Charity number: 1127233
Muln Welfare Trust
Report of the TNstees and Unaudlted Flnandal Ststements
For the year ended 31 March 2024

Muin Welfare Tn￿t
Contents Page
For the year ended 31 March 2024
Report ￿theTn￿*es
IN*8nd•nt Ex￿1*¢$ ReE￿I0 Ilw Tfttslees
Stat8rn8nt d Finarti#l Pt%itTrJb
No*s to th• Fina￿8￿ Staterr
5t08
Del3ikd Statmnt of FmarI￿*avhtsI$

Muin Welfare Trust
Rewrt of the Trustees
For the year ended 31 March 2024
The Trust￿ have pbosure In pre$entin9 ￿1r repryl and the fina￿01 statwnents for the tharity for thg year 31
March 2024. The Twstees have adopted the provBions of Accountln9 and Repoitiw by Charitie8.' Stalemgnt or
R•wrnrngndad PraCt￿e applicabl• to chariti05 pr8pwing their acwunts in aceord8nca with Fin8n¢i81 Reportin9 Standard
apF4irAt4e in the UK and the RepLthlic ol Ireland IFRS 1021 leff8ctiv8 l January 20191.
OBJecTWES AND ACTIVITies
Objoctivos and alms
The twsle88 have con5trdared Charty Commi8h)n'8 guidarKe on Publ￿ bgngfil, induding the gukl8rK8 'public benefit..
ruming a ¢harfty IPB21'.
REFERENCE AND ADMINISTRATIVE INFORMATION
Name olcharlty
ChrSty rag15trntlon number
Prfnclp81 addYes$
Muin W8Ware Twu5t
1127fJ3
30 F8mley Road
Birrnlngh￿)
B113NS
Truatees
The tw5t￿¥ and offKer8 dwing th? year aTrJ Sknce the yeorend were as follows".
Zaha8¢ Malmots
Gulam Rabbgni
Ahmed Omer
Ind8P8nd8nt 8xamlner8
Sigrna Chartered Aeeountants
862-864 Washwood Heath Road
W85hwood Heath
Bimiirgham
88 2NG
Approved by the Bowd ofTrwkes and slgned on its bahaif by
05 July 2024
Gu￿M Rabbani
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Muin Welfare Trust
Independent Examiners Report lo the Trustees
For the year ended 31 March 2024
I report 10 Ihe trustees on my examination of the accounts of the charity for the year ended 31 March 2024.
Responsibilitle5 and basi5 of r£port
As the charily Iwslees, you are responsible for the prèparation ol the accounts accordance with the requirement5 of the
Charitie5 Act 2011 I'lhe 2011 A¢i'i-
I report In respect of my examinalion of the charity'5 accounts carried out under section 145 of the 2011 Act and in carrying
out my examinalion I have followed all the applicable Directions given by the Charity Commission under seclion 14515llbl of
the Act.
Indèpendènt examlnern statoment
I have cornpleled my examination I conlifm that no Irallers have come 10 my attention in connection with the examinat￿Th
giving me cause lo believe Ihal In any tnalerial respect
1 accountin9 records were not kept in respect ol the Charity as required by section 130 gf Ihg 2011 Act., or
2 the accounts do noi accord with those record$". or
3 the accoun15 do not comply with the applicable requirements conc6ming Ihe form and conlenl of accoun15 sel out In the
Charities (Accoun15 and Reports) Regulation$ 2008 other than any requiremenl that the ac￿unIS give a 'lrug and fair vie
which 15 not a maller con$idered a5 Part of an Independent examination.
I have no concerns and have come across no olhef mallers in connection with the exarninalion lo which 8ii•ntion should be
drawn In this oport In order lo enable 8 propgr understanding of th8 aeeounls to bè reached.
jawa￿ Yakoob FCA 184627071
Sigma Ch8rtewd Accountants
862-864 Wa8hNvocé Heath Road
Washwood Heath
Birmingham
B8 2NG
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Muln Welfare Trust
state￿nt of Financial Activilies
For the year erKled 31 March 2024
Unre$tyi¢te
funds
2023
Irwom• and 6ndowm•fit• from:
Donation$ and18gad88
TIAal
95.081
95.061
127,758
127.758
Expondlturè on:
Charilablg ?ctwl¢bs
Tctsl
1109.7011
1109,7011
191.3261
191.3261
N•t Incornol•xpondl￿r•
Reconclllatlon of fun¢ts
Total fuftds brought forward
Total lund• corrled lornard
114.6401
36.432
109,516
94,876
73,084
109,616
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Muin Welfare Trust
State￿Ent of Financial Posbtion
As al 31 March 2024
2024
2023
Flxed as58ts
Taffjbi le a88ets
368
538
Current u8at•
Dabtert
Cath 8t bank and h h•nd
10
43,9L
68,803
112,711
118,1931
47.5C(I
79.548
127,048
118,0701
Cr•dltorn.' amounts falllng wlthln ono y•ar
11
N•t currnnt assola
94.518
108.978
Total 4•80ts lfr•• curr•nt Ihblllti
94.B76
109118
94,878
109.616
funth of th• ehlrfty
Unr8BlrKted ineoma lunda
12
94,876
109,516
109.618
Tot•1 lund•
Th• financlal •lat•n•nts w•r• approv•d aTrJ •uthorli•d lor hiu• by th• Bo•rd •nd •lgn0d on l• b¢h•ll by..
Gulèm RAbb8ni
Tr￿180
05 July 2024
4019

Muin Wdfare Trust
Notes to the FI￿nCIal Statements
For the year ended 31 March 2024
1. A¢courrtlng Polkl
easls olaG¢ounlln9
The financial $tatemenls have been prepared under Ihe hi8torical ojst c0rN8nt￿n, 8XC8Pt for inv8strn8nt5which ¥*e
included al market Val￿ and the rÈvaluati¢)n of certaln fixed assets and In accordaft¢e with the Ch8rfttes SORP IFRS
1021 'Accounting and Reporling by Chariti8s'. Statemeni of Recomm8ndwJ Pradice applicabl8 to tharities pffjpwing ther
accounts h a¢cordance with the Flnanckql Repo￿ng Stand8rd s￿￿1G￿￿e in the UK and R8public OF Ireland IFRS 1021
leffective 1 January 20191,. Finantial Rèporting Standard 102 the Finandal Rep¢)rtUlg Standard applicabkn in lh6 UK and
Republic of Ireland IFRS 1021, and the Ch8rits8s Act 2011.
Muin WeNare Tftjst rmets the d￿fin￿on of 8 publc benefft entity under FRS 102. Assets and liabllitfjes a¥e inilially
ognised at hi8torical cost or transad#)n valu8 Un￿S8 otherwi88 slatèd in t1￿ re￿vant accounting pofLy rtJ*lsl.
Golng ¢on¢grn
In p￿Paring these financial statements gefteartly att£pted acLounting practi{% requires that the trustees prepare the
ffin?nckql st8temgnts ¢n th8 going con￿r￿ b8815 unless it is Inappropriate to pr88wne that lh8 charty wdl C￿tInU8 its
actwitias.
2. Incomg fr*)m donatlons and le9acJ
2024
2023
Unreslrlcted f￿￿¥
Donations received
75,372
99,505
Substr￿￿tL)n5 roe•iv
19,689
2B,253
9&061
127,758
3. Costs of charitable acllvltl&s by fund ty
2024
2023
Unr•strktsd fund#
Projed Costs
Supput costs
90,523
19.178
72,087
19.239
109,701
91,326
4. Cog18 of ¢haritabl8 actlvlU88 by a¢¢lvlty typg
Aetlvllle5
und•rtaken
dlrectly
Support
2024
2023
Support ¢osts
Projed Costs
90.523
19.178
109.701
91,326
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Muin Welfare Trust
Notes to the Finanu81 Statements Continued
For the year ended 31 March 2024
. AMly8h of¥upport COSts
2024
2023
ProJ•ct Costs
Man¥gem8nt
Gowrnan￿
16.480
16,332
2,￿7
19,17
19,239
6. Ngt InGomrf•xpondltur•l lorth• yMr
Thi8 i• sIAled after ch8r9ingllcredrtlngl',
2024
2023
D•pMclalon of thvn•d nx•d 881•18
Aceounlancy fo
180
1,928
1,641
7. stsff co•ts and •molum•nl•
Tot418lalf C￿tI for fv ywr wd•d 31 M•r¢h 2024 w•r•'.
2024
2023
Salprkn ond wagg8
1S,3
14,072
16,200
14.072
2024
2023
Administr8tbn
. Comporatbve for the St•t•m•nt ol Financlal Acllvlllel
Thg wnparBtN• y•ar valu08 on th• Stal•menl of FbDJnclBI Adby￿& arè lor unr•strictod fvnds.
6of9

Muin Welfare Trust
Notss to the Finanaa statements Continued
For the year eThled 31 March 2024
9. T•n91b￿ ftxe(10$8•ts
P*nt and
IAa¢hlngry
Crot orval￿tIon
At 01 ￿ri120rd
Al 31 March 2024
6.298
Al 01 April 20rJ
Charge for year
Al 31 Marth 2024
Net I￿k valueB
5,760
5.940
At 31 March 3J24
358
At 31 March 2023
538
10. Debtor5
2024
2023
Amounts aft•r morn yw.
(Xherdebtors
43.9L
47.$(
47,$00
11. Credttors: amourts lalllno wmhln *xw y•ar
2024
2023
Othercrndrto
18,193
18.070
1&193
18.070
11 Movem•nt In funds
IncornlThJ
I￿OI￿j
8al•rKe at
31fi1312024
Genor#l
Genefal
109.516
95.￿1
11CrfJ.7011
.876
lo9￿16
9&081
{109.7011
94.876
7019

Muin Welfare Tnjst
Notes to Financial Statements Continued
For the year ended 31 March 2024
Unmtrkted Fun￿. PrwI1￿ y•Ar
Bala￿0 at
0110412022
kncomlng
Outpoln
Bal•n¢o at
rn•owc•• 3110312023
Genernl
Genwal
127.758
191.3261
109,518
127.758
191 J201
109.516
Pwpom of unrn•trlcW Fund•
G•nw•l
tharlli•i objects.
13. An•ty*l• £1 Mt•M•t• b•tw••n fvnd•
TanolW•
Ilx•d u••t•
M•t¢wrnnl
M•tA•••t•
Unmtrl¢t•d
G8Mrnl
G•rnr•l
94,518
94,876
14.518
94,876
Pr•vlou• y•
Unr••trktsd fvr##•
G•rwl
Genef•l
108,978
109.516
108,970
109A18
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Muin Welfare Trust
Detailed Statement of FSnan¢ial Activities
For the year ended 31 March 2024
2024
2023
INCOME AND eNDOWMENT
D4)naiions and legacles
Donation5
SubSLY￿+t￿lnS
7S,372
19,689
99.505
28.253
95,061
127,758
Total Inc(￿1n9 rosour¢•s
96,061
127.758
ExpeNDITURE
Charltable actlvlU•5
ost of dirBLI charitabte ac16vty
190.5231
172,0871
190.6231
172,0871
SUPPORT COSTS
MBnagement
Managwnent
IIS,4801
116.3321
115,4801
{16.3321
G0￿m￿n¢9 costs
Govem8n¢e w$ts
13.6981
12,9071
13.6981
119071
TLtsI r•sour¢•s •xp•rtd•d
1109.7011
191 J261
N81 Ex￿ndItUr•
{14.6401
36,432
9of9
This pag8 does Th)t form partol the statulory finandal statements

CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the perlod
From
0110412023
To
3110312024
Charity name: Muin Welfare Trust
Charlty reglstrntlon number: 1127233
Objectlves and Activltles
SORP rof•r•n¢•
Summary of the purposes of
the charity a8 8et out in its
goveming document
Summary of the main
activities in relation to those
purposes for the public
benefit, in particular. the
activilies, projeds or
services Identified In the
accounts.
Slatement confirmlng
whether the trustees have
had regard lo the guidance
issued by the Charity
Commis8lon on public
benefit
Para 1.17
PROVISION AND FUNDING OF CHARITABLE
SERVICES AND CAUSES TO THOSE IN
NEED IN BANGLADESH AND THE REST OF
THE WORLD.
EDUCATION. TRAINING. ADVANCEMENT OF
HEALTH, PREVENTION OF POVERTY,
OVERSEAS AID, FAMINEIDISASTER RELIEF.
P8ra 1.17 •nd
1.19
TRUSTEES CONFIRM HAVING HAD
REGARD TO GUIDANCE ON PUBLIC
BENEFIT.
Addltlonal Infomiation (optlonal)
You ma
choose to include further statements where relevant aboLrt'.
SORP reference
P4ri 1.38
Pollcy on grant making
P•r• 1.38
Policy on 80cial investment
including program related
investment
Par• 1.38
Contribution made by
volunteers
Other

Achievements and Perforniance
1) PHASE 1 GRANT FUNDING
TOWARDS MASJID QUBA
CONSTRUCTION PROJECT.
2) GRANT FUNDING TOWARDS
CONSTrUCTION OF MASJID
MUHAMMAD.
3) IN A VAST AREA OF BANGLADESH
(NETROKONAI COMPROMISING OF
OVER 100 NEIGHBOURING
VILLAGES. THERE WERE 1CN)%
ILLITERACY THANKS TO THE
CHARITIES EFFORTS 100•A OF
SCHOOL AGE CHILDREN ARE IN
EDUCTAION AND SECURING
EMPLOYMENT.
4) MUIN WELFARE TRUST MAKES
EDUCTAION A PRIORITY AMONGST
ITS LONG-TERM DEVELOPMENT
BASED EFFORTS. PROGRAMMES
ARE AIMED AT BOTH ADULTS AND
CHILDREN AND INCLUDE BUILDING
AND EQUIPPING SCHOOLS,
OFFERRING LITERACY CWSES
AND TRAJNING TEACHERS.
5) MANY OF THE EDUCATION
PROJECTS TARGET IMPROVED
WOMEN AND YOUNG GIRLS
HELPING THEM BREAK FREE FROM
PROVERTY ANO ENSURING
STABILITY FOR GENERATIONS TO
COME.
Summary of the main
achievements of the charity,
identifying the difference the
charity's V￿rk has made to
the CArcumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20
Additional Infomiatlon (optlonal)
You ma
choose to include further statements vhlere relevant aboirt:
Achievements against
objective5 set
Para 1.41
performan￿ of fundraising
activities against objedives
sat
P¥0 1.41
Investment perfomian
against obJe¢trves
P*a 1.41
Other

Structure, Governance and Management
Description of tharity's
trusts:
Type of goveming document
AS PER TRUST DEED DATED 0710512007.
PArn 1.25
TRUST DEED.
How is the charity
constituted?
P*a 1.25
TRUST DEED DATED 0710512007,
REGISTERED VJITH THE CHARITIES
COMMISSION.
Trustee selection methods
including details of any
constitutional provisions e.g.
election to post or name of
any person or bc#Jy entit
to appoint one or more
trustees
P8ra 1.25
Addltlonal Infom)atlon (optlonal)
You ma
choose to include further statements where relevant about:
Poliues and prO￿dureS
adopted for the indudion
and training of trustees
Parn 1.51
The tharity's organisational
Structu￿ and any wider
network with which the
charity v￿rkS
P¥• 1.51
Relationship with any related
parties
P¥a 1.51
Reference and Administrative details
Charit
name
Cxher name the cha
uses
Re
istered cha
number
Charity's principal address
MUIN VELFARE TRUST
NOT APPLICABLE
1127233
30 FERNLEY ROAD
BIRMINGHAM
B113NS

Financial Review
Review of the charity's
financial position at the end
ofthe
eriod
Statement explaining the
policy for holding reserves
statin
wh the are held
Amount of reserves held
Reasons for holding zero
reseNes
Details of fund materially in
deficit
Explanation of any
un￿rtaIntieS about the
charity ￿ntInuing as a going
concem
Pwa 1.21
£68.803 CASH 8ALANCE AS AT 3110312024.
Para 1.22
TO FUND ONGOINBG AND NEW PROJECTS.
P•r• 1.22
Para 1.22
£94.786 RESERVES HELD AS AT 31103r2024.
Poro 1.24
Pwa 1.23
Addftlonal Infomiation (optional)
You ma
choose to include further ststements where relevant about:
The tharity's principal
sources of funds (indudiTrJ
any fundraising)
Para 1.47
Investrnent policy and
objectives including any
social investrnent ￿lIcY
adopted
Paro 1.46
A description of the principal
risks facing the charity
Para 1.46
Other

Names of the charity trustees who manage the charity
Datss •¢t¢d if notforwhol•
ear
Trusts& n8mg
Offlcfr Ilf any)
CHAIRMAN
Nam• of pèrson lor body) ontltled
olnttrustsfr
GULAM RABBANI
AHMED OMER
SECRETARY
ZAHEER
MAHMOOD
TREASURER
10
12
13
14
15
16
17
18
19
20
orate trustees- names of the directors at the date the re
D1￿Ctor name
ortwasa
roved
Name of trustees hokling title to property belonging to the charrty
TruBtee name
Dates acled If not fwwhde

Funds held as custodian trustees on behalf of others
Dèscription of the assets
held in this capacity
Name and objects of the
charity on whose behalf the
assets are h8ld and how this
falls within the custodian
charity's objects
Details of arrangements for
safe custody and
segregation of such assets
from the charity's own
assets
Additional information (optional)
Names and addresses of advisers (Optional information
Type of
Name
Address
adviser
Name of chief executive or names of senior staff members (Optlonal Infomiatlon)
Exemptions from disclosure
Reason for non4isclosure of ke
ersonnel d8taits
Other o
tional information

Declarations
The trustees declare that they have approved the trustees. report above.
Signed on behalf of the charity's trustees
Slgnature(s)
Full namo(s)
Position (eg Secretary.
Chair. etc
Date
OS-oi-