## Trustees’ Annual Report for the period 

From (start date) 0 1 0 7 2 0 to (end date) 3 0 0 6 2 1 

## **Section A** 

## **Reference and administration details** 

Charity name 

**Inspired** 

Other names the charity is known by 

Registered charity number (if any) 

~~LELLELLL~~ 1 1 4 5 5 4 2 

3[Rd] Floor –Allenby House Charity’s principal address 1A Temple Road London 

Postcode[N W ] 2 6 P J 

Names of the charity trustees who manage the charity 

**Name of person (or body) Dates acted if not for Trustee Name Office (if any) entitled to appoint whole year trustee (if any)** Mahboubeh Gaffarizad Chair 1 2 Farzaneh Majidi Treasurer ~~——————E~~ 3 Shirin Rahimi Secretary ~~i~~ 4 ~~ee~~ 5 ~~a~~ 6 ~~———————E~~ 7 ~~ee~~ 8 ~~_——————~~ 9 ~~Bf~~ 10 ~~i~~ 11 ~~a~~ 12 ~~———————E~~ 13 ~~ee~~ 14 ~~a~~ 15 ~~ee~~ 16 ~~ee~~ 17 ~~a[a]~~ 18 ~~pf~~ 19 ~~a~~ 20 

Names of the trustees for the charity, if any (for example, any custodian trustees) **Name Dates acted if not for whole year** 

**TAR** 

**March 2012** 

1 



**Section A Reference and administration details (continued)** 

Names and addresses of advisers (optional information) 

||Names and addresses of advisers|(optional information)|(optional information)||
|---|---|---|---|---|
||**Type of adviser**|**Name**||**Address**|
||||||
||||||
||||||
||||||
||||||
||||||
||**Section B**||**Structure, governance and management**||
||Description of the charity’s trusts<br>Type of governing document<br>(eg trust deed, constitution<br>How the charity is constituted<br>(eg trust, association, company)<br>Trustee selection methods<br>(eg appointed by, elected by)<br>Additional governance issues (optional information<br>You**may choose**to include additional<br>information, where relevant, about:<br>•policies and procedures adopted for the<br>induction and training of trustees;<br>•the charity’s organizational structure and any<br>wider network with which the charity works.<br>•relationship with any related parties;<br>•trustees’ consideration of major risks and the<br>system and procedures to manage them.<br>Constitution<br>Association<br>Elected from Membership||||



**TAR** 

**March 2012** 

2 



## **Section C** 

## **Objectives and activities** 

|Summary of the objects of the charity set<br>out in its governing document|The charity's object is to promote the voluntary sector<br>benefit by enabling access to its’ offices and services|for the public<br>and providing|for the public<br>and providing||
|---|---|---|---|---|
||support to other charities and organisations in the voluntary sector. To||||
||promote social inclusion for the public benefit by working with members||||
||of the community who are socially excluded on the grounds of age,||||
||gender, disability, language, and ethnic origin and to relieve the needs||||
||of such people and assist them to integrate into society.||||
||||||
|Summary of the main activities<br>undertaken for the public benefit in relation to<br>these objects (include within this section the<br>statutory declaration that trustees have had|In planning the activities for this year, the trustees have continued to<br>review the Guidance on Public Benefit published by the Charity<br>Commission at their trustee meetings.|||<br>|
|regard to the guidance issued by the Charity|||||
|Commission on public benefit)|The summary of the charity's main activities are as follows:||||
||We have continued to organize and hold our annual calendar of large||||
||ceremonial events. At these gathering, there is live music, key notes||||
||speakers and food and drink in provided. These gatherings offer an||||
||invaluable opportunity for the community to gather and allows families,||||
||especially those living in exile to meet in a safe and welcoming||||
||environment.||||
||With our office being forced to close during the lockdown, we continued||||
||the weekly gatherings online. Our virtual meetings allows the service||||
||users to share their life experiences and information in real time without||||
||the need for being physically located in the same room together.||||
|Additional details of objectives and activities (optional information)|||||
|You**may choose**to include further<br>statements, where relevant, about:|||||
|•policy on grantmaking;|||||
|•policy programme related investment;|||||
|•contribution made by volunteers.|||||



~~**TAR**~~ 

~~**March 2012**~~ 

~~3~~ 



**Section D** 

**Achievements and performance** 

|Summary of the main achievements of the<br>charity during the year|<br> <br>**Achievements and Performance:**<br>.<br>We have continued to educate young people whose parents fled their<br>homeland and refugee children. Many of these children were born in<br>the UK or arrived in the UK as young children. in many cases this has<br>caused a conflict of identity as the children struggle to identify|
|---|---|
||themselves. Their family and background cultures often contradict the|
||values of the society in which they live. Many of these children are<br>Muslim, which in the current climate adds additional pressures. One of<br>our greatest successes has been to organize meetings and QS,A<br>sessions aimed at helping these children identify as British and helping<br>them to embrace British values while at the same time respecting their<br>cultural heritage.<br>We have assisted the victims of domestic violence in the community.<br>|
||~~Often these women do not speak English and are therefore unaware of~~<br>their rights and are lonely and isolated. We have provided these<br>|
||~~women with the latest information on their legal rights as well as~~<br>assistance with their housing rights, children s rights, immigration rights<br>as well as information on separation and divorce. All our services were<br>online or on the phone during the lockdown.<br>More than 20 volunteers in our charity, have signed up to the new<br>volunteer hub following the urgent call, to help vulnerable people during<br>the Coronavirus pandemic. We provided food parcels, befriending<br>phone calls for the lonely and isolated, personal shopping, and support<br>for shielded residents.|



**TAR** 

**March 2012** 

4 



**Section E** 

## **Financial review** 


**----- Start of picture text -----**<br>
Brief statement of the<br>Inspired Charity dos not any reserves policy<br>charity’s policy on reserves<br>Details of any funds materially in deficit  N/A<br>Further financial review details (optional information)<br>You  may choose  to include additional<br>information, where relevant, about:<br>• the charity’s principal sources of funds<br>(including any fundraising);<br>• how expenditure has supported the key<br>objectives of the charity;<br>• investment policy and objectives including<br>any ethical investment policy adopted.<br>Section F  Other optional information<br>Section G  Declaration<br>**----- End of picture text -----**<br>


|**Section G**|**Declaration**|**Declaration**|
|---|---|---|
|The trustees declare that they have approved the trustees’ report above Signed|The trustees declare that they have approved the trustees’ report above Signed||
|on behalf of the charity’s trustees|||
|Signature(s)|Signature(s)||
|Fullname(s)||Mrs Mahboubeh Ghaffarizad|
||||
||||
|Position (eg Secretary, Chair, etc)<br>Date|Date<br>Chair<br>13.04.2022<br>~~Po~~<br>~~PT~~||



**TAR** 

**March 2012** 

5 



Inspired
Profit & Loss Statement
0110712020 to 3010612021
Income
Donation
St8ridiTrg order
Donation IR
Cash Income
Membership FEE
Grant- Women and Youth Ag8in8
Grand Anglo
HMRC Charities - Gift Ai¢J
MiscellalleoLJS Income
Total Incorne
£33,775.00
£2,431.00
£26,996.70
£679.25
£300.00
£3,5￿ 00
£8,500.00
£15,895 19
£11536
£92,192.50
Refund of Donations
Gross Profit
£92,192.50
Expenses
Administrative Exp
Refreshment
Clean Products
Ellricity and Gas
Postage
Stationary
Rent and Rate
Storage Insurance
Web- Email
Deprec4ation cost
Total Administrative Exp
Fundraising Exp.
Car insurence &tax
Monthly Acc Fee
Financial Expenses
Bank Srvice Charges
Total Financial Expenses
Occupancy Costs
Sundry exp
Total Occupancy Costs
Total Expenses
£1306
£230.37
£2,2￿.64
£38.00
£69.27
£82,83e.00
£160.00
£232.75
£930.34
£86,806.43
£622.74
£78.00
£5.90
£5.90
£510.60
£510.60
£88,023.87
Operating Profit
£4 168.83
Other Income
Projects Expenses
Events
Asylern Welfare
Chirtm5 Gift
Befriending
Total Projects Expenses
£48.87
£1.616.94
£86.17
£841.26
£2.593.24
Net Profit I (Lossl
£1 575.59

Inspired
Balance Sheet
As of June 2021
Assets
Fixed Ass&ts
Computer Equipment
Computer Equipment Original Co
Computer Equiprnent Accum Depr$
Total Computer Equipment
Total Fixed As88t8
Current Assets
Cash 91 B8nk and in Hand
CAF Bank
Petty Cash
Paypal
Total Cash 8t Bank and in Hand
Office Deposit
Officè Deposit
Toial Current A88ets
Total Assèl$
£6.194.37
-£4,598 51
£1.595.86
£1.595.86
£6.086,35
£51.78
£23 00
£6,181.13
£20,000,00
£26.161.13
£27,758.99
Current LiAbilitie8
Creditors
Accruals
Total Crèditors
Total Current Liabilitie8
£2,824.75
£2,624.75
£2.824.75
£2,824.75
Net As$g1$
£25.132.24
General Rg$erves
Retained Eamings
Historical Balancing
Current Year Earnings
£23,410.45
£146.20
£1,575.59
Total
Total General Reserves
£25,132.24
£25 132.24

CHARITY COMMISSION
FOR ENGLAND AND WALE5
Receipts and payments accounts
CC16a
For the Pe￿0d
from
To
0110712020
3010W2021
Section A Receipts and payments
Unre$trlcted
funds
Restrfjcted
funds
Endowrnent
fund¥
Total funds
Last year
to th• nAai@#£
to nqamt E
to thTr n04r￿1£
to thg n@aM¢£
A1 Re¢el t•
oO￿tIOn
Stsn¢ing Order
Donaton IR
Cash Inthtne
MembErèhio Fee
Gland
33,775
2N31
2S.997
879
300
12,000
16,895
33,ns
2,431
28,997
I2,￿0
15.895
mis￿113n¢0u$ Inwme
Sub ￿tal(GrOSS incoma for
AR)
92,192
92,192
A2 As¥et 4nl Imfèstment sale8.
(see tsblel.
Sub total
92,192
A3Pa
ents
Adfflinislrabve Expenses
Fundrownu £xpeD5e5
Finan￿￿1 Expenses
Sundry Expenses
Projects Ewses
86.808
701
86.806
701
511
2.593
511
2,593
Sub total
90,617
gDM17
A4 A8set and Investment
urch8$￿, Isee tablè
Sub total
90,617
90,617
Net ofrneelpts/(p•yments)
A5 Transfers belw*en fund8
A8 ¢a¥h funds 188t year en
Ca*h funds this y•ar and
1,575
1,575
1.$75
1.sls
CCXX R1 accounts ISSI
2011112024

Section B Statement of assets and liabilities at the end of the period
Unrestricted
funds
Restricted
fundg
Endtswrnent
funds
to n•8Tr5t £
Categorles
DetaFIs
to rthirest£
B1 Cash fund8
Petiy Cash
Total cash funds
1ow*e paywAs
Unrestricted
funds
Restrleted
funds
to nfrarellt£
Endowment
funds
to rwmt£
Details
Caf sank
6.086
Fund to whlGh
18&et bwlo
C￿t loptlonal)
Curr•rttvaluo
onal
Detsils
83 Investment a88•ta
Fund towhl¢h
Details
Compul8r5
CNtloptlon•
Curr•Tht valu•
B4 Assets retained for the
charlty's own u•?
159S
Fund to whlGh
Arnountdu•
Itoft•l
W￿n due
Detall8
Current L1ab1lrt￿S l Rent I
ona
BS Liabilitios
26Z5
SBJned by one Dr ￿ tlvstees on
beham of all thfr trust
Date of
roval
Signature
Print Name
21 11.202
CCXX R2 acrnunts Issi
2011112024