M.H.A.M.E.T CHARITY
Chcirily No: I 111247
ANNUAL ACCOUNTS
FOR TII E 12 ￿l01￿.]"11s Tr"I%I)Tr'1) 31,%IARCII 2025
A 11-I-ELADIA
144 S'I ()NI."I.I..ICil I IIC)AI)
I?I.'IIIIY IIAIIII
IJIIIMIN(Il IAM L120 3AIJ

M.FI.A.M.E.T.
ANNUAL ACCOUNTS
I,-OR TIIE 12 IIIOINTIIS ENDED 3111,IRCII 2025
INDF
PAgcs
IiidLpLndLnt I:X<imincr's RLport
Rcccipt.s and PaymLnls Account
StatLm¢nt of Assets and Liabiliti¢s

M.Pl.A.M.E.T.
Charity No: I I l J 247
INDFPF.Nt)F.NT EXAMINF.R'4i RF.PC)RT TO TFif. TRU.STFF..S ()F
HELVINC FIANDS IWIINI.STRIIS UK
I reporl on Ihe accounl.s ofihe Charity for Ilie year ended 31 March 2025, which are set out on pagyes
2to3.
l-liis rcport is madL solcly to tlic cliarity's trustcLs. as a body. in accordancc with section 43 of
Ihc Charilics Act 1993. My work has bccn undcrtakcn .$0 Ihal I might statc lo Ihc charity's tru.stccs
Iliose maller.s l ain required lo slale to Iliem in my report and for no oiher purpn.se. -r() the ful le.4it
cxtcnt pcrmittcd by law, I do not acccpt or assunic rcsponsibi l ity to anyonc othcr than thc charity
and tlic charity's trustccs as a body. for my work, for this rcport, or for thc opinions I havc formcd.
Re.spective re.sponsibilities of triAStees And exAmii)er
As Ihe cliarily's Irustees you are responsible for Ihe preparation of Ihe accounts; you consider that
Ihe audil requiremenls of s43(2) c)f Ihe Cliarities ALL 1993 does nut apply. It is my
responsibility to slale, on Ilie basi.s of proLedures .specified in Ihe CJeneral I)ireLtions given by the
Charity Commissioners under s43(7)(b) of Ihe Act, wheiher parlicular matlers have come to my
attenlion.
Basis of indcpcndcnt exumAner's rcport
My cxaniinalion Ivas carried out in accordancc with Ihc Gcncral Dircctions given by Ihc
Charil), Commissioncrs. An examinalion includcs a revicw of Ihc accounting rccords kcpt by Ihc
charily and a comparison of thc accounts prcsentcd with thosc rccords. It also includcs
considcraiion of any unusual iiems or disclosurcs in thc accounts. and thc sccking of
explanaiions from you as trustces concerning any such maltcrs. The proccdurLS undcrtakcn do not
providc all the evidcncc that would bc rcquircd iii an audit and, consequcntly, I do not cxpress an
audit opinion on thc vicw givcn by the accounts.
Indcpcndcnt cxaminer's statement
In conncction with my examination. no mattcr hds come to my attention:
(l ) which givcs mc rcasonablc causc to bclicvc that. in any matcrial rLspcct. thL rLquirLmLnts:
to keep accounting records in accordance with s41 of the Act: and
to prcparc accounls• wliich accord with thc accounting rccords and to comply with thc
accounling requiremenls of Ihe Act h(Ive not been met; or
(2) to which in my opinion. (JttLntion should bL drawn in ordLr to LnablL a propLr undLrstandiTig
ofihc accounts lo bc rcachcd.
A II"I-LLADIA
84 Stoneleigh Road
Perry Barr
Birmingham B20 3AU
3 July ?()?5

M.H.A.M.E.T
YEAR ENDED 31 ST MARCFI 2025
31-Mar-25
31-Mar-?4
INCOMING RESOURCES
Cliaritv Incoine
Total Incomiiig Rcsourccs
111,482
111,482
52.505
52.505
RESOURCES USED
Bank Charges
Suiidry Expense
Charilable Donations
123
50
20,000
20,173
195
150
96,000
96,345
MOVEMENT CURRENT YEAR
15,137
32,333
GENERAL Fu￿,D
General Fund BIF
36,259
3,9?7
Moi'ement ~ Current Year
15,137
32,332
51,396
36,2)9

M.H.A.M.E.T
BALANCE SHEET 31 ST MARCH 2025
31-Mar-25
31-Mar-24
CURRENT ASSETS
Baiik
Debtors
LESS CURRENT LIABILITIES
Creditors
42,368
9,028
31,010
5,249
NET CURRENT ASSETS
51,396
36,259
TOTAL ASSETS LESS CURRENT LIABILITIES
GENERilL Fufs'D
51,396
36.259
General Fund B/F
36,259
3,927
Mo&'ement - Current Year
15,137
32,332
TOTAL FUNDS
51,396
36,?)9
Approl'ed by the Trustees on and signed on tlieir behalf .
Sigynatur
Sigynature.
Name.
Hrt4Ep....+. IK.&.........
LI @HAI
Name... .. ..... .
hrf
Date...
2r /07].2f
DatL.