CHARITY REGISTRATION NUMBER: 1147031 COMPANY REGISTRATION No. 08043568 (ENGLAND AND WALES) (A COMPANY LIMITED BY GUARANTEE)
MUSLIM ASSOCIATION OF BRITAIN CHARITABLE TRUST
REPORT OF THE TRUSTEES FOR THE YEAR ENDING 30 APRIL 2021
MAB CT 10 Severn Road Sheffield S10 2SU
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TRUSTEES REPORT
Aims, Objectives and Activities
Aims
The MAB Charitable Trust (MAB CT) aims to educate and assist the Muslim Community with its religious and spiritual needs; and to contribute positively to British Society. MAB CT is a focused and socially responsible charity, which endeavours to contribute through its humanitarian work to present the positive image of Muslims in the UK.
Objectives and activities
The Objects of the Charity (“the Objects”) are, throughout the world and more particularly in the United Kingdom and Europe, specifically restricted to promoting and assisting in:
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The advancement of the faith and religious practices of Islam;
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The advancement of general and religious education for public benefit concerning the teachings and religion of Islam:
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The provision of facilities in the interests of social welfare for recreation or other leisure time occupation of individuals who have need of such facilities by reason of their youth, age infirmity or disability, financial hardship or social circumstances with the object of improving their conditions of life;
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The advancement of religious harmony for the benefit of the public by:
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educating the public in different religious beliefs including an awareness of their distinctive features and their common ground to promote good relations between persons of different faiths;
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promoting knowledge and mutual understanding and respect of the beliefs and practices of different religious faiths;
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The relief of financial needs and suffering among victims of natural or other kinds of disaster in the form of money or other means deemed suitable for persons, bodies, organisations and countries affected;
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The advancement of such other charitable objects for the public benefit as the Board may from time to time think fit.
Main activities
MAB CT holds educational programmes, supports individuals in the UK by providing food and clothing and uses various media resources to support the needs and challenges of British Muslims.
The MAB Charitable Trust works with other organisations whose missions align in supporting British Muslims, help support families, raise awareness in society and have a positive impact.
MAB Charitable Trust organises fundraising events, to raise funds for the charity as well as promote its work. This is done by arranging dinners, in which the work of the charity is paraded and people are encouraged to donate and support, or volunteer their time. During this past year, this has not been done to a satisfactory level.
The Trust manages four mosques in the UK: They are based in Liverpool, Sheffield, and Leeds. Through these mosques, the local Muslim community makes use of the centres to further their educational and religious needs. The centres provide regular activities for differing ages; and acts as hubs for social interaction and community cohesion.
The Trust supports the training of the youth in becoming responsible adults. This is done through holding a mixture of camps, conferences and training seminars.
Structure, Governance and Management
MAB Charitable Trust Report of Trustees for the year ending 30 April 2021
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Governing document
MAB CT is a company limited by guarantee without share capital, incorporated on 24 April 2012; and registered with the charity commission on 27 April 2012.
Appointment of trustees
No new trustees have been appointed this year .Trustees can retire when they wish as they do not serve under a fixed term of tenure.
The number of Trustees shall not be less than three but shall not be subject to any maximum limit.
The Directors shall be full members of the Charity.
Organisational structure
The board of trustees administers the charity. The board meets quarterly, or more frequent if the need arises.
Risk management
The trustees have undertaken a full risk assessment of the organisation covering financial, operational, regulatory, governance and management. Various systems and checks have now been put into operation, which are reviewed annually.
Related parties
MAB CT has no other related parties.
Investment powers and policy
Under its Memorandum of Association, the charity has power to invest in any way the trustees wish. Whilst a small amount was invested in the previous year, there hasn’t been any investment this term.
Financial review & reserves policy
The Charity Commission for England recognised that there is a legal duty on the Board of Trustees of Charities to set reserve level and justify that this is reasonable. To meet this responsibility and manage risk, The Board of Trustees have set an appropriate reserve level to meet the ongoing needs of the organisation.
Plans for the future periods
MAB CT will continue to develop its activities to provide encouragement for active participation in their activities. We hope to expand our remit of work, through finding more volunteers. We recognise the challenges and difficulties posed by the COVID situation and aim to circumvent it by having a stronger virtual presence and deliver our services remotely, as well as cater for the needs on the ground to have a greater positive societal impact. Our priorities will be the youth, juniors, tackling Islamophobia, and serving the British Muslim community in all its needs.
MAB Charitable Trust Report of Trustees for the year ending 30 April 2021
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Financial Report
The trustees are responsible for preparing the Trustees' Annual Report and financial statements in accordance with applicable law and UK generally accepted accounting practice. The law applicable to charities in England and Wales requires trustees to prepare financial statements for each financial year which give a true and fair view of the state of affair of the charity and of the incoming resources and application of resources of the charity for that period.
The trustees present their report along with the financial statements of the charity for the year ended 30 April 2021. The financial statements have been prepared in accordance with the accounting policies and fully comply with the charity’s trust deed and applicable law.
ln preparing these financial statements, the trustees are required to:
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i. Select suitable accounting policies and apply them consistently.
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ii. Observe the methods and principles in the Charities SORP.
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iii. Make judgements and estimates that are reasonable and prudent.
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iv. State whether applicable accounting standards and statements of recommended practice have been followed, subject to any departures disclosed and explained in the financial statements.
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v. Prepare the financial statement on a going concern basis unless it is inappropriate to presume that the charity will continue in operation.
The trustees are responsible for keeping accounting records which disclose with reasonable accuracy at any time during the financial year of the charity and enable them to ensure that the financial statements comply with the Charities Act 1993. They are also responsible for safeguarding the assets of the charity, and hence, for taking reasonable steps for the prevention and detection of fraud and other irregularities.
Declaration
The trustees declare that they have approved the trustees’ report above. Signed on behalf of the charity’s trustees:
Abderrezak Bougara Chairman 21 February 2022
MAB Charitable Trust Report of Trustees for the year ending 30 April 2021
REGISTERED COTrIP.INY NUI¥IBER: 0804.1.i68 IF.iiglaiJd lid Wdilesl REGISTERED CIIAII11'Y NIIMBER: 1147011 orl of the Trustees and Financial Statements for the Year Ended 29 A ri12021 for M A B Charitable Ttust A H A¢¢ountancy Service5 IncOOrd(cd Financial Accountants 61A Blagden Strcet sheield South Yorkshire S2 5QS
M A B Chariiablc Trust Contents of the F'Itneal Siatements for the Year Ended 29 A ril 2021 Page Rcport of the TnLsiees Independent Ixajninees Report Statement of Financial Activities Balance Sheet Notes to the Financial Statemen(s 5 to 10 Deiailed Staremeni of Financial A¢tiviiies
M A B Charitable Trust ort of the'l'ru.%ice8 for the Yedr Fnded 29 A ril 2021 The tnL8iees who are also directors of the eharity for the purposes of the Companie8 Act 2006, present thcir r¥N)rt wilh the financial staleiiieiiL% of ihe clmrity for the year ended 29 Apiil 2021. The irus'ieeb have adopted ihe provi%LOll5 of Accounting and RLporting by Chlies.. Statement uf RLconuneiidtd PraLIiLe appliLable to charili¢8 prepaiiIiE their ac¥ounts in dLLOTdilllC¢ Wltli the FIlicial R¢porliJigi SiaIidard appli¢dblL iji thc UK dnd RepubliL ijf IrLlaiiJ (FRS 1021 leffeLiive l January 2019}. STRUCTURE. GOVERNANCL D MANAGEMEN"r CTov¢rning documeiit The charity l8 controllcd by its governing document, a decd of tnJ8t. and ¢onstiiut¢s a limited company. limiied by guarantee, a8 defJn¢d by ihe Companies Act 2006. RFFERENCF AN'D ADMINISTRATIVE DkTAILS Registered Company numbcr 08043568 (England and Wale81 Registered Charlty number 1147031 Reglstered offjee 10 SeN'ern R(iad Sheffield South Yorkshire SIO 2SU Truste¢$ Dr K l J Al-Ani Medical Doctor (appointed 27.1.21) Mb R O Altikriti President (appointed 4.5.20) A Bougara Scliool Tea¢her B Naas Hr And Otrice Manager lappoinied 19.6.201 Company Secretary Indcpendcnt Examlner A H AccounianLy Services Incorporatcd Financial A¢¢ountants 6 IA Blagden Street Sheifield South Yorkshire S2 5QS Approved by order of the boaid of trus-tees on 21 February 2022 a[ signed on its behalf by.. A Bougara- Trustee Page I
Inde endeni F.X<111111)cl¥ Rc M A B cliari11 blc"I"nisi ort to the Trustees of Indep¢ndent examincr'5 report to the trllstee5 of M A B charitb]e I'r11511'tlie Compan.v') report to tlie cliarity tru5te&s oli Jiiy exaniiijalioji ot-llie accoiiijis ol-IlJe Cojiipany tor the year endcd 29 April 2021. Responsibilities and basis of report As tlie charity's Iruslees ol. Ilic Cojiipatiy land also its. dire¢lorb for ¢1)¢ purpo%es of company saw) you are r¢sponsible for the preparation of the accouiiis in aLcordanLe with the requirtrinei). ol. llie Companies Aci 20061'lli¢ 2006 Acl'l. Havinbj satisficd mysel( thai ihe a¢LOLmiS of the Company are not required to be audited under Part 16 of the 2006 ALt and are cli&)ible for independent examination. I report in respect of my eximiination of your cbariils account% <lS Larried out Lmder section 145 of tlie Chariiia8 Aci 2011 {'the 201 l A¢i'}. In Carrying out tny examination I have followed t]1¢ Directions given by the Chariry Commission under seciion 145(51 (b) of the 2011 Act. Independent txmminer's statement Since your cliarity'.% gr088 income exceedcd £250,000 your examincr niu%t be a memb¢r of a listed body. I can confirni that E am qualifiLd tts undert<ike the examinatioii because l atn a registered Jnember of If.A (Instiiutc of Fijiancial AccountanLs1 which is ot]e of tlie listed bodi¢8. I have Completed my exainination. E confm that no mallers have come to my attention in Connection with th¢ examination givii)g me cau8e lo believe- accounling records were not kept in respwt of th¢ Company as required by section 386 of the 2006 A¢t; or the accounts do llot accord with those re¢ords; or th¢ accounts do not comply 11 Lhe a¢coull(ing requiresnenis of seciion 396 of the 2006 Act other than requirement thai the accounts. bFive a trnc and fair vicw which i¥ ni)t a matter considered ab pan of an independent examination,. or the accollnts have nor been prepared irt accordancc with the methods and principles of the Statement of Recommended Practice for awounting and reponing by charities (applicable to Charitie prcpaTing their accounts in accordance with the Financial Reporting Stsmdard applicable in the UK and Republic of Ireland IFRS 102)). I have no COTJcert].% and have come acro&% no other maticrs in ¢onDCCtion with th¢ exam1ttio1] to thich attentiot] should be dra in this report in order io cnable a proper understanding of the accounts to be reached. AkhtAr Hu5sain IFA IID81itute of Fittancial Accountants) A H Accouniancy Services Incoworated Financial Accouncants 61A Blagden Street Sheffield Soulh Yorkshire S2 5QS 21 FebTuary 2022 Page 2
M A B Charitable Trust Siat¢m¢nl c)f FIDaiiricil Aclivilies for Il)e Year Ended 29 A ril 2021 29.4.21 Total funds 29.4.20 Tolal funds. UnTe.slricted tund Re%tricted fund Note. INCOI¥IE AND Eh'DOWMP:N'I"S Tr ROM Donatio and legacies 413,302 413.302 358,761 Investment income 111,490 18.490 20.142 Total 431,792 431.792 378,903 EXPENDITURL ON Raising fundb 174,481 174,481 403,840 Ch&ritable activitlC5 Charitable aciiviiies 201,040 201,040 121,163 Other 177,594 177,594 'rotal 553,115 553,115 525,003 NE'f INCOMEI{b;XPENDITURL) 1121.323} 1121,3231 {146.100) RECONCJLIATIOLY OF FUNDS Total fund5 brought forward 998,738 998,738 1,144,838 TOTAL FUP4DS CARRtED FORWARD 877,415 877.415 99S,738 The notes forni part of these financial statements Page 3
M A B Cl)arilable Triisl BalanLe Sheei 29 ri12021 29.4.21 Tatt funds Unrc%tricted rund Re4tricied fund Total runds Notes FIXED ASSF.'I'S Tangible as8el 526.059 526.059 592,488 CURRENT ASSETS Casli al bank aiid in lJand 371.307 371,307 428.201 CREDITORS Amounts falling due witl)in one year 10 {19.951} Il9,9511 121,9511 NET CURRENT ASSb"rs 351.356 351.356 406.250 TOTAI. ASSETS I.F.SS CURRENT LIAIIILITIES 877,415 877,415 998.738 NET ASSETS 877,415 877.415 998,738 FtINDS Unrestricted funds 12 877.415 998,738 TOTAL FUNDS 877.415 998,738 The charitable company is entitled ¢0 exemption from audit UT]der Section 477 of ihe Companieg Act 2006 for the year ended 29 April 2021. The members have not rcquired the cotnpally to obtain an aL1t of its financial 8taiements for the yw ended 29 April 2021 in accordance witli Section 476 of the Companies Act 2006. The trustees acknowledge their rebponsibiliiit5 for {a} ensuring that the charitable co]npany keeps accoullting records that comply wth Se¢lion$ 386 and 387 of the Companies Act 2006 and preparing fllkqncial btatetnentb which give a trne and fair view of the stale of affa2rs of the charitable company as at t]ie end of each financial year and of its. sutu or defLcii for each fmancial year in accordance the requarements of Section$ 394 and 395 and which oiherwise comply with thc requireD]ents of the Compani¢s Act 2006 relating to financial staiements. so far as applicable to the charitable company. {b} These financial staMentS have been prepared in accordance with the provisions applicable to chariiable companies subject to the gmall companies regime. The financial siatements werc approvcd by the Board of Tru8t¢&8 and authori.%ed for issue on 21 February 2022 and were st)ed on IL8 behalf by.. A Bougara- I ru8tee The notes fom) part of these fJoan¢ial statements Page 4
M A B Charitable Trusi Notes io die FilnCIal Sialcm¢nL for the Year Ended 29 A Til 2021 ACCOUNTING I>OI,IC.IF,S Bmsis of preparing tli¢ fingiTrcig1 statements Th¢ financial gtaiemLnl% ol Ilie cliari11 ble compajiy, which is a publiL bLiILlil cntiiy under FRS 102. h()ve been prcparcd in aGcoidancc willi the Lliarities SOIU'11.'kS 1021 'Accounliiig cind Rcporting by Cliarities.. SiclttTnenl of Recommcnded Practice applicable to cliariliL% pr¢pariJig Iheir aLcounl% in accordance with th¢ Financial Reporting Stgndard applicable in Ihe UK and Republic of IrLland 11--RS 102) (effective l Jiinuary 20191,. Financial ReportiJi& Siaiidard 102 'Tlie fiJianLial Rcporting Siai)dard applicable in ihe UK and Republic of Ireland. and the CoinpaJii¢b A¢1 2006. 1-he financial bldt¢in¢nt4 IMVL been prepared under the hi%lorical cost collvention. Income All income is recognised in the Statemcnt of Financial Activitics once Ihe charity has entitlement to the funds. it is probable that the incolne ,111 be re¢eived and the amount can be measurcd rcliably. Expendltllre Liabilities are recognised as cxpenditure as boon as thcre is a ILgal tsr constnlcrivc obligation commiiiing the chariry to that expenditure. it is probable that a transfer of ccoi?omic benefits will be required it] .%ettlement and the alnount of the obligation can be mcasured r¢liably. Exp¢nditur¢ is accounted for on accrual8 ba8i8 and h& bccn classified ut]dcr heading8 that aggr¥gat¢ all co.8t relaled io th¢ ¢al¢gory. Where c05ts' cannoi be directly attribul¢d to particular headings tliey have been allocated to activities on a basis ¢onsisl¢nt with the use of resources. GranL4 offered subjert to conditions which have llot been met at the year end date are noted aq a commitment but not accrued as expenditure. Taneiblt fixed asset5 Deprcciatiotvamortisarion is charged ai follo1rtg basis.. Freehold building- 20/0 at cost L£aqchold property improvement.%- over lease period Plant and machinery- 25°/D rcducing balance Fixturos and fJttings- 250/ts reducing balan¢e Fund aceountlng Uiirestricted ndS can be u8ed in ac¢ordan¢e with the Charitable objectives at the dis¢r¢tion of the trustees. Restricted funds can only be used for particular restricted purposes within the obj¢cL8 of the charity. Restrictions arise when specified by the donor or when fundb are raised for panicLdar reslTl¢ted purposes. Further explanation of the nature and purpose of each fund is included in the notes to th¢ fancIal statements. Hlre pur¢ha5e and leasiiig commltments Reotals paid under operating Ic&ses are charged to the Sraiemenr of Financial Acrivities on a straigbt line basis over the period of the lease. Page 5 continued..
M A B Charitabli l Tii%l for th¢ Year En(jL(I ?[) Aiiril ?{12 IIYVESI'NIII N'l- INCI)MI,: 2().4.21 IC).4.?11 Rents recLlI'¥d I X.41)0 29.4.21 2C?.4.21) Support ¢ci.%l 174,4X I 24.S.74X SUPPOR'I. cos'rs CJovLrndnLe ManJLTLt]ienl Fiii.ii)ce Raising doiiEiltoJis and l¢b¢lLjC% Other res(Trurces expend¢d Charitable LILliviliL 174.481 171,639 105,253 174.481 177.594 105.796 5.955 543 451.373 543 5.955 457,871 r4ET INC.IIM fi,l{Tr",XPD;NI)I'I'IIIIF,) Net incomL*I(cxpcnditure) i% sl<ilcd after cliaiLpin&rl{cieditinbl'. 29.4.21 29.4.20 Depreciaiion - OHed a%%eL% Other operaling leaseq 68,342 8,U85 69.502 9,921 TRUSTETr.S' RF.MUPIERATION AND BENEFITS There were no trustees, remuneration or other b¢ttefiis for the year ended 29 April 2021 nor for the year ended 29 April 2020. Trustees. expenses There werr no ¢ru5tees' expenses paid for th¢ y¢ar cnded 29 April 2021 nor for the year ended 29 Apr212020. STAFF COSTS Av¢rage nuniber of employees during the period was 12. Page 6 Continued...
M A B Charitable Trnst Notes to the Financial Staiements. _ continued for the Year Ended 29 A ri12021 COMPARATIVES FOR TIIE STAI"li,Mfi N'f OF FINANCIAI. AC."I'IVI'I'II:. . Unr¢siri¢l¥d runLI Re.%tricted fund Total funds INCOME AND EIYDOWMEP4T.4 14 R()M Donaiionb and legacies 237,598 121,163 358.761 InvG%tment income 20.142 20,142 Total 257.740 121,163 378,903 EXPF,NDITURE OLY Ras5itE funds 403,840 403,840 Charitable actlvltles Charitable activitic8 121.163 121,163 Total 403.840 121.163 525,003 NET INCOMEIIEXPENDI'fuRE) (146.100) (146.1001 RF.CONCILIATION OF FUNDS Tot81 funds brought forsyard 1,144.838 l.E44,838 TOTAL FUNDS CARRIED FORWARD 998.738 998,738 TANGIBLL FIXF.D ASSETS Improv¢ments to property Fixtures and rittings Freehold property Plant and achinery COST At 30 April 2020 Additions 418,994 436,561 6.405 1,913 30,628 892.588 1,913 Ai 29 April 2021 418,994 436,561 8.318 30.628 894,501 DEPRECIATION At 30 April 2020 Charge for year 123,479 8,380 159,244 54,570 4,217 1.025 13.160 4.367 300,100 68,342 At 29 April 2021 131,R59 213,814 5,242 17.527 368,442 NF.T IIOOK VALUE At 29 April 2021 287,lJ5 222,747 3,076 13.101 526,059 At 29 April 2020 295.515 277,317 2.188 17,468 592,488 Page 7 continued...
M A B c]rItable Tru.%t Notes to the Financial Stateillents- continued for the Year Ended 29 A ril 2a21 io. CREDITORS: AMOUTr4TS FALLING DUTr: WITHIN 0Tr4b; YEAR 29.4.21 29.4.20 Other loan%1sec note I l) AccEucd ¢xpcnscs 17.540 2.41l 19,540 2,411 19.951 21,951 LOANS An analybis of the tUritY ot loans is given beltsw.. 29.4.21 29.4.20 Amounts falling due tI1]n one year on demalld.. Ot]ier loans 17,540 19,540 12. hioifEMENT IN FUP4DS Nei moverneni in funds Ai 30.4.20 At 29.4.21 Unrestricted funds General fund 998,738 (121,323) 877,415 TOTAL FUNDS 998,738 (121,3231 877,415 N¢t movement in fvnds, included in the above are as follows.. Incoming resources Re8ourceg expended Movemeni in funds. Unrestricted funds General fimd 431,792 (553,115) {121.3231 TOTAL &VNDS 431,792 1553.115} {121,3231 Comparatives for Jnovement funds Net movement in funds At 30.4.19 At 29.4.20 Unrestrieted funds General fund 1,144,838 1146.100) 998.738 TOTAL Fuf*DS 1.144.838 (146,100) 998,738 Page 8 continued...
M A B Charitable Tru8È Notes to the FinÉiiiciuI Statements- continiied for thc Ycai I'.ndcd 29 A ri12021 12. MOVF.riiTr:NT IN FU14DS - continued Cotnp8fdliv¢ net movement in fut]ds. included in tlie above are as followb.. InLoJning resources Resources exp¢nded MovirnL'nl ill funds Unrestricted funds Generdl fund 257,740 (403.840) 1146.100) Rcslrictcd funds Funds to other charitie. 121,163 (121.163) TOTAJ. FUNDS 378.903 (525,003) (146,100) A cUent year 12 months and prior year 12 monthb- combined posilion is as follows.. Nei movement in lunds Ai 30.4.19 At 29.4.21 Unre5triclcd funds General fLuJd 1,144,8314 1267,423) 877,415 TOTAL FUNDS 1.144.838 1267,423) 877.415 A CUTrent year 12 months atid prior year 12 months combined net movement in funds, in¢lud¢d in the above are as follow$'. tncoming resources Resources expended Movement in funds Unrestricted fuDds General fund 689,532 1956,955) (267,423) Restricted funds Fund.% to other Charities 121,163 {121,163) TOI'AI. Fuf4DS 810,695 11,078,118) (267,423) Page 9 continued...
M A B Charitable Tiust Notes to Ihe Finaiici(Il StaMen(b- Loniinued for the Year Ended 29 A ril 2021 13. RELATED PARTY DISCLOSURES Therc were no relat¢d paty trat]sa¢tion$ for thc ycar cndcd 29 April 2021. Page 10
M A B Charitable-fru8t Detailed Statejnenl ol-l.'iiJanLldl ALlivitiL% for the Year Lnded 29 A[]1 2021 29.4.21 29.4.20 INCOME AND ENDOINMENTS Don4tiolls and legacies Donations Collection for other ¢haririas 413,302 237.598 121.163 413,302 358,761 Investment income Rents received 18,490 20.142 Total incoming resources 431,792 378.903 EXPENDITUKE Ch4ritable aetivities PayentS to other charities 95.244 121.163 Support Costs i anagemtnt Wages Social security Rent artd rates In5UTance l.ight and heat Telephone Pi)¥tag¢ and staiionery Advertising OtheT admin expenses Repairs and renewal.s Depreciation of tangible and heritage assets 152.032 22,449 8,085 8,365 38,524 2,524 966 729 140.202 9.155 68,342 162,916 20,405 9,921 8,171 45,587 2,817 4,507 144 62,427 13.013 69,502 451,373 399,410 FinAnce Bank charges 543 1.690 Governance costs Accountancy and legal fees 5.955 2,740 Total resources expended 553,115 525,003 'et expenditure (121,323) (146.100) This page does not forn) part ofthe statutory fjnancial 8tat¢m¢nLs Page 11
Inde deni L.xamLncr'% R M A Il Chari1411)Ic Tni.si to thc Trustces of Independent cx4m5iiei"s repori io iht Iru$iees of M A B C'hJrilablL. Trust ('the Company'l I rcp)rl to thc charity tru8tees (yn ¥ny examination of the accounis ofthe C-ompany for the ycar cndrd 29 April ?021. Responsibiliiie$ #nd b#sls of report As. the charitg% ITU.¥lCCS Ot-lhe Lon)panw laiid al%n IL% direciar8 fnr the i)utpo.%e% of company la.} yciu Ai< r<%wiK%ible for the preparniion of tlie 8ccvuiilS in accordancc iiqth thc rcquirLnicnls of ihL Lotnpanie8 Aci 20061'thc ?CH)l? Acl'l. Hukin&T ¥&li&ficd mtIf tha¢ ihe a¢¢ounib of ihe Company are noi required to be audiied und¢r pl 16 of tli¥ ?(K)6 A¢1 and are eligible for iiidepLndeni examination. I repurt in res1 ol. tny examinaiion of your charitys accounL$ as carricd out undcr scction 145 of ihe Chariii¢s A¢1 2011 I'ilie 701 l Avl'l. In ¢an)iiig out my examinaiion I havc lollowrd Ihe 'T¢¢lions ¥iven by ih¢ Charity Commi&¥ion under 5CCtion 145{5) (b) of the 2011 ALt. ludependtDt ex#miner's statement Sin¥¢ your cliariiv'% ¥ro.K% inlvmc cxrccdcd £250,000 >vur CXaTnincr Tnu¥t be a member of a lisid b(Kly. I can confimi thai l am qualificd t(1 undert41k¢ lh¢ ¢%mInlitn b¢caiL%¢ l am ¢7 r¢gi%i¢r¢d rn¢tnber of IFA {Iii%lllUlc of Finlln¢ial Accounianig) wthich is onc ofthe lisied bodie%. I havc complcted my exaniination. I confirn) that no tterS have com¢ ¢0 my Dttcnlion in conncction wtih the examinO1ioJ) giving trK Cause to believe.. 8LLounlin¥ rccor