THE A￿muDASsAH TRUST
Cb*rlty regIstr•￿oll thvmber 1121550
C•mpAny reRtstrntl•D number". 06361775 En£l#nd
Report and Af¢fjunts for the ye•r ¢Dded 30 September 2023
11111
'AD64LSA9*
27tW2024
C(YAPAWES HOUSE

The AL.MUDASSAR TRUST
Rtfereneg and admlnl$tr#tive det•il$
For the y¢*r ended 30 Septemb¢r 21n3
St•tu$ and governing document
The Al-Mud&ssar Tn￿t (forn)erly Known as The Al.Mudassar
Special Education Centre) is a registered charity thai is
¢onstituttd by trusi deed and a150 re8isier¢d ¢ompany IiTnited by
guardniee without a shwe capital and 8overn¢d by its
MetnoraDth of As￿elatiOn and Articles of A&sL*iation.
ChxTIty regl$tr*tlo
1121550
Ctympany reglstrndon
06361775 {En8land & Wale5)
Rrylstered Ornte
81 NetheTb¢y Str¢er
Oldham
England
OL8 2JD
TruSte￿IDIT￿l￿rl
Mr Z Akh*r
Ms N. Shah
Mr K. Shah
Secretary
MsS.SI
Bartker
HSBC
109 Union Street
Oldham
L4Dcashire
OLI IRT
IndepeDdent Eiamlner •f Aeeounts
Jay50n & Co
Chanered Certified Aecowitsnts & reBistertd Auditors.
4 Bletsbeim Avenue
G8nts Hill
Essex
IG2 6JG

THE AL-MUDASSAR TRUST40636177SJ 1121550)
Report of the Trnstees for the yur ended 30 September 2023
The tsusiees. who are also directors of the chariry for th¢ purposes of the Companie5 Att 2006. present their
report witb the financial s¢atemetsts of the charity for the year ended 30 sep￿mber 2023. The tnJ51ees have
adopt¢d th¢ provi5i0Th5 of th¢ Swement of R¢cixDmended Practice, The Chan"ties SOPTr (FRS 102) and the
Chariiies Aci 2011.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng document
The Al-mudasw Special Eduuiion Cenre is ¥ wist¢red ¢hartty and also a eompany Itmtted by guarantee
without share capital. The Al-mudassar Special Educaiion Centre Limiied w&5 ¢stsblished in 2007. The
Memorandum of Association and Articles of A551*iation was incorporaied on the 5 S¢ptember 2(N)7. The
¢harity nurnb¢r is 1121550 and th¢ ¢omp•ny reBistration number is 06361775.
Recrultment *ppolNtmetst of new trustt
Th¢ mjsiees have the power to appoint any person to be a ITUStee in accordance with the provisions of th¢
Try51 Deed. An appointed tWSte¢ holds office within the limits ptmiitted by law.
Induerfon and ir*lnln8 ofnew tru$tee$
All new trustees are 8Lven. in the view of the t*)ard. sufftcieni training and have enough knowledge of their
specific field to underswld th¢ Dature of the charity and fully comply with ihe legal requiremenis und¢r the
Chari¢ies Aci 2011 and also be familiar with th¢ statutory duties ittd rtsponsibilities of ttwte¢s. External
trainin8 sessioDS are provided if required.
OryAnlt*tlo*AI sirntture
The Charity is managed by the diredtiTS. Th¢ d¢tails of th¢ eurreni direaors ue lisied below.
Mr Z Akh¢er
MR K. Shah
Ms N. Shah
All major d¢¢ÈgioDS ar¢ taken tbmu8h conwlthtion and a8reernet￿ with all the trustee5.
Rlsk man*8ement
The trustees have a duty to identify and review the risks to which the charity is eX￿Sed #nd to ensure
appropriate controls are in place to provide reasonable assurance against fraud and ¢rror. The tnJst¢¢5 have
undertaken a fiLII risk &8ses$rn¢nt of Ihe organisation and have introduced various key controls. The truste¢$
are satisfied that the major risks identified have been adequately miiigated where necessary. It is rrcognised
that the systems can only provide reasonable Iwt noi absolute as5uran¢¢ that rnajor risks have I￿* adequately
manag¢d.

THE AL-MUDASSAR TRUST406361775111215511)
Report of the Trustees for the year ended 30 September 2023
OBJECTIVES AND ACTivrrIES
Objectives irtd alms.
The Charity'5 objectives as set oul in the objerts clause eODtsined in the eompany's Memorandum of
Associatsort ￿e to advaoce public educ￿10￿ in Arts and in p¥rtiwknr:
To advance the edw¥tion of th¢ pupil$ at thc Al-mudassar Special Education Centre and assisting in
Ihe provision of faciliiies not provided by th¢ I￿1 educdiion authorbty ai the school.
FOT th¢ funherJnc¢ of the objects contait*d within the Memornndum of Assttiation. the charity's
cwyent airns and purposes are:
To aid deaf Childrert from impovttished baCk￿￿￿th into b￿1¢ education.
To aid iheir educallon and ¥s5ess ih¢ir ¢ducation needs thTOU8h pYofessioMI spxialisl tuchers.
Voluntetn
Many volunt¢¢r5 giv¢ up their time to help out the charity with futidraising activiti¢s. The ehwity is ￿81]Y
Indebted io the volunieeTS for their commilment and support.
ACHIEVEMENT AND PERFORMANCE
ChArlt*bl¢ 8Ctlvlrfts
The Al-mudassar Trusi is è clwity ser up in the UK as kn ami of the Al-mudaw Special Ed￿atIon
Complex society. a re81￿Cl¢d chan.ry in Pakislan.
The aims and obj¢¢tive$ of both t￿rItIeS are ihe same and work c105ely ￿gelh¢r to meet their objeeiives. The
Al-mudasw Tn￿1 r•i5es fimds ID the UK 8enerdlly throu8b networking Broups, friends & family #ttd other
rel8ied 8TOUPS. These fund8 are ihen seni via dongtiOTL5 to th¢ charity based in PakIS¢￿. (1¢ should be noted,
for trdnsparency purposes the chan.ty based in Pakistan 15 a150 audiied and its ac¢ouniS are available on
request). The tTU5tets Ca￿ out visits to ensure the cknty is using ih¢ donaiions for the spttific purpose.
The broader obJt¢dves of th¢ th*rlty Xre:
"To provide a safe haven for deaf children where tbey call grow and pn)sper.
'To provide q￿lIty education to deaf children from the nwal ar¢as of Pakistan
'To improve the lives and of deaf children at the Al.M￿d￿S8t Special Education Complex.
'To enable young children with di￿bIlitieS to develop their physical and menthl ¢apa¢ity through quality
education and professional inieTv¢ntion.
'To enable pupils to be self-suffi¢i¢nt ¥nd financially ir*endent.
With the help of the funds raised ID UK by Th¢ Ai-mudassar Trust, this bas ¢￿bled and assisied th¢ Al-
Mudassar Spccial Education Complex society (CbaTiry TeBis*T¢d in Pakistsn) to achieve the obJ'eciive5 set as
listed underneath.

THE AL-MUDASSAR TRUST41)636177511121550)
Report of tht Trustees for the y￿r ended 30 September 2023
Maln Adivitits:
Main activities achieved during the year were as follows-
Below is a $urnmary of our a¢tiviti￿. which arc ¢xried out in accordatKe with our Charl￿b￿ ainLS and
objectives.
"Provision of ¢dU￿tIonal f¥iliti¢S to over 450 children with specia] needs from p18ygroup5 to college
education.
"Provi510D of boarding faeilities for ovtt 80 from impoverislKd back￿0￿ndS.
"CTeat¢d employThent otoortiinitits for local women. {Such as teachers, teaching assistsnts, cleaner4 and
r¢c¢ption 5taffj.
"Proviiion of & drop in eentre for people with Itarnin8 ditTiculti¢s.
"Creation of eomfortable environmeni deaf childM can grow and pr05pvr.
FINANCIAL REVIEW
Re$erv¢5 pollty
The G¢ncral fund represents funds arising from w opernting results. The DirectOTS ar¢ saii$fied that the
balance of the fimd will enabl¢ the Charity to meel its objectives. The Directors have also exarnined Ihe
requirement io maintsiD reserves for ihe ongoing work of th¢ charity and concluded th￿ th¢ most appr¢)priate
level is betwten 6 to 12 months of operational expendiThwe.
FirruRE DEVELOPMENTS
We plan to collsolidate our su¢¢ess in providing ¢dWtio￿l f#cilities and w)fessional support to a wid¢ range
of children with other disabilities.
We have already 5thrted eonstsuetion work on buildin8 vocational workshops ¢0 t¢J¢h youn8 Athilts new
skills, which will enable them to fiod ¢mployin¢nt. Hence, eMblin8 them io become financially iDdependent
and self-sufficieni.
W¢ plan to look into other projects, whicb will enable to hjlfill our aims objeciives.
This Teport has beeo prepared in I¢￿rda￿ with the special provisioos of Pan 15 of the CompaDi¢S Aet 2006
relatin8 ro small companies.
PUBLIC BENEFIT REPORT
The b(wd have referred to the guidance contsined in th¢ Charity Commission's 8cnrrnl guidance on publi
benefit when reviewing the aim and objectivts and irt planning rhe charity's fvture 8Ctiviti¢s. Th¢ tru5tee5 are
Satisfied that the charity is achieving its objeaiv¢s w and the whole loul communiry and Society at lar8¢
are trrtnefiting from these activities.
ON BEHALF OF THE BOARD
M5 N. Shah
DAte: 1510612024
Dir¢rtOTI TruJt¢¢

THE AbMUDA&5AR TRUST40630177511121550)
Independent Examlner's report t• th¢ Trustees ofALMudw#r TrusL
For the year ended 30 September 21123
I repon on the accounts for thc ye4r ended 30 Sepiemttr 2023 set out on pa8¢5 7 to I l.
Respeeeiv¢ ttspomsibilitÈ¢s Of tru$tee5 ex*mltyer
The charity's trw¢ers (who are also the directors fo¥ the PUT￿ of wmpany law) are responsible for the
preparation of ibe Accounrs. The cbarity's twstees ￿lder that an audit is not required for this ye&r (under
SeciioD 144(2) of the Charities Aci 2011) and an Indepe￿Ie￿I examination is required.
H&vin8 Satisfied mys¢lf that the charity is not $ubje¢i to an audit under ¢4)mp#ny law and is eligible for
inde￿ndent examination. it is my reS￿nsIbIlIty lo..
exarnine the &c¢owits uthr s￿110￿ 145 of the 2011 A¢1
to follow the procedures leid ID the Genernl Directi0Th5 Siven by the Charity Comrnission IuDder
Section 145{5)Ib} of 2011 A¢L and
to $ta¢e wheth¢r particular matters ￿ve come ￿ my attention.
B*$ls of tbe Inthpendent ex*mlneT'S rept)rt
My ¢xominaiion was carried out in aecordance wtih the GerKro1 Direaions given by the Chan'ty Commi$5ion.
An examination includes a review of the a¢counhnB records kept by the charity Ind 8 ¢omporison of the
Jccounls PT¢%nted with those records. li a150 includes considerauon of any unusual items or disclosures in
the accounts and seekiDg explanaiions from you rNst¢es cOr￿ernIng such matters. The PTocedures widertaken
do no PTovide all the eviden¢¢ that would FK rwtsired in an audii and ¢onsequeDdy no opinion is given as to
whe(her the a¢¢ounts present a'tribe al￿ fair, view, and the report is limiied to those matters set out in ¢be
stat¢m¢nts below.
Ind¢peThdenl examlneT'S $tAeemtnt
In tonnection with my examination, no mitter hgs to my attention..
which ￿v¢S me reasonable Cause to believe Ihal in any material respe¢i, the rwirements7
lo keep a¢¢ounlin8 records In accordance with Se¢tion 386 and 387 of ihe CompAnie$ Act 2006. and
to prepare a¢¢ounls whi¢h ￿cOrd wilh the accouniing record% comply with the occountin
requiremenis of sec110￿ 394 and 395 of the Companie5 Aci 20(hS and with the m¢thod5 and
principles of the S￿ement of Recommen￿ P￿tIce." Accouniin8 and Re￿rti1)S by Chariti¢$.
have been met: or
io whi¢h, in my opirti0￿ W*niion sbouid be drawD in order ty enable a proper understanding of the
ounts to be reath¢d.
Jayson & Co
Chanered Certified AceouDlJnis & registered A￿ll"tOrS
4 Blenheim Avenue
Gants Hill
Ess¢x
IG2 6JG
Dltr: 1510612024

THE AbMUDASSAR TRUST 4063617751112155))
STATEMENT OF FINANCIAL ACTIVITIFS
For the year ended 30 Septernber 2023
Uorestricted
Funds
2023
Tot*1
Funds
2023
Tot81
Funds
2022
Not
INCOMING RESOURCES
Incorning rcsourc¢5 from gen¢Tat¢d fuDd5
Voluntary incom¢
Interest received
64,688
209
64,688
209
37,136
64,897
37,147
RESOURCES EXPENDED
Cost of %eneratlng funds
Fundraisin8 costs
Governance costs
Other resource$ expended
9.098
2.215
43,029
9,098
2,215
43,029
1.750
55,206
Total reso¥r¢es expended
54J42
54J42
56,956
Net Surplusl(Delleli)
10,555
10,SSS
(19.809)
RECONCILIATION OF FUNDS
Total fiJrtd$ brou8ht forward
29227
29,227
49,036
Totxl funds e*rrled forw•rd
39.782
39.782
29,227

THE AL-MUDASSAR TRUST4063617751 II215SO)
B*l*nee sbeet Is It 3(1 September 2023
uthrestr1ct￿ fund8
Not
2023
21122
FIXED ASSETS
720
900
CURRENT ASSETS
Cash ai bank
41.162
30277
CREDITORS
Amounis falling due within one year
12,100)
(1.950)
NET CURRENT ASSETS
39.062
28J27
TOTAL ASSETS LESS CURRENT
LIABILITIES
39.782
29.227
NET ASSETS
39.782
29,227
Fund$:
Unrestrl¢l¢d funds
Unr¢stri¢t¢d filnds
39,782
29.227
Tot*1 lu*d$
39.782
29327
Th¢ ¢haTitable company li eniitled to exemption from audit under Srxiion 477 of the cornpgD1￿ Act 2006 for
Ihe year ended 30 September 2023.The members have r4uired ihe charitsble company 10 obiain an audil of
lis fmancihl $tsiements for the year ended 30 September 2023 in x¢ordanc¢ witb Section 476 of the Companies
Aei 2006.
The tnJst¢e5 acknowledge their TesrK)nsibiliti¢s f
(a) ensuring that the chariiable company keeps •ccountin8 records that comply with s￿tions 386 and 387 of
the Companies Act 2006 aThJ
Ib) preparing r)nan¢ial s¢aiements whi¢h 8ive a 8nd fair view of the state of &ff#irs of the chtiritable
company as at the end of ihe financial year and of its Surp1￿ or defEClt for each financial year in accordance
with the requiremcnls of Sections 394 and 395 and which othen¥i% ¢omply wilh the r4uirem¢nts of the
Compgnies Act 2006 r¢latin8 to financi81 stsiements, so far as applicable io the Charitable company.
These fiMn¢ial ststements hBve FKen prepared in accordantt with the special provisions of Part 15 of the
Cornpanies Act 2006 relatwg io small ¢haritsbl¢ ¢onwawes with the Financi81 Reporting SraThJard for
Srnaller Entiiies {e(fective April 2Cx)8)
The financial statements were approved b th¢
of Tros*es OD 15.06.2024 and were signed on 115 behalf
Ms N. Shah (Director￿￿$t¢¢). ....

The AL-MUDASSAR TRUST40636177S11121550)
Notes io tbe Fln¥Jnclil sfatemenis
For the ye*r ended 30 September 2023
I. ACCOUNTING POLICIES
Accound￿% co#ventltsn
The flnanctal stat¢m¢Thts hav¢ been prepared under the historic81 Cost convet)tion and in accordance with the
Statements of Recommende41 Pracu¢e - Th¢ Chariti¢s SORP (FRS 102) issued in 2019. and the applicable UK
Genernlly Accepied Accountin8 Pr8Cii¢e and the Chariiies Ad 2011.
Incomlng resourees
Ail incoming resources are included on the Ststemeni of Financiai A¢iiviues when th¢ charity 1$ legally entitled to
the income and the amount be quantified with reL%onable accurn¢y.
Gifts in kind don￿ed ftsr distribution we included * valuaiion and T￿o￿nIzed as income when they are distributed
to varioui projects. Gifts donated for res￿¢ are included as income when ihey are sold. Donated facilities are
includ¢d ai the volue w ihe charity where this can be quatttifled and a third party is bearing tb¢ cost. No amounts
are illcluded in the finawial stst¢m¢nLS for xrvites donated by volunteers.
Gr*nts Recelvlbie
Grants ar¢ a¢¢ounted for on * rettivable basis artd are crediied io income. Any un5penl balstsees are cftrried
fon¥8rd in ibe appropriare fjJDd. Any grants r¢stri¢t¢d to future a¢coun(in8 years are def¢￿ed and ￿ts￿l2td in
those 8ccoun¢in8 years.
eAp¢nd¢d
Expendi￿re is accowiied for on an accruals bA5i$ aTMI h&$ been t1￿51r7ed under headings tha( aggrc8at¢ all co$t
related to ihe category. Where ¢osts cannot be direcily otiribu*d to particular headings. they have been 8llocaL¢d to
activities on a basis consis*ni with the use of resources.
Allo¢atlon •nd ApporfloDm¢nt fjf ¢0511
T*nglble Ilxed *Mets
Depreciation is provided at the followin8 anrtual rates in order to write off asset over its esiimated useful life.
Compuier
- 33% on r¢dwing balance
T*xatlo
The cbarity is exempi from corporntion thx on its ch￿l￿ble ¥ctiviti¢s.
Fund aeeouotlng
GenerAI Funds
General funds are unrestricted fi￿d5 wbich are available for use at the di%r¢iion of the tru$tee$ itt furtherance of
the general objectives of the ¢tr￿1￿ and which bov¢ r￿t b¢rn d¢si¥Dated lor other purpose5.
Designated F￿lld5
Designated funds compromise restricted funds ihat have beert Set &%idt by the tr￿SteeS for particular purposes.
The aim and use of each deSI￿ted fund are set out in the noies to rh¢ fjnancial staternents. Restricted funds are
funds. whi¢h are used in accordance wth specific restricti0Ths imposed by donots. or which have been raised by the
charity for particular purposes. Th¢ Cost of Tai%ing and xdmini8lrAling sucb fLwd$ are Charged awn8t th¢ sp•cifi¢
fund. Th¢ aim and use of each restricted fund are set out in the notes to financial stsiement.

The AbMUDASSAR TRUST411636177511121550)
Notes to tbe Finan¢iA] $tAtements
For the yeAr ended 30 September 2023
I. ACCOUNTING POLICIES- Coati￿u£d
Endowment Funds
Endowment fimds r¢present those assets. which must be held pern]anenily by the charity. prittcipally investtnent5.
Come arisiDg from endowrnent fi]nds can be used ID aecordance wilh the objecis of ihe charity and is included in
Utwestricied income. Any capiral gaiDS or 10&5e5 ari5in8 OD thc investments are charged against the income
generated from ih¢ filnd. InvestsDent managemeni charges and leg81 adviv relating to the Ojrtd are charged against
part of the fund.
Admlnlstradve eXpendI￿rE
Administrative Expenditure comprises all costs incuJred in running the charity. which cannot be dir¢ctly allocated
io th¢ charity's PToj¢¢ts or to fvndrnisi
2. VOLUNTARY INCOME
2023
2022
Donations
64.688
37.136
J. FUNDRAJSING COSTS:
2023
zozz
Event wsts/Adv¢rt
9,098
4. SUPPORT COSTS
2023
Otb¢r
resour¢¢s
exp¢Thd¢d
2022
Other
rewuree9
¢xpended
Funding th¢ xhool runnin8 eosts
Salaries
Bank & credit eard charges
Advert & markctin¥
Administratsve costs
Depreciation
34,513
6.760
251
48,(X)O
6,560
466
,325
180
180
43,029
58J56
S. GOVERNANCE COSTS
2023
2022
Independeni examinerfs fees
2.215
,750
2315
1,7SO
io

The AbfvtUDASSAR TRUST4IJ636177511121550)
Noiu to tht FIN*nelal stAtements
For the ye*r ended 30 September 2023
6. TRUSTEES, REMUNEKITIOf4 AP4D BENEFITS
ThtTe weTe rto MJ$iees' remunet•liort Ot other benefits for thE YUT 30 September 2023 nor for the yeorendcd
30 S¢pl¢mb¢r2022.
Trusiees. txptn
TheTE Wcrt tto fruste¢s' expettses paid for the year eDJed 30 Sepiernb¢r 2023 norfor th¢ year ertded 30 Septembu 2022.
7. CREDITORS: AMOUNTS FALLINC DUE WITHlf4 ONE YEAR
20
2022
A¢¢Ned expen￿.EX¥￿jtttrts f
2.215
1.750
MOVEMENTS IN FUNDS
At 01.10.2022 Net movement At 30.09.2023
Unregtrleled fundj
Iwj fund•
G¢nual filnd
29.227
10,555
39,782
N¢t movements in fi￿d8
Ineomin8
ruourees
Resour¢¢3
expended
Mfjvemtttt
In fmod
Unr¢g¢rl¢ted
G¢nerJl fimds
64.897
{ 54.342)
10,555
li