109-115 Beresford Road O
Longsight, Manchester, M13 OTA
0161249 0307 0
shahporanak@gmail.com Q
www.shahporanmosque.org
SHAHPORAN MASJID
Chairmans Report for year 2022/2023
We have had a very challenging year with most donors finding it hard to
continue their regular donations and the trust had to go out and generate
additional funding/donation channels to keep us going.
We didn't want to use our reserves but wanted to grow this as we are planning
to seek planning permission for a side and front extension to accommodate the
ever-growing needs during our peak times.
Overall, l am happy with the trust's performances taking into account the
financial strains on our community.
Regards
Abdul Kashem
Trust Chairman
[31A lop 2024
ILic:ItiL)n Li,
frjrcl, I,
4 Jni:;hoSItrI,
ISLAMIC EDUCATION CENTRE (TRUST) 1098501

Shahporan Islamic Centre
Revenue and Expenditure Account
For the year ending 31 october 2023
2023
2022
Cash in bank
Income - Donations/Turnover
Furlough
54627.37
66625.83
22990
67749.9
Total Holding/Reserve
121253.2 90739.90
Expenses
Wages, salaries and staff costs
Food and consumables
Bins
Insurance
Gas & Elec
Water
Repairs and renewals of property and equipment
Telephone and office stationery
Advertising and mosque time tables
Bank charges
Security/CCTV
Accountance and professional fees
Roof Repair
Expenses
23920
5325
1080
1649.84
10332
545
1875
504
21840
2300
1467.2
8566.75
1500
438.53
5600
50830.84 36112.46
Cash at Bank
70422.36 54627.37
ahptsran Va5jl '
ITI L Educ.ItiNin ci.nlr
LSeresfo
, Manc.
ster,
harity Iiumber: 1
2?zy

109-115 Beresford Road O
Longsight, Manchester, M13 OTA
0161249 0307 0
shahporanak@gmail.com Q
www.shahporanmosque.org
SHAHPORAN MASJID
Chairmans Report for year 2022/2023
We have had a very challenging year with most donors finding it hard to
continue their regular donations and the trust had to go out and generate
additional funding/donation channels to keep us going.
We didn't want to use our reserves but wanted to grow this as we are planning
to seek planning permission for a side and front extension to accommodate the
ever-growing needs during our peak times.
Overall, l am happy with the trust's performances taking into account the
financial strains on our community.
Regards
Abdul Kashem
Trust Chairman
[31A lop 2024
ILic:ItiL)n Li,
frjrcl, I,
4 Jni:;hoSItrI,
ISLAMIC EDUCATION CENTRE (TRUST) 1098501

Shahporan Islamic Centre
Revenue and Expenditure Account
For the year ending 31 october 2023
2023
2022
Cash in bank
Income - Donations/Turnover
Furlough
54627.37
66625.83
22990
67749.9
Total Holding/Reserve
121253.2 90739.90
Expenses
Wages, salaries and staff costs
Food and consumables
Bins
Insurance
Gas & Elec
Water
Repairs and renewals of property and equipment
Telephone and office stationery
Advertising and mosque time tables
Bank charges
Security/CCTV
Accountance and professional fees
Roof Repair
Expenses
23920
5325
1080
1649.84
10332
545
1875
504
21840
2300
1467.2
8566.75
1500
438.53
5600
50830.84 36112.46
Cash at Bank
70422.36 54627.37
ahptsran Va5jl '
ITI L Educ.ItiNin ci.nlr
LSeresfo
, Manc.
ster,
harity Iiumber: 1
2?zy

109-115 Beresford Road O
Longsight, Manchester, M13 OTA
0161249 0307 0
shahporanak@gmail.com Q
www.shahporanmosque.org
SHAHPORAN MASJID
Chairmans Report for year 2022/2023
We have had a very challenging year with most donors finding it hard to
continue their regular donations and the trust had to go out and generate
additional funding/donation channels to keep us going.
We didn't want to use our reserves but wanted to grow this as we are planning
to seek planning permission for a side and front extension to accommodate the
ever-growing needs during our peak times.
Overall, l am happy with the trust's performances taking into account the
financial strains on our community.
Regards
Abdul Kashem
Trust Chairman
[31A lop 2024
ILic:ItiL)n Li,
frjrcl, I,
4 Jni:;hoSItrI,
ISLAMIC EDUCATION CENTRE (TRUST) 1098501

Shahporan Islamic Centre
Revenue and Expenditure Account
For the year ending 31 october 2023
2023
2022
Cash in bank
Income - Donations/Turnover
Furlough
54627.37
66625.83
22990
67749.9
Total Holding/Reserve
121253.2 90739.90
Expenses
Wages, salaries and staff costs
Food and consumables
Bins
Insurance
Gas & Elec
Water
Repairs and renewals of property and equipment
Telephone and office stationery
Advertising and mosque time tables
Bank charges
Security/CCTV
Accountance and professional fees
Roof Repair
Expenses
23920
5325
1080
1649.84
10332
545
1875
504
21840
2300
1467.2
8566.75
1500
438.53
5600
50830.84 36112.46
Cash at Bank
70422.36 54627.37
ahptsran Va5jl '
ITI L Educ.ItiNin ci.nlr
LSeresfo
, Manc.
ster,
harity Iiumber: 1
2?zy