| Our association usually raises the funds every year by performing |
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|---|---|---|---|
| Summary ofthe main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have |
collection during the Holy month of Ramadhan by door-to-door approach to our community members across all regions, and through collections at various Mosques and Masjids across the country. We have our regional representatives appointed for several towns and in cities across the country who help us perform these |
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| had regard to the guidance | collections which are then banked and organised centrally by The |
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| issued by the Charity | Board. | ||
| Commission on public |
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| benefit) | We held our last AGM on 12/03/2022 at Birmingham whereby the |
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| accounts and the proceedings ofthe association were presented |
to | ||
| the members. |
| f | 2022 | 2021 | ||||
|---|---|---|---|---|---|---|
| Cost | De r'n. | Net | Net | |||
| Fixed Assets | ||||||
| Freehold | Properties | 189,406 | 189,406 | 189,406 | ||
| Fixtures | and Rttings | |||||
| 189,406 | 189/406 | 189/406 | ||||
| Current | Assets | |||||
| Cash In | hand | 32 | 32 | |||
| Interest | Free Loans | 5,500 | ||||
| Cash at Bank | 89,780 | 2,919 | ||||
| 95,312 | 2,951 | |||||
| Current | Liabilities: Amounts | due within a ear | ||||
| Sundry Creditors | &.Accruals | |||||
| Net Current Assets | 95,312 | 2,951 | ||||
| Net Assets | 284,718 | 192/357 | ||||
| Current | Liabilities: Amounts | due af'ter a ear |
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| None | ||||||
| 284/718 | 192,357 | |||||
| Financed b: | ||||||
| Ca ital | Account | |||||
| Opening | Balance | 192,357 | 280,253 | |||
| Add: Net Surplus | for the year | 92,361 | (87/896) | |||
| 284,718 | 192,357 |