OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-03-31-accounts

Our association
usually raises the funds every year by performing
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
had regard to the guidance collections
which are then banked
and organised
centrally
by The
issued by the Charity Board.
Commission
on public
benefit) We held our last AGM on 12/03/2022 at Birmingham
whereby
the
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
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