Registered Charity no: 1077423
MAZAHIRUL ULOOM LONDON
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2024
ABACUS PARTNERS {LDN) LLP
CHARTERED CERTIFIED ACCOUNTANTS
UNIT A, ABBOTTS WHARF
93 STAINSBY ROAD
LONDON E14 6JL

MAZAHIRUL ULOOM LONDON
Charity Information
Trustees
Mr Harunur Roshid Chowdhury
Mr Faruk Ahmed
Mr Muhammad Gias Uddin
Mr Ahmed Jamshed
Mr Lays Miah
Mr Jamshed Ali
Mr Shah Dobir Kamaly
Mr Al-Hajj Altaf Hussain JP
Mr Amirul Islam Choudhury
Mr Abdul Motlib
Mr Hussain Ahmed
Mr Md Shihab Uddin
Chairman
Secretary
Treasurer
Charity number
1077423
Principal Office
241- 243 Mile End Road
London El 4AA
School Principal & Coordinato Mr Imdadur Rahman Al-madani
Mr Khalil Goddard
Mr Zubair Rahman
(Principal)
(Head teacher)
(Islamic Curriculum Coordinator)
School Governance Committee is made of 5 members including parents
Mosque & Madrassah Imanis Moiilana Masum Aluned
Independent Examiner
Abacus Partners (Ldn) LLP
Chartered Certified Accountants
Unit A, Abbotts Wharf
93 Stainsby Road
London E14 6JL
Bank
Nat West Bank PIC
Stratford Broadway
1-11 Broadwayi Stratford.
London E15 4BL

MAZAHIRUL ULOOM LONDON
FINANCIAL STATEMENTS FOR
THE YEAR ENDED 31 AUGUST 2024
CONTENTS
P3ge
l.Trustees' report
1 to4
2. Independent Examiner's Report
3. Statement of Financial Activities
4. Balance sheet
5. Notes to the financial statements
8t011

MAZAHIRUL ULOOM LONDON
Trustees, Report
for the Year Ended 31 August 2024
The trustees present Iheir annual report and financial statements for the year ended 31 August 2024 and
confirm they comply with the Charities Act 2011. the trust deed and the Charities SORP requirements.
Structure, Governance and Management
Governin
Document
Mazahirul Uloom London is constituted as a charitable trust registered with the Charity Cotnmission in
September 1999 under charity number 1077423. It 15 governed by a deed of trust last updated in
November 2003.
Or
anizational Structure
The charity trustees are responsible for the general control and management of the charity. The trustees
give their time freely and receive no remuneration or other financial benefits.
The Iruslees meet together as a body bi-monthly and are responsible for all decisions taken in relation to
running the Mosque and ils facilities, and activities provided by the charity. The trustees also oversee
decision making of the Mazahirul Uloom School. To ensure the smooth running of the SGhool and ils
complianGe with the Education (Independent Schools Standards) England Regulations 2010, the charity
trustees have set up a separate management committee for the school for day-to-day management.
The school management committee meets every week. The day-to-day management of the Mosque
and facilities and ils projects is undertaken by trustees who are act as its volunteers.
Recruitment and A
ointment of Trustees
The existing trustees are reswnsible for the recruitment of new trustees. The current trustees have
been long time trustees and this has helped provide stability and continuity and local confidence. The
trustees believe this approach attracts commitment from local people and support wth funding for its
projects.
Induction and Trainin
of Trustees
The current trustees are the elders of the community and recognrze the need to reGruil younger
members in a process of renewal, and will be working with its advisers in the coming year to establish a
process of induction and introduction of new trustees in accordance with its trust deed.
Risk Mana
ement
The trustees assess the risks the charity faces on an ongoing basis and manage them throughout the
year. Policies and procedures are in place to ensure Ihat risks are reduced. The trustees are salisfied
that systems are in place, or arrangements are in hand, to manage the risks that have been idenlified. In
particular. insurance cover is in place and the finances of the Mosque are kept under review. Appropriate
DBS checks, supported by policies are made for all those who work with children or other vulnerable
groups within the Mosque or School. There is a physical separation and access to the School and
Mosque.
Page-1

MAZAHIRUL ULOOM LONDON
Trustees, Report
for the Year Ended 31 August 2024
Objectives and AGtivitie5
Ob'ectives
The objects of the Charity are set out in Ihe charivs trust deed arid are summarized as follows.-
The advancement of education and religion in accordance with the tenets and doctrines of the Quran
and Hadith.
We meet these objects for the benefit of the public. and we do this through the provision of the Mosque
and its religious activities and the School.
strate
ies
Our aim is to provide a religious facility that provides for spiritual and educational development of
Muslims. We believe a development of faith and first class education service combined will help build a
slrong, peaceful local community that is confident enough to engage with and make a positive
contribution to wider society. We believe our activities are helping this community development process
and delivering public benefit.
Our strategy is to continue to provide valuable services locally and attract funding to continue to develop
our building and the community. The Mosque is open for the five daily prayers, the Friday prayers being
a focus of our social and community development and the School operates from the same building
premises as the mosque but in separated area.
Use of volunteers
Mainly trustees work as volunteers and in adition there are only 6 other volunteers.
Activities and Achievements
How our activities deliver public benefit
The charity carries out a wide range of activilies in pursuance of its charitable objects. The trustees
consider that these activities, summarized below, provide benefit both to those who worship at our
Mosque and the local communily around Tower Hamlets_
Reli
ious activltles
Our Masjidlschool provides a facility for our five daily prayers and worship and for the activities
associated with our faith. During the year under review. we offered full range of religious services in
general. All COVID 19 restrictions were reviewed and withdrawn.
Pra
ers. The Mosque is open all 7 days for daily and Friday prayers All COVID-19 restrictions reviewed
and withdrawn. During the week we have 500-750 people who regularly attend daily prayers and over
500 who regularly attend Friday prayers.
During Ramadan Ihe charity operated full services of Iftar preparation, Taraweeh Prayers. eid prayers
and other possible special religious events and services.
Hifz classes: Memorization of the Qurfan is considered an important element of religious education and
training. We continue to provide this facility for the young people, our all classrom lectures and activites
reinslead. This programme continues to run successfully with about 30 young people regularly attending
these classes.
Page-2

MAZAHIRUL ULOOM LONDON
Trustees, Report
for the Year Ended 31 August 2024
Islamic Lectures." Our normal public lectures. prayers and seminars have been returned with the pre-
COVI D spirit.
Educational Activities
We continued to provide an independent education service through the Mazahirul Uloom London
School. The School provides National Curriculum education, as well as faith based learning, for 5
Secondary school classes from Year 7 to 11 totalling 125 students of which 15 completed their
secondary education and left with a minimum of 9 GCSE'S. All of whom went on to further education.
The school also excels in pastoral care having built and maintained excellent relationships with
parents. We believe that this is vital to enabling us to deliver a quality education service to our
students.
Mazahirul Uloom London also provides evening and weekend supplementary classes for children
between the ages 5-16. the total number of students attending these classes are 90. These students
are drawn from the local community who do not necessarily attend the regular school.
The School has built on earlier successes and has given more focus to students and staff well-being
Ofsted began their most recent report {2021) with: 'Pupils said that they enjoy school a great deal
because it is so welcoming. This sums up what it is like to attend Mazahirul Uloom perfectly. The
welcoming and inclusive cultire brings everyone together. As a result, pupils are cared for well"
Numbers at the school are healthy arFd we have more applications than we can accommodate
(currently 120 sudents). Teachers are happy that the school works to help them maintain felexible and
comfortable work-life balance which is one perhaps the main, reason that staff retention is not a
problem at MUL
As Ofsted reported... there is a strong emphasis by the headteacher on ensuring that Staff workload is
managabel. Staff greatly appreciate the flexibility they have to balance work and home life" At MUL
we believe that these issues are important in order that we nay fulfil our larger mission of what the
charity stands for.
Reserve policy: The Iruslees has determined that the appropriate level of free reserves which are not
invested should be equivalent 3 to 6 months, expenditure, approximately £109K to £218K. Despite the
fact that note 10 to the financial statements shows total unrestricted funds of £899K, the charity only had
free reserve fund of £166K after the designated fund of £733K to match the net cost of net fixed assets.
This free reserve has fallen as the year ended and the board is working to improve during the year
202412025 onward. As there is nofurther capital committment the charity has no concern of its going
concern operation.
Premlse5 extension
Premises extension completed during the last fianacial year and this year the charity only carried out
some major repairs costing over £30K.
Review of Transactions and FinanGial Position
As at 31 August 2024 the Gharity's nel balance sheet value is £899,131{2023 £830,977).
Page-3

MAZAHIRUL ULOOM LONDON
Trustees, Report
for the Year Ended 31 August 2024
Trustees. Res
onsibilities
The trustees are responsible for preparing the Trustees, Annual Report and the financial statements in
accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally
Accepted Accounting Practice).
The law applicable to charities in [England & Walesl requires the trustees to prepare financial
statements for each financial year which give a true and fair view of the state of affairs of the Gharity and
of the incoming resources and application of reSoUr￿S of the Gharity for that period. In preparing these
financial statements. the trustees are required to..
select suitable accounting policies and then apply them consistently;
observe the methods and principles in the Charities SORP-,
make judgements and estimates that are reasonable and prudent.,
state whether applicable accounting standards have been followed. subject to any material
departures disclosed and explained in the financial statements.,
prepare the financial statements on the going concern basis unless it is inappropriate to
presume that the charity will continue in operation.
The trustees are responsible for keeping proper accounting records that disclose with reasonable
accuracy at any time the financial position of the Gharity and enable them lo ensure that the financial
statements comply with the Charities Act 2011, the Charity (Accounts and Reports) Regulations 2008
and the provisions of the trust deed. They are also responsible for safeguarding the assets of the charity
and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
The trustees for the purposes of charity law who served during the year and up to the date of this report
are set out on charities information page.
Independent Examiner
An independent examination was carried out by Abacus Partners {Ldn) LLP. Chartered Certified
Accountants. The charity elected to dispense with the annual appointment of independent Examiner. In
the absence of a specrfic resolution to the conlrary Abacus Partners (Ldn) LLP will continue in office.
This report, which has been prepared taking advantage of special exemptions applicable to small
entities, was approved by the board on 24 June 2025 and signed on their behalf.
Mr. FarukAhmed
Secretary
Page-4

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
MAZAHIRUL ULOOM LONDON
YEAR ENDED 31 AUGUST 2024
I report on the accounts of the charity for the year ended 31 August 2024 which are set out on pages 6 to
11. The accounts have been prepared on the basis of accounting policies set oul on page 8.
Respective responswbilities of trustees and examiner:
The charity's trustees are responsible for the preparation of the accounts. The charity's trustees
consider that an audit is not required for this year under section 144(2} of the Charities Act 2011 {the
2011 Acl) and that an independent examination is needed. The charity's gross income exceeded
£250,000 and l am qualified to undertake the examination by being a qualified member of ACCA.
It is my responsibility to..
Examine the accounts under section 145 of the 2011 Act.
Follow the procedures laid down in the general Directions given by the Charity Commission
Lsnder section 145{5)(b) of the 2011 Act,. and
State whether particular matters have Gome to my attention.
Basis of Independent examiner's report:
My examination was carried out in accordance with Ihe general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also includes consideration of any unusual
items or disclosures in the accounts, and $￿kIng explanations from you as trustees concerning any
such matters. The procedures undertaken do nol provi(Je all the evidence that would be required in an
audit and consequently no opinion is given as to whether the accounts present a 'true and fair Vie￿ and
the report is limited to those matters set out in the statement below.
Independent examiner's statement:
In connection with my examination, no matter has come to my attention:
Which gives me reasonable cause to believe that. in any material respect,
the requirements:
To keep accotjnting records in accordance with section 130 of the 2011 Act. and
To prepare accounts which accord with the accounting records and comply with the
accounting requirements of the 2011 Act
have not been mel., or
To which, in my opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
NAC
WDHURY FCCA
ABAC
S PARTNERS (LDN) LLP
Chartered Certified Accountants
UnitA, Abbotts Wharf
93 Stainsby Road
London E14 6JL
24 June 2025
Page-s

MAZAHIRUL ULOOM LONDON
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 AUGUST 2024
Total
2024
Total
2023
Unrèstricted Restricted
INCOME AND EXPENDITURE
Note5
Incoming R8s0urces
Voluntary Income
Chaiilable Activities Income
122.863
122,863
107,463
349.566
384.450
384.450
Total Income
507.313
507,313
457,029
Rèsources Expended
Voluntary Cost
Charitable Activities Cost
521
521
434
401,149
401,149
358,299
Administrative Cost
37.489
37.489
21.801
Total Resources Expènded
439.159
439.159
380,534
Net Income l Deficlt for the year
68.154
68.154
76.495
Fund as at 1 September 2023
830,977
830.977
754,482
Funds as at 31 August 2024
10
899,131
899.131
830.977
The notes on pages 8 10 11 fomi part of these accounts.
Page-6

MAZAHIRUL ULOOM LONDON
BALANCE SHEET
AS AT 31 AUGUST 2024
Total
2023
2024
Note5
Fixed Assèts..
Tangible Assets
1.226.119
1,227,964
Curront Assets:
Debtors & piepaymenls
Ca$h at Bank and in hand
109.702
57.110
166.812
95,436
77,552
172,988
Creditor5:
Amount falling due within one year
74.700
58,640
Nèt Current Assets
92.112
1.316.231
114.348
1.342,312
Creditors:
Amount falling due more than one year
419.100
511,335
Total Nèt As$els
899,131
830,977
Funds
Unrestricted funds.. General
10
899.131
830.9TI
Restricted Funds
10
Total Funds
899,131
830.977
These accounts have been prepared in accordance with the Financial Reporting Stand8T¢J for Smaller Entitles leffective January 20151
(UK GMP applicable to Smaller Elllit￿s).
Approved by the Board of Trustees on 24 June 2￿25 and stgned on it's behaff by
M¥ Harunu¥ Roshid Chowdhury
ITTuslee- Chairman)
Mr Muhammed GFas Uddin
ITreasurer)
The notes on pages 8 10 11 fomi part of these accotsttrts.
P898-7

MAZAHIRUL ULOOM LONDON
Notes to the financial statements
for the year ended 31 August 2024
1 Accounting Policies
1.1 8as1s of preparation of accounts:
The financial stalemenls have been prepa￿d under Ihe historical cost convention and rn accordance wlh Companies Act. SORP
and the Financial Reporting Standard foi Smaller Enlilies.
1.2 Grants and Donatlon r6¢Èivable'.
All donations recetved awe liealed as unreslriGted fund.
Grants for immediate expenditure are accounted for when they become receivablts.
Grants received for speGific purposes a￿ treated as restricted funds.
1.3 Allocation of cost..
Costs a¥e allocated between rè51ricted aThJ unrestrided fund according to the terms ol income. Where items expended are mixed.
they are apportioned be￿een the calegoiies according lo the income they relate lo.
1.4 Tangible fixed assets and depreciation-.
Fixed assets for the charity use ale capilalised al cost. They are stated in the accounts at cost lesy depreciation.
Depreeialion is calculaled lo write off the cost l¢ss their estimated resKlual value, over their expected useful lives
on the lollowing basis..
Fixture, fittings and equipmenis
10% on cost
Incoming Resources
The incoming resources and surplus are 8ttributable lo the principal aclwilies of the charity.
3 INCOME SUMMARY
3.1 Voluntary Income
Unrestricted Restricted
2024
2023
Friday Colle¢tion
GeneTal Donation
25.372
97.491
122,863
25,372
97,491
122,863
22.074
85.389
107,463
3.2 Charitable A¢tivities Income
Unrestricted Restricted
2024
2023
Student Fees
Evening Madrasha
Other income
362.770
11,186
10.494
384.450
362,770
11.186
10,494
384,450
330,498
8,800
10,268
Total Income
S07,313
507,313
457,029
Page-8

MAZAHIRUL ULOOM LONDON
Notes to the financial statam8nts
for ihe year ended 31 August 2024
4 EXPENSES SUMMARY
4.1 Voluntary Cost
Unrestricted Restricted
2024
2023
Subscriptions
521
521
521
521
434
434
4.2 Charitsble Activities Cost
Unrestricted Restrlcted
2024
2023
Salailes and wages
Employerfs NIC
Staff Pension
Water and Fiales
Casual & cover leackner
Teacher Training
Hire of Equipmenl's
Cleaning. Repairs & Maintenan
Telephonellnternet
P¥inlingPoslage/Copying
Trips and event expensès
Healing and Ltqhling
Insurance
Study Materials
Examination fees & Ofsled
271.418
7.163
2.646
4.679
21.784
271,418
7,163
2,646
4.679
21.784
250,606
4,616
2,644
4.460
27,747
3.989
29.319
791
1.001
8.864
16,568
6,177
11.255
15,495
401,149
3.989
29.319
791
I,IK)I
8.864
16.568
6,177
11.255
15.495
401,149
7,570
6.927
801
1.334
10.672
4.343
6.936
13,817
15,827
358.299
4.3 Admlnlstrative Cost
Unrestricted Restricted
2024
2023
al Support Costs
Salaries and wages
Employerfs NIC
Hire of Equipment's
Cleaning, Repair5 & Mainlenance
Telephonellnlernel
PrinltnglPosla9elCopying
Healing and Lighting
Insuran
Bank and merchanlChaTges
Consultancy and Professional fees
DepieGialion on FF and Equipment's
7.275
62
997
7.330
7.275
62
997
7.330
198
250
4.142
2,059
3,143
4.994
1.845
32,295
6,877
48
1.892
1,732
200
333
483
2,312
3.388
250
4.142
2.059
3.143
4.994
1.845
32.295
17.265
bl Governance Cosis
Salaries and wages
Employèrfs NIC
Consultancy Feesiiegal
Accotsnlancy
2,425
21
1.248
1.500
2.425
21
1.248
1.500
2.292
16
373
1,855
5.194
5,194
4,536
37.489
37.489
21,801
Total Expenses
439,159
439,159
380,534
Page-9

MAZAHIRUL ULOOM LONDON
Notes to the financial statements
for the year ended 31 August 2024
S Tanglble Fixed Assets
Freèhold
Properties
Flxture, fittrng
& Equipment's
Totsl
Cost 8/Fwd
Addilion-exlensionlimprovemenl
1,218.736
111.575
1.330.311
1.218.736
111.575
1,330,311
DepTecialion-.
Ch¥ige5 BIFwd
Charge foi the year
102,347
1,845
104.f92
102,347
1,845
104,192
Nel Book Value
As al 31 Au9usI 2024
1.218.736
7.383
1.226.119
As al 31 August 2023
1.218.736
9,228
1,227,964
6 Debtor8 & Prepayments
2024
2023
Student Fees
Loan lo Darul Uloom Foundation
Other Debtors
59,702
50.000
45.436
50,000
09.
7 Creditors.. Amount Falling Due Within Ong Year
2024
2023
Othei Creditors
Qurd e Hasana - Pvt Loan
Accruals
1.825
56,815
73.950
750
74.
B Credltors.. Amount Falling DLte After More Than One Year
2024
2023
Qurd e Hasana - Pvt Loan
419,100
511,335
Private Loans. Qurd Hasana" are h)ans from the chari1￿5 beneficiaiies. vh)ich onty have a obligation to repay on demand.
rf possible. There is no inl8r&sl due or security given foi Ihese loans.
9 Staff Emoluments
2024
2023
Total Wdges and s813ries
Employerfs NIC
281.118
7,246
288,364
259,775
4.679
264,454
Direci Charitable
Others
278.581
9,783
288.364
255,221
9.233
264,454
Avg No of employees.. Admin
Avg No of employees: Direcl
24
23
Employees paKf in excess of £60,OCK) during the current year
and previous yeaT
None
None
No remuneration was paid to any tmslee5 Qr IheiT assoctales dvring the year en(led 31.08.2024 nor at 31.08.2023.
P8ge- 10

MAZAHIRUL ULOOM LONDON
Notes to the financial Statements
for the year ended 31 August 2024
10 Movement In Funds
Free
Reserye
Deslgnaled Unrestrlcted Rèstricted
Fund
Fund
Fund
Total
As al I September 2023
173.010
657,967
830.977
830,977
Cvrrenl year sU￿lUS
68.154
68.154
68,154
Current yeaf transfei
{75,1021
75.102
As at 31 August 2024
73
9.131
11 Taxation
The entity is a regislere(I charity and do8$ not undertakè non-chaiitable aclivities and ale entiue tor lax exemption by the Inland
Revenue.
12 Post Balance Sheet Events
There were no signili¢anl post balan￿ sheet evenls.
13 Transactlon with Trustees
There were no transadions wih the Iiustees duiing the yoar.
14 Contlngent Liabilities
The charity had no Gonlingent liabilitiès as at 31 Augvsl 2024 nor at 31 August 2023.
15 Relat6d Parties Transaction
There weie no disclosable related party Iransaraions during the year.
16 Glfts in Kind And Volunteers
During the yeai the companylcharily benefrted from unpaid work perfomed by volunteers.
Page-11