Registered Charity no: 1077423
MAZAHIRUL ULOOM LONDON
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
ABACUS PARTNERS (LDN> LLP
CHARTERED CERTIFIED ACCOUNTAKrs
UNrr A ABBOTTS WHARF
93 STAINSBY ROAD
LONDON E14

MAZAHIRUL ULOOM LONDON
Charity Information
Trustees
Mr Harunur Roshid Chowdhury
Mr Faruk Ahmed
Mr Md Shihab Uddin
MrAhmed Jamshed
Mr Lays Miah
Mr Jamshed Ali
Mrshah Dobir KamaFy
Mr Al-Hajj Altaf Hussain JP
Mr Amirul Islam Choudhury
MrAbdul Motlib
Mr Hussain Ahmed
Mr Muhammad Gias Uddin
Chairman
Secretary
Treasurer
Charity number
1077423
Principal Office
241- 243 Mile End Road
London El 4AA
School Principal & Coordinalo Mr Iryvjadur Rahman Al-madani
Mr Khalil Goddard
Mi Zubair Rahrnan
(Principal}
(Head teacher)
(Islam￿ Curriculum Coordinalorl
School Governance Committee is made of 5 members including parents
Mosque & Madrassah tmams Moulana Masum Ahmed
Independent Examiner
Abacus Partners (Ldn) LLP
Chartered Certified Accountants
UnÈt A. Abbotts Wharf
93 Stainsby Road
London E14 6JL
Bank
Metro Bank PIC
London
UK

MAZAHIRUL ULOOM LONDON
Trustees, Report
for the Year Ended 31 August 2025
The Irnstees present their annual report and financial statements for the year end8d 31 August 2025 and
confirm they compty wth the Charities Act 2011. the trust deed and the Charilses SORP requirements.
Structure, Govgmance and Management
Governin
Document
Mazahirul Uloom London is ¢onslituled as a Charitab￿ Injsl registered with the Charity Commission in
September 1999 under charity number 1077423. It is govemed by a deed ol trust last updated in
November 2CK)3.
anizational Structure
The charity Iruslees are responsible lor the general conlrol and management ol the charity. The trustees
give their lime freely and receive no remuneration or oiher financial benefits.
The trustees mee* tog8lh9r as a t>ody bi-monthly and are reswnsible for all decisions taken in relation to
running the Mosque and tls faciltties. and activitiès provided by the charity. The trustees also overse8
decision making of the Mazahirul Uthm School. To ensure the smooth running of ihe school and ils
compliance wrth the Education IlThJeperKJent Schools Stsndards) EThJland Regulations 2010. the charity
trustees have sel up a separate mar¢agement committee for the SCI￿1 for day-to-day management.
The school management committee meets every week. The day-to-day managemenl of the Mosque
and facilities and its projecls is undertaken by tnjslees who are act as Its volunteers.
R¢¢ruttm¢n* and
intment ol Truslees
The existing trustees are responsible for the reefuitrnent ol new trustees. The current trustees have
been long time trustees and this has help&Y provide sts￿lty and continuity and local confidence. The
trustees believe this approach attracts comm5tment Irom people and support Wtth funding for its
projects.
Induction and Trainin
ol Trustees
The current Iruslees are the eldeTS ol the commLEnty and TecognÉze the need lo recruiÈ younger
members in a process of renewal. and will be working with ils a(fvisers in the coming year lo establish a
process of induction aThJ introduction of new tTUStees in accordance wth its trust deed.
Ai$k Mana
The Iruslees assess the risks the charity faces on an ongoing basis and manage them throughout the
year. Poltcies and procedures are in place lo ensure that risks are reduc*J. The trustees are satisfied
that systems are in place, or arrangements arè in harKI. to manage ihe Tisks that have been id8ntified. In
particular, insurance cover is in place and Ihe linances of the Mosque are kept under review. Appropriate
DBS checks, supported by policies are made for all those who work with children or other vulnerabl&
groups wtthin the Mosque or Schwl. There is a phyEical separation and access io thg School and
Mosqu8.
Page-1

MAZAHIRUL ULOOM LONDON
Trustees. Report
for the Year Ended 31 August 2025
Oblectlves and A¢tivities
Ob'ectiv•s
The objects ol the chaiity are set out in the charivs Irusl deed and are summaiized as follows-.
The advancement ol education and T81￿10n in accordance with the tenets and ¢knIrir￿ ol the Quran
and Hadith.
We meet these objects for the benefit of the wbltc, and we do this through the provision of the Mosque
and its religious activities and the School.
Stra
Our aim is to provide a r8ligÉous facilty that proviles for spiritual and educational d8velopment ol
Muslims. We believe a development ol faith and first class education se￿￿e combined will help build a
strong. peaceful local community Ihal is confident enough lo engage Y￿h aFKI make a positive
contribution to wder society. We believe our activities are helping Ihis community development process
and delivering puEAic benefit.
Our strategy 15 to continue lo prov￿8 valuabEe serN¢ces localty and attract fundirig to continue lo develop
our building and the communty. The Mosque is open lor the fNe dajly prayers. the Friday prayers being
a focus ol our social and comrnunty devgkjpmenl and Ihe School operates frorn the same building
premises as the mosqLte bul in separated area.
Use of volunteers
main￿ trustees work as volunteers and in adiknon there are onty 6 other volunteers.
Activities and Achievements
How our aCtI￿lIeS deiiver publ￿ benelil :_
The Charity ca￿18$ out a Whye range of actI￿lieS in pursuance of its charitable objects. The trustees
consider that these activities. summarized below, provKle benefrt to those who w0￿h1P al our
Mosque and the local community around Tower Hamlets.
Reli
ious activitles
Our Masjidlschool provides a facility for our fNe daity prayers and worship and for the activities
associated with our faith. During the year under review. we offered full Tange of religious services in
general. All COVID 19 iestriclions were revi￿ed and wthdrawn.
Pra
ers. The Mosque is open all 7 days for daity and Fttday prayers All COVID-19 reslrietions reviewed
and withdrawn. During the week we have 5(MJ-750 people who regUla￿Y attend daily prayers and over
5Tr) who regularly attend Frhday prayers.
During Ramadan the charty operated full semces ol lttar preparation, Taraweeh Prayers, eid prayers
and other possible speciai religious events and seNices.
Hrfz classes." Memorization ol the Qulan is consid8red an important element ot religious education and
training. We continue lo prov¢(le this facilty forthe wung people, our all classrom lectures and acliviles
reinslead. This programme continues to run successlulEy with ab)ut 30 young pewe regulady atteThJing
these classes.
Page-2

MAZAHIRUL ULOOM LONDON
Trustees, Report
for the Year Ended 31 August 2025
Edu¢ational A¢tlvitiO$
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 schi)ol classes from Year 7 to 11 totalling 125 students of which 15 completed their
secondary education and left with a minimum of 9 GCSE'5. All of whom went on to further education.
The school also excels in pastoral caie having built and maintained excellent rel3tion5hips with
parents. We believe that thi5 is vital to enabling us to delNef a quality education service to Ouf
student5.
Mazahirul Uloom London also provides evening and weekend supplementary cla55es for children
between the ages 5-16, the total number of students attendinE 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 report120211 with.. 'Pupils said that they enjoy school a great deal
because it IS 50 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 and we have more applications than we can actommodate
Icurrently 120 sudentsl. 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
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 stand5 for.
Reserve policy.. The Iruslees has delemiined that the appropriate level ol free reseNes which are not
invested shoukl be equThialenl 3 to 6 months. expendf(LTrre. approximately £109K lo £218K. Desptte the
tacl that note 10 to the financial statements shows to1￿ unreslricled funds of £899K. the charity onty had
free reserv8 lund of £166K after the designated fund of £733K to Match the nel cost of net lixed assets.
This Iree reserve has fallen as the year ended and the board is working to improve during the year
202412025 onward. As there is nolurther capital committment the charty has no concem ol its going
concgm operation.
Premlses extension
This year also the charity carried out some major repairs costin8 over £30K.
Review of Tiansactlons and Financial Position
As al 31 August 2025 the chantys net balance sheet value is £951,796(2024 £899.1311.
Page-3

MAZAHIRUL ULOOM LONDON
Trustees. Report
for the Year Ended 31 August 2025
The Iruslges are res￿*SIble for pre￿ring the Tn￿tee$, Pmnual Reptyt and the financial statements
in accordance vrith applicable law and United lfjngdom Pmyjnting Slandards (United Kingdom
Generalw A¢¢epted Accounting PractKe).
The law applicable to charthes ￿ tEryland & Wa￿] requires ts trustees lo prepare financFal
statements for each financial ￿rwh￿h grle a tnje aNJ fair viv* of the state of affairs of the charity
and of the incoming resourees and application of resources of the charity for that In preparing
these financial statements, the trustees are Tequired to..
. select suitable accounting and then apF4y (￿n$￿$ten￿y.
. observe the methc*Js and princi￿e$ in the Charltss SORP;
. make judgements and estimates that are reasonaL4e a￿1 prudent
• state whether applicable accounting stsndatds have been followed. subF¢t to any
material departures disd05ed arKI explawy ￿ the finan￿1 statements;
' prepare the finar￿[al statements on the going Conc￿ basks unless it is inappropriate to
presume th8t the d)arity w￿1 ¢(wrtinue in operatK)n.
Th8 trustees are responsible for kwmng Fwr accounti￿ records that disdose *rylh reasonatrAe
accuracy at any lime th8 finarrial [*￿tKin ofthe charity and enatrAe Ihem to ensure that the financial
ststements comply with the Charities Act 2011, the Charity {AcccMJnts and ReiK¥tsl Reguktions 2008
and the provisions of the trust deed. They are also resFM)nsibl8 for safeguarding the assets of the
harty and hence for taking TeaSOnab￿ steps for the prtrmtitin and detection of fraud and other
irregularities.
The trustees for the purposes of charity l&v who swved duriro the year and up to the date of thts
report are set out on ¢haFilies information page.
Inde￿ndeftt Examiner
An independent examinat¥)n was catTl￿1 (yjt ty Aba￿lS Partners (Ldn) LLP. Charterwj Certified
Accountants. The charity ethted to dkspense with the annual apwintment of irKlependent Examiner.
In the absence of a specifK resolution to the eJ)ntrary Aba(￿ Partnws {Ldn) LLP WIN conlinue in
office.
This report, which ha5 been prepared taking advarrfage of special exemptions applic£bfe to small
entities. was approved by Ihe tA)ard on 15 May 2026 and svJn&J on ther behalf.
Mr. Faruk Ahmed
Secretary
P&3e-4

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
MAZAHIRUL ULOOM LONDON
YEAR ENDED 31 AUGUST 2025
I report on the accounts ol the charity lor the year ended 31 August 2025 which are set out on pages 6 to
11. The accounts have been prepared on the basis of accounting poI￿leS set out on page 8.
Re8pective responsibilities of Irustoes and examiner:
The ehariws trustees are resporksible for the preparation of the accounts. The charivs trustees
constder that an audit is not required for this year under section 144121 of the Chartties Act 2011 (the
2011 Act) and that an independent examination is needed. The charitvs gross income exceeded
£250,(M)) and l am qLAlIfI￿ lo undertake the examination by being a qualified memb8r ol ACCA.
It is my r8sponsibility to-
Examine the accounts under section 145 01 ihe 2011 Act.
Follow the procedures laid down in the general Directions given by the Charity Commission
under section 14515llb} of the 2011 Act- arml
Stale whether particular matters have come to my attention.
Basls of Independenl examin•rfs report."
My examination was cariied out in accordance with the general Dir8Ctions given by the Charity
Commission. An examinali()n includes a review ol ihe accounting records kept by the chartty and a
comparison ol the a¢counls presented with those records. It also ir￿lUdeS consideration ol any unusual
rtems or disclosures in the accounts, and seeking explanalions from you as trustees Conceming any
such malters. The procedures undertaken do not providè am the ewdence that wouFd be required in an
audit and consequently no opinion is given as to whelher the accounts present a Irue and f￿r Vie￿ and
the report is limited to those mattets set out in the statement beksw.
Independent examlner's $tstement:
In Connection with my examination, no matter has come to my attention..
Which gives me reawnable cause to believe Ihat. in any material resp8Ct,
the requiremenls:
To keep accounting records in accordance with s8Ctton 130 of the 2011 Act. and
To prepare accounts which accord wtth the accounting recofds and comply with the
accounting requirements of the 2011 Act
have not been moL' or
To which, in my opin￿n, attention should be drawn ￿ ord8r to enable a p￿per understanding
of the accounts to be Teached.
N A CHOWDHURY FCCA
ABACUS PARTNERS ILDNI LLP
Chartered Certified Accountsnts
Unil A At)botts Wharf
93 Stainsby Road
London E14 6JL
15 May 2026
Page-s

MAZAHkRUL ULOOM LONDON
STATEMENT OF RNANCIAL ACnVtrEs
FOR THE YEAR ENDED 31 AUGUST 2025
Totsl
INC<)IAE AJIO EX￿NDMiRE
V￿rt￿ry Ir)ra)me
chaTttab￿ Acliwts88 IrKoma
140213
140.213
I22￿3
386.186
386.186
Tot•1
526J99
$07.313
Rtsour¢•• Exp•nd•d
Vdunfary Cost
chaNab￿ Ac￿¥￿108 C￿1
41
2.132
441￿17
2.132
521
441.S17
401,149
37.489
Admlnl$tralN& Cc•1
Total R•soure•• Exp•nd•d
471733
471733
439.159
N•tlncorn• l 0glldtlorth• J
52.866
68.154
as •t 1 8•pt•mb•r2W
9.131
899,131
830.977
Fund• as at 31 AMgu*t 2025
10
1,797
gS1.797
899.131

MAZAHIRUL ULOOM LONDON
BALANCE SHEET
AS AT 31 AUGUST 2025
Totsl
2024
2026
Flx•d Ass•ts'.
Tangknte As8ets
1224.642
1.226.119
DÈiÉors & prepayments
Cash at 88r* alld in haTh
118.055
109.702
178.740
168.812
¢r•dttors.'
Amount ts14ng wittyn ¢)ne yeaf
N•tCurr•ntA55•ts
76.633
t.301.275
2.112
.318,231
Cr•dttws.'
Amount rallro d¥e more ¥wi yea¥
349.478
419.100
Tot•1 N•tAs5•ts
gBI.797
Fun¢ts
Unftstrthd fiJnd8.' General
10
1.797
899.100
Restrict￿ Funds
Totsl Fund5
ThEse ar￿ints have been Fxeparèj in a¢p>)rdanc* the FmaThSal Stsr¥J•d forSm*r En11t￿ leffed4ve January 20151
(UK GAAP applKableto Smol*r Et)M*sl.
Appro¥Èd bythe Boa￿ ofTrn8tee8 on 15 May 2D26 swJn•J OTr f8 behaltby
Mr Harun￿r Roshkl ChU￿lhury
(rMstee- Chaimwil
l* W Shihab Uddin
The notes on PaQE5 8 to 11 fomi part Oft￿ acCo￿ts.

IdAz￿NiVL ULOOM LONDON
1 Aecounllry PoWg¥
1.18asls of of aceourhts:
arld Fiftatiaal ReptiTkng Standa￿[ lorwer Enbie5.
12 Grants and Donatlon r•cthabh:
Grantsforllnme(liate exwdituTe arB acccwknj Ilw b8com8 r￿￿4?.
Grants Trceived ts sp8cff￿ puwes are treatsd a5 r8StrK18d
1.3 Ajloeaflon of ¢￿1.
IA Tanglblo t￿ed and deyaraatkn:
Depreuation i8 cdculatad io ￿110 off thec05t b8ss lh8ir881mna￿ r8s*lsd wlt*•xpo¢wJ us8fv1 INO5
on Ihe lolkn*in9 bask8'.
FixtL¥O, fftlrngs ar*1 wimpments
1¢YA ty7 o)sL
2. In¢•mlng Rtstsur
3 INCOME SUMMPJiY
11 Volunt•ry Incomo
2024
Friday C¢%lBcti
Genefal Donation
25.836
114.377
140,213
25.836
114.377
140.213
25,372
97.491
122￿63
3.2 Ch•flt•bl• Actlvmlos Incorn•
2024
Sludwt Fge5
Evening M8dra8ha
Oth8rkn¢om•
369.472
10.314
369.472
10.314
362.770
11.186
10.494
386.186
388.186
Totsl In¢om•
5ZQ391

MAZAHRUL ULOOM LONDON
Nots¥ to th• financlal •tat•m•nts
4.1 Vol￿t￿yc0St
SubS￿P￿s
2.132
2.132
2.132
1132
521
41 Gh¥ll•bh **fMIIH Cost
2024
Salart8s and waggs
Empws NIC
311,856
311,
8.688
3.2
5.457
271.418
7.163
Waler aryl Rales
Ca$ual & ¢o¥er toBdxr
T8aGherTrainiThJ
Hlre of Eoulpmen¢$
Cleaning. Repairs & Ma￿lenance
T818phonellnt8mÉl
PrintinglPostagPlCop￿ry
Trips and avenl 8wse8
H8aliThJ and LlghtiNJ
In5U
study Mator41$
E¥arninatiDn fee¥ & IY5ted
5.457
4.679
21.784
1.750
3,989
29,319
791
1.001
1.750
1.750
29.626
29.626
17
9.1R4
10.993
S.￿3
11,726
35.
441.517
2.7C(I
9.184
10.999
6,393
11.726
16,568
.177
11,255
15.495
441.517
4.3 Admtnl•trallv• Co•t
al Swiport Costs
Salaries al￿ wag85
EM￿0yerS NIC
Hlr8 of E4uipmenfs
eaninu. R•pt•rn & lknterwca
T8lephon8llntem8t
PrintinglPostagelQwyiig
Heating and LwJhting
InsuratK
Bank arml merthantChary8s
Consuhancy and ProlessioTral fe88
twredatx)n ￿ FF Eqyipmer
7.275
419
419
7.4107
7.407
7,330
67S
675
1222
2.731
2.$72
250
4.142
2.572
3.143
1h77
24,414
24,414
32,295
bl Govgmanco Costs
Salafies wag8$
Ern￿oye￿S NIC
Con$tsttarty Ffje
AG¢ountanGy
2,425
21
1,248
140
5.670
5,670
5.194
30.084
37.489
Totsl EX￿
4rn733

MAZAHIRUL ULOOM LONDON
5 T*nylbl• Flxod kn•ts
4 E4ylpm•nfs
Cost 81Fv
Additkn4xtenSlJ￿lM￿￿)VeMenI
1.218.736
111.575
1.330.311
1218.n6
111575
1.330.311
Chargès BIF￿1
Charge forth&year
104,1W2
1,477
fo5,
104.192
Ngt Boc* V￿8
As al 31 August 2025
1,218.736
8.224,6¢2
As al 31 Augwt 2024
1.21Q736
1.226.119
6 Dobtor¥ & PTrpaJTronts
2K5
2024
Student Foe8
Loafi ￿ Darul LUt•m Ftxmdaf•
Other 08tkn
68.05S
59.702
7 Cr•dllorn: Amowrt Falllng rkn ￿¥th1Th OM Y
VAT & PAYE
Qurd e HasaThg- Pvt Lo8n
Accruals
37.435
61.673
750
8 Cr￿110￿. knount Fallng rkn Alknrllorn Than Onèya
2025
2W
Qurd e Hasam. Pvt Lo
349,478
419.1th)
Prfvate Loan6.' Hasana" *• kor* from th8 dwriws *tiiL* a moral to fgP8y Dn demand.
rf po$3ibte. There is Th) inleresl given lor th88e
g Staff Emolurn•nls
2024
Total wYge5 and s*ri85
Employers NIC
3￿.058
9.247
&72.303
281,118
7.246
288,364
Direcl CharitatilB
320.544
11.759
278,581
28B.364
Avg No ofempby885'. Admkn
Avg No of8mpWos.' Dlr¢
25
24
Employe88 •xco85 the cAwrent y
and pr8vv)us yeaf
Nona
No T•munernth)n*Bs to any truste88 or Ih8w8580ra*8s tho ￿rand￿l 31.082025 nfxat 31.08.2024.
P4v-10

klAZAHIRUL ULOOM LONDON
10 Movgnwnt In Funds
Fw
Fw
Fund
Total
As at 1 Septsmt4r2023
173.010 651.g
830.971
830.977
Current yew
Curtant yo¥ Irw8tgr
{155,525) 155.525
A8 at 31 AwJust2024
fl T•x•iton
R8v8nua.
12 Post Bal￿￿• Sheet Events
There wwg no svJnrftcant post bkn 8h8¢t
14 ConWng•nt Uablllli•s
Tho ¢haiity had no conbr4Jont lithliies 88 al 31 A￿￿t 2024 n￿at31 A￿2￿23.
15 Rolatsd Par11•8 Tranuclon
There w8r8 no dis¢So8abl& ralalad party dwÈvJ jpar.
16 Gffts In Klnd Vokthl••rn
Pay8_11