Charlty numb8r. 1127233
Muln Welfaré Trust
Report oftho Trustees and Unaudlted Fin8nclal Statements
For thé year ended 31 Marth 2025

Muin Weltare Trust
Contents Page
Forlhe 5Ear ended 31 March 2025
Sto8

Muln Welfare Trust
Report of the Trustees
For Ihe year ended 31 March 2025
The Tru8leos have ple￿1• In presonting thok the f￿a￿d atht￿ts kn tr* dbarity tr th• y•ar and￿ 31
Sta¢ement of
Reo)mm•r*Sèd Pradlce aFWthbte to ¢*arfUes w•parir#J tsir in acc(¥dabTh *71h thg FThndal Roptittftg Standard
appI1¢a￿e h Ihe UK and fv Repubk of Wnd (FRS 10211•110th 1 thjary 20191.
OBJECTIVES AND ACTMTIES
OblocUv•• and
Th8 trust•e$ hove Con￿d￿•￿ th• Chartty Ccffithim'j pubk be￿ra, hthllng th• wJhJ•rK• ￿bI￿ bgngfft..
runnlng a charity {P82Y.
REFERENce AND AOMWISTRATIVE INFORPAATION
N•m• olCh•rlty
Charfty r•W•tr*llon Trurnb•r
Prfn¢lpal addr•
W•War• Tr￿t
1127233
30 Fem* Road
8trmlThJham
8113NS
Tru•l•
Th• tnt•tO•8 8nd offlc•rn <lurtsy 8WK• th• y•w ww• •• fol￿>￿..
Ind•p•nd•nt •x•rnln•r•
H••th
88 2NG
Appro¥•d by th• Board olTvJ8I￿ •nd *n•d on tt# IW
16Mty2025
Gulum R•tè•nl
1of9

Muin Welfare Trust
Independent Examiners Report to the Trustees
For the year ended 31 March 2025
I rewrt to the tsusleeB on my examlnalon ofth8 accoun18 of th• eharfty fortha y8ar•ndtd 31 2025.
Re•poMlbllltb•• and b￿* ol r¢port
AS the th&rlty tru8laè¥. you •re reBpon¥lble for Ihe preparathjn of th• 8eeount8 In ac&ifdanc• wlth the requlr¥meTrts of the
Charftles Acl 20111'the 2011 Acri.
I f•PDrt In respect of my examlnAthM of th& charfV8 a¢￿unt¥ carrfed out under Sec￿e￿ 145 of Iho 2011 Act and In carrylng
out my 8xamln8tbn I hav• fo(low•d OU a￿lIcabl9 Dlre¢tion8 given by the Charlty Cornrn1581on under 38Ctbn 14515llbl of
th• ACL
Indep•ndpnt•x•mln•r• •t41om•nl
I have complotod my ox•mlnatlon. l eonfflrm that Tr) rn011or8 have Gom? to my attonllon In connactlon wllh thg gxamlnolbn
g￿n9 me caus• to thal In any materfal r88pect'.
1. acctsjn￿ft9 r￿[th ￿re not kepl In r0Woftho Chartty 88 rnqulred by ￿e￿on 130 oftho 2011 Act: or
2. the aceounti do not accord wllh tho88 word$'. or
3. Ihg ￿￿OUnt8 do nol comply wth the applleabltr regulr•m•nt$ eon¢emlng lh¥ forn and content of 4CL))unts out In Ihe
Cha￿10$ IAccount$ a￿1 Report61 RegulalJon8 2008 oth•r than any mqu1￿Ment Ihat Ihe accounts glv• a'lnja and lalr vl•vt
whlth li not • m•tt*r ¢on8ldered aw pwi of•n kndependmt •xamlnatlon.
I havo no concemB and hav• eomo 8cr088 no oth8r matlor8 In eonnodion wlth the examlnallon lo*hlch all•nllon thould ty•
drawn In Ihl¥ report In ord•r to •nable a propor und•rntandlng ol th• a¢¢ounl8 to be reachad.
J•*okl Y•kooty FCA184627071
Slgma Chart•r•d Ac¢ount¥nts
882W Wa¥hwaod Heath Road
W•8hwood H•ath
Blmlngharn
B8 2NG
16 May 2025
2of9

Muln Welfare Trust
Statement of Financial Activities
For the year ended 31 March 2025
Note$
Unrnstrlcted
fund8
2024
Incorne and endo4￿￿¢￿￿ fwom:
Don8th)ns and leg8¢i?s
Total
102.880
102,880
95,061
95.061
Ex￿ndIt￿le on:
Chorltabjo acbwll88
Total
314
I￿.720)
1109.7011
1109,701}
N¢t In¢omelexpondltt
Ro¢on¢lllatlon of fvnd8
Totsl funds brought fo￿a￿d
Total tsnds c8rrf¢d forward
7,1eo
1146401
94,876
102.036
109,516
94.876
3of9

M￿n Welfare Trust
Statement of Financial Posilion
As at 31 March 2025
2025
Flx¢d as••ts
Tanglble assets
178
358
178
CurT•nt assets
Debto
Cash at bank and kn
10
39.480
81.271
120.751
118.8931
43,908
68.803
112.711
118.1931
11
N•t ¢urY•nt ass•ts
lo1￿58
102.036
¥S18
94876
Total I?￿ current llablllll••
101036
94876
Tho fund$ oflh• ¢harlty
Unre51rided income funds
12
102.036
94.878
94,876
Total funds
101036
The finamal $18t•rt￿￿ wqTr apwo¥•l ond aullK*wd ts 1s5￿ ty the Bwd spy*d on ils tehal by..
Guiam Rabbanl
TTrJstse
16 Pkny 2025
4of9

Muin Welfaré Trust
Notes to the Financial Statements
For Ihe ￿ar ended 31 March 2025
1. Accwnllnty P•ttd
B•sh ofv¢ountlno
The flnan¢ial statsmont8 have bgen prepar8d under Ihe h16toilcal co$t ￿nVen￿On, except lor Irwestments whleh arg
Inc1￿1#d al mark81 value and tha revalualk)n ol certain assets and in accordance bwlh th¢ Charloes SORP IFRS
1021'Accounting and Reporting by Ch&riltes.' St8temeni of R8comrnend8d Prac￿CO oppllcable to chaiitva$ preparfng th8*
acu)unts In ax¥)rdanea with Ihe Flnanclal Rew>rting Standard appkncal)1o in the UK and Rapublic of Ir•knd IFRS 1021
leff8th8 1 Jthnuary 20191,, Anbndal Reportlng Standard 102 the Fln8nclal Rèportlng Slandlrd oppJir*ble In Ihe UK ond
Rwbllc of IrelaThJ IFRS 1021. and tho Charfttos Act 2011.
Muln Welfare Trust moots the defln6tk)n ol* publlc kenafil 8ntlly under FRS 102. Assets and I1&bI￿￿O9 am I￿1￿llY
n¢Bed at h18torical ¢￿t or tran8adon value unle88 otherw1* ilaled kn lh• MIMnt account+w polky not81s1.
Golng ¢on¢•m
In pr•paring the8fr flnanclal stat•ments gen•arfly Ace•pted a¢xountlng practlce requlrés thai tho trustees preparg
financ￿1 i*tomgnt8 on t￿ golng concern basls unl9$¥ It lTrapweprfat8 to wosume that th• chartty wlll contlnuo
actfvth$.
I Incom• from donallgn• and l•o1¢1•8
2028
2024
Unr••trlct•d lund•
Donatton$ mcolved
85.158
17,722
75,372
19.889
Sub8erfpUon• r¢Mlv•d
102,880
95.001
3. Co•t• of ¢h4rft•bh •¢tlvlU•B by fund typ•
2026
Unr•*trI¢t￿ fund•
Projgct C08ts
&Jpport ¢ts411
90.228
S.494
90.523
19,178
109.701
4. Coit• ol¢hir114bl• •ctlvlll81 by acti￿ty ty
Actlvl¢t••
ndortak•n
dlro¢tly
8upp¢>rt
¢o•ts
202$
8upport cojts
Prol•ct Costs
90226
5.494
95,720
109.701
5of9

Muin Welfare Tr￿l
Notes to the Financial Statements Continued
For the yew ended 31 March 2025
S. Anal￿￿ of 8UPPOrt costs
2026
2024
Proloct Casts
Mano98n*nl
15.480
3.698
Sh94
19.178
N•t In¢om•ll•wndliur•l fvr th• yw
Thts h 8t4*d aft•r tharglntylu•d*hYJ}:
2024
A¢￿￿nlar￿Y lee•
1.928
7. $¢•ff ¢o•ts and •molum•nl•
To¢•1 8t•ff for th• y•w•nd•d 31 M•rch 202Sw•:
2025
8nd wageB
15,300
2025
Admlnlstrthn
6of9

Muin Welfare Tn
Notes to the Finanoal Statements Continued
For the year ended 31 Marth 2025
9. T•nglble ••MIs
Planl and
Machlnery
c￿10T¥al￿al
At 01 Awl 2024
At 31 M8r¢h 2025
6298
Atol Aprfl 2024
Chargè for year
At 31 Marth 2025
0.120
Net book w4￿¢$
At 31 Marth 2025
178
At 31 Marth 2024
10. Debtors
2025
2024
0th8rdabto
43,9)8
39.4eo
43.908
11. Credltor8.' amounts fllling ￿1n on•y•ar
2025
2024
18.893
18.193
14893
18,193
11 Ilovenwnt In fvn
Unr•6trlcl¢d Futhls
Out9olni Balanc• al
3110312025
General
94.876
102080
195.7201
11r2.036
102m8
7rA9

Muln Welfare Trust
Notss to the Flnanclal Statements Contlnued
For the year ended 31 March 2025
UnMtrl¢t•d Fund8. Pr￿1￿* yè*r
Balance at
0110412023
IDcomlng
ource8
Outoolno
Bal•n¢• at
31103r1024
Gonernl
109.518
95.C¢1
1109,7011
94,87e
109.516
94081
I1￿.701}
94.070
Purpjw of unr••trfctsd Fund•
General
G•n•r81 Funth •rg unrnBtrfctod fund8 have not boon wm•rk•d and may bg u•¢<l gonorolly to furth•T th•
ch•rftl•• obJÉct•,
11 Analy818 ol n•1 *•••t* b•{￿0n fvDd•
Tlngibb N•t¢¥vff•
flx•d ••••ts
•••trts I
Net A•i•¢•
Unr•#trfet•d fvnd•
Ggngrnl
Ggneral
176
101.858
102,036
176
101.656
Pr•vlou• ymr
Tanglbl•
(l￿bIl￿1•MI
Unr••lrlctsd fvnd•
G•n•r81
Gonoral
94.518
94,878
94876
8of9

ML*n Wellare Trust
Detailed Statement of Financial Actswknes
For the year ended 31 Marth 2025
2025
2024
INCOME AND ENDOMIENT
Donatk>n8 and leg*GEes
Don8tk)ns
SubB¢rfptro
85.15B
17,722
75,372
19,6B9
102.880
95.061
Totsl Sn¢omlng wosourrn•
EXPENDITURE
Ch4rltablo actlvlyes
102x1
95,081
{9)2261
190.523}
190.22ffj1
(90.523)
8UPPORT COSTS
Manag•mont
Management
12.7301
115.480}
(2.7201
115A801
12.7641
I3.￿)
7841
{16981
1109.701)
Ngt In¢omo
7.160
1146401
9of9

CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From
0110412024
3110312025
Charity name: Muin Welfare Trust
Charity registration number: 1127233
Objectives and Activities
SORP referen
Para 1.17
Summary of the purposes of
the charity as set out in its
governing document
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.
Summary of the main
activities in relation lo those
purposès for the public
benefit, in particular, the
activities, projects or
services identified in the
accounts.
Statement confirming
whether the trustees have
had regard lo the guidance
issued by the Charity
Commission on public
benefit
Para 1.17and
Para 1.18
TRUSTEES CONFIRM HAVING HAD
REGARD TO GUIDANCE ON PUBLIC
BENEFIT.
Additional information (optional)
You ma
choose to include further statements where relevant about..
SORP reference
Par8 1.38
Policy on grant making
Para 1.38
Policy on social investment
including program related
investment
Para 1.38
Contribution made by
volunteers
Other

Achievements and Performance
1) PHASE 1 GRANT FUNDING
TOWARDS MASJID QUBA
CONSTRUCTION PROJECT.
2) GRANT FUNDING TOWARDS
CONSTRUCTION OF MASJID
MUHAMMAD.
31 IN A VAST AREA OF BANGLADESH
{NETROKONA) COMPROMISING OF
OVER 100 NEIGHBOURING
VILLAGES. THERE VERE 100%
ILLITERACY BUT THANKS TO THE
CHARITIES EFFORTS 100% OF
SCHOOL AGE CHILDREN ARE IN
EDUCTAION AND SECURING
EMPLOYMENT.
4) MUIN VELFARE TRUST MAKES
EDUCTAION A PRIORITY AMONGST
STS LONG-TERM DEVELOPMENT
BASED EFFORTS, PROGRAMMES
ARE AIMED AT BOTH ADULTS AND
CHILDREN AND INCLUDE BUILDING
AND EQUIPPING SCHOOLS.
OFFERRING LITERACY CLASSES
AND TRAINING TEACHERS.
5) MANY OF THE EDUCATION
PROJECTS TARGET IMPROVED
DMEN AND YOUNG GIRLS
HELPING THEM BREAK FREE FROM
PROVERTY AND ENSURING
STABILITY FOR GENERATIONS TO
COME.
Summary of the main
achievements of the Charity,
identifying the drffer8nce the
Charity's work has made to
the circumstances of its
beneficiaries and any wider
benefrts to society as a
whole.
P¥• 1.20
Addftlonal Infomiatlon (optlonal)
You ma
choose to include fvrther statements where relevant about:
Achiavements against
objectives set
Pw• 1.41
Perfo￿nanCe of fundraisiNJ
activities against obje￿iveS
set
Investment perfomiance
against objectives
other

Financial Review
Revlew of the diarity's
financial position at th8 end
of the
eriod
Statement explaining the
policy for holding reserves
statin
are held
Amount of reserves held
Paia 1.21
£150,073 CASH BALANCE A8 AT 31103r2025.
P?ra 1.22
TO FUND ONGOINBG AND NEW PROJECTS.
Parn 1.22
£196,912 RESERVES HELD AS AT
3110312025.
Reasons for holding zero
reserves
Details of fund materially in
deficil
Explanation of any
uncertaintFes about the
charity continuing as a going
concern
Parn 1.22
PAN 1.24
Para 1.23
Additional inforn)atlon (optional)
You ma
choose to indude further statements where relevant about:
The charlfy's principal
sources of funds (including
any fundraising)
Para 1.47
Investment policy and
objectives including any
social investment policy
adopted
Para 1.46
A description of the principal
risks facing the Charity
Para 1.46
Other

Structure, Governance and Management
Description of charity's
trusts..
Type of governing document
AS PER TRUST DEED DATED 0710512007.
Para 1.25
TRUST DEED.
How is the charity
constituted?
Para 1.25
TRUST DEED DATED 0710512007,
REGISTERED WTH THE CHARITIES
COMMISSION.
',Jrated
',ai!o.,
Trustee seleclion methods
including details of any
constitutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one or more
trustees
Para 1.25
Additional infomiation (optional)
You ma choose to include further statements where relevant about..
Policies and procedures
adopted for the induction
and training of Iruslees
Para 1.51
The charity's organisational
structure and any wider
network with which the
charity works
Para 1.51
Relationship with any relaled
parties
Para 1.51
Other
Reference and Administrative details
Charit
name
Other name the charit
uses
istered charit
number
Charity's principal address
MUIN WELFARE TRUST
NOT APPLICABLE
1127233
30 FERNLEY ROAD
BIRMINGHAM
B11 3NS

Names of the charity trustees who manage the charity
Trustee name
Dates acted if not for wholè
ear
Office lif anyl
Narne of person lor body) entitled
toa
oint trustee
ifan
GULAM RABBANI
CHAIRMAN
AHMED OMER
SECRETARY
ZAHEER
MAHMOOD
TREASURER
10
12
13
14
15
16
17
18
19
20
Cor
oralÈ trustees - names of Ihe directors al the date the re
Director name
ortwasa
roved
Name of trustees holding title to property belonging lo the charity
Trustee name
Dates acted Sf not for whole
ear

Funds held as custodian trustees on behalf of others
Description of the assets
held in this capacty
Name and objects of the
tharity on whose behalf the
assets are held 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
Addltlonal Inforniatlon {opdonal)
Namos and addres*•8 of advlsers (Optlonal Infomiatlon)
Type of
Nam•
Address
advlser
Nam• of chlef ex•¢ullv• or namu of senlor staff m8mb•rn (Optlonal Informatlon)
Exemptions from dlsclo8ure
Reason for non4i8cIo8ure of ke
rsonnel detalts
Other o
tional Inforniation

Declarations
The trustees declare that they have approved the trustses, report above.
Slgned on behalf of the charity's trustees
Signaturels)
Full namels)
Position (eg Secretary
Chair, etc)
GULAM RABBANI
CHAIRMAN
Dats
2810712025