REGISTERED COMPANY NUMBER: 05553717 (Englind and Wales)
RECISTERED CHARITY NUMBER: 1112670
Report ofthe Trnsttts #Trd
Unl￿dIted Flnithekni St*temeDts
Tor the Yur Ended 31 MAreh 2022
G. F. FOUNDATION LIMITED
Brindley3 Limited
2 Wheeley5 Road
Ed8basion
Binninghwn
West Midlands
B152LD

G. F. FOUNDATION LIMITED
Contents tsf the Flnaneial StatemeThts
ror the Year EDded 31 M•r¢h 21122
Pxge
Report of the Trn$tees
I to 2
Independent Ex*mlner'i Report
ststement of Flllaneial Attlvltles
Statement of Fkn#tsel#l P￿5110￿
Notsj to the St#temetsts
6 to 10
DetAllcd St#teffjeD¢ tsf Fltt#nd*l Aedvlt

G. F. FOUNDATION Lll¥frrED
Report Df the Trustees
ftsr the Year Ended 31 March 2022
The trwstees who are also directors of the charity for th¢ purw of the Companies Act 2￿)6, pr¢s¢nt their rew>rt with the
r]nancial Statements of the charity for the year ended 31 March 2022. The tru5ttts have adopfyj the provisions of
Accounting and Reporting by Charitics: Stat¢ment of Recomrnended Praciice applicable to charitie5 preparing their accounts
in accordallce with the FinaDcial Rerx)rting Stsndard applicabl¢ in the UK aDd Republic of Ireland IFRS 102) (effective I
January 20191.
OBJECTIVES AND ACTIVITILS
Objectives Attd A¢tivlti¢i
The Chan'iy is constituted as a company limited by 8U¥t¥ntee. and is therefote govern￿ by a Tn¢rnorarMlum alld articles of
association.
ACHIEVEMENT AND PERFORMANCE
During the year, grants of £58012021.. £13,900) made for buildin8 proJ￿ts. Oth¢r 5igDificant donatiotts were mth for
Poor, Needy and Elderly £49.207 (2021.. £19,940). Other do￿11¢)￿5 and grants £17.602 (2021.. £14,405). Full detai15 of the
charity's perfomiance aTe shown on page 4 of the ￿Ounts. In the opinion of th¢ tru5t¢es. the clwi.ty has perforn)ed well
during the yeor.
FINANCIAL REVIEW
During th¢ year, th¢ charity ￿¢¢iV¢d donatio￿ and investment income totalling £48.504 12021.. £27.165) and paid out
grants, donations and other expenses totslling £69,513 {2021.. £57.4541. The net der￿ll after chargin8 overheads was
£21,009 {2021.. £30.2891 and this 18 eorried forward ￿ the following year.
STRUCTURE, GOVERNANCE AND MANAGEMENT
The charity is a company limited by guarante¢ it is r¢BiStered with the Charitie5 Commission under the re8iskntion
number of 1112670.
The trnsiees are appointed by the Board of TrIJ￿e¢S and serve (or five years after which period they m4y Put themselves for
re.appointm¢nl.
RF.FF.RENCE AND ADLMINISTRATIVE DETAILS
Registered CompAny number
05553717 (England and Wal¢s)
R¢gl$ter¢d Ch*rlty number
1112670
Regljtered offlee
Unit I Century Park
Garrison Lane
Biryningham
B9 4NZ
Trustees
Shaheed Fazal Director
NassiT Gulamabb&s FaTJI Dir¢
Mohammed Gulamabbas Fazal Director
Director
ecret#ry
St￿beed Fazal

G. F. FOUNDATION LIMITED
Report of tbe Trusteej
for the Year Ended 31 March 21122
REFERENCE AND ADMINISTRATIVE DETAILS
Independent Examlner
Sallad Sumar
ICAEW
Brindley5 Litnited
2 Wheeleys Road
Edgba5ton
Birniingham
West Midland8
B15 2LD
0610912022
Approved by or(kr of th¢ I￿rd of trustees on........................................ .
.. aDd si8n¢d on its behalf by..
Shaheed Fa
- Tn￿tee

dependeDt Examiner's Report ts the Trustees of
G. F. FouDdation Limited
IDdependtnt ex*mlner's report to the trusttes of G. F. Found*tion Litt￿ted ('tbe Comp&ny')
I report to the charity trustee5 on my examinaiion of the ac¢oullts of the Company for the year ended 31 March 2022.
Responsibilities •nd baslj •f report
As the charity's trustees of the Company (and aiso its dLrttt0￿ for the purpises of company law) you are responsible for the
preparation of th¢ accouDts in ￿￿ordanCe with thc r¢quirtMts of the Comp￿leS Act 2¢X)6 ('the 2006 Ad).
Having satl8fJed myself that the accounts of the Cornpany are not required to be audited under Part 16 of the 2(X)6 Act and
are eligible for indeF¢nd¢nt ¢xatniDatiorL I rew in r¢5ped of my examinalion of your ctMrity'S accounts as GUTi¢d out
under section 145 of the Clwiiies Act 2011 {'the 2011 Aci'l. In caryying Out my examination I hav¢ followed the Directions
given by the Charity Commis$iott under section 145{5) (b) of the 2011 ACL
Independent ey4mlner's itsteme*t
I have completed my exarninatio￿ I confirni that no matters have c¢)me to my attention in con[￿tion with the examination
giving m¢ caus¢ to bcli¢v¢'.
accounting rwords were not kept in re5ped olth¢ Conyy as Wired by s¢¢tion 386 of the 2Crt)6 Ac¢: or
the accounts do not accord with those records. or
th¢ accounts do not comply with the accounting requiTem¢nts of section 396 of the 2006 Act other than any
requirement that the accounL5 give & true end fair view which is nol a matter copsid¢red as part of an ind¢p¢ndent
¢xamination' or
the accounts have Dot beert prepared in a￿Ordance with the methots gnd principles of the Siat¢ment of
Recommended Practice foT accowitinB and ryrting by charities (applicable to chaTiti¢s preparing their accounts in
accordanc¢ with thc Financial ReFKtrrting Standgrd applicable in the UK and R¢public of Ireland (FRS 1021).
I have no concerns And have come across no oth¢r nmtters in connection with th¢ examination to which 4tt¢ntion should be
drawn in this report in order ¢0 ertabl¢ a proper understanding of the accounts to be reached.
Sajiad Sumar
ICAEW
Brindl¢ys Limited
2 Wheeley5 Road
Edgbaslon
Bimiingham
West Midlands
B152LD
0610912022
P8g¢ 3

G. F. FOUNDATION LIMITED
state￿ellt of FlllaDcial A¢tivities
for the Year Ended 31 Marth 2022
2022
Total
fuDd5
2021
Total
ftmds
funds
fijnds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
48.504
26,658
Investment income
507
Total
27,165
EXPENDtTURE ON
Charltable actlvltles
Educational Assitsnce to Individuals
Medical A5SjStan¢¢ to Individuals
Assistsnce io Poor. Needy, Elderly and Hom¢l¢ss
Grants to Institution5
Grants for Buildirtg Projects
Other Donations and Grants
3,878
2,107
19.940
1,538
13,900
14,405
25(1
49207
250
49,207
17,602
17,002
Other
1,686
Total
69JA3
69,513
57.454
NET INCOMEI(EXPENDITURE)
(21,009>
(21,0091
(30,289)
RECONCILIATION OF FUNDS
Total fundi brought forwArd
41770
44426
74,715
TOTAL FUIYDS CARRIED FORWARD
21,767
1,650
23,417
44,426
The not&5 fomi partof these fina￿la1 ststcrtthts
Pag¢ 4

G. F. FOUNDATION LIMITED
Statement ol Finaocial Posilio
31 March 2022
2022
Total
nds
2021
Total
fimds
Not¢5
CURREiYf ASSETS
Cash at bank
1.650
23,837
44.846
CREDITORS
Amounts falling within one year
(4201
(420)
14201
NET CURREKf ASSETS
21.767
1,6YI
23.417
44,426
TOTAL ASSETS LESS CURRENT
LIABILITIES
21,767
1.650
23,417
44,426
NET ASSETS
21.767
1,650
23317
44,426
FUNDS
Unrestricted funds
Restrt¢t¢d fi￿d$
21,767
1,650
42,776
1,650
TOTAL FUNDS
23,417
44,426
The charitable company is entitled ￿ ¢x¢mwion from audit under Section 477 of th¢ Companies Act 2006 for the y¢•r ended
31 m￿ch 2022.
The members have not required the company to ¢A>iain an audit of its financial ststem¢uts for the year ended 31 March 2022
in a¢cordanc¢ with S¢¢tiort 476 of the Companies Aci 2(KJ6.
The trustees aeknowled8e their responsibilities for
(a}
ensuring the ¢harit4bl¢ ￿Mparty keeps KuwJDtiD8 recorth ¢omply with Sections 386 and 387 of the
Companies Act 2(M)6 and
preparing fin8nciul statements which give a true and fair view of the state of affairs of the charitsble ¢ompany as at
the end of each financial y¢aT gnd of its surplus or deficit for each financial year in accordance wi(h the requirem¢nts
of S¢ctions 394 and 395 and wFLi¢b otherwise cornply with the requirements of the Companies Act 2006 relating to
financial statements. so 95 wli¢able to the charitable company.
(b)
The% financial 5tatem¢nts ￿ve been prepared tll accordance with the provisions applicable to clwitable companies subject
to the small companies re8ime.
0610912022
The financid ststements were approv￿ by the BoArd of Tntstees and authori3￿ for issue on .......................
and were $ign¢d on its behalf by..
Shaheed Fazal - Tn￿lee
The notrs forni part of these finaD¢ial statements
Page 5

G. F. FOUNDATION LIMrrED
L¥otu to the Financial Statements
for the Year Ended 31 Mirch 2012
AccouNfiNG POLICIES
Basil of prep4riDg the fin•n¢i*l 5tstements
The financial 5taternents of the charitable company, which is a public benefit entity under FRS 102, have been
PTepared in accordance with th¢ Chariti¢s SORP (FRS 102) 'Accounting and Reporting by Charities.. Statement of
Recommendcd Practice applicable w charitie5 prepaTiD8 their ac¢ow)ts in accordance with the Financial Reporting
Standord appli¢abl¢ in th¢ UK and Republic of Ireland (FRS 102) (¢ffwtiYe l January 20191,, Financial R¢porting
Standard 102 The Financial Reporting Standard applicable in the UK and Republic of Ireland, aDd the Companies
Act 2￿6. Th¢ finaDcial $tat¢m¢nts bav¢ been preparrAI under th¢ histori￿1 eost convention.
All income is reco8nised in the Statement of Financial Activiiies once the charity h&5 ¢ntitlemettt (o the fiJnd& it is
probabl¢ th?t th¢ in¢om¢ will be received and the amowil can be measured reliably.
Expenditure
Liabilities are recognised as expenditure 45 51X)n L% thue is a legai or constrwtive obligatioo ¢ommittin8 the charity.
to tha¢ ¢xp¢nditure, it is probable that 8 transfer of economi¢ benefits will be rquired in settlemcnt Jnd th¢ Amouni
of the obligation can b¢ m¢a5urcd reliably. Expenditure is accounred for on an awruils basis and has been ¢lassifi¢d
under headings that a88regaie all cosi relaied to the cat¢gory. Where costs cannot be directly Jttributed to particular
h￿ding5 they haye been 4llocated ￿ a¢tiviti¢s on a basis consistent with the us¢ of r¢sources.
Taxado
The charity is exempt from corporation tax on its thatitabl¢ WiVitiU.
Fund ie¢ountln8
Unrestn'cled fvnd5 ￿ b¢ u8¢d in g¢¢ordance with the clwitable obj#tiv¢s at the discretion of the trustees.
Re$tri¢t¢d fvnds cart ortly be used for particular restrictryj PUTW)5es within the objects of the chaTity. R¢$trictions
arise when specified by the donor or when fith(ts are rnised for particular r¢stri¢ted purpose$.
Further explanation of th¢ n¥nwe and pwpos¢ of each fund is includ￿ in th¢ ttot¢s to the fmoncial stat¢n]ents.
INVESTMENT INCOME
2022
2021
D¢posit a¢¢ount itttere8t
507
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 March 2022 nor for the yehr ended
31 March 2021.
Tru$te¢s' ¢sp¢iise8
There were no trUSlets' expenses pwd for the y￿[ ¢nd¢d 31 March 2022 llor foT the year ended 31 March 2021.
Page 6
continued...

G. F. FOUNDATION LIMrrED
Notes to the Fin4Dcial Statetllents- Continued
for tbe Year Ended 31 March 2022
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UnrestriC￿t
Restricted
fi￿dS
Total
fiwds
INCOME AND ENDOWMENTS FROM
DonatiQDS and legacies
26,658
26.658
Investment incon
507
507
Total
27.165
27.165
EXPENDITURE ON
Ch#rlt*ble #ttlvltle$
Educational Assitance to Individuals
Medical A5Ststanee to IndividU￿S
Assisiance to P￿r, Needy. Eld¢rly and
Homeless
GTanls to Institutions
Grants for Building Pmjects
Other Dona¢ions atKI Grattts
3.878
2,107
3,878
2,107
19,940
1.538
13,900
14,405
19,940
1.538
13,900
14.405
Oth¢r
1,686
1.686
TotAI
57,454
57.454
NET INCOMEJ{EXPENDITVRE>
(30289)
{30,289)
RECONCILIATION OF FUNDS
Total funds brollgbt forward
73.065
1.650
74,715
TOTAL FUNDS CARRIED FORWARD
42.776
1.650
44,426
Page 7
ontinued...

G. F. FOUNDATION LIMITED
Notes to the Fin4Dcial Statements- ¢ODtinued
for the Year Ended 31 Mareh 2022
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2022
2021
Accrued expenses
420
420
MOVEMENT IN FUNDS
Net
It￿ve]nent
in funds
At
31.3.22
At 1.4.21
Unrcslrlcted funds
Dortations Rw¢iv¢d
42,776
(21,0091
21,767
Restrleted funds
Donations Received
1,6511
1,650
TOTAL FUNDS
44.426
(21,￿)9)
23,417
Nel rnovement it) fun￿ included in the ebove are as follows:
lrteominB
Resourees
e%p¢nded
Movement
in funds
Unrutrl¢t¢d fvnds
Donations Received
{69,51J)
(21,IX19)
TOTAL FUNDS
(69,5131
(21,009)
Ctsmp•r•tlves ftsr movement lfy funds
Net
movement
in
At
31.3.21
At 1.4.20
Unreitrlcted T￿nd%
Donations Received
73,065
{30.289)
42,776
Restrlcted funds
Donations Received
1.650
1,650
TOTAL FUNDS
74.715
(30,289)
44,426
Pagc 8
continued...

G. F. FOUNDATION LI1￿lTED
Notes to the FinADcial Stateme￿ts- continued
for th¢ Year Ended 31 Mvch 2022
MOVEMENT IN FUNDS- contiDued
Comparduve net movement in fimds. included iti the above are ¥s follows..
Movement
in funds
expended
UDre5trl¢ted fundi
Dotydtions Received
27,165
157.454)
(30,289)
TOTAL FUNDS
27,165
(57,454)
130.289)
A current year 12 month5 aT￿ prioryear 12 months combined w)sition is as follows..
Net
verneut
in ftmds
At
31.3.22
At 1.4.20
Unrestrlcted fund$
Donations Receiyed
73,065
151,298)
21,767
Restricted funds
Donations Received
1.650
1.650
TOTAL FUNDS
74,715
(51,2981
23,417
A euTr¢ni y¢ar 12 Months and prior yw 12 months combined n¢t nwv¢ment ID fillmls, in¢lud¢d in the above are
ft•llows'.
Incomin8
resources
Movement
in funds
¢xpended
Unrestrlcted funds
Donations R¢¢¢iYed
75,669
(126,967)
151,298)
TOTAL FUNDS
75.669
(126.9671
151,298)
continued...

G. F. FOUNDATION LIMITED
Notes to tbe FiDaDci81 StAt¢meDts- continuLxI
ror the Y¢ar Ended 31 March 2022
RELATED PARTY DISCLOSURES
There were no related party transactions for the y¢arended 31 March 2022.
Page 10

G. F. FOUNDATION LIMITED
Detailed Statement of F￿a￿tIll Activities
f￿r the Year Ettded 31 M*reh 2022
2022
2021
INCOME AND ENDOWMENTS
Donitlons and legicles
Donations from Businesses
Dollations from Family M¢rnbers
Donations from Supporters
31JOI
15380
1,923
21,581
3,915
1,162
26,658
Investment Income
D¢posit account interest
507
Tot81 Incomlng resourc
4&504
27.165
EXPEIYDITURE
Charltable Aetlyltles
Educational Assisiance to Indi vidllals
Medi¢al A5$15tanc¢ lo IrHlividu als
Assistance to Poor, Needy, Eld ¢rly Hom¢less
Gr8nt5 to Institutions
Grants for Building Proj¢¢ts
Other Donations and Grants
3,878
2,107
19,940
1,538
13.900
14,405
250
49,207
580
17.602
67,639
55,768
Support costs
Flnin£e
Bank ¢harge8
291
117
Govern*n¢e eo$ts
Sundries
Accountancy fees
1,149
420
420
1,583
1,569
Total resou￿¢9 expended
69J13
57,454
Net eipeDdlture
{21,009)
(30,289)
This pgc d(K5 ttot forni part of the st8bJtory fitiallcial ststemellts
Pagell