THF. .41.-111 D.ISS.4R TRI'ST
(Forrnerli" Thc Al-Iluda554r Speri#l Education Cenlrel
C"harili re2i.4irJiii)n number 11215511
Compani registration number: 0636177$ E"n2land
Re￿rI and.4ccounts for the l'ear ended 30 Seplember ?020

The AL-MIIDASSIAR TRUST
Ref¢ren¢e #dmini>tratiTr"e dttails
For the }'egr ended 30 5epiember 2U20
and goTh"ernin% document
The Al-Mud&55ar Tru51 Ifornierl! Kn()￿n as The Al-mudassar
Stk'cial F.ducation Cenirel is a reL¥lStif¥d charit) Ihai is
LvnstitutLd bl trusi d¢td and also regist¥r¢d conipaii) lii))iied by
Tuarantee M'iihoui a %h2r¢ capital. and gowerned bN' its
Mcwnorandum of Association and Articles of Association.
Charity registration
CompaD)' registration
06361775 (England & ￿'al¢s)
Registered Office
4 Bl¢nhcim .4vcnue
Gants Hill
Essex
Tr¥steeslDirectOTS
%lr Z Akl)ILr
r5 N. Shah
Ms S. Shah
Ms F. Khan
Resigned on
Apw)iniLd on I l. l O.?O?o
Secretary
,P+As S. Shali
Ba*ker
HSBC
109 Union Sireei
Oldham
Lancashire
OLI IRT
InikpeMdeDt ExamiDer of A¢¢ounts
Ja)son & Co
Chthered CL"riifiLd Accounianls & rLgiistered Audiiors
4 Blenheim AI'LIIIIL
Ganis Hill
Essex
IG? 6JG

THE AL-ML'DASSAR TRI:ST-{0636177511121450
Report of the Trustees for the l'ear ended 30 September 20*0
The trustees. ii'ho are also directors of ihe charit%. tor the pu￿SeS of the CompaniLS Act ?006. present their
report ￿1th the financial siaiemenis of ihe chariii for ilie lear ended 30 SeptLmher"O?O. ThL iriisiees have
adopied the provisions of ihe Staiemeiii ol- Recommended PraciiLe- The ch4iriiie% SQRP IFRS I O?) and the
Ch*rtiies Aci ?01 l.
STRUCTURE, GOVERNANCE AND ￿lANAGE1]ENT
Gotr'erninE document
The Al-Miid&ssar %pecial Educaiion Cenire is a regisiered charii) and also a compan! limiied b) gyuarantce
without shdre capiial. I'he Al-Nqudassar SpeLial Educaiioii Cenire Limiied LsiablishL'd in ?007. 'fhe
Memorandum of Associaiion and .4niiles ol-Associaiion i¥as inLorFN)raied on the i Sepiember 7007. "I'he
charity nU￿b¢r is I l?1550 and th¢ ¢ompan)' rlgistraiion number is 0636177).
Reerllitment and appoiniment fif new trustees
The Irusiees have the pc)wer 10 i1PTX)ini ani" petson to trustee in accordance ￿1th the provisions of the
Tntsi Deed. An appuintcd tru5(¢c holds olTice i%"iihin the limits permitEed b) law.
Induction and traitting of new. truslees
All nem. trustees are gii'en. in the i'ieii. ot-lhe ixiar(L suificienl training and l?awe Lnough knoi¥ledge oftlieir
spe£itic field 10 undersiand Ihe naiure ()f ihe Lhariti and full) complN witli ih¢ ILbal reqiiirL'nienis und¢r (he
Charities Act ?0 I l and also be lamiliar with ihe siaiuior) duiies and rthpK7nsibililies of trustees. F.xternal
training sessions are provided if required.
OrganiLational stru¢ture
The ¢hariTJ 15 managed by the dirtttors. The details of ihe Curreni direaors are listed ￿lOw.
Mrz Akhter
MS F. Khan
Ms S. Shah
All major decisions are taken ihrough consultaiion and aoreemeni with all ihe trustccs.
Risk management
The trustees have 2 dut). to identify Jnd revi¢w ihe ri5k5 to M"hich the charit) 15 e¥lx)sL￿d and to en5urc
appropriaie controls are in place to pmvide reasonable 355uranc¥ a¥T2ins1 fraud and error. The iruslees have
undertaken a lull risk assessmLnt £)f Ihe i)runi%ation hdl'L inlri)duccd Karious ke}. conirols. l-he trustees
are *atiRtied that the major risk£ identified have adequaiel% niiii¥iaieil u.here neLes&ary. It is r¢cogTnj5ed
thai the sygtems can only provide reasonable but not A￿01v[c assurance ihat Fnajor risks have been adcquatcly
managed.

TIIF. AL-MiFDASSAR TRI'ST-{0636177511121550)
Report of the Trustees for the )"ear ended 30 Sbeptember 2020
o￿F.CTJVF.s AND ACTIN"ITIF.S
ObjecliTre5 aDd aim5
The Charity's objectives as sei oui in (he objecis clause coniained in the compai)) s Memorandum of
Association are to advance public educalion in Arts and in particular..
To advance the education of the pupils ai ihe Al-mudassar Special Educaiion Lenire and assisting in
thc provision of tacilities noi provided b) the local education auihoriifv ai ihe school.
For ihe funherance of the ubjccls cunlaincd w iihin ihe Mem(Trrnndum (Trf A5%uLialicin. Ihc chdrity 5
curreni aims and purposcs are:
To aid deaf children from impoverished backgrounds into basic cducalion.
To aid their education and asscss ihcir cducation need5 Ihrou¥h profcssional SPCCidlist tcachcr5.
Volunteers
Man} I'oluntecrs gii'e up their lime io help out ihe chariiv w'iih fundraising aciiiiities. The chariiy is greaily
indebted to the volunteers lor their committncnt and suptK)rt.
ACHIEVEMENT ANI) PF.RFORMANC.F.
Charitxble actii ities
The Al-fvludassar Tnist is a charily set up in ihe UK as an ami of ihe Al-mudassar Special E"ducation
Complex socieiTr'. a registcrL.d charitN' in Pakisian.
The aims and objectives of lJ)ih charities are the same and ￿Ork Close1￿ toiiether lo meet their objectives. The
Al-mudassar Trusi raises t-unds in thc L. K gTenerallN through nei￿.Orkirtg (yn)ups. friends &. t-amil), and other
relaied gwroups. These funds are ihen sent via donations to the charit! based in Pakistan. Ill should be noted,
for transparenc) purrx)ses ihL charit!. based in Pakistan is also audited and its accounts are available on
request}. The irustees carrv oui Nisiis io ¢nsiire the charii! is usine ihe donaiions for ihe S￿lfIC Plirpose.
The broader objeetii'es ofthe charit%. are:
"To provide sate h￿2￿cTI t.or d¢￿ryf childr¢'n here ihej. can gmw and prth8per.
"To provide quality educalic)n io deaf children from rurdl areas of Pakisian
"To improve the lives and fu¢ur¢ ot-deaf children ai ihe A1-￿lUda55ar Special Education Coinplex.
'To enable voung children with disabilitie5 to develop iheir phvsical and menial c2pacit)' through qualitv
education and professional intervention.
"To enable pupils to be self-suificient and financiall% independent.
With th¢ hLlp ()fih¢ funds rdi%ed in l IK b!" The Al-mudassar Trusi. iliis has enabled and &ssi4ted ihL" AI-
Mudassar SpeLidl EduLdlion Comple.K SOLieiN (ChariiN regisiered in Pakistan) ILI aLhieve ihe objeLtivEs %et as
listed underneaih.

THE AL.MLDASSAR TRITST.10636177511121?_40)
Report of the Trustees for the )'ear ended 30 September 20?0
Main Activities:
Main aLlivities achieved duriiiLI thL !'Lar ￿¢r< a5 follow"s.'
BLI0￿ is a summary of our dLlii iiics. which are Carril￿ out in accordance with our charilable aims and
objectives.
'Provision of educational facilitie$ 10 oi'er 450 Children H ith s[￿tal needs from plaj'groups lo colleLTe
education.
'Provision of boardin&T facilities for oi'er 80 students from IMW￿.erlShed backgrounds.
'£reaied employment opportuniiies for local wnmen. (Such as ieachets. teaching as5isiants. cleaners. aiid
reception siafD.
'Provision of a drop in centre for ￿pIt ￿1th leaming ditTiculiies.
'£reation of comfortable environmeni where deaf children can atKI pr()s￿r.
FINANCIAL REVIEW
Re¥ern'es pvlic).
The General lund represenis funds arising froni past u￿ra11ng resulis. The l)irectors are satlsfied thai ihe
balance of the fund will enable ihe ch3ril%' io meei ils objectives. The Dircctors have also examined Ihe
rcquircment to maintsin reslrves lor the on going work ol-lhe charii). and concluded that the most appropriate
l¢v¢l is bet￿ten 6 to l ? months ofoperational ex￿nditure.
FUTURE DLVELOP.MENTS
Wc plan to consolidate our success in providin? educaiional facilili¢s and profcssional supwrt to a wide rangF¢
of children with other disabilittes.
We have alread)" started construction M'ork on building vocalional workshop.% io ieaLlI )'c)ung adults new
skills. which will enable them to find employmeni. Hence. enablinb ihem i(} 1￿C{)￿¢ financially indeFtndeni
and self-sufficient.
We plan to look into oih¢r proj¢cis. %%hich ￿111 enable us io fulfill our aim5 and objectives.
This r¢pL)rt ha5 Ik"en prLparLd in a¥Lc)rdancc wilh thL' SPLxial prowisiiTrns ol- I'an 15 0l.ihe compani￿ Aci ?006
relaiingF 10 small Companies.
PUBLIC BEP¥EFIT REPORT
The board have referred 10 Ihe guidani¥ Loniained in the Chariti. Comniission's general ¥iuidance on public
LEnefit when reviewiiig ihe aim and obje¢ii%e% and in planlliT)gJ thc charill's fiiiure aciii'itie%. Thc trustees are
satisfied lha¢ th¢ ¢harit}' is achicvinLY It% nbjcciivLS sei and Elie Mliole l()Lal Ll)m¥rtunitK and socieri. ai large
are benefiting from these aciiviiies.
ON BF.HALF OF THE BOARD
.Ms S. Shah
Date: 2Q.l)71.21
Direettsrl Tru$lLY

THE .4L-MUDASS.4R TRII(iT-(116361775111215_9))
IDdependt'Dt E.￿#miNer.5 retM)rt to the Trustees of AL-,%ludassar TrusL
For tbe Tr'ear ended 30 SLptembeT 2020
I repon on iht dLcoiinis tiir illi lear ¥iidvd 30 ScpicTnkr ?070 sd oui on pages 7 10 11.
Re5￿tI1-¢ rcsponsibilitits of tr￿StreS and eiaminer
Th¢ cliariiN S Irust¢tt Iw"ho arL a1511 iIiL dtfLLli>r) li)r ihl purtx)scs of compan! lawl are re5p)nsibl¢ for tIiL
prep2ratinD nf the accLllllllS. Lharil!" % trnsieeK consider ihai an Judii is noi required lor this Year {under
Seciion 1441?} of the Chariiies Aci •0 I I l and ihai an inde￿ndent examiiiaiion is rcquired.
Hal'ing saiisfied m)'sel f that the charitN is ni)I subjeci io an aLtdit under companN"12w and is eligible for
indcpendent exaiiiinatii)n, il 1% rcsponsibilit! io:
examine the accouiits undLI ScLlion 145 of the ?0 I l Aci
to follo￿ ihe procedures laid down in ihe General Dircciions given by ih¢ Charity, Commission (under
Se¢tion 14515Kbl ofthe ?01 l Act- and
io stat¢ whether partiLular mailers h&ive comc To m!. aiieniion.
Ba$15 of the Indepe￿dent esaminer's rewrt
exaniinaiion was Larried uui in accordanie wilh ihe General nircciions given by the Chariiy Cominission.
An examination includes a review of the accouniino records kepi bs the charti) and a Lotnparison of ihL
accounts presenied ￿lIh those records. li also include5 consideraiion of an). uiiusual iiems cir disclosures in
th¢ accounls and seekingi explanaiions from N'ou irusiees concerning sucli InaiiLr>. The procedures undenaken
do no provide all the evidence thai would ￿ rLNuired in an audii and LonsequentlK no opinion is LFj%'en &4 to
hether the aLLount5 prLsent a -Irue and fair i i¢i%' and ihe rep)rt is litnit¢d to iliose maitcrs set out in the
statements Er10￿..
Independent examiner'8 sla1e￿enI
In connection ￿1th m) eittniiiiatioli. IK) matier has Lome to my attcniion:
whiLh gives me reasi)nJble Lduse to belieNe ihaL in material reS￿Cl. Ihc rcquiremenis
to keep accounting records in accordanLe M iih S¢ction 386 ai)d i87 vlthe L"ompanie% Act ?006- and
tu prepare accounts ii'hich accord H'iih ihe accountin(y
records. compl> i¥iih the accounting
requiremenis ot %¢¢1sons )94 and 39) of Ihe CompaniLS ALt :006 and wiih ihL' Fnlihods and
principles of ihe Sial¢mLnl ofReionimended PraciiLL": AccouniinL and Rep)rting bfv Charlties.
habe n()1 met- or
to which. tny opinioii. aiieiiiion sliould b¢ in order io enabl¢ a prO￿r undersianding of the
accounrs ¢0 be reached.
JLv8an & Co
ChatTered Certified Accounianis & registered Auditors
4 Blenheim Avenue
Gant% Hill
Essex
IG? 6JG
Dale=

THE AL-MUDASSAR TKLST_1063617751 11215.¥0)
STATEMEINT OF FINANCIAL ACTII'ITIES
For the )'ear ended 30 Sepivmber 2021)
L.'nrestricled
Flind5
2020
Total
Funds
2019
2020
INCOMING RESOURCF.S
Incoming resoiircL% from generated funds
Vollilliati. Income
Interesi rcceii'ed
80.157
37
93J117
93J07
80.194
RESOLRCES EXPEryDF.D
Cost ol genL'raliNg funds
FundraiSinL7 COSIS
Gcivernance costs
Other resource5 CXPLndLd
41
1.7iO
74..3.10
41
1.750
74.)39
1.775
1.750
1:2.079
Total resource5 expended
76.330
76J30
Net income
16. 977
1&977
(45,410)
RECONCILIATIO￿ OF FL:,YDS
Toial funds brouL?hi lorward
37.4?11
j7.4?8
Total fullds carried foniard
54.405
54.405
j7.4?8

THF. AL-MUDASSAR TRI,"ST-(0636177.$11121.SW
B¥laDc¢ sF¢ett as at 30 Seplember 2020
LIDrestricted funds
oles
2020
2019
FIXED ASSETS
1.260
1.440
CURREL¥T ASSETS
Cash <lt bdnk
l(K).1?5
CREDITORS
A Tnnunts lallin¥F due within one )¢ar
{1.7501
(1.7501
NET CIIRREN'f ASSETS
98.37)
35.988
TOTAL ASSETS LESS CLPRRIN'T
LIAIIILITIES
99.63)
37.4?8
NET AS.SF.TS
W,63$
37.428
Funds:
Unrestrieted funds
Unrestricted funds
99.635
37.4?8
Total funds
99.634
37.428
The charitablt coiiipani. is Liitiiled io e.x¢mption from audit under Section 477 of ihe Companies Aci Y006 for
the year ¢ndcd la Sep1em￿.r ?OtyO.
The Membe￿ have not reqiiired the charilable compan} io obtain an audit of lis financial 8iaiements for the vear
end¢d 30 S¥piember ?O?O in a¢cordanc¢ with Seciion 476 of the Companies Act ?O(kn.
The irustccs acknoii ledge iheir rcswnsibiliiies for
la) ensuring that thL chariiable compan) keeps accouniing records that compl)" with Setiions 386 and )87 or
thc Compani¢% ALI ?1)06 and
Ib) preparing financial qtaiLments H"hich give a irue and fair view of the Slate of affairs uf thc charitable
company as at the end of ih¢ Iinancial lear and of ils surplus or deficii for ￿(h financial Ne&ir in accordan¢¢
'ith thL requiremenis ofs¢Llions i94 and 3Yi and Mhich OTherwise compli i%ith ili¥ requirements of the
Companies Act 2(K)6 relaiÈng to financial ststeTllClt￿ so far as applicahlL" lo the chariiable companv.
These financial s￿leMentS have been prepared in accordance ￿1th ihe s1￿claI provisions of Part 15 of the
Companies A¢1 ?IX)6 relating? io small charitsble companies and h'ith ihe Financial Rcportin2 Siandard for
Smaller Entities (eltective April ?008)
The financial statements w'ere approved by ihe Board of Trnsiees on .
by..
Ms & Shah {Dtrec¢orrrrustee)-

The AL-MLDASSAR TRLTST40636177511121$50)
Noies ti) Ihe Financial statements
For the !'e4r ended 3U September ?0211
I. ACCOUNTIN(: POI.ICIF.S
Aeeounting coni"ention
The financial staiemenis hav¢ IKYn prcparcd Ltnder ihe historical cost conveniion and in accordanLe with the
ialements of RLcommended Practice I"he Chariiies SORP I FRS 10)) i&sued in May ?014. and the appli¢ablc UK
Generallj Accepied ALcounling Practice and the Charilies rlci ?01 l.
Incoming re$our¢es
All inLI)iiiiiig resourLes are included on ihe Sthiemeni of Financial Aciiwili¢s when the charity is l¢gyall) eniiiled 10
the income and the amouni can be quantified ￿'1th reasonable accurac!.
Gifts in kind doftated lor distribution are Inc1L￿ed at valuation and reL()LJli7.¢d as inLome i¥hen they arc disiributed
to variou.fi projecis. Gift5 don*LIL'd fi)r rLsale are included as income iil)en ihel arL" A(Ild. Dc)nated faciliiies are
inLlud¢d ai thr value io ihe chariii where ihis can ￿ quai?iilied and a ihird pan) 1% bearing the cost. No amnunls
are included in the financial si&iemenT.s for %eTrices donated bi. iolunleers.
Grants Reeeii'*ble
(yraiits 1re acLIILintcd lor on a receivable basis and are credited lo income. Ally Ullspcni balances are carried
lorward in ihe appropriate fund. An}. grants resiricted to future aLLOUntillg? l'ears are deferred and recognized in
11105e aLcounting !"ears.
Resourecs expended
Expenditur¢ i5 aicounied for on an acLruals basis and has been classified under headinL75 that aggregaie all c05t
related io ihe Lateg?()r%. W'hire cosis cannoi be directl! aitribuied io paniLular hLadinL?S. Ehe). hdVL' beev) allocared io
activilies on a basis LOnSlSÈeni wilh the use ot-re50urces.
Alloealion and apportionment of tosts
Tangible fixed a55ets
D¢preciation is proi ided at ih¢ follom'ing annual ralcs in order io writ¢ otTeach assei oier it5 estimated Ubeful life.
Cownputer
330/0 on reducing balance
Taxation
The chartiy is exempt from corrx)rdiion i&x on ILS charitable activiiie8.
Fut)d Accounting
Crener21 Funds
CJ¢ncral lunds are unrestrirtcd funds Mhich are ai"ailahle fi)r usc ai Ihe dis¢reiion of the irusiees in furtlierance of
Ihe gLllLral objLCtii'es ol'ih¢ iharil) dnd i¥hich haie noi been designated for oihLf PUTPE)SC>.
Desi2naied F"und5
Designated liinds compromise ￿tricied ftsnds that have been sei aside b). the irustee8 for panicular purposes.
The aim dnd usi of each desiLynai¢d t-und arc sei oui in Lhe n()tL-s lo Ihe fil￿nLIal 5talLmcnts. Restr￿Cted luiids are
funds. whiLh ar¢ U8Ld in accordance with 5tKciftc resiriciions itntMi%ed donorn. ()r i4'hiLh have been raised by the
chdritN for particular PL1rpx￿es. The cost of raisino and adtniJJisiraiiii¥> such tund8 are chargyed againsr tlie specific
fund. The aKm and usc of each resiricied fund ar¢ set out in ihe noie% lu linaiicial siaieInent.

The AL-MUDASSAR TRLST-(0636177511121.55O)
40tes to the Finan¢ial $ta)t¢ment$
For the lear ended 30 September 2020
I. ACCObNTIIG POLICIF.S- continued
F.ndoH'ment Funds
End0￿ment lunds represent those assets. ￿hleh must hLld ￿Mianen11￿ b!. the chariiN. principalli investm¢nts.
Income arising Irom endommenl lunds can ￿ used in accordanLe i¥ith the objects of ihe Lharily and is included in
unrestricted income. An% capiial ￿paInS or 1055cs arising on ihe inve%iment5 arc charged against the incoille
Tenerated from the fund. Invesiment management charges and legal advic¢ tylating to the fund are charbTcd against
part ol-the fund.
Administratii-e expenditure
Administrative Exptndiiure coinprises all cosis inLurred ntnning ihc charii). ￿hleh cannot be directl) allocated
to the chariiy's projLCIs {)[ lo fundrdi5ing.
2. VOLUNTARY INCOMF.
2020
2019
Donations
9j.?8•
80.157
3. FLiN'DRAISI%G COSTS=
2020
21119
Eveni LOStslAdtrert
1.775
4. SIIPPnRT cnsTS
2020
Other
2019
Other
re￿￿rreS
expended
ri'svufLL'
expended
undingi ihe schix)I running costs
Salaries
Bank & credit card charges
Trai'elling
Adminislrative costs
D¢pr¢ciation
70.0(KI
19.103
193
1.-$62
67
180
180
74.539
122.079
5. GOI'ERP*A)CE COSTS
2020
2019
Independent examiner's fees
1.750
1.7.$0
1.7iO
1.750
10

The AL-ML.DASSAR TRUST-(0636177511121550)
Notes to the Finaneial statements
For the Trear ended 30 Sepiember 2020
6. TRLSTEES, REIII )F.R4TIOI .4ND BENF.FITS
There Mer¢ no Iru51tts riiiiun¢raiiLin iir ()Iher beiiefii4 the )ear ended JO Sepiember ?O?O nor for the )'ear ¢nded
30 Sepi¢mber ?019.
Trustee5' expen
T"here were no trustee) ¢I￿nSeS paid for ihe ￿ed[ ended JO September ?O?O nor for the vear ended .70 Sepiemb¢i ?019.
7. C REDITORS: .4.1101 NT.S F.41.LING DI'E ITHI) O%F. I E".IR
2020
2019
Accnjed exp¢nse5-Examiner's fee5
1.7iO
8. MOVEMEIYTS Ifi FLTND
At 01.10.19
Net moi'ement
At 30.09.20
Unrestricted fuDds
in fund%
General fund
16.977
i4.405
Nel movements in fund5
Incnming
resoure£
Res(Jur¢es
expLnded
Ini'ement
ID fund
Unrestricted fund5
General funds
93.307
(76.3301
16.977

The AL-MLDASSAR TRIIST-(0636177511121.550)
Detailed st&temcnt or rinaneisl actii'ities
for the Trear eDded JO SeytLmher 2020
2020
2019
INCOMING RESOURCES
Voluntat) incotne
Donations
93.282
Interesi received
2)
93.307
80,194
RF.sniiRCES EXPENDED
Fundrai.sing costs
Event cost
41
1,775
GoTr'ernan¢e costs
Ind Cxaminer's 1¢¢5
1.750
Administratii'e and other ¢￿*t￿.
Funding th¢ school
Salaries
70.0
19.103
Depreciation
Bank & C Card chargTCS
Travelling
Admini5traiive costs
180
180
1.56?
67
10.340
74.539
122.ft79
Total Resour¢e5 expended
76,330
125.604
Nei ineomel{ deficit )
16.977
14_S,410)
This page d(*s Trot forni part of the Sthiutors. financial 5tateiiienis
12