REGISTFRED CHARITY NUMBER: 1063944
ste

an Raza-E-Musta
Contents of the Financial Statement
rth
arch 202
Page
Reference arKI Admlnistrative Detalls
Rewi of the Twstees
Independenl Examlnerfs Report
Statement ol Flnanclal Activities
Statement of Flnanoal Positlon
Notes to the Ftnandal Ststements
6 10 10
Deta1￿ Statemeni of ￿nandal Activfties
11 to 12

li
202
TRUSTEES
Emran Vall Twstee
Abdul Ahmed Musa Trustee
Moh8ln Adam Tius188
Alyub Mohammed Daibar Tntst88
lrfaan Karlm Trusle8
PRINCIPAL ADDRESS
198 Shrewsbury Road
Forest Gale
London
E7 8QJ
REGISTERED CHARITY
NUMBER
1063944
INDEPENDENT EXAMINER
Qullfords Llmited
Chartered Certifled Accountants
113 Romford Road
London
E154LY
Page 1

ol th Truste
r the Year Ended 31 Mar
20
The tntste85 present thelr report wlth the flnandal Stalemenls ol the charty lor the year ended
31 March 2024. The trustees have adopied lh8 provlslon8 ol Accountlng and Reporting by Charities:
Statement ol Rec(wnmended PrdCtlc8 appllcablg to ch8rltl8s preparlng thelr accounts Sn accoidance
with the Flnancial Reportlng Standard appllcable In the UK and Republlc ol118larKI {FRS 102) (effecllve
1 January 2019).
OBJECTIVES AND AcnMnES
ObJ8ctlv•s and alms
The rt)jective ol ￿ asK￿latIOn are ihe enchaniment ol Islamlc bdeology In accordance wlth Quran and
Ahadith in the locality wiihin th8 bound8 of mosque.
FINANCIAL REVIEW
Funds
The tharty recelved totalllng of £169,247 (2023: £160,313). Aft8r payments of outgolng expenses
totalling £125.558 (2023: £134.996) the charity was left wllh a Surplus of £43,689 (2023: £25,31 n lor
the year.
STRUCTURE, GOVERNANCE AND MANAGEMEKr
Govemlng document
The d)arity is conlrolled by its govemlng document, a deed of trust and consiftutes an unlncorporaied
tharity.
Organlsatlonal structure
The association's income arfses Irom fees arKI donations. The executive committee Is responsible ft
th8 day to day management of the financtal and operational matters.
The management commlttee meets on a r8gular basis to discuss and revlew the affairs of association.
The board also has an annual general meeting In whlch members of the executive commfftee present
themselves for re election.
Approved by order of the board of trustees on 4 February 2025 and signed on its behalf by:
Abdul A Musa - Trustee
Page 2

mlner's
za-E-
um
Ind•pendont examlnaes report to the truste•1 ol Anjuman Raza.E.Mustala
I report io the charity iNstees on my examlnaibn ol lh8 accouM8 01 Anjuman Raza.E.Mustsfa (the
Tru￿) for the year ended 31 March 2024.
R•5ponslbllltles and basls ol rw)ort
As the charity trusiees ol the Trust you are responslble lor Ihe preparatlon ol tha accounts In accordance
with th8 requirernents of the Charit188 Act 2011 {'the Act,).
I report In respect of my examlnatlon ol the Trust'8 accounts carrl8d out under Sociion 145 rA th8 Act
and in carying out my examlnation I have lollowed all aP￿ICable Dlrectlons glven by the Chafty
Commisslon Und￿ Sec16on 145(5)(b) of Ihe AG*.
Indow￿￿t •xamln•fs stat•m•nt
I have completed my examlnaiion. l Conllmi Ihat no materlal matters hw48 ccKn8 to my attenti¢￿ In
Cl￿nection with the examination giving me cause to believa that In any maieflal respeo:
acownting records were not kept In respect ol the TNst as requlred by Section 130 01 tho Ad: Crf
the accounts do not accord with those records; or
the ac¢>)unis do noi comply with the applicable requlroments concernlng the form and Co￿ent crf
acC(￿nIS set out In the. Charities (Accounts and Reports) Regulaiions 2008 other than ary
requirement that the accounts giv8 a true and lalr vlew whlch Is not a matter consldered as part
of an independeni examination.
I have no concems and have come across no other matters In connection wilh the examination to whith
attention should be drawn In Ihis report In order to enable a proper understanding ol the acwJnts10 be
reached.
Asklr AU
Quillords Limited
Chartered Certified Accountant$
113 Romlord Road
London
E15 4LY
Date: .....
0710212025
Page 3

de
arc
20
31.3.24
Unre8irlcted
lund
31.3.23
T￿31
Notei
INCOME AND ENDOWMENTS FROM
Donaiions and legaci05
134,367
129,723
Other tradlng actmtles
Tothi
169 247
EXPENDiniRE ON
Raislng funds
125,558
134,996
NET INCOME
43,689
25,317
RECONCILIATK>N OF FUNDS
Total funds brought fward
489.186
463,869
TOTAL FUNDS CARRIED FORWARD
532 875
489,186
The notes form part of these financlal ststements
Page 4

li
31.3.24
Unresirlcted
lund
31.3,23
T￿81
fvndg
88
RXED ASSET8
Tanglble 8ssets
264,251
264,251
CURREKf A8SET8
Dèbtors
Cash ai bank and In haThl
428,850
$48h58 225,685
CREDITORS
ArnO￿ts Withln year
8,9
(279,834)
1750)
NET CURRENT ASSETS
TOTAL ASSEfs LESS CURRENT
UABIUTIES
532,875
489,186
NET ASSErp
532,875
FUNDS
Unfestricted lunds
10
TOTAL FUNDS
The finandal stalements were approved by the Board ot Trustees and authorised for issue on
3 February 2025 and were signed on its behalf by:
Abdul A Musa . Trustee
The notes form part of thesa financlal ￿alernents
Page 5

li
ole3
rihe
the Flna
arEn
al Sia
emeni8
02
ACCOUNTING POLICIE8
Bas18 of preparlng th• Ilnanclal iiat•m•rf•
The Ilnancial siaiemenis of Ihe charity, vthlchls 8 publlc beneflt ènthy undei FRS 102, have been
prepared In a￿)rdance *ilh lh8 Charill88 SORP (FRS 102) 'Accountino and Reportlng by
Charltles: Statement ol Recommended PiactiC8 8ppIIc8b18 lo charltles prepaflng Ihelr accounts
In accordance with the Financial Reporting standard 8pplicabl8 In the UK and Republlc ol Ireland
(FRS 102) (8ttethiv8 l January 2019),, Flnanclal Reportlng Slandaid 102 The Flnanclal Reportlng
Stsndard applicable In ihe UK and Republlc of lieland, and th8 Charllles Aci 2011. The financSal
statements have been prepared undw the hl8lorlcal cost conv8nlk>n.
All irbcome Is recognised In ih8 Statement ol Flnandal Actlvltle8 onc8 the chafty has eniitlemeni
io the lunds, tt Is probable that th8 Income wlll b8 recelved and lh6 amou￿ can ￿ rneasur8d
reliably.
Exp•ndftur•
Liabilities are recognlsed as expenditure as soon as there Is a legal or constrLKtive obligation
(xvnmitting the chaiity to that expendlture, It Is probabl8 that a transler ol eCOr￿MIC benelils will
be required in settlement and Ihe amount of the obligatlon can be measured reliabty. Expenditure
is accounted lor on an accruals basls and has been dassified under headings that aggregate all
(x)st related to the category. Where costs cannot be directly attributed to particular headings they
have been allocated to activltles on a basis consistent with the use ol resources.
Tanglble flxed assets
Depreciation is provided at the following annual rates in order to writa off each asset over ils
estimated useful Ilfe.
Taxatlon
The charity Is exempt from tax on its charitable actlvities.
Fund gccoynllng
Unrestricted lunds can be used In accordance with Ihe charitsble oblectives ai the discretion ol
the trustees.
Restricied funds can only be used for particular restrlcte¢ purposes within the objects of Ihe
charity. Restrictlons arise when spedfled by the donor or whon funds are ralsed tor particular
restricted purposes.
Further explanation ol the natura and purpose of each fund Is Included In Ihe notes to Ihe flnanclal
siaiements.
Page 6
continued...

los
In
ISt8
emen
OTHER TRADING AcTrvmE8
31.3.24
31.3.23
Tullk>n lee
RAISING FVNDS
Ralslng donatlons and logaGI••
31.3.24
31.3.23
Supwt costs
TRUSTEEg' REMUNERATION AND BENEFIT8
There were no trustees, remuneratlon or other beneflts for the year ended 31 March 2024 nrx lor
the year ended 31 March 2023.
TN*eeS' expenG•8
There were no Iru*ees' expenses pald for the year ended 31 March P024 nor for ihe year ended
31 Marth 2023.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcnvmES
Unrestrirted
lund
INCOME AND ENDOWMEKfs FROM
Donations and legacies
129,n3
Other tradlng activities
Totsl
EXPENDITURE ON
Ralslng lunds
134,996
NETINCOME
25,317
RECONCILIATION OF FUNDS
Total funds brought lorwaTd
463,869
Page 7
continued...

COMPARATIVES FOR THE 8TATEMEKfoF FINANCIALACTNmE8.
¢oniinu•d
Unie8trlcted
lund
TOTAL FUNDS CARRIED FORWARD
TANGIBLE FIXED ASSETS
Ffeehokj
propety
COST
At 1 April 2023 and 31 Marth 2024
NET BOOK VALUE
Al 31 Marth 2024
At 31 Marth 2023
DEBTORS: AMouKfs FALLING DUE AFfER MORE THAN ONE YEAR
31.3.24
31.3.23
Other debtors
CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
31.3.24
31.323
Other creditcrfs
750
LOANS
An anatysls of the maturity of loans Is given below.
31.3.24
31.3.23
Amounts falling due whhln one year on demand:
Other loans
166720
Page 8
continued...

6thALttaLLLMuil
Notoi1oiho.Eloonclo￿8l￿IOMe[rtI￿￿llffi
1th MOVEMENT IN FUND8
Verne
lunds
Al
31.3.24
At 1.4.23
Unro8trlcted fundi
Goneral lurKI
489,188
43,889
,870
TOTAL FUNDS
Net ffrnm8nt kn lund8, InCkn1￿ kn th• akno aro ai IcAI(M•:
Inc4Nnlng Résources Movement
r•8OUfce• •xpand￿ In lund8
Unr•strlet•d lund•
General fund
169,247
(125.558)
TOTAL FUNDS
169 247
Comparatlv•s for movement In fund8
Net
movement
In funds
Al 1.4.22
31.3.23
Unrnstricted funds
General lund
463,869
25,317
489.186
TOTAL FUNDS
c￿nParatIve net movement in lunds, included In the above are as follows:
Incomlng Resources Movement
resources
expended
in funds
Unrestrlcted funds
General lund
160,313
(134,996)
25,317
TOTAL FUNDS
160 313
25.317
Pgge 9
continued...

Ina
sia
Ma
nl
02
rihey
ar
10. MOVEMENT IN FUNDS • contlnu•d
A cuneni year 12 monthg and prbr year12 rrM)nth8 combln6d I￿lOn18 88 lolows:
Net
movemerrt
In lunds
At
31.3.24
Al 1.4.22
Unrnstrlct•d lund•
lund
483,869
69,r
532,875
TOTAL FUNDS
532 875
A avrerrt ￿r 12 months and wlor year 12 months comblned net movemeni In lunds, tr￿uded
the atthe are as tollm:
Incomlng Resourc6$ Movome
resources
expended
In lunds
Unrestrlctod funds
Genaral lund
329,580
(260,554)
69,OC6
TOTAL FUIIDS
329 580
260 554)
69,OC
11. RELATED PARTY DISCLOSURES
There Were no relatad paty transa¢ions for the year onded 31 March 2024.
Page10

'uman Raza-E-
ustafa
tailed
tatement of Financial Activities
or the Year Ended 31 March 2
24
31.3.24
31.3.23
INCOME AND ENDOWMENTS
Donatlons and legacl•8
Donations
other inc<xne
133,492
875
127,406
134,367
129,723
Other tradlng actlvhles
Tuilion lee
Total Incomlng resourcas
169,247
160.313
EXPENDITURE
Support costs
Managoment
Wages
Lighi arKI heat
Postsge and statAon8ry
Wasta management
Prolesslonal lee
40,
5,476
8,694
466
38.814
26,614
18.140
59,F64
101.751
Flnance
Bank chaiges
25
Infomiatlon iechnology
Telephone and <xNnmuntatk
Tl#s page ¢kns knn part ol the slattrtory linarrtial siaipments
Page11

uman Raza.E-Must I
Detailed Staiement ol Flnanclal Actm '
lor the Year Ended 31 Mar
31.3.24 31.3.23
Other
Insurance
CharIta￿e d￿11(
Sundries
Repalr and malntenance
Card machine charges
Rent
TemNY8ry Staff
Madrasah Suppliès
Trdvel and Subsisienco
975
3,378
17,258
407
6,668
5.274
1,746
13,237
28,825
3,693
1,450
61,127
24.333
Legal fees
Ac￿￿tan￿ arKI18gal188s
8,162
750
Total resources expended
Not Incon
Ths page does n(rt part of the statutory fmarKlal statements
Page 12