Charfty Numbar. 1129284
England and Wales
Tru8ts0'8 Report and Flnanclal Statsm•nts
For th• P•rlod End•d 30 Aprfl ?024

ZIA UL ULOOM
ort and Accounts
Conta
Page
Charfty Infomiallon
Trustees. report
4-6
Indèpendent oxamlnorfs roport to tha Trustees
Flnanclal Statements
Balanca Sheet
Notes to the accounts
10.14
P¥Jo 2

ZIA UL ULOOM
Chari
Infomiatlon for
rlod ended
30 A rfl .2024
Trugtee*:
Qarl Mohammad Ashraf SIALVI Ichalrman)
Ghulam Yousaf QURESHI ITruste•l
Waslm AKRAM ITruste•}
Mohamad Saleem KHAWAJA (Trustse)
Haarls Mu8lafa Sialvl (Trusteo appolntod 13.10.2024}
Mohammad SIDDIQUE (Trusteel
S4JJad-Azam CHOUDRY ITrusteo)
Qlsar Noor ul ZAAIAN ITruito91
Hafiz Muh•mmad AKRAM ITru¥to•)
Prlncipal bankers:
Unlty Trust Bank
London
Bu81nes8 Addr088:
S Stanley Av•nue
WEMBLEY
Mlddle8•X
HAO 4JA
Charlty Numbor:
11292•4
England and Wal••
Accountsnta:
8 M Q Accountancy and Man•gernent Consuttancy Ltd
Crown House4uft• 702. North Clrculai Road
London NW10 7PN
Pw3

ZIA UL ULOOM
Trugtees Annual Re
tructu
Governancé & Mana
émont
The ZIA UL ULOOM as charity was irtorporalfyj on 23 Aprll 2CN)9
and is govèmed by Chanty Constitution. It is also a regi8twed charity, rm). 112W284
anlsatlonal Struclurn
The charity tru8ts88 arn resFonsit4e for thts Strategic managemerf of the ¢tharty. The Chalmian
18 responsible for ts implementotM of P￿n8 and nmnlng of
tha charity.
REFERENCE AND ADMINISTRATIVE DETAILS: Regi8t8r•d charity n*
ZIA UL ULOOM Charty regislr81iw number 1129284 Pri￿1paI offi¢e'.
6 St*nl•y Av•nu•. Wfjmbloyi Mlddl•8•x HAO 4IA
QaTi Mohammad Ashraf SLALN
Ghulsm You8al QURESHI
Waslm AKRAM
Mohamad Saleem KfrL4WAJA
Haaiis Muslafa Sialvl
Mohammad SIDDIQUE
SaSl8d-Azam CHOUDRY
Qisar Noor ul ZAMAN
Hafiz Muhamm•d AKFW
Accountant
S M Q Accountancy & Management Con8ullw Llmlt•d
Crown House, Narth Clr¢ular Road, Lon
NW10 7PN
GOVERNANCE AND MANAGEMEirr OBJECTIVES ANO ACTMnE8
81ru¢tur•. g¢Mmanc• and m•n•g•m•nt Stru¢fvr•
The ZIA UL ULOOM charlty was reg18tered M 23 Aprll 2009
gov•m•d by Conilitution
11 to adv8n¢e the Islamlc rdloion, arKI in part￿¥.1$19￿￿C Ed￿1
amongst adult Muslims in the Unlled Kingdryn..
2} to advance education amongst adult Muslim st￿nts.
Whether from the United lQ'ngdom or d8ev#here:
3110 relieve poverty amongst Muslims In the Unlted larfjdom
and out of Iho United Kingd<Mn and in wbAlar, but w1￿￿ul
Ilmltlng the fwolng.,
4110 advance In1Sf$ young Muslim Fwple through.,
Al the YO￿$10n of recreational and leisure timg activibe8
provlded in the interest of S￿la1 welfare, dgsigned lo impro%*
thelr conditson of lrfe" Bl providing support and activrties. whlch
develop their Skills. caPa￿tieS and e4pabililies lo enablo them
lo participate In souety as mature and responsible i￿lividual8.
Rt8k M&nag•m•nt
The tru8lee8 have a88e8sed thg rnai￿ risks to whth (tsity18 ex￿sed to and are
satisfied th81 systems are in to mibgate exposure to the88 risks.

ZIAULU
OOM
Advanc8m9nl ol fAIth
hatw• do:
General Charltable PurpoM8
Rellglou8 Acti￿088
Othar Charltablg Purrrf)Je8
Th1• h dan• through:
Make8 Grants To IndiNlduo16
PrO￿deS S￿ce
Cxher Ch*ltable AcUvllle8
Tho perlod of 2023r24 ha8 boon an owrtlul fLY la Ul Uloom.
Th8rg has beon a 81gftlficant d80 In attend0￿ at the Matsjld oThI more donollsTh ￿ a I>￿18.
Péopla ar• paylng mLKh mty8 Intwelt In the Malkl'j opwall¢Th.
Th8 Tru8tw In8t8lled a devlce to hdp attend888 d￿r8 to make cwd paymMt8 In th• ab8fjn￿ ol
Maslld per80nnel. At an In8ts1Iati￿ 8fKI devi￿ cost of £325.00 on a montNy sUb￿￿P￿ of £15.ly).
The Hlbabox hag helpad ra18e of £1900.00 In donations 8irte h'8 in¥talla1l￿.
At 8n hourly wage of £11.44 on a 35 hour a week contracl.
Some of the funds ral88d were Hamjw Moryque lo￿512024 t2242 and c￿￿0VID0d
Mosqua 2410512024 £1050.00
During eady 2024 8 foundlrKJ Trustee irf the ￿lty r061fv dug to old and hgglih condluons.
Welcoming the new Mayor of Brert and awardlng the fom*r Tnth Abdul A2iz Ahmad for hls tlreless
•fforts for the Trust. The dlnnw event was at the Maslld 05 Stan* Ave. London HAO 4JA on 2611012024.
The event was 8 succ￿3 and by thg Dunya NewB channel. It risod an awwen888 of the
Masjld and th6 work the Z48 Ul Uloom TNSI is doiTrJ In thè wea.
on
•arl• Sla
Trustees agreed to lake on another young Injstse Haarfs Slthl to ass18t the growth ol Iho
Trust and Ma8wd op8rntlon8 meetiThJ dat8d 13110r2024

ZIA UL ULOOM
Financial Overview
Rgserves pollcy
The Irustses have sel a reseThes policy of £1.600
For the year er¥Jod 30th Wil 2024 the ZIA UL ULOOM had 8 surplus of £68,26912022.23 £6,851).
The charitys financial position strengthened over last year as trustees and management relained their
commitment over the scnJtiny of costs and careful selection of focused woiects.
Prlncipal fundlno source
The majority of funds arg ralsed through grant a01cati￿. an area that th& trustees arg koen
to develw further.
8asures In
lace
The trustees have pul in place key outcomes and outputs for vA)ich funds are to bè used.
All the funds are u¥ed lo lurther the charity's ob￿cts.
Flnanclal manaaement poll¢y
The financi81 managemonl is managgd by the tN519os and staff who en8ure that lh8 charhy
adheres lo Its flnanclal pollcy and Pr￿￿￿18$.
Approv•d by the tru•1￿8 on 22nd F•bru•ry 2025 and ￿gn•d on th•lr b•halfr.
Qarl Mohammad A•hraf SIALVI {ChalmMnl
Page 6

Inde
gndent e
ZIA UL ULOOM
mlne
ort
Tn￿te•S of
I rgW( on tha accourts ofth8 charity forthe Jpar erKled 30th Awil 2024, vthlch are 801 tyJt
on page$ 9 to14.
Respactive res[￿sIbIl￿a8 of trustee8 arKI exOr￿n￿r
The charity's tru8ts8s are re8pon8lble for the Weparati￿ of the acc(wnt8. Tho ch8rlty8 tfU8to88
conslder that an audit 1$ ￿t required under s*Son 144121 of th8 Charits8 PJA 2011
(the 2011 Act) and that 8n independent examination 15 ngeded.
It 1$ my r88r*)n8lbllty.
a) Examlna the accounts (undor 8adon 145 01th8 2011
b) To folh)w the pro¢edure8 lald dovm In the Generd Dirocl1o￿ by Iho Charlty
Commlssloner¥ lunder $8¢tlon 14515Xb) ol thè 2011 Act):
c) To State whathfjr partlcular mattern ha￿ Lyxno lo my
ndents
xamln
My examination was carried out in accordance wtth tho Gwwal DlroctionB gr4wn by
Ch9rlty Commi881oner8. An examlnation Includes 8 rev1￿ of th8 acc￿ntIng r￿rdS kapt by
the chartty and a compart¥on of thè accounts presented wlth those rncord8. It also includ81
con8lderatlon of any unusual items or dlsciosur98 In the amnts, 8rn188gklng explanatl¢)n8
from you 98 tru8tses concamlng any suth matters. The wcLYdures un(lertaken do not provide
all tho gvldenc8 that W•￿uld be rewired In an aLKIIt. aTrJ consequenly I do not 8xpr888 an 8udtt
oplnlcffl on th8 v16w glv•n by the M￿nts.
Ind
In Gonne¢tlon wlth my frxamlngfjon. rKJ matter h88 Como to my altantm￿.
111 Whlch glv88 ma rg88onable w8e to bo11ov8 that In ony m8tsrid resp* the raqulrements:
a) lo keep accountlng rgoord8 In acconlanee wllh 8eLdon 140 of tha 2011 knt.. and b} to
prepare gc¢ounts whl¢h accord vAlh the attountSng rK(*d8 and CoM￿Y tha occounllng
r•quIreM￿ts ofth• 2011 Acl not boon n*t', ¢Y
{2) To whlch. In my OF4nlon, attonlim 6trthld be drawryi In ￿der to enable a prop•r Und￿¥¢a￿dIng
ofthe accounts lo be reatt￿.
S M Q Accountancy #nd Management Consultarry Ltd
Crown House-sulte 702, North ClrvJlw Ro*J, London NW10 7PN
Dats: 22nd F•bru•ry 2025
P407

ZIA UL ULOOM
Statement of financlal actlvltles for the YIE 30
ril .2024
Total
•d 2023124
Total
2022123
Unrestrl¢ted R•strl
INCOMIN
RESOURC
Grants and Logacles:
Donations
Others
Total Incomlng Rè¥ourco3
65.694
65,694
74.676
88,194
8.194
RE
Costs of generating funds..
7.300
12,020
Charftsble actlvitles:
8,427
8,427
51,400
Govemance costs..
4.198
4,198
4,405
PEN
19,925
19,92S
67.825
NET INCOMINGIIOUTGOINGI RESOURCES
68.269
68.269
6,851
Total fund• brought farw•fd
18,848
154.641
147,790
TOTAL FUNDS CARRIED FORWARD
87.117
222,910
154,641
Pw8

ZIA UL ULOOM
BALANCE SHEET
30
2023124 2022123
TANG18LE FIXED ASSETS
L8nd
Buikling
350,1MX)
350,000
141000
491 000
CURRENT ASSETS
Debtors
Cash at bank al￿ In h*KI
15,832
CURRENT LIABiullE8
Credit￿S
NET CURRENT A83ETS
352.$41
265.090
352.191
336.3S9
Total CuTh•nt A•••t• l••• Curr•Tht Ll•bllltl
222,910
154,841
RESERVE8
Income and EXp8ndIt￿ 8cc¢yJnt
222,910
154,841
M•mborn' Fund8
222,910
154.641
These accounts have be8n dolivered In accordarth ¥Ath t￿
ap￿ICable lo ¢ompanl88 suW8ct to Sm￿1 Compa￿08 r•glmè.
For the yoar ending 30A)412024 th8 company was enthl8d to ex￿ from
gudll undgr sectlon 477121 of Companiw 2(M)6.
The members h8v• not required the company to ¢A*aln an audll In
wllh 80Ctlon 476 of the Ccrfnpanl88 Act 2(K6.
The dlrectOf$ 8cknowl8dge thdr r08pMslblllty for ccthptylng vAth tt
requlr8ments of the Companigs A￿ 2CW wlth f8$F￿ to acctsJnUryJ rec￿d*
th• wapar9ll¢￿ ol oe&ounts.
Qarf Mohammad A•hraf SIALVI {ChalmMnl
Approved by the board ¢)n 22nd F•bNary 2025

ZIA UL
LOOM
Not88 to the Flnanclal Ststements
For tho YIE 30 Aprll .2024
ndn
Ba815 of pr•parfng thg flnanclal •tat•m•nts
The financial statements of the charty, vthich 15 a W￿le benefit enuty under FRS 102,
have been propared In aC￿rdance vAth the Charltigs SORP IFRS 102)'Ac¢ounling arKI Rowttng by
Charitses:
Slatom&tt of ReComM8nd￿ Praclke aOlcai48 to ch8rft188 Fryjaring Iheir xcounts In acGordaf
wtth tha Flnanclal Reporting StsrKlard appllcoble In tho UK and R•wtAic of Irdand IFRS 102)
leffectlve 1 Jonuary 20151,,
Flnandal Repryung Standard 102 Th• Finand•l Roportlng Standard gppllc8t48 In the UK and
Republlc ofiraland. and the Charfitigs Act 2011. Thg flnarKtal 8talenwts hava bean prepared under
tha hlstorical cost convenuon.
Thg charity has lakgn advantage of th8 folkn￿r￿ disclcwrg exompb'on$ in preparing ttr*se financtal
8talements, as pennltted by FRS 102 Tr Fln8rthl Rwrung Stsndwd applicable in thg UK and
Republ1¢ oflreland.:
tho reqLtlrements of Section 7 Statement of Cash Flo￿.
the requlfftmenl ol Sectlon 3 Financial Stslemenl Pr85enlalion paragraph 3.17ld}.'
tho requirements ol Sedon 11 Financial In5trumonts par8gr8rts 11.41lb). 11.41lcl, 11.41{0}, 11.41{fj,
11.42, 11.44, 11.45, 11.47, 11.481aMIII). 11.48(aXlv). 11.48lbl and 11.48lc}'.
the roqulrsm8nts ol Sectlon 12 Olhor Fin￿￿101 Instr￿n￿ts p8r8grath 12.26, 12.27, 12.29lal, 12.29
{bl and 12.29A.' the r¢qulremonl of se￿1￿ 33 Rdated Party Dittclosurn paragraph 33.7.
Crltl¢•l •ccountlng Judg•m•nt• and k•y wircM ot e•tlm•tlon un¢•rtalnty
Therg no 8lgnltrl¢gnt estlm8te8 having 8 material offfjct ￿ the ftnandal Jtstements.
In•om•
All income18 reeognls8d In the Statement of Flnanclal Aelimbes oncg thè chanty hBs 8nts'llgmenl to
the fund$. tt18 probabl8 that the I￿oM0 wtll be TgCOlved and Ihe ￿OUnt can ￿ m•88ur•d rdiably.
Donitlonl
This compris88 all incoming rasouffjes from donayons, grants of general naturn IXty#lded by othor
chadlablo foundallons which 8re not condibonal on dellverfng certaln levels of volumgs of a 8eNlce or
Supply ol charftablo goods and Incom• from fvndrai8iTrJ parkners on ￿ ba$18 of that whlch IB remltted
lo ZIA UL ULOOM In tho Unltod KIn￿rn.
Expendlture
LlabllSties 8rg recognised 88 èxperKliture as os tr￿re Is a IW or I>￿truth¥*
obligatson cotnmltting the charity to
that ￿PendIture, ￿ Is probable that a trar*f8r of eeonomlc benèffts *rfll be rerylred In 88ttlement and t
amount of the obligatlon can ￿ m9asured rellabty. Expwwjtture is accounted for on an 8ccruat8 ba818
gnd has bean Classif￿ urKler headlngs that aggregate 811 c08t re19ted lo tha category. Wh8r• costs
cannot bg dlreclly attributsd to parbcular hewjlry thoy have been allocalod to aG￿tI95 on a ba81¥
consl8t8nt u89 of reBour¢os.
Grants offored subject lo coTrJitiorts whlch havg rx)t been met at the year eThJ date are noted as
commltment but r¥)t acrnied • exp*MJiturg.
p￿10

Raislng fund¥
Raising funds includes all exp8ndlhJre intufred by th8 charity to ra18e lunds for its ch8rilaEAe pury>oses
and includaB Costs of all fundr818lng ac1￿8￿, events and r￿l-charItabl¢ trading.
Charttable activltl•s
Charllable expenditure comwtses Ihose costs Ir￿Urr0d ty tho dwity in th8 d8ll¥wy of ils activitbes and
them. s8￿CeS for its benelkiari88. tt indudes both costs that Gan b8 allocated directy to such advrtles
ond Ihose c08ts of an indlrect na￿re n8ce6W to 8UFWt
Govemanc• ¢ost8
Govarnance costs include those incurred ir7 the govemance of the Charity and its assets and are
prlmarlly associated wlth m89tirvJ th8 C(wtstst￿nal and sta￿tOry rnqulrements d tho Chty.
Allo￿tIOn and apportlonmont of eo•t•
Support costs include Central functi￿S and have b8en 811(xat&J lo acliwty cost Categories usage.
on a basis conslstelll with the use of rgsouTC8S, fr)r example. alkcalion property costs by flotsr areas,
or per capitsl. stèff ¢08ts by lh8 time 8F*nt and otsr Gosts by th6lr
Tanglble Ilx•d •#ut•
Fixed assèts are included al cost. Iteff￿ are ￿pitaliSed Sf th84f ¢OSt or, rf gifted their donated value, is
ov$r £1,IXK). Depr￿latiOn18 provkled on tanglble flxed assets 80 88 to wrtte off the ¢OSt or valuatlon.
1888 any 8$llmate(I re8ldu81 value, over th8ir oxpbcted u8eful •¢w￿MIC lrfe a$ fdlows:
Offke equlpmenl 25% strai•ht Iln8 bas
T•x•tk*n
The charfly18 •xempl frlyn lax on Its char1t￿O actlvltlas.
Fund
Unrestricted funds can be used in acoydance wllh the Ctrwttal￿e obJ8¢tlv88 at the di8cretion of thè
Iru8teg8. Re8trlcted fund• can orty r8strlcled wrpD888 vAthln the obJ8(ts of the
charity.
Re8lrfdons arf80 when $p8dfi8d by the dO￿ri￿ fund8 are ra18eAd for paruwlw restslthl
purposes. Further explanation of th8 naluro wrpo88 ol each furKI18 Includod in notès to the
flnanclal 81alements.
Golng Co￿•M
Th8 Bo8rd of Trustees havg T￿eWed the Charty# ftnanc181 reqLFlrem8nts for a pèrfod of 12 months
followlng th• date of aPPToval of these accounts and are Mtisffiod that there are rK> materf81 uncertalntlo8
about the ch8rfVs ablllty lo contlnue,th•r•fry• Itk* ChorfV8 t*lll operate At a (xxittnufAI
adequate18val of Bu￿luS In the futur•.
Flnanclal Instrum8nt¥
The ¢h8Niy only has flnandal ess81s arKI flnanclal Ilabllillos of a khj that qu8lNy as b881¢ fina￿181
In8truments. Ba810 fln8nclal 1rnl1um￿1J are initi4ly r•cogi¥sed at trarwctSon v8Fu•.
Dopr•¢latlon
D9preclatlon has bagn prO￿ded at the follo￿￿r￿j Tat88 In ￿ to wrfta off Ih
888els over Ihdr estlmated useful IN8$.
Land and Bulldlngs apportioned on the basis of at 70% laThl arKI 30% Bulldlng.
Buildlng element depreclated ovèr 2% p.a ovw a pth of 50 yews.
Fixtures&FrttOng1Snc.Computets)
Plant and ma¢hinery
Motor vehlde8
25% on ccot
25% on cost
25% on cost
Pwa 11

ZIA UL ULOOM
2. Incoml
urc08
2023124
2022123
Donation
Building Project Donations
65,694
22,$00
51.676
23,000
88.194
74.676
ZIA
L ULOOM
2023124
2022123
Donallon
Funrai8ing Cost
Busin8ss Rates
Insurance
Satff Salary
Professional Fee
8uilding Purchase
Repair and M8lnl
Utility Cost
Bank Charges
AccounlanGy
Depro￿allon
1.400
1,060
1,411
1,350
1.629
7,300
4,779
so,000
3,418
1,816
191
750
3,000
67,825
500
5.448
348
300
3.000
19,87S
Page 12

IAUL
Notes to tho Flnanclal Stat•monts
For tha YIE 30 Aprll .2024
Total
Openlru Bdance
as at 01 May ￿)23
1￿.0(￿1 350.IJ)0 gJO.(KKI
Addltlon
DIspo881
Closlng Baler￿1
88 at 30 Aprtl'2024
150,0(M)
350,(￿ 500.000
Openlng Balancé
0$ al 01 May'2023
Ch8rgeJ for tho Year
3,000
DI8POgal
C1061ng Balance
88 at 30 Aprfl '2024
12.oc
12,000
N•t book valu•
138.000
350,000
488,000
P4•13

UL ULOOM
Notos to the Flnanclal Statsm?nts
For th8 YIE 30 Aprll .2024
amounts falllng du• wlthln on• y•ar
Accountw Fea
Bulldlng
Deprec4allon
2023124 2012123
2,191
350,CQO
349,241
£352 541
£352.191
W8g86 #nd Sal8rf88
PAYE
7.300
18.158
P4• 14