caring attitude in our pupils, towards the fellow members of our cornmunity and
80ciety at large. This includes good rnann￿ and bebaviour towards parents, the elderly and neigbbour8,
well as a deep respect and a sense of duty towards the world we inhabit including the resources from which
wc all b¢n¢fiL
Our schools provide a sound Islamic education together with the National Cuuiculum. Our cuniculum aims
to equip children with a solid foundation to preparc them for both secondary school education and their
lives ahead.
Our school welcomes pupils from all background8. An individual's economic Stat￿ 8¢ndw, ethnicity,
race do not forni part of our as8¢8smcnt processe8.
The school is committed to 8afeguanling and promotiDB the w¢lfare of our pupils and expects all stsff and
volunteers to share thi8 comrnithient. Parcnts are given regular infOrn￿tion about th¢ir children's social and
academic progress throusb parent evenings in addition to the end of tcrm and end of year reports. The
school has regular weekly updates commuDicated about the activitie8 of the school with parents.
Our Eth05 *nd Strategy
The Al-Noor Foundation beli¢v¢s that the 8ucce88 of our community inherently lies in th¢ achi¢vement of
our children coupled with a strnng family unit. W¢ feel strongly that real academic progress is founded
a plalforni of an all.round healthy development and aided by po8ltiv¢ rol¢ mod¢l8 VA￿ embody the
values we aspire for our Childr￿ to have.
This alkround development includes both th¢ Intellectu￿ and Ph￿1¢81 aspect of emotional and spiritual
development. We believe promoting th¢sc aspects of humanity will catalyK community rA)hes1O￿ helping
to create and 8UStain communities where all members are valued and WO￿ together for the common good.
Our aim is to promote a carin& sccure and nurturing environment - instilling a 8trong 8cnse of awareness
of the universality of the 181amic faith.
Our contributioll to society 8nd social cohe8iOD 18 w¢ll recognised due to our 8uccessfid WO￿ with th¢ l(Kal
authority, IC￿ scboob and I￿al COD)munity group&
Page 3

si ! I

111
P4
11
t4

pl
Iff)
P4

NOOR FOUNDATION
REPORT OF THE TRusrwEs
FOR THE YEAR ENDED 31 DECEMBER 2023
2vlgats- Ibe eharaeter development currlculuDL
Navigate continue8 to Ix a crucial priority of our school. stsff membus are given training and support to
implement NaTri8ate and new staff members are inductcd. He￿ th¢ charad￿lStiCS develop￿ ID thi8
p￿8r￿me.
Ilecc[)ti
Sincerity
Patience
Sincerity
Honesty
Eliq￿te$
I'eRr 2
Empathy
Etiquth$
Creatimty
Etiquette
Sincerity
Con)municator
Fliquett¢J
Mod¢sty
Etiquett¢s
I'cal. 6
Sincgrity
VisioD8ry
Conlributor
Etiquette8
delivAy 18 ￿Orn￿1]Y througb the introdud1￿ of half tenll drop4lown day8 when the rest of the
urrAculuth and tinxtsbl¢ 18 8¢t asid¢ to focus on dev¢lopment of the key characlffi8tic8 throug
planned activities on alld off 8ik including through th¢ use of the outdoorn.
The 8ch(K)I continue810 to ¢xude these value8 through all and every l¢arniDg eXPUAeDce to re￿for
these ¢rucial ch8ractsristic8.
AkNoDr Volllnt4ry Alded Sehool
jn 2018, Al.Noor Voluntary aitsl wimary ￿h0o1 to 120 8tud¢nts. Since then. we have wntinueAI
to ￿ and currendy l)ave a compl¢t¢ coho¢ from Reception to Y¢ar 6. with a tolaj of 420 stud¢nts.
D¢rnand for the thol 18 exc4tionally higb. demonstsating the immethatc bi8b quality and 8tandards of
education the wimary school Iw brnu8bl over from th¢ in*tid¢nt sector.
Irtt￿8:lAYwW.miyr0r.0O._UUneW￿luk-neW6I1￿Ie[actiVc-rnap￿h_0WS-l1L0st￿jV￿SUb￿Ib¢d-3I884418
"Offieial dats ihows nearly three thfourparents didn'l gei thelrfvsi Cholce ofaplace at England s
oversuhvcrlbedprimary school. Al-Noor YolHnthry Aided Mwllm Pri7Aary School in Redbridge I￿t
year. In ihe last rotmd ofapplicaxiopu. 217parentspui ihe Jcknl as Ihelrfvst cknlce ofpripxary...
The leadeTrbip of the School continuex to grow to match the vApansion of the pupil numkn and we bave
attrarted a brilliart aTray of staff to join th¢ 8chcM)l.
comrnu￿ty Mllestone
This yw's Al-NoorFamily Festsval was a bighiL Thi8 uniqueevent fortheRedbTidge Community attract&l
over 7,51XI+ attende￿ for a fun weekend with rid* stalls and a fty)d village all in the heart of R￿lbridg¢.
Page 7

NOOR FOIINDATION LIMrrED
REPORT OF THE TRUSTEES
FOR ThE YEAR ENDED 31 DECEMBER 2023
Our other fiag8hip cvenL the AI.NO(￿ Boat Rac4 resulted in abno8t 60 dragon boats tsking pa￿ This year's
¢vent supported ch￿iti￿ in rrising ov¢r fA62J47 for Jwble aThl vitsl Ca￿￿. both local and widff afickl
such &8 orphan4 hungry Child￿ Wome￿,8 8UPPOrt ￿Up$, sclwl proj￿￿ ma8iid building8. cancer
patient4 hom¢le88 aDd Foor familio buildin8 water wells and BO much more.
Stru¢tur4 Governance and Management
The Thut¢e$ of Al.Noor Foundatiojk hold overall r¢sponsAbility llnd￿ the n￿e8 for controlling t
n￿llag￿ and athninithlion of the cbarity. Al.Noor Founthtion Ltd 18 a company limited by 8uara
and registu￿ with Companie6 Hou8e.
Trus￿ are noMi￿ted and appointed by th¢ Board of Thtstee8. To be eliwl)le. the Board of Tn￿tee$ WAJI
look for those who regulaTly attend events and function8 or88ni8ed by th¢ Foundation and show an ititotst
In and voluDteerto bclp out dwing activiti¢s. TTUStces a￿ a valuable a8s¢A forth¢ thrity becau8c th¢y ￿lD8
an outside viewpoint and a wealth of experience and knowledg¢ in comrrity work
Th¢ trurtees are ltide￿t indivAdu818 who biyDg their knowledge, skills and expertise forlhe b¢n¢fit of
the chfirity. Th¢y as a watclthg over th¢ C]JArity8 a¢tiviti¢8 and provide collstructivc advice.
The m￿gement of th¢ organisatson is the re8￿￿81b11llty of the trn8tw who meet fonnally on regular
int¢rval4 u8ually monthly. The day404ay managemcth of different dcpartnient4 8ucb as the tndq)endent
ScknL 18 th¢n del¢gated lo the re8pe¢tiV¢ DJana8erg Swrtal by Senior teA¢hers and admini8trative staff.
Organlsatlonal MAn*gement
Tr trustc¢s ovase¢ th¢ ¢barity aDd its widtr obie4tiV¢8 of acbicvlD8 its vi8ion. In thi8 area tkn board ha8
a) Th¢ firBt Voluntary Aid¢d Mu81im PrAmary ￿h0o1 ID Re41brid8e. Thi8 landrna￿ achievement opened
in September 2018 with a n¢w School ￿lD8 built, I￿61ng the Capacity from 180 students to 420
8tudents. We contitiue to eXP8n￿ and at the 8ame time ensure very high 8tandard8 for th¢ 8ohool.
Page 8

NOOR FOUNDATION LIM
REPORT OF TRUSTEES
Fomlly
l Advisory
l Board
QiJranAc368w
QUr￿Tr Story
CEO
A Schooli
Youth Hub
I Careers
Str¢ondary
8¢hool
Admin
lolunte21
takn8 forward our strategy we:
• Ensure the Trision and valv08 of our organi8&tion 18 Tcflected in our primary 8choo18
Review And benGhmth th¢ Sch(￿1&. Curricul￿ t¢achin8 practices and exathioth re&￿ts
Fwur¢ the s￿￿)18 are mpliatit to the School Standard ￿gUlatIonS
El￿￿¢ the range of cowcu￿1Clljar actiVAties available to our pupi18 1$ JtimulatiDg and challffl8ing
Invest in re80um and tIL¢ infra8tru¢tUTe of our Sch(K>l8
Thc Board determi￿ the gencrnl policy of the Schools. lkn day-t04Jay n]J)ning of the 8chool i8 d¢l¢gal
to the H¢ad8, 8UPPWted by 8enior Staff. The Head teacher Und￿takeS the key lead¢rnhip Tol¢ over￿]ng
educational, pa8toral and admini81rati￿ fimclion8 in con8ultation with the 8enior staff. Th¢ day lo day
admini8tralion of th¢ ￿h0o1 is undertak¢D wxthin the policies and procedures approved by the Board whi
provide for ODIY 8ignific8nt cxpenditure decisioJL8 and major capilal PToject8 to be rcfczred to th¢Boord for
Prior approval.
trustees are abL￿1th¢]r￿ibi11ty ofov¢r8eeing the safeguarding of children witbiD the school.
Trngtees have attended level I safeguarding training and bav¢ attendal workshops to raise awareness of
Prevent (Wrap). At.Noor Fouttdation 18 comnlltted to building r¢8ili¢nce to all fornts of rndi¢aligation and
All are anniwlty re4uittd to sign a dcclaration of iDtcttst forni to detlare affiliation to any i￿￿er
or8ani8ation or political party. All truste￿ give of Iheir tim¢ frKly and no rewullcrntion was paid in the
Page 9

NOOR FOIINDATKOIY LI￿triED
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2013
Risk Management
TheTn￿teu &88ess all major risks tu which thc chafity is exposed to &ndreview the systems and procedures
establi81￿1 to manage those risks. Thc major risks are ¢onsidcred to be..
The cthos and vi8ion of the orgonisation OS WC WW.
Sustaining the 18lamic & Qur'anic Studies depart￿ in thc VA Primary School
SucGe88fid d¢veknpm¢nt and delivery of the Newton Jnth]strial E81at¢ development
Use of volunteers
Volunteets are an important resour￿ in both our faith and cotnmunity work V0knit￿ts 8re Involv￿ in
most ofour faithaDd coJJ]munity activities and wo have S￿¢8 Ord￿l¢at￿p￿lC giviti8 theirtime tOW8Td8
our actiVAti¢8. We are gratefill to all our voluntttr4 who are the backbolle of our Succe￿ Boat Race and
Family Festival.
Public Benefit ststemeDt
The tn￿ ¢onfirm that th¢y have wmplicd with the duty under the awitA08 Act 2011 to have due regard
to the Charity COMM￿s1on'8 8uidanc¢ on public b￿¢fit. Thi8 I￿ been consldued revicwing the aim8
and obje4tiV¢8 of Al.Nwr Foundation and ID pl8Dniog activitics for the firture. In particular. thc tn￿1¢¢9
Consid￿ how p1allE￿ a¢tivities will contsibute to th¢ clwitabk obj￿tiveS th¢y have 8eL SpecAfic d¢tsils
of how Al.Noor meets th¢8e r¢qll1￿￿ are aet out below.
The Thutea have CODiidtted thi8 nMttez and concludal: Thai the alti￿ and objectives of the dwity
continue to bc charitable. That the aims and the wod£ done givc id¢ntifiablc benefits to tbe cknitable 8¢Ctor
and both directty and indI￿¢t[Y to indkviduals in need; That the benefits are for the public and arn not
)r¢aS￿fyrethl¢t¢d in aoy way* and thatthere 18 no detiin)entor harm arising from th¢ aims or activities.
ov￿all. the trustee8 ¢on8Aderth¢ 8traW aim8 and aLXivilie8 of the Charity to bo forthe pub]ic be￿¢fil.
Fjnanclal r¢vlew
PrlndpAI tsndlng sovrces
Th¢ fllmncial stat¢ll*nts sluNv net expenditurn for th¢ yw of fAI 8.461 (2022: incomin8 re8oiiTces
064962).
by donationB. activities and a880ciated Gift Aid. Incon)¢ 4Ti8ing from school fees
represents only 19Yo of totsl income. The8e funds are rADg fenced and u8ed eDtirely to support the rutining
of tbe ]ndcp¢ndent pIimary 8chool. H(￿eVer. this incoAti¢ has now c¢93ed following ￿nClusion of the
Independent School in August 2023.
Anot1￿ significant 80urce of income isThe NevAon ]ndustrAal E8tate. Orl￿nallY purchased for fA.4m WAth
the help of ititerest.frce loan8 from the community. Tr Board tqjok the decision in 2022 to sourc¢ a partner
to purchase 500h of the N¢wton Indu6tsial Est&t¢ site. This Ewtnership. now c4)mplthL has 6llabl￿ Al.
Noor to have Bufficient funds to ￿1$1 to pay back its loans, wbicb now stand at approximately £2.3￿ and
¢r¢at¢ an impaLIM revenue stream (waqg for Al.Noor foundation by looknnB at converting the Ngwtoll
Page 10

Ab NOOR FOIJNDATION LthfrrED
REPORT OF ThE TRUSTEES
OR THEYEAR ENDED 31 DECEMBER2023
We bave CO￿lnUed to ensure that ￿ hav¢ maintained rcpaymeth rwsts from those who hftve given us
interest fre¢ loaDS. In additio￿ duTill8 the reporting year. the Board a￿d to Support East London Mo
with their renovation prngrdmll￿ with a short-tem) loan of £lllL The loan wa8 interest free and 8￿ured
Tr Newton Industrial Fstat¢ partner8bip currently genezates rntsl income for the Foutidatio￿ helplng
with th¢ d¢liv¢ry of th¢ dill￿ and obiethives.
Reserves
The Trustees note that 2022 was an exceptlonal year, In that Incomlng resources were £2,064,962
followin8 the part dlsposal of Newton Industrlal £stste. The Trustees antlclpated that In addition to
potentlal investment actfvlties, they would utllise reserves to meet their charltable objectfves In future
years. Whllst many projects £enernte net surplus Incr•me, the Trustees Identlfied projects such as the
Careers ProJecL Quran Story Tlme and costs a550clated with the Islamlc Studles department of the VA
school as pro]ects they wlsh to contlnue to support In thls way.
Tbercfor4 of thc ll¢t expenditurc for 2023 of £XI&461, £170,535 represented depreciation on fixed a$8ets
with the baloncc of £247,926 [￿[C4¢UtIng GxpAdith oll pojccts from brnu8bt forward
mentioned above,
Plans for future perlod
AI.NoDr Foundation inten& to focuB upon th¢ breadth and d￿th of its ethic4tion of young p¢ople. We a
tbi8 year to upon our three major ptojeth that impact the conununity, fulfilling upon our mission
wher¢ young people and organisationg achi¢v¢ their potential with kllowledge. 8kills and experientt8
througb its education prO￿Ull￿ and 8¢rvic¢8 to cJEate a positive clwi8e. Our four prnieets a￿,
l. Al.Noor VA Primary 8chool - To continue to 8UPPOrt its gr￿￿ and to 8tren8then the 8¢hool to dec￿ll
its impact morllly, athi¢ally and ¢8p¢oally 8Pilltually.
2. To expand and d¢v¢lop the Al.N(x)r career8 project, tnakntig a real impact in young people'8
3. To develop the Al.Noor Youth projert 80 that we can impact young pwple navigating througb th¢ t¢¢D8
aDd early thlth(K)d
4. L4>0k at developing a long.term revenue g¢nerntion project to the longevity of Al.N(K
Trustees
l) Mr hnrnn Hafiz . Chair
2) Mr Imran Khan
3) Mr Mubammed llyas Mir7A
4) Mr Sadiq Yakub Kotbia . Deputy Chair
5) Mr Abmed Zulfiqar
All tho tn￿te￿ ale a180 dtre¢tor8 of the Ch•ity.
Page 11

A￿ NOOR FOUNDATION LIMTfED
IIEPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2023
Company Secrdary
Chief ￿tt￿lIVe Officer
Mr Akhter Raouf
Senior Stallltory Audftor
Anwer Patel BA(HonsA BFP, FCA
Auditor8
364 . 368 Cranbmok Road
IG2 6HY
Statemeth of tru6te¢s' responslbilltie8
The tr118te¢8 {who ar¢ abo the directixs of Al-Noor Foundation Limit&4 for the yllposes of CODI￿nY law)
ar¢ respO￿￿k for wyriDg the Report of the Th￿Ice9 and ts financial statancnts in accordance WAth
appli￿￿ law and United Kingdom A￿OuntIng Standards (Unitcd Kingdom G¢ncrally Acc¢pt¢d
Accounting Pra(*1￿) I￿lUding Financial Reporting Stallda￿ 102 Th¢ Financial R¢porting Sta￿ard
applicable in th¢ UK and R￿UblIC of Jreland..
Company law rniuires the trnstees to prepar¢ fLnanci81 sLitements for ¢ath fmancial year which give a
true and fair view ofthe stat¢ of affairs of th¢ ¢haritsbl¢ company and of the incomin8 resourcu and
application of re80ll￿ ]￿lUdIng the income and expenditur4 of the ¢lMitable for that perio(L
8¢1¢ct $uitabk accounting policies and then apply ¢wi8tently,
observe the mdhods and prlnciplcs in the Charity SORP;
. prepgTr th¢ fjnancial 8taten￿ts on the going concern basis unle88 It Is Inapp1• to PrnBUllK thal
¢hwitable ￿MpanY will crnliiiue in bu8ine88.
accurncy at any tinw the financial position of the charitsble company and to enabk them to ¢￿U[C that the
stat¢m¢nts mply with the Companie8 Act 2006. They are a]80 responsil)le for gafegua￿in8 the
a&8ets of the charitable company and hence for taking re￿Onable 8teps for the PTevention and detecti￿ of
fraud and Oth￿ inygutsrities.
ststement ai to (bid￿llre of IDfornath)n to audltor8
So far as the tnjstees are aware, thffe is no rd¢vant informatlon (a8 defincd by kntion 418 of the
Companies Act 2006) of wbith the clwitsble compa￿8 auditors are unaware. and each trn8tee Iw taken
all thc steps that they ougbt to l)ave taken as a tn￿¢¢ in OTd¢T to make them awffle of any audit
]nforn￿tiOn and to establisb that th¢ dwitablc Company￿ audilor8 are avmre of that infomtio
Page 12

NOOR FOUNDATIOP4 LIKITED
IIEPORT OF TIiUSTEES
FOR THE YEAR ENDED 31 DECEMBER 20LI
Audllor
26 September 2024
Approved by order of the board of trnstees on........... . .............................. and signed on its behalf by..
Imran Hafiz (Sep 26,
024 12:18 GMT+il
Hafiz (Char) fD if IcEg¥-
September 2024
Page 13

REPORT OF THE INDEPENDENf AUDITORS TO THE MEMBERS OF
A￿￿00R ￿UNDATION LINfffED
Opinion
We audital the financial statcments of Al-Noor Foundation Limi*d (th¢ '¢haritable COM￿y￿ for the
year ended 31 De¢¢mber2023 which comprise the Slatem¢nt of FitWAcial Activiti¢s. the Statement of
Financial Position and notes to the financial statement& including a sun]w of significant accounting
policie8. The financial Tewrting fram¢work that has Ixej) apph.ed in tbeir preparation is applicable law and
illcluding Financial R¢porting Standard 102 The Financial Reporti￿ StsDdard app]icabl¢ in the UK and
Republic of TTeland'.
give a tn￿ and fair vi¢w of the stat¢ of th¢ charitsbl¢ WmPan￿8 affaiTh a8 at 31 December 2023 and of its
PractiK includin8 Financial Rwrting Slandanl 102 Tr Financial Rwting stalld￿ applicabk in the
UK and Ryblic of Jttland,: and
Bath for oplnlo
We conducted our audit in accorda￿ with International Stat¥larth on Auditing (UK) (ISA8 (UK)) and
applicable law, Our r¢8ponsibiliti¢s unth thos¢ Standards ar¢ further ¢kscribed iti the Auditors,
r¢sponsibilities for the audit of the finallci￿ statcmcnts 8￿tIOn of our report. We indepondent of th¢
¢baTitsble company in aLYordan¢e with th¢ Cth1￿ rquirement8 that are r¢l¢vant to our audit of lh¢ fillandal
Statements in the UK incluthn8 th¢ FRC'fj Ethi￿1 Standrf and w¢ have fulfilled ow other ethica]
IB Sufficient and approprith to pmvide a ba818 for our opinion.
Condu¥loni re]81￿ to concern
In auditing the financial statements, we Imve conchthd that th¢ tru8ttt8' U8¢ of th¢ Boing ooJK¢rn basis of
Ba8ed on the WO￿ we have F￿onned, we have not Identifi￿ any material uncertainti¢& relating to events or
conditions that, individually or wllectively, may ca8t Si8Dificant doubt on the c￿lIable ¢ompanYs ability to
ntinu¢ 48 a going ¢oncern f￿ a period of at le48t twelve months from when the financial 8t4tem￿ts are
authorlsed for i&8ue.
Our n8POn8ibilitie8 and the rw1bi1iti￿ of tha tN8teeB with res￿ to 80ing Lx)n¢¢rn 4r¢ deS¢n￿oI in the
levant 8¢¢tions of ibis rwt.
Other Infonnatlon
The tTUSt¢¢s ate r¢sp)n8ibl¢ for the other info[m￿oll. Th¢ othry infoTmatson compri￿& the infOrn￿tiOn
in¢lud¢d in the Annual Rep)rt. other than the fiDaDC1￿ 8tstan¢nts attd our Rqjort of the jndependent
Auditors thereon.
Our opinion on the fmancial statements does not cover th¢ other inforniation ond, except to the ¢xt¢Dt
otherwAse explicitly stated in our report, we do not exprGq$ any forni of assuranL% conclusion th¢reon.
connection with our audit of the financial ststements. our responsibxlity 18 to the Oth￿ infonnation
and in doing 80, consider whethcr thc othcr infornlation is materially incomstellt with the financial
stat¢mcnts or our knowledge obtained in the audit or otherwise appear8 to k llMtcrially misstatcd. Jf w¢
rquiird to re￿rt that fact. We I￿ve notbing to report in this regaTd.
Page 14

REPORT OF THE IIYDEPENDEIYT AUDrroRS TO THE MELVIBERS OF
A￿￿00R FOUNDATION LIMITED
Oplnlons on other mvdtters prescrlbed by the Companles Act 2006
Tn our opinion. baged on the WO￿ und¢rtaken in the course of the audit:
th¢ infoTmation given in the Report of the Trn8tees for the financial year for which the fiDancial
statements are preparnl 18 consistent with the fwncial stalem¢nts' and
- the of th¢ Trust¢cs has been pryared in a¢Wra￿ with appJicabl¢ lesal rcquircm
Matter8 on whlch we are rtqulred to report by eiceptloo
In thc ligbt of the knowledge and understanding of the cljaritable Company and its envirotllnent obtained in
the course of the audit, wc have not identified material misstatements in the Report of the TrUst￿S.
We have nothing to Teport in resp￿1 of the following matters where the Companie8 Act 2006 r¢quire8 U8 to
report to you if, in our opinion:
adequate accountillg rccoxd8 have not been kept or returns adequate for our audit have Dot been received
from branches not Visited by u8; or
- the financial statements not in a￿l with the a¢¢ountitig records and fftlln￿; or
cettiin disclosures of t￿￿te¢S, remuneration specified by law are not made; or
we have not recLived all the inforniatAon and explanations we require for our audit: or
the trustee8 were not entitled to take advanlage of th¢ 8mall c4)mpanies exemption from the requir￿1 to
pr¢par¢ a Strategic Report or in prepajing the Re￿rt of the Trustees.
The trn8te¢8' w¢r¢ not ¢ntitled to prepare the financial statements in accordance with the small compani
regimc and toke adv3ntA8e of the small companic8' a¢mption8 in prepaTiIiB the tru8t¢¢s' report and from the
requircment lo prrpare a BtrateBiC report
Re8POn8lbllltlei of trurtee•
As ¢xplained more fully in the Statement of Trustees, Responsil)ilities, the trustees (who arc'also the
dlrectors of the charitable company for the pU￿08¢S of ¢onwany law) are r¢spon8ibl¢ for the preparation of
the financial statements and for bein8 satisfied thal th¢y give a true and fair view, and for 8ucb internal
control as the truste¢5 determine 18 necessary to enable the preparaiion of financial statements that are free
from matcrial migststement, Wheth￿ due to fraud or ejror.
Tn preparing the financial Statements the tn￿te¢S ar¢ r¢8pon8ible for a88e88ing the charitable compan￿$
ability to continuc as a going Conce￿ diAclosin& as applicable, mattm related to going Concern and usin8
th¢ going wnexrn ba818 of accountill8 UDle8$ th¢ tru8tee8 either intend to liquidate the Ch￿itable company or
to c¢a8¢ op¢rationg, or have realistic alternative but to do 80.
Our responslbllldu for the •udh of the Ilnanthl Statements
Our objective8 are to obtain rcasoDable assurance about wh¢th¢r the financial statements as a whole ar¢ fitt
from D￿t¢rI&l mi$stat¢ment, wbether due to fizud or error, and to isgue a Rewt of the Jndepenthl Auditor8
that includes our opinion. Reasonable assuTance is a high level of a8surancc, but 15 not a guarantee that an
audit Conduct￿ in a¢wrdance with ISAS (UK) will always detect a materAal misstatement when it exists.
Mi&8tatement8 ¢an arisc from fraud or enor al￿ are CODsidered material if. individually or in the aggregate,
they could reasonably be expected to influence the eco1￿1c decisions of users taken on the basi8 of th¢
financial statements.
The ¢xtcnt to which ourproc¢dutts capable of detecting irryularities. including fraud 18 dctsilcd bclow:
We obtsineA an understanding of tbc legal and reg￿atory framewo￿ applicabl¢ to the entity and how tbe
entity is Complying with that framework by discussing with management and checking compliance with
A furtTrKr de8criplion of our rest￿￿1]i￿C$ for the audit of the financi81 statements 18 locat￿ on the
Financial Reporting Council's website at www.frc.or&uwauditorsr￿pon8ibl1itsgS. Thi8 deS￿IptIon forn￿ part
of our Report of th¢ Ind¢pend¢nt Auditors.
Pase 15

REPORT OF THE INDEPEND￿ AUDITORS TO THE MEMBERS OF
AL-NOOR FOUNDATION LIMfTED
Ule of ollr report
This report is made solely to the ch￿]￿ble compan* membry as a body, in accordance with Chamff 3 of
Part 16 of the Conycs Act 211)6. Our audit work has been undertaken 80 that wc might stste to the
haritabl¢ Corn￿￿8 memkn tknse matters w¢ ar¢ wuired to 8tat¢ to them in an auditors, report and for no
other puryoK. To th¢ full¢st extent pennitted by Jaw, we do not accept or assume re8pon8ibility to anyone
other than the cbaritsbk company and tbe clwitable Lmpany8 m¢mbeTh as a body. for our audit worK for
Anwer Pat¢1 BA(Hon8X BFP, FCA (Senior Slatutory Auditor)
for and on I￿alf of Presto]￿ & Jathon8 Parin¢r8bip LLP
Statstory Audito
364 - 368 Cranbrook Road
nford
IQ2 6HY
Pa8e 16

A￿￿00R FOUNDATION LIMTTED
STATKMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2023
Period
to
31n2r22
Total
31111123
Unrestricted RestrACted Total
fimd
fund
fund$
Nole8
INCOME FROM
154,869
154J69
45,025
Charit•ble aetlvll
Education
81043
81
275.155
(AberCh￿1tabk Activiti¢8
13&083
53.700
138,085
51700
260,597
238,501
Totsl
97 3 303 921
003
13A003
101,451
Cbarfitable Acthrfdei
Foundation
Education
Other C￿rItable Project$
3&1,872
253,864
363,872
253,864
93
593,405
544,103
Total
ET ll¥COMFJ(EXPEfADrnJRE)
(41&461)
{41V61) 1064.962
RECONCILIATION OF FIINI)S
Total funds brou8bt forward
J1,835378
11034278
9.770,316
TOTAL FIJIIDS CARRIED FORWARD ￿16 817
11416 817 11835278
The notes form part of these financial statements
Page 17

AbNOOR FOIJNDATION LIMITED
STATEMENT OF FtNANCIAL POSITION
31 DECEMBER 2023
31.12.23
31.12.22
Note8
FIXED ASSETS
TaDgible assets
11
12
&054,892 8225,427
000 3.750,IMXI
11,954.892 11,975.427
CURRENT ASSETS
13
1.13Q429
232,159
3 026 127
Ca8h at baDk and in band
1943,719
3258286
14
(2A81.794) (3.398,435)
NEf CURRE￿ ASSETS
$38 075)
140 149)
TOTAL ASSETS LESS CURRENr
11,41fj817 11.835278
NET ASSETS
17 11835
FUNDS
Unrestricted fuDth
l6
11
17 I l 835278
11
16
L17 11835,278
The notes forni part of these financial statan¢nts
Page 18
(x)ntinued...

AL-NOOR FOUNDATION LIMITED
STATEMENT OF FINANCIAL POSITIOIY - continued
31 DECEMBER 2023
These financial Statements have been prepared in accordance with the provisions appli¢abk to ¢haritabk
companies subjcct to thc Small companics regime.
The financial statements were approved by the Board of Tru8tee8 and autbori5ed for issue on
26 September 2024
. and were signed on its behalf by.
Imran Hafiz (Sep 26, 20
4 12:18 GMT+ll
Imran Khan (Sep 26, 2024 15:07 GMT+31
Th¢ notes form part of these financial ststements
Page 19

A￿￿400R ￿)UNDATIoN LIM￿ED
NOTES TO THE FllYANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023
ACCOIJNTING POLICJES
BaBI8 of preparlDg the knlal statements
The fin8ncial ststements of the cbarithble ConW￿y. wbich 18 a public benefit entity ullts FRS 101
have beo pwftred in accordall￿ with the Charities SORP (FRS 102) 'Accovnt2n8 and Reporting by
Charitie3: Ststement of ReCom￿cd Pmtice applicable to charitie8 pryin8 their ac<x)unt8 ill
accoTdanG¢ wilh the Financial Reporting Standard applicable in the UK and Republic of Irdand (FRS
102) (effectiv¢ l Jauuary 2019),, Financial R¢porting Standard 102 The FiJwi¢ial Re￿rting Standatd
applicable in th¢ UK and Republic of bEland' and the Compari￿ Act 2006. The fmancial 8tatsrn¢nts
Golng ¢oncern polky
harity'8 opcrations for the next twelve month8.
At the Balance Shrtt date, the ch￿lty bas n¢t Jiabibtie8 of arDuTxI £538,000 (2022., £140,000).
Th8 18 because of Qardh Hasana. interest free loall8. have been ]￿lUd￿ in ¢reditor8 within on¢ y¢ar.
In¢oyDe
All income 18 recogni8ed in th¢ Statement of Finan¢ial Activities once the chatity bas entitl¢mcnt to
the fimd8. it is probable that the income will be rwxived and the aDWUllt can be mca8ured reliably.
Income from 8ov¢rnm¢nt and other grants. whthr '¢apit81' ￿ or r¢vellue" grant8, 18 rttogni8eAI
when the ch&ity ha8 entitlement to the fi)lld￿ any wforn)aace conditions attached to the grants have
been mel it is probable that the income will bo rerxived and the amount can be m￿llr¢d reliabty and
is not defeTh￿.
Jn¢ome rettived in advancx 18 deferred unlil the Criteria for lyKOn￿ r￿0£nItion are met.
Donated facilili¢8 18 tw)8nis&4 at its esliDMted math¢t valu
lllwm¢ frotll s¢1￿01 Fees 18 r¢cogoi8¢d on all acoual ba818.
Rentsl incomc IB a¢wunt¢d for on a rvKivable basis.
Liabilities aT¢ reco8ni8ed as expenditu￿ a8 800n a8 the￿ 18 a legal or Collstruclive obligation
committing the ¢hariiy to that ex￿ndI￿re. it is probable that a tr￿￿fer of economic benefits will b¢
required in 8ettlement and the amount of th¢ obligation can be measured rdiably. Expenditure .
aceounted for on an acwuth basis and ha8 classified under heading8 that awegate all Lx)st
lateAI to the ￿tegOry. Wh¢re cogts camM)t be directty attril￿ted to wtiodar headings they have been
allocated to activitiea on a b88is con8iststh with the use of re%)ll￿.
Allo￿￿0￿ and •pportfionrnent of eo8ts and irr#overabk vat
In particular the policy for including ilem8 wAthiD ￿sts of 8eneratin8 funds, charitable activitie8 and
CharhAble aelivili
Charitsble expenditllre 6hall include all dlrertly rdaied to the obj'octs of the charity.
Page 20
Lx)ntim]ed..

AbNOOR FOUNDATIOIY LIMITED
NOTES TO THE FINANCIAL sfATEMENTS. Continued
FOR THE YEAR ENDED 31 DECEMBER 2023
ACCOu￿1NG POLICIES- conthiued
Allocatlon •pportlonmcDt of costs And irrecoverable vat
overnancx costs shall include all eXpendI￿re directly ￿lated to th¢ adtninI￿1Oll of th¢ d]aTity
including expenditsire incurred in the management of the charity8 assets. OTgaDisational
admin￿On and compliance with charitable and 8tathtory requirenjents.
AllocAtEon of costs witlthi types of re8our¢eB expended
The methods and principles for the allc¢ation alld apportionment of all costs behveen th¢ diffu¢nt
activity Categori￿ of r￿ourCeS set oth above are based on th¢ tC6t of whdher a cost directly
ontributcs to the particular related Source of in¢om¢. Swh identifiable costs are apportioned to the
sp￿]fiC activity, whereas all other costs ar¢ all(*ated to support CA)Sts of clwitablc activities.
Resources expended include ettsibutsble VAT whith caDnot be rccovcre
T￿n￿ble fjxed 188ets
Dq1￿ciallrn is provided at the following annual ra￿ in order to vnite off each a8S¢t over its
e8tirnated useful lif¢.
Freehold propcrty
Fixtu￿9 and fittitiB8
20A on cost
250/0 on reducitig b8lallL
Ialld is not deprKiated and No depreciation 18 charged in thc Y￿ of acqui8ition.
Tangibl¢ fixd 8s8ets ue 8tated at historical cost less accumulated depreciation and any a¢¢umylatrd
impairnient losses. ￿'StOrical cost includes expenditure that is directly attributabl¢ to brAnging the
a88¢t to the location alld condition necessary for it to be capable of operatin8 in the manner intendrAI
by nwiagement.
Depreciation 18 charged so as to allocate the costs of assets kss their residual value over their
estinwt¢d u8eM live8, using either 8 Strwgbt line or redu¢ing balan¢¢ m¢thod, 88 indicat¢d below.
Donated f•¢llltlM capltaltsed ai Tinglble fixed a8*ts
F￿llItiC￿ and S¢rvices donated for on-going by a charity in carrying out its activiti¢8 are
gnis¢d as taD8ible fix¢d as8¢tB with the COJTesponding gain r￿08n15¢a a¥ inm¢ from donation8
within the SOFA.
IDveitment property
Investmeni property is stated at its fair valuation. Any aggregat¢ surplus or deficit arising from
changes in fair value is traDsfenThd to an Unrea￿ r¢valuation gain.
Taxatlon
The clwity IB Cxmpt from tax on income and gains falling witbin 8￿tIOn 505 of the Taxes A¢t 1988
or Section 252 of the Taxation of Chargeable Gains Act 1992 to the extent that the8e are applied to its
charitable objcct8.
FuDd accounthiE
Utirestrictsd fillmls can be used in accordw with the cI￿lIable obie£tives ai the dimtion of the
R¢8tricted fund8 can onLy b¢ us&1 for partI(￿lar r¢8tri¢t¢d puryoses within the ObJ￿ts of the charity.
Restiictions arise whcn sp¢¢ifi¢d by the donor or wb¢n funds are raised for particular r¢8triL*ed
Page 21

AbNOOR FOIINDATION LIMITED
NOTES TO THK FINANCIAL STATEMENTS- conthiued
FOR THE YEAR ENDED 31 DECEMBER 2023
ACCOUNTING POLICIES- conthiued
aeeountlng
Further explanation of tbe natur¢ and purpw of each fimd is iocluded in th¢ not¢s to the financial
Debto
Trade and other debtors are TeKogDi8ed at the settlement amount due aft￿ ally di8COUllt offered.
Prepaymcnts atv valued at the amount paid n¢t of any discounts due.
Credlto
Cr¢ditorn and pmvi8ion8 aft recogni￿1 wlwe the charity Iw o present obligation resulting from a
past ¢Yent that will probably r¢sult in th¢ ttatssfer of fund8 to a third paty and the amount to settle
the obligation Can be Meas￿ or ¢8timated reliably. CreditOTS and provisions are norn]ally
Penslon ¢oit• And other post-￿eMent benefits
The ¢h8tilable company operates a defined contrlbution pension sGheme. Contributions payable to
the cJwitabl¢ pen8i¢)n 8ch¢m¢ aT¢ ¢harga1 to the Statement of FiDaDaial Activilics in th¢
paiod to whith they relate.
Donated good4 faell1d￿ And servlcu.
Donated facilitics Nnd 8¢rvic¢s ar¢ recO￿lsea 88 incom¢ when Control over the expected economic
b¢nefits that flow from the donation h88 passed to the charity and any wfOn￿¢t-re1ated conditions
attac]Kd have b￿ll ￿llY mc( it 18 mor¢ likely that the econL)mic be￿fits associated with the dowted
item has flown to the clwity and th¢ fair value cafj be measured reliably.
WlndiDg up or dl8iolutlon of the ¢harlty
If upon winding up or dissolution of the cknity thcr¢ remain any a#8ets, after the 8ati8faction of all
debt8 and liabiJitie$, the assets represented by the accumulatcd fund sball b¢ tran8fezrcd to some other
¢harAtablo body or bodieB having 8imihr Obj￿15 to th¢ chaTity.
Qardh
Qatdh Hasana . Th¢80 8r¢ intere8t free loaDS proKd¢d by thc community ￿MI 8UPPOrta7 of the Ch￿ity.
Whi18t extcndcd payment t¢rm8 be agrerf they repayabl¢ on dell￿Ad.
IAing Term Investment
Img Terni Investment is Bhown at fair value.
Pag¢ 22

A￿N00R FOtJF4DATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS. conthiued
FOR THE YEAR EIYDED 31 DECEMBER 2023
I)OP4ATIONS
Period
i￿r2]
Year Ended
31112123
3111
Foulldatii)n In¢om¢
OTHER CHARITABLE ACTIVITJES
Period
119121
YeAr Ended
31112123
3111Y22
135,501
255,432
Gift aid from HMRC
260,597
PerAod
J19t21
Year Ended
31112123
31112122
Rents receivable
Other participating intereBts
(1OS8)
238,501
238 501
Page 23

AL-NOOR FOUNDATION L[￿ED
NOTES TO THE FINANCIAL STATEMENfs. continued
FOR THE YEAR ENDED 31 DECEMBER 2023
119r21
to
31112122
Ye8r End
31112nJ
Prirn￿ School
Tncome
Fee8 Re￿1vable
21,943
59
31,480
Education
275 155
NET INCOMFJ(IXPENDITURE)
Net incomel(¢xpendItu￿) is stated aft¢r charginty(¢reditin8):
Year Ended
31112123
31112122
Audttors, remunerntlon
AuditOT8' r¢muneration for non audit work
Depr¢ciation- Owll￿ assets
Surplu8 on disposal of fixed a6S¢tJ
000
891
170,535
7JiKJ
1.031
227,739
(2,484,643)
The 8ain on digp08al of fix￿ a6sets repr￿t the gain on tbc sale of Newton Tndustrial Fatstc to
ncw partntt8hip which Al Noor Foundation Limit¢d h08 a 50Q/o equity 8har¢,
TRUSTEES? REMUNERATION AND BEI¥EFITS
There wer¢ no trustees, remuneration or otb¢r b￿fits for the y¢aT ended 31 Deceml)er 2023 nor for
the period ejthd 31 December 2022.
P¢riod
119121
Year Ended
31112123
31112122
Page 24
c11ntinu￿I...

A￿N00R FOIINDATION LIMITKD
OTES TO THE FINANCIAL STATEMENfs . eonthilled
FOR YEAR ENDED 31 DECEMBER 2023
STAFF COSY3
Period
Year Ended
3111x123
3111W22
Wag¢8 and Salaries
Otbcr pension co8ts
163,707
349.740
4,295
166
354 035
The avffage monthly nwnber of employee8 during the year was as follow8:
Period
119121
YeAr Ended
31111r23
15
3111Y22
28
Bngag¢d on Charitsble A¢tiviti¢$
Engagcd on Management
16
29
No employee8 re¢¢ived emoluments in ex¢e&g of £60,000.
COMPARATIVES FOR THE STATEMENf OF FINANCIAL AcfIviTIES 31.1222
Unrestricted Restricted Total
INCOMK FROM
Donation8
45.025
45,025
CbArltAbl• aelfvld
Education
275.155
275,153
Oth¢r Charitsble Activities
Investment income
260,597
238,501
2 484.643
260,597
238,501
Total
3203,921
3.303.921
EXPENDITURE OF4
101.451
101,451
Charltable ￿￿VIl
Foundation
Education
571553
544,103
20.852
593,405
544,103
1218,107
20,852
1.238.959
Page 25
continucd...

A￿￿00R FOUIYDATION LIMrrED
NOTES TO THE FINANCIAL STATEMENTS. eonthiued
FOR THE YEAR ENDED 31 DECEMBER 2023
COMPARATIVES FOR THE STATEM￿ OF FllYANCIAL A￿1￿lEs 31.1222.
Unr¢stricteAI R&8tiict¢d Totsj
fimd
fLmd
2,085.814
330)
(20.852) 2.064,962
330
Tran8fen between fundi
Net nrnenl In fund•
2,085,484
(20,522) 2.(W.962
RECOIYCIUATION OF FtJNDS
Total brought forward
9,749.794
20,522
9,770,316
FORWARD
11835278
10. KEY MANAGEMENf PERSONNEL
The Nljnagement Personnel compri8cs of the Board of Tru5tces and the Chief Bxeeutive Officer
wb08¢ remutieration amount¢d to £57,502 for the year ended 31st Dec 2023. (2022: £73,333 - 16
month8)
11. TANGIBLE FJXED ASSETS
Fixture8
Freehold
propety fittings
Totals
cosr
Al l January 2023 alld
31 Decemb￿ 2023
DEPRECIATIO
l January 2023
73Q667
169
SA80
741147
170
At 31 Deccllkn 2023
NET BOOK VALUE
At 31 D￿ber 2023
At 31 D￿￿mber 2022
8 225,427
Donated Facilities measur¢d at their fair Yakn￿ which was th1v￿] from the c08t of cOD5t￿on
of the building &t £8.5 million.
Page 20

AL-NOOR FOUNDATION LIMTfED
NOTES TO THE FJNANCIAL STATEMENTS. Continued
FOR THE YEAR EIYDED 31 DECEMBER 2023
12. OTHERn￿EsTmEN13
related
uity
FAIRVALUE
At l January 2023
Long Trn IDv¢slment
3,750,0
At 31 De<¢mber 2023
NET BOOK VALTJE
At 31 December 2023
At 31 DeLember 2022
13. DE￿ORs. AMOUNTS FALLING DUE ￿TllIN ONE YEAR
31.1223
31.1222
Trad¢ d¢btor8
38,135
188,171
94 43,988
232 159
14. CREDITORS: AMouNfs FALLINC DUE WITlllTh ONE YEAR
31.1123
31.12.22
Trade creditors
Social a￿UrIty alld otkw tsxc8
VAT
264,324
6,869
16,933
2.995,989
54,130
60,190
3.185
12,971
2J75J67
Accrua18 and dderrryl income
(￿her Creditor8 included ￿lle￿&s1Onary Jntete5t FrK Loan8 of £2,340,897 (2022: £2.931 J97) al
Al80, included as part of Other c￿rI w¢x¢ ￿fUndab1e student deposit5 of U,000 (2022: £32,000).
Page 27
continued...

AbNOOR FOUNDATION LIMITED
NOTES TO THE FllYANCIAL STATEMENTS . continued
FOR THE YEAR ENDED 31 DECEMBER 2023
IS. ANALYSIS OF NET Assrn BETWEEN FUNDS
31.12.23
Total
31.1222
Total
UnrestriL*d Restricted
fund
Fixd a$8ets
Inv¢stmellts
8,054092
3900,OIKI
1943,719
8,054,892
3JOOO00
1,943,719
2 481794)
8,225.427
3.750,000
3258286
3 398 435)
Current liabilities
16
11
16
17 11835
16. MOVEMEKf ]F4 FUNDS
N¢t
movement
in fimds
At
31112123
At 111123
Unrethcted fundi
11035J78
(418061) 11,416017
TOTAL FUNDS
11
461
11416 817
Nct llLovement in fullds, ]￿luded in the Above are as follows:
tncorning Resou￿ Movernent
re8ource8 cxp¢nd¢d in funds
General fund
428.497
(￿958) (418061)
Page 28
(x>ntiDUal...

AbNOOR FDUNDATION LThfITED
NOTES TO THE FJF4ANCIAL sTATEm￿￿- contlnued
FOR THE YEAR ENDED 31 DECEMBER 2023
I& MOVEMENT lly FUNDS. eontlnued
ComparAdve8 for mov¢m¢nt In fun
Transfers
movement between
in funds
funds
At
31/12122
At 119r21
Unrethed fund8
Genera] fund
9,749,794
2,085,814
(330) 11,835.278
Re8trieted fund8
Restrictcd Fund8
20J22
(20.852)
330
TOTAL FtJNDS
9.770.316
2.064,962
11835 278
Comparative net movernt ill funds. Includ￿ in the above are a8 follow5:
tncomin8 ReBourcxs Mov¢Jn¢nt
resources expended in fimd8
UnreBtrlcted thnd•
General fill
3,303.921 (1218.107) 2.085.814
Restrletsd fundi
RcBtrict¢d Fund8
(20.852)
(20,852)
TOTAL FUNDS
1238.959) 2 064,962
Movement In the yur- Defi¢lt of £418,461 (2022: Sllrpl￿ - £2,064,962)
The charity had net eXpendits￿e of £418,461 of which £170,535 ryresented dep￿latIOn on fixrAI
a88¢ts and the balance of £247,926 represent8 expenditure on their chAritsble obje¢tive8 met from
reserves brought forward
Page 29
continucd...

AbNOOR FOUNDATtON LIMITED
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 DECEMBER 2023
17. REIATED PARTY DISCLOSlnlES
A8 at Balance Sheet date, the con)pany has intffe8t free 108ns tolalling £269,568 (2022: £240,118)
from rclatcd moDbcr8 of the Boar￿ The pwpose of the loan8 wa8 to aid in the runnin8 of the
c]Jaritabk aclivitie8 caTrieA out by the ￿4>£nY.
18. SHARE CAP￿AL
The ch8rity 18 incoryorat&l under the CompaDies Act8 and 18 limited by 8uarantee, each mcmb
havAng undertaken to contribute such amowits t￿t exce¢thn8 ten ￿Ulld as may bc required in the
ent ofthe conwany being wound up wbil8t he or She is ￿Ill a manber or within one year thoTaftw,
Page 30