Charity Number.. 1129284
England and Wales
ZIA UL ULOOM
Tru8t¢e's Report and Flnanclal Statsments
For the Perlod End￿ 30 Aprfl '2025

A UL ULOOM
rt and Accounts
Con
Page
Charlty Infomiatlon
Trustees. rnport
Independ•nt •xamlnefs r•port to tho Truste
Flnanclal Statomont•
Balance Shoot
Note• to tho accounts
10-14
P•)e 2

ZIA UL ULOOM
Charl
Inforniation for
rlod end•d
ril .2025
Trustees:
Qarl Mohammad Ayhraf SIALVI Ichalrnmnl
Ghulam Yousaf QURESHI ITrustse)
Haarls Mustafa Slalvl (Trustse)
lohanw¥wl SIDDIQUE (frust••l
Sajjadthtsm CHOUDRY (Tru•tse)
Qlsar Noor ul ZAMAN (Trusteel
Hafiz Muhammad AKRAM (Trn81oel
Prlnclpal bankers:
Unity Tru81 Ban1¢
Bu8ln•ss Addro88:
6 Stsnlty Av•nu•
WEM8LEY
MlddlM•x
HAO 4JA
Charlty Numb•r:
1129284
En9l•nd and W•1
Accounlants:
8 M Q Accountancy and Manag•m•nt Consuliancy Ltd
124 Clty Road
London EC1V 2NX

ZIA UL ULOOM
Trustees Annu
ort
Structur8 Governance & Mana
amant
Th8 ZIA UL ULOOM as charity was inccvporated on 23 April 2C*)9
and 18 gOV8r￿d by Charfty Constituth)n. It is also 8 registered ¢h8rity. M. 1129284
ani&￿10naI Structuro
The charity trustees are resp￿SIble forthe ¥tralegic Mana￿ of the charity. The Chaiman
18 resFOnsi￿8 for implemenl*on of plan8 arKI the day-ttrday runniry
thtr chanty
REFERENCE AND ADMINISTRATIVE DETAILS.. Registered charrty namg
ZIA UL ULOOM Charity registration nUrnt￿ 1129284 Pn"rripal offi¢o'.
6 Stanloy Awnue, W•mbl•y, PAlddl•••x 11A0 4UA
Qari Mohammad Ashraf SIALVI
Ghulam Yousaf QURESHI
Haan$ Mvstsf8 S￿1
Mohammad SIDDIQUE
Sallad-Azam CHOUDRY
Qlsar Noor ul ZAMAN
Haflz Muhwnmad AKRAM
Accountant
S M Q Accountancy & Managemont Con8ultanw Limited
124 Clty Road, London EC1V 2NX
¢30VERNANCE AND MANAGEMEKf OWECTIVES ANO ACTivmE8
8lruGtur•i 90￿M4￿cO and manag•m•nt SlnK¢ur•
The ZIA UL ULOOM ct• was r*stw¢d on 23 hwll 2009
govemod by Consltudon
11 to advance the Islamic rg11gion. and in particular, 18lamk Educ81Son
8mong818dull musli￿ in the United KlrKJdom:
21 to advance educalion *mong8t adult Muslim students.
Whether from the United Kingdom or elsththere.,
31 to rellevè poverty amngst Muslims in the United lQrwd(A
and out of the Unitsd Klngdom ar￿ in pwb'cule*, trArt wtlKyJt
Ilmhlng the foregolng..
4) to advsnce in life young Muslim p8r¢4* thwh;
A) the provlsion of recreational and leisure ￿11￿￿8&
provided in the interest of S¢xial welfaro. dèsigned lo impYo¥o
their condition of life", Bl providing Supr￿ and actiiilies, wthich
develop their 8ki118. capaGilies and capatsltlies lo enable them
to participate in 80ciety as molure and reSponsi￿e individuals.
R18k Man•g•m•nt
The trustees have 888esse(l the mah)r risks to vknich th• tharity18 8xp)8ed to are
8ati8fied th81 sy8lems in plxe to mtygte eypD8ur6 to th08e r18k8.

ZIA UL ULOOM
Advancer￿nt of fafth
What wo d
General Charltable PurFwxes
Religious Actlvllies
Other Charilable F>urpo8a8
Thls Is don• through:
akes Grants To Individual#
Provide5 Servtce8
Other Charitable Activitles
The period of2024f25 ha8 Imon an oventhil for la Ul Uloom.
th other charitses and OTganisation8 to bulld brldges and ￿InlY with charitiesl0rganisatic￿¥ %
8imilar goal8 and practiC88. ha8 res￿1$d in a broader undw8landing of thg challeng¢s face(1 by
chariles and way6 to overGom8 challerye8.
Looklng into matters of 8ecurity ond Safety vAthln wr c(ynmun￿88. A$ 8 r8sutt, awicabons haw b•en
made to the Home oifice for certain aOicatJlo 68W for the M08que Ilk• CCTV. Pan1¢ 8lami8
and Gate8. Sa*•lng th8 Charlty costs.
Fundraising w88 malnky focu88d on donatton8 after Frthy PTayw8 at V8riOU8 Mo8qu•s. Som new
don•r8 Aom• w•vlou# dor*T• ha¥• bo￿ 9errfr¢KA in thgir donations.
F(Ku8ed malnly ¢)n fundralslrwJ, thlrKJ alwKle otr￿r tywisat1or￿wM01 ￿ Imp￿￿n9 ttr
M08que premlse8 and operatlon8.

ZIA UL ULOOM
Flnancial Overview
Reserves pollcy
The trustees have set a reser￿ Wlcy L* £1.8
FOT the year 8nded 30th Apdl 2025 the ZIA UL ULOOM had a sw>lus of £77.17312023.24 £68.289).
The charitys financial po8111c￿ strengthened over last year as trustees and marwge￿n1 retained thwr
commitment over the scrutiny 01 costs and careful seiection of focused proieds.
Principal fundlno source
The majority offunds are Talsed 1hr￿gh gTrrrt awAlcatlon$. an wea that thè tru$tee8 are ka8n
to develop further.
Alèa
la
Tha truste88 hav8 Put in ￿8¢& koy ￿l¢ome8 and outwjts for Tththith fund8 are to b8 used.
JI the lunds #re u8ed to further the ch•ntl$ objecls.
Flnanclal manaAOmont pollcy
The flnancial management is managed by the tnth and staff that th¢ ¢ha
adhere8 10 Its flnanclal pollGy and pl￿edures.
Approv•d by th• tru•ts•• on 12th February 2026 and •lgn•d on th•lr b•h•ff:
Qarl Mohammad A•hrnf SIALVI {Ch•lrnwnl

Inde
ndont oxamin
ZIA UL ULOOM
ort to tho Trus
I rewt on the a¢￿inIS of the charrty for the year erKled 30th Pyil 2025. thtmch are set out
on page8 9 1014.
Respecllve responsibilibes of trustees arKI examiner
The chanty's trustees are responsible for the preparation ofthg accwrrts. The Cha￿ty¥ tWStegs
consider that an audit 18 not required urKler seclion 144(21 of the Chartyes Act 2011
{the 2011 Act) and that an inde￿r￿lent examination is r*ed8d.
It Is my responsibllity.
a) Examine the accounts lu￿1￿ secllon 145 ofthe 2011 Art
b) To follthy the pn)cedures laid down in the Ger*rnl thre¢lv)ns gi￿ by the Charity
Commissioners lunder section 14515llbl of the 2011 Act),
c) To 8ts10 thether particular mattorn have come to my attantion.
Basls of Inde
nden
miners Re
orL"
My examination wa5 carried out in aecordance with the Gwal Dlrecti(m8 given by tho
Charity Commissioners. An examinati￿ indudes a rev68w of the accounkn.ng ￿ordS kept by
the chanty and a comparison of the accounts pre8ented with those records. 11 al80 indude8
consid8rats.on of any unusual items or disclosures in the accounts, and seekiryj explanalionj
from you as trustees cone•ming any such matters. Tr pr￿edureS undertaken do not provide
all the evidence that Voruld be requir&1 in an audit. and consequentty I do not expres$ an audrt
oynion on thè vitiw given by the
mln
In connection wlth my exanwr)alkn. r•) matter h88 lo my attentK)n.'
111 Which glv•i me r888onable Cau￿ to beliove that In any mth81 respect the rthwiremonts..
al to keep accounting record# in accordance wrth section 140 of the 2011 Act." and b) to
prepare accounts vthich accord ￿ the accounts.ng Tgcord8 and comply with th8 accounung
roquirements ol the 2011 Act havo not been mat: or
{21 To v*l¢h, h my opinion, •ttwrtion 8hwkl b• dmm in order to enable a wopw uThJ8rstandlThJ
of the accounts to be reached.
S M Q Accounkny 8fKI Managem&rt C￿91￿8nCY Ltd
124 City Road, Lorthn EC1V2NX
Dat•: 12th F•bruary 2026

ZIA UL ULOOM
latement of financlal activities for the y￿ 30 A ril .2025
Total
Total
CE
Grants and Legaci•s:
Donations
Others
Total Incomlng R•source•
102.085
102,085
65,694
116236
88.194
C08ts of generatlng fwKI8'.
4,820
4.820
7.300
Charftable actlvllle8.'
24,503
24,503
8,427
G￿rnanCe ￿ts..
4,198
38.082
062
19.926
NET INCOMINGI(oirfGOINGI RESOURCES
77,173
n,173
68,269
Total fvnds brought lorn•rd
87,117
221910
164,841
TOTAL FUNDS CARRIED FORWARD
300,083
222.910

ZIA UL ULOOM
BALANCE SHEET AS 30 A
ril .2025
2024126 2023124
TANGIBLE FIXED ASSETS
Land
Building
350,000
350,000
138 000
CURRENT ASSETS
Debtors
Cash al bank and in hand
1,144
69,480
3,000
84.451
CURREKf LIABIUTIES
Creditors
NET CURRENT ASSETS
255,541
184.917
352,541
265,090
Totsl ¢urr•nt A•••ts IM• Currnnt Ll*blll¢l•s
300.083
222,910
RESERVES
In￿me and EXp￿dll￿ acoxnt
300,083
222,910
M￿lbor$, Funds
300,083
222,910
These accounts have t¢on delivered In ￿dance the pro4rf8k)ni
appll¢8ble to companio8 subject to Small ¢cYnpanie8 regime.
For the year ending 30104rd025 the compary vrds enllued to ex•npkn from
audit under section 47712) of Compani¢6 Act 2006.
The members have I￿t required the conyny to oL*akn ￿ a￿¥t In aCC￿d
with 88ction 478 of the Companios Act 2006.
Th8 director8 ￿kn¢>I¥l8dge thelr mponsiljility lor compty*rvJ the
requirements of the Companlo8 Act 21Xfj ￿ resp￿1 lo accountiry recLYd8
and the preparatlon of acc￿rtI.
Qarl Mohammttd A•hraf SIALVI Ichalmmnl
Approved by the board on 12th F#bruary 2028

ZIA UL ULOOM
Notes to the Financlal Statements
For the YIE 30 Aprll .2025
1. A¢countin
Ba*1• of prnparlfig th• flnanclal stat•rn•Trts
The financial stslements ofthe charity, which 18 8 pknlic be￿fft entity under FRS 102,
have been prepwed in ￿nce ¥Ath th• Chaiibes SORP IFRS 102)'A￿(mM1tin9 and Rewting by
Charities..
Statement of Recomm*bded Practice applicable to charrtigs preparing thelr •¢counts in accordanc•
with th• Financial Reporting Stwdard wgplicable in Ihe UK RèputAiG ￿ IrdaThJ (FRS 102)
leffethve 1 January 20151.,
Financial Reporting Standard 102 Tr Financial Reportlr& Standard aFWicable in the UK and
Rapublic offlreland, and the Chwilies kl 2011. fina￿181 statemenls ha¥e been kyepwed under
historical ￿81 convention.
Th8 charity ha8 taken advantage of the fdlowng disclosure exemption8 in preparing thè8e fina￿101
8tslemenl8. as p6miitte(I by FRS 102 The Financi￿ ROF(rtirfj Standard appI￿able in the UK and
Rèpublic ollreland.:
the requir8m8nl$ of Sectlon 7 Stal8ment of Cash FILy4¥S',
the requirement of Section 3 Financial Statement Presentation paragraph 3.17ld);
the requirements of Section 11 Financial Instruments Paragraphs 11.41lbl. 11.41(cl. 11.41{8). 11.411fj,
11.42, 11.44. 11.45, 11.47, 11.481a)liii). 11.48(a)(iv), 11.481bl and 11.48(¢).'
thè r8quirement8 of Section 12 Other Financial Instrumants paragraph8 12.26. 12.27, 12.29{al, 12.29
Ibl and 12.29A.. the requiremanl of Section 33 Relalad Party Oisclosure paragraph 33 7.
Crltlcal •c¢ountlng judgements and kny •our¢•s of 08tlmatlon unc•rtalnty
There are no significant estimates hawng a material effect on financial statement8.
Incom•
All income 18 recognl••d in the Statèment of Financlal the charrty ho8 entltsem8nl to
the lunds. il is probable that thg income 7MII bo roceived aThl the amount can b• measured rdlably.
Don•tlon¥
Thls comprl8es all IrKomlng resource8 from donotion8. grants ol gengral nature providod by other
Cha￿ta￿t foundatlon8 wfftbch aro rvj conditlon81 on d￿1vering certain16vd$ of volum88 of a Borwce
suppty of ch8rftsble goc4J8 and incomè from fundrnlsiw p*trers w tho baw of Ih9t *thlch18 ramltte(I
lo ZIA UL ULOOM in the United Kir
Expondlture
Li8bilitia$ ar• recognSs•d a$ expaMlitur• 88 8ty)n # tt￿9 is a *al ty ¢on8tructi
otsigalion committing the charity to
that expenditure, It Is pr¢S)able that a Ir8rnf•r of economic Ihill ba roqUi￿j In •ettl8m•nt and thg
amount of the ￿l98110n can be me8$ured rellably. Expenditure is acctsjnted for on an accruals bas18
and has been classified under h68dlng8 that aggregate 811 ¢081 related lo tho category. Wherg costs
cannot be directty attribut8d to pthcular h#8dlngs they haNt b8gn allcated to gGtiwtie8 on a ba$18
COnSl8tent with tho use of reBources.
Gr8nl$ offered subj￿1 to conditions whlch have nrA boon met at tr* yw end date are notgd as
commilm•nt but not acuued as exp￿diture.
Pag• 10

Rablng fund8
Raising funds includes all expenditiJre incurred by the thavity to raise fvnds for its charitable purposes
and indudè8 ¢081s of all fundr8i¥ng actiwbes, events a￿1 n0TrCharit￿e twJiThJ.
Charltable actlvlti
Charitable expenditure comprises thosè costs irKurred by the dwrity in thè de1[￿ry of its aclivilles and
them. servtce8 for rts benefiaaries. It indudes both costs that ￿ be alkx•ted direcuy lo such aGtivitigs
and those costs of an in(tire¢t nature T￿esSary to suppxt
Governanco ¢0sts
Governance costs include those incurrgd in the govemance of the Charity and its assets and oro
primarlly 88soeialed with meets.ng the constitutional and statuw req￿rern8nts of the Charlty.
All¢xatbon and apportlonment of costs
Support C08ts include central functions and havè been allo￿ to activity ￿st categories usage.
on a basis con818tent wth the use of resources, for ex8mple. allocats'on prcyerty costs by floor areas.
or per capital, staff costs by the time Spent and other costs by th&ir
T•nglbl• flxed a•••ts
Fixed assets are included al cost. Items are capitalised rf thar cost or, if grfted their donated value, 18
over £1.000. DepreclaJon is provided on tartgil￿e fixed assets so as lo write off the cost or valu8ti0n,
le88 any 081imated residual value. over th￿r exF*ctsd useful economic lrfe as fdlows..
Offi¢0 equlpment 25% 8trw9ht line b8818
T•x•tlon
The charfty18 oxempt frc*n tsx ￿ Its charltabl• ￿ti￿.1188.
Fund
Unre81rfcted fvnd8 can be u8ed In accordance wllh the charttsble objeth'ves at the di8creb.on of th•
tW8tee8. R8strGted funds ¢an onty tje for parUGular restslcted purposes *ltran objects of th•
charity.
Reslndons arise when $pecffied ty the donor or fund$ are r￿Sed fcr particular restrictod
purpo$e8. Furthw explanation of lh• n•tur• and pwpo8e of aach fund 18 I￿uded in ts notes lo the
flnancial stslem8nts.
Golng conc•rn
The Board ol Tru81808 havo r8vlvA•d the Ch81iV8 financi81 requirements for a perknd of 12 months
followng the dale ol aFprovd of these accounts and are satlsllad that there are no materlal unc8rt8inli08
about the ch8riVs alxlity to ¢ontinu8,thereftye thé Ch￿# Kllvfillos operats at a conlnu8d
adequ818 level of 8urplus in the future.
Flnanclal In•trum•nl8
The chartty only has flnanclal a88ets and flnaro'•l liats.1rt￿8 of a ￿'nd that qualfy 8$ I￿61C fina￿81
In6tNments. 8a81c fIn￿CIal Instruments are Initi'alty recogn180d at transackn value.
0opreGlatlon
Depreclatlon has been prO￿ded at the fdlry•&ing rats• in order to wrlto off th8
assets ov¢r Ihelr e8llm8led useftl INes.
Land 8nd Buildings apwtioned the ba8is of al 70% larKI and 30% BuildiThJ.
8ulldino element deprfj¢i418d over 2% p.8 0¥4r o 0150 years.
Fixture8&Fhling lin¢.Computers)
Plant gnd machlnery
Motor vehlcles
25% on C￿1
25% ¢)n cost
25% cr¢ c￿1

2.ln
2024llS
2023124
Donation
Others
102.085
13.150
65,694
22,500
115,235
88.194
ZIA UL ULO
2024AS
2023124
Donallon
Funrai8lng Cost
Bu8in888 Ratss
In8urance
Satm Salary
Professional Fee
Buildlng Purchaae
R•palr and Malnt
Ulllty Co8t
Bank Charyes
Accountsncy
Depred81ion
1.820
1,481
1,350
1,629
24.503
7,300
500
5,448
348
300
5,379
399
1.500
38,062
10.875
P•w 12

ZIA UL ULOOM
Notes to the Financial Statoments
For tha YIE 30 Aprll .2026
FlxtsJre
Flttln
Total
Openlng Balanca
as at 01 May'2023
150,IJ)0 350.000 500.000
Addllon
Di8p)sal
Closing Balance
as at 30 April ?025
150,CIXI
350,000
500.000
Op8nlng BalarKo
a8 at 01 May'2023
12,000
12.000
Charges for the Y•ar
3.000
Di•p)8
CIo8lng 8al#n¢•
ai at 30 Aprll ?025
15.000
15.000
N•t book valu•
130.01)0
350,000
486.000
Pw13

ZIA UL
Notss to the Financial Statements
For the y￿ 30 April '2025
Ito
amounts hlllng duewlthln ona ymr
2024126 2023124
Accountsn¢y Fee
Building
Depreclallon
300
252.241
300
349,241
3000.00
£352 541
£255.541
Wage8 and Salaries
PAYE
23,196
7,300
P•J• 14