LONDON EDUCATION TRUST
CHARITY NUMBER- 1137024
REPORTS AND FINANCIAL STATEMENTS FOR THE
YEAR ENDED 30 SEPTEMBER 2024

LONDON EDUCATION TRUST
year ended 30 September 2024
Contents
Page no
Information Pa9e
Report of the Irustees
Independent Examiner Report
Statement of Financial Activitie5
Balance Sheet
Notes to the financial statements
7-10

LONDON EDUCATION TRUST
year ended 30 September 2024
Charity Informalion
Trustees"
Mr Bodru1 Alom Sheikh
Mr Tanzeem Abdullah
Mr Mohammèd Islam Uddin
Mrs Re5htna Sheikh
Chairman
Secretary
Charity No..
1137024
Address
5th Floor, Maryam Centre
45 Fieldgate Street
London
E1 IOU
Independent
Exatniner
Abacus Partners ILdnl LLP
Unil A, Abbott5 Wharf
London
E14 6JL
Banker
HSBC8ankpl¢
Whit&chapel Blanch
75 While¢hapel Road
London El 1 DU
Page-j

LONDON EDUCATION TRUST
TrLlStees' Report
for the year ended 30 September 2024
The Truslees pièsenl Iheir rÈport and 11)e Iinancidl slalemenls for Ihe year ended 30 Septembèr 2024.
Goveining Instrtsmenl..
The charity's obje¢ls and regulations ale regulated by the conslilulion adopled on 10 February 2010 and the charily Is an
unincorporèled association regislered with charity commission's on 22 July 2010.
The objects of the Charity are lo profflole any charitable Pufpose for Ihe benefit of the Muslim inhabilanls of the uniled
kin9dom and in particular for those inhabitants who are of Muslirn Bangladeshi origin. In particular
lu advance general education. ieligion and training.
to provide community cohesion and SLtrPPOrt deprived people lo ènhance their ¢omrnLJnicalion & linguistic skills
lo ielieve poverty and hardship ainongsl deslilule people living In 8angladesh and In the UK with Ihe 811n of
improving their education and condition of life.
The charity 18 organised with J committe& IBoard of Trustees) ele¢led by the members to oversee the overall a¢livilies
and one of the committee member is nominated 85 chairperson. lo moniloi the day to day running ol the charity.
Trustee5 andlor PTincipal offl¢&r5'.
The following otticers of Ihè ¢harily have held Offi￿ for the whole of the year.
Mr Bodiul Alom Sheikh
Mr Tanzeem Abdullah
Mr Mohammed Islam Uddin
Mrs Reshma Sheikh
Chairman
Secretary
Treasurei
Trustee
The IrLislees are eligible. In committee, to appoinl additional Iruslees under the terms of the constilulion.
Attlvlties and Athlevement8'.
Howour activities deliver public benelit
The charity caiiies out wide lange ol community language classes such Arabic and Bengali that supporls children's
comtnunity language learning in school There are many benefits in learning mother tongue and ¢OmTnunity languages
Amongst them are the uses of Ar2bic grammar which can be Incorporalecl ancl assimilated with English grammar at
school. This develops Ihe children's ability to speak, read and write In their mother tongue and olhei community
language5. 11 also develops Ihesr translation skills. As a result they develop confidence In language learn￿ng Through
learning Arabic language children are gaining the ability lo work In Aiab Countries and widening their c8reei piospeclive.
The ¢harily entertains many l&isure Jctivities lo develop ¢hildren's social ski115 and ekperiences. They also irnprove social
awarer)ess to develop our society, guch as speaking club and workshops. This develops children's ability lo speak In
publi¢ and become confident speakers. It enables Ihem lo Identify anti-social behaviour5 and aclivilies. As a result it
helps them gain confidence in their 8¢hool work. group discussions and collaborating with others. Also the ¢harily 85SlSts
in wllecting money for the poor and disadvantaged people around Ihe glob& and encourages young people to apprec18t
what they have 8nd Oonate to the needy.
The charity also provides teacher training prograrntnes for community language teachers. 11 provides teachers beneficial
leaching styles. strategies and methods to leach children effectively in a meaningful context. This enables the teachers lo
undersland children's mind and prowde Ihem beneficial teachings lo cjevelop our society.
Page-2

LONDON EDUCATION TRUST
for the year ended 30 September 2024
Trustees. Report
The cl)arily arranges classes lo cieale awareiiess arriongst youllg people agairisl anti-social activities such gang fi9hiing.
drugs. teen3ge pie9nan¢y and so on This Is particularly useful for leen3ge childi&n who often f811 Into these offenses
easily.
The charity furthermore provides range D18dulls' courses where people learn different social issues and topics according
lo reli9ious values and cultural understanding. This develops oommunily cohesion among the cornmunilies in the UK. It
also provicles parenting courses and farnily counselling for adults lo Improve theii farnily lies. Parenting course Is
pailicularly useful lor young parents who lack &xpÈiience in iaising children 11 ¢ovÈrs topics such as behaviour
m3nagemenl, ¢hildren's psychology. understanding their learning dèvelopment and how lo reward and praise children lo
enhance their learning and provide a positive upbringing which Is fulfilling and rewarding.
Review of Tran5aciion$ and Flnancial Posltion-.
The Statements of Financial Activities shows a nel deficit £2,0721£24,021 in 20231 for this ypar. with the Balance Sheet
value of £21.631. Despile of srnall delicil Iruslees have reasonable exp&clation that the chaiily will continue lo g&neiale
enough revenue to keep the charity opèrational and they ￿￿11 review ils, reserve in the next 12 months iegularly.
Statement of Trustees. R85pon5ibilities
The Iruslees are responsible loi preparin9 the Trustees, Annual Report and the financial Slalements in accofdance with
applicable law and United Kingdom Ac¢ounling Standards Iunited Kingctom Generally Accepted Accounting Practi¢el.
The law applicable to charities ln England & Wales iequires the trustees to prepare financial statements for each financial
year which give a true and fail view of the slate ol 8ffair8 ol the chaiily and of the incomin9 resources and application of
resources of the charity for thal period. In preparing these financial slatemenls, the truste85 are reouiied to..
sele¢l svilable accounting policies and then apply them ¢onsislenlly-.
observè the methods 8nd princ￿pIeS in the Chanties SORP 2015 IFRS1021,
make judgements and estimates that are reasonable and prudent.,
slate whether applicable accounting standards have been followed. subject lo any Thaterial departures
disclosed and explained in the financial slatemenls..
prepare the fin3ncial statements on the going concern basis unless Il is inappropriate to presutne that the
charity will continue in operation
The Iruslees are iesponsibl& for keeping proper a¢¢ounling re¢ords that disclose with reastsnable a¢¢uracy al any tim
the financial position of the charity and enable Ihern lo ensure that the finai)¢ial slalemenls comply with the Charities Acl
2011, the Charity IAc¢ounls and Reports) Regulations 2008 and the provisions of the trust deed. They are also
responsible for safeguarding the ¥ssels ol the charity and hence for taking reasonable steps for the prevention and
detection of fraud and other Irregul8rities.
Independent Examlner..
Abacus Partners (Ldnl LLP were reappointed as the independent exaffliner for the followng ye8r.
This report has been prepared in accordance with the Slaternent Df Recotnmended Pr8Ctice'. Accounting and Reporting
by Charities120111.
This report was appfoved by the trustees on 4 July 2025.
Signed on behalf of the board of trustees.
.on their behalf
Mr Bodrul Alam Sheikh
IChairm8nl
Page-3

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
LONDON EDUCATION TRUST
for the year ended 30 Septeinber 2024
I have examined the 8Ctounls and st21ements on pages 5 10 10. which h8ve been piepared on the b35is of accounting
policies sel out on paqe 7.
Respèctive responsibilitie$ ol TTUSteÈs and Examinèr..
The trustees are Fesponsible for the preparation of the a¢¢ounts. The IruslÈes consider that 2n audit Is not required lor
this year under section 144121 ol the Charilies Act 2011 Ith& 2011 Act) and that an independent &xaminalion Is needed.
The ¢harily s gross income did not Q￿Ceed £500,000 and l arn qualified lo undertake the examination by being a Qualified
member of the AGCA.
11 is my responsibility lo..
examine the accounts under section 145 01 the 2011 Act..
follow the prtscedures laid down In Ihe general Directions given by the Charily Commission under section
14515llbl of the 2011 Act, and
slate whelhei particular malteis have Come to my 8llenlion.
Basis ol Examiner's Statement-
My examination was carried out In accord8n¢e wrth the general ￿1￿ctionS given by the Charity Commission. An
examination includes a review of the accounting records kept by the ¢harily and 8 comparison of the accounts presented
with those records. 11 also includes consideration of any unusual Ilerns or disclosures In the accounts. and seeking
explanations from you as trustees Con￿rning arty such matters The procedures unrsertaken do nol provide all the
evidence that would be required In an audit and consequently no opinion Is given as to whether the accounts present a
'Irue and fair V￿ew, and the report Is limited lo those malteis sel oul in the statement below.
Examlner's Statement..
In corinection Mryth my examination. no maller has ¢om8 lo my 811enlion..
whi¢h gives rne reasonable cause lo believe th8t. in any material respect, the requirem8nls'.
• to keep at¢ounting records in accordan¢e with section 130 01 the 2011 Act., and
to prepare accounts which accord with the accounting records and tomply with the a¢¢ounling iequirements ol
the 2011 Act
have not been met.. or
2 to which, in my opinion. attention should be drawn in orcler lo enable 8 proper understanding of the accounts lo be
ie8ched.
MRNA
OWDHURY FCCA
Abacus
rtners ILdnl LLP
Chartered Certifiecj Ac¢ountants
and Regislered Auditors
Unil A, Abboit5 Wh8rf
93 Stainsby Road
London E14 6JL
Dale. 4 July 2025
Page-4

LONDON EDUCATION TRUST
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Total
Total
Unre$tricted Reslricte
2024
2023
INCOME AND EXPENDITURE
otes
INCOMING RESOURCES
Income from Charilable acliviles
232,716
232.718
187,425
other income
27
Tolal Income
232.716
232,716
187,452
RESOURCES EXPENDED
Oirecl charitable a¢tivilie$
192.025
192,025
130,004
Governance Cost
11,502
fj1,502
9,268
Support Cost
31,261
31,261
24,159
Total Resource5 Expended
234,788
234.7B8
163,431
NET INCOME IDEFICIT FOR THE YEAR
12,0721
12.0721
£24,021
Fund as at 1 October 2023
23.703
23.703
318
Funds a5 at 30 September 2024
£21,631
£21,631
23.703
The notes on page$ 7 to10 form part of these accounts.
Page-5

LONDON EDUCATION TRUST
BALANCE SHEET AS AT 30 SEPTEMBER 2024
Total
Tolal
2024
2023
Notes
FIXED ASSETS..
Tangible Assets
3,131
4,697
Current Assets..
Debtors
14,025
14.025
Cash at Bank and in halid
4.662
5,049
18,687
19,074
Creditors..
Amount falling rtue wlhin one year
Net Current Assets
187
68
18,500
19.006
Total Net A$$ets
21,631
23,703
Fund$
￿n￿StriCted funds
10
£21,631
23.703
Total Funds
£21,631
23.703
Approved by the Board of Trustees on 4 July 2025 and signed on its behalf t>y
Mr Bodrul Alom Sheikh
ICh8irn)anl
Mr Mohammecl Islam Uddin
Trustee
The notes on pages 7 to 10 form part of these accounts.
Page-6

LONDON EDUCATION TRUST
Notes to the financial statements
foi the year elided 30 September 2024
CCOUNTING POLICIES
1.1 BASIS OF PREPARATION OF ACCOUNTS
The financial slaletnents have been prepafed in ar¢ordance with Accounting and Reportin9 by Charities Statement
of Recommended Practice applicable lo ¢h8rilies preparing their a¢¢ounts In accordance with the Financial
Reporting Standard applicable in the UK 8nd Republic ol Ireland IFRS 1021 leffe¢liv& l January 20151 (Charities
SORP 2015 IFRS 1021.
The ¢h8rily meet5 the definilion ol a public benefit entrty under FRS 102. Assets and li8bililies are Inilially
recognised at historical cost or Ir8ns8Ction value unless otherwis8 Staled In the ielevant accounting policy notelsl.
1.2 INCOME RECOGNITION
All incomin9 re50ur¢Ès are included In the Slalemenl of Financial Activities ISOFAI when the ¢harily is legally
entitled lo Ihe income after any performanLe condilioris have been mel. the arnounl can be measured reliably and It
is probable that the Income will be received
Donation and other income recognised when received.
• Tuitions Fee income 15 recognised then entitlement has o¢curied.
Grants for Immediate expenditure ale accounted for when they become rece1vatsle.
Grants l Donat￿on restricted to future accounting period are deferred and reco9nised in those peiiod5.
Grants l Donation lor spe¢ifi¢ project are treated as reslricled lo the projects clfwd for ftjlure operation.
1.3 ALLOCATION OF COST
C05t$ are 211oc21ed belween ieslricled and unreslricled fund according to the terms of income. Where items
expended are mixed. they 8re apportioned between the ¢alegori&s according to the Incotne they relate to as well as
using best possible professional judgements.
1.4 SUPPORT COST
Support cost5 are those lun¢lions that a5SiSt Ihe work ol the chaiity but do nol directly undertake charitable
activitses. Suppori ¢osts include back office costs, linance, personnel. payroll and 9overnance costs which suppori
the Trusts programmes and activities. These ¢osts have been allocated between ¢osl of raising funds and
expenditure on charitable a¢livilies.
1.5 TANGI8LE FIXED ASSETS AND DEPRECIATION
Fixed gs8ets for the charity use 8re capilalised al cost. They are Stated In ltte accounts at cost less depreciation.
Depfecialion is calculated lo write off the cost less Iheir estimated residual value. over their expected useful lives on
e following bases
Fuinilure, Fi%ture and Equipment's
20% on cost.
1.6 FUNDS
Unreslii¢led funds are available for use al the discretion of the Iru5tees in furtherance of the general objectives of
the charity and which have not been designated for other purposes.
Designated funds Comprise unrestricted funds that have been set aside by the trustees for particular purposes.
The aim and use ol each designated fund 15 set out In the notes lo the financial 5taternenls.
RestiitleLI lunds ar8 funds which are to be used in accordance with specific reslri¢lions imposed by donors or
which have been raised by the Charity lor particular purposes. The cost of iaising and administering such funds afe
ch2rged against the spe¢ifi¢ fund. The aim and use of each restiicled fund is Set oul in the notes lo the financial
statements.
Page-7

LONDON EDUCATION TRUST
Notes to tlie financial statements
for the year ended 30 September 2024
1.8 Going concern
Al the time of approving the 3CCOLints, the trustees have a reasonable expÈ¢talion Ihal the charity
had adequ81e IEsour¢es lo continue In operational existance for the for8Eeablo futuré. Thus the
INCOMING RESOURCES
The Incoming resources and surplus are atliibulable to the princip81 activities ol Ihe charity.
INCOME SUMMARY
VOLLINTAR Y INCOME
Unrestri¢led Reslricled
2024
2023
Fees and Donation collec1￿On
JRS- grants
Total lllcome
EXPENSES SUMMARY
232.716
232,716
187,452
27
232.716
232,716
187,479
CHARITABLE ACTIVITIES COST
un[estr￿cle￿ Reslri¢led
99.834
44,438
1.381
3,527
933
415
Renl and Servi￿ ch8rges
Wages and Salary
Events, gifts and prizes
Prinlinglposlagelphotocopying
Telephonellnlernel
Repair, Mainlensnce and Cleaning
staff training
Legal and professional
Teacher Hire
Educational Supplies
Travelling and refreshment
2024
99,834
44,438
1,381
3.527
933
415
2023
54.054
39,566
2.1B5
4,672
1.241
1,246
7.117
2,157
9.568
8,199
925
27231
13.342
925
27.231
13,342
192.025
192,025
130,004
GOVERNANCE COST
Unreslri¢led Reslricled
2024
2023
Rent and service ¢haiges
Wages 8nd Salary
Accountancy
Legal & Professional Fees
6,240
2,777
1.560
925
11.502
6,240
2.777
1,560
925
11.502
3.378
2,473
1,260
2,157
9,268
SUPPORT COST
Unrestricted Restrided
2024
2023
Rent an(J service ¢harges
W8ges snd SalaFy
TelephonellnternÈl
PrinlinglPoslagelpholo¢opying
Repair, Maintenance 2nd Cleanin9
Staff training
Advert & Publicity
Charitable don81ions15ubscription
Bank Charges
Sundries
Depreciation on FF & Equipment's
18.719
8,332
233
1.176
415
18.719
8,332
233
1,176
415
10.135
7,419
310
1.557
1,246
791
120
421
221
373
1,566
24,159
169
169
641
1,566
31,261
641
1.586
31,261
Total Expenses
234,788
234,788
163,431
Page-8

LONDON EDUCATION TRUST
Notes to the fSnaneial statements
for the year ended 30 SeptembÈr 2024
7 STAFF EMOLUMENTS
2024
2023
Wages anct salaries per payroll
55.547
49.457
55.547
49.457
Direct Charitable W39QS
Non Direct Charitable Wages
44.438
11.109
55.547
37.001
12.456
49.457
Avg No of employees." Admin
Avg No tsl employees.. Diiecl
Employees paid in excess of £60,000 during the current year
None
None
No Rernuneration was paid to any trustees or theii. associates during the period ended 30.09.2024 nor Ihe period
ended 2023.
8 TANGIBLE FIXED ASSETS..
Fixtur8. Fixture
& Equipment's
Total
Cost.
Cost blfwd
Addition
41,606
41,606
41,606
41.606
Deprecialion-.
Charges bl￿d
Charge for the year
36,90g
1,566
38,475
36.909
1.566
38,475
Net Book Value
A5 al 30 September 2024
As at 30 Seplemb&f 2023
3,131
4.697
3,131
4,697
9 AMOUNT FALLING DUE WITHIN ONE YEAR
2024
2023
Accruals
PAYE liabilities
Pension
145
42
187
68
68
10 MOVEMENT IN FUNDS..
Unrestricted
Fund
Restricted
Fund
Grand
Total
AS al 1 October 2023
23,703
12.0721
23,703
12,0721
Curient year
Current year transfer
As al 30 Seplernber 2024
£21.631
£21,631
11 TAXATION
The &ntily is a registered Charity and does not undertake non-chaiitsble activities and ale entitled for 18x exernption
by the Inland Revenu8.
Page-9

LONDON EDUCATION TRUST
NtslÈs to the financial Statements
for the year Ènded 30 September 2024
12 POST BALANCE SHEET EVENTS
Theie were no signili¢3nl post balance sheet events
13 TRANSACRTION WITH TRUSTEES
There were no Iransaclions with the Iru51ees during the yeai.
14 CONTINGENT LIABILITIES
The charity had no conlingenl Iiabililie5 as al 30 Seplernber 2024 nor al 30 September 2023.
15 RELATED PARTIES TRANSACTION
There were no disclose 8ble ￿lated party transactions during the year.
16 GIFTS IN KIND AND VOLUNTEERS
During the year the charity beneliled frorn unpaid work performed by volunteers.
Page- 10