HAMAARI
Trustees Annual Report and Yinancial Statements
For
Year Ended 31 March 2025
Charity No: 1149350
RAN
O ACCOUNTANTS LTD
97 Walbrook Road, Derby, DE23 8SF
Tel: 01332 270 906
NOTTINLIIA
WALSAIL
Rana & Co Accountants Ltd
97 Walbrook Road
DERBY
DE23 8SF

HAMAARI
Trustees Annual Report and Financial Statement
Year ended 31 March 2025
Contents
Page
Reference and AdministratllFe liifoiination
TrLiStees Annlial Report
Independent Examiner's Report
Statement of Financial Activities
Balance Sheet

Reference and Administrative Information
Charity Iyame:
HAMAARI
Cbarity Registration Number:
1149350
Registered Office:
65 Balaclava Road
DERBY
DE23 8UL
The Board of Trustees:
Jibril Weheliye (Chair)
Alnazir Kuri
Abdelhak Belbina
Fuad Osman
Hawa Esse
Mohainmed Abdullahi
Independent Examiner:
Riina & Co Accountants Ltd
97 Walbrook Road
DERBY
DE23 8SF
Pagie I

Trustees, Annual Report
Year ended 31 March 2025
Structure, Governance and Management
The registered and the principle addi'ess of the Charity is 65 Balaclava Road, Derby. Hamaari has achieved
full registration on 6 Jiine 2012 and its RegFlSter¢d Charity Number is1149350.
Objectives and Activities
To advance tlie Educational, CultLiral and Social Welfare standards of priiicipally biit not excliisively of
Black and Minority Ethnic (BME) people living, working or stiidying in Derby and siirrounding area. By
providing advice and assistance and organising programmes of physical and other actlVLties as a mean of
gaining employment, Hamaari's aim is to help them develop their skills and capabilities to enable them to
participate in society as independent, mature and responsible individuals.
Physical activities
Hamaari's aim for the year was to advance health and wellbeing, promote social inclusion, and support
personal development among BAMER (Black, Asian, Minority Ethnic and Refugee) children and young
people from deprived backgrounds. Our projects were designed to meet these objectives through structui'ed,
sport-based interventions, with a particular focus on football activities.
Over the financial year, the charity delivered a successful football-based programme aimed at improving:
Physical and mental wellbeing
Self-esleem and personal confidence
Community engagement and teamwork
Reduction in local anti-social behaviour
The sessions ran weekly and were initially targeted at BAMER youth. However, participation organically
expaiided to include individuals from ihe wider community aged 16 to 50+, creating a diverse and inclusive
environment.
Each session included wann-iips, skills-based drills, structured matches, and infonnal mentoring through
positive peer interaction. A strong emphasis was placed oil teamwork, respect, and mutual support.
The Triistees are satisfied that the activities undertaken provided significant public benefit and met the
charity's objectives. Achievements this year included:
I OOO/o of beneficiaries rated the project as "excellent" and expi'essed willingness to retiirn for future
sessions.
Positive anecdotal feedback from local residents about a reduction in anti-social behaviour, particularly
among younger participants.
Observed improvements in confidence, resilience, and physical health among beneficiaries.
Increased community cohesion, as a result of the intergenerational and multicultiiral nature of the sessions.
While the proj ect was siiccessfiil overall, several minor challenges were encountered:
Venue cancellations due to poor weather in December and January.
Occasional delays in accessing the facilit), diie to key holder unavailability,
Oiie isolated iiistaiice of tensioii betwcen bencficiai'ies, wliicli led to tninor anti-social behavioiii. diiring a
session.
Page 2

Trustees, Annual Report
Year ended 31 March 2025
All challenges ivere handled promptly and effectively:
Participants M'ere kept informed of weather-related changes.
Alternalive arrc1ngements were made where possible.
Behc1vioiiral issiies ivere inaiiaged calnily <2nd professioiially, and normal g7foLlP d)'nlc Inics resLiined qiiickly.
These setbacks did Iiot sigpnific¢2ntly iinpact the qiialily or consistency of delivery.
Building on this year's success, the charity intends to:
CoEItillLie delii'eringi siinilar football-based proLJrammes with cin enlianced striictiire,
CondLlCt early-stage consiiltation with beneficiaries to better uiiderstand their needs and expectations.
Strengythen intenial procediires, parliciilarly around venue contiiigency planning.
Consider iiicorporating additional wellbeing support, siich as inental health worksliops or nutrition
sessions, to broaden impact.
Deliver physical activities specifically desigyiied for young girls and woinen.
Conclusion
The charily has successflilly met its objectives for the reporting year. 'fhe Trustees are pleased with the
positive outcomes achieved, the resilieiice ot'ilie delivery team, and the strong t'eedback froni participants.
I'he programme h<iS not only supported health and wellbLing but also fostered social cohesion aiid reduced
local anti-SOCl<il behavioiir delivering7 langFible Pliblic benefit iii line with our chL1ritable piirpose.
Achievement and Performance
"rhe Charity hlc s siiccessfiilly acliieved its charity statiis and also its aitns and objectives oiitlined in the
chcirity constiliiti()ii.
-l-he I"riistees consider the state of aft'airs to be satisfactory.
Reserve Policy
At 31 March 2025 tlie Chc2rity had geiiercll reserves of £2,242
Approved b), tlie TriistLes and sigTriied on their behalf.
Jibril Weheli)'e
Chair
Date: 1610612025
Page 3

Indepen(lent Examiner's Report to the Trustees of HAMAARI
I report on the accounts of the charity for the >'ear ended 31 March 2025 ivhich are sel out on pages 5 to 6.
Respectii'e responsibilities of trustees and examiner
The charity's Iruslees are responsible for the preparation of the accoiinls. The charily trustees consider that an audit is not
required for this year Linder section 144 of the Charity Act 2011 (Ihe Charity Act). 11 is rny responsibility to-
exmine the accounls under section 145 of the Charitie5 Act.
follolv ihe PTocediires laid down in the general Directions given by the Charity Coii)Ini5sioiI (under section 145(5)(b)
of the Charity Act), and
to slate whether particular matters have conie to iny attention
Basis of indepenqlent examiner's statement
My examination was carried out in accordance with general Directions given by the Charty Commission. An examination
incliides a review of the accounting records kept by the organisation and a comparison of the accounts presented ivith
those records. It also includes consideration of any unusLial ilems or disclosures in the accoiints, and seeks explanations
from yoii as trustees conceming any such matters, The procedures un(lertaken do not provide all the evideiice that would
be required in an aiidit. and conseqiiently no opinion is given a5 to NvhL'thL'r the accounts present a 'true and fair vieiv" and
the report is limited lo those matters sel out in the staletnent beloiv.
Independent examiDer's statement
In the course ol my examination, no material matlers has ¢oine to Iny ttttention:
which gives me reasonable cause to believe that in any material respect, the requirements
lo keep aecounling records were not kept in accordance with section 130 of the ChaTities Act or
to prepare accounts which accord Nvith the accounting records and comply iviih the accounting requireinenl of the
Charitie5 Act have not been met, or
2 to which, in my opinion, attention should be drawn in order lo enable a proper iinderstanding of the accounts to be reach
RAN
O ACCOUNTANTS LTD
97 Walbrook Road, Derby, DE23 8SF
Tel: 01332 270 906
rJi
WALSAL
Rana & Co Accoiinlants Ltd
97 Walbrook Road
DERBY
DE23 8SF
Date- 30,10712025
Page 4

HAMAARI
Statement of Financial Activities
Year ended 31 March 2025
[Inrcstricted
Rcstrieted
'und$
1'0(91
2024
2&25
Income
tiiants
*Ote
Donations and Cjift Aid
Sundry Income
23723
23723
16508
2000
2QOO
25723
25723
16508
enditure
990
990
1820
Fooiball coaching
Telephone & broadband
Refreshments
6360
6360
125
2600
125
520
Stationcry find posth8¢
Insurance
Professional costs
Sub5criplion
Wa8CS
HMRC
Publicity & prornoiion
Travel expe)Ises
Workshops
Volunteer expen5e5
Oftice reiil
5000
5000
300
500
200
7SO
750
624
1500
7800
500
1500
7800
500
1200
7800
G¢n¢ral cxp¢n5¢S
Utilities
Repair & maintenance
orric¢ expenses
Miscellaneous
IT Soflilllrc and Consiimables
27
150
27
130
150
23702
23702
14914
Surplus/(Defeeit) for yeAr
2021
2021
1594
Transfers
Opening Balances
Closillg Balmnces
36]5
2021
1594

HAMAARI
Balance Sheet
At 31 March 2025
Total
Total
2025
2024
Note
Balance at Banldcash
2242
1594
2242
1594
Creditors
Net Asset
2242
1594
Represented by:
Unrestricted Funds
Restricted FLinds
2242
1594
2242
1594
Treasurer:
Date: 3010712025
Chair:
Date: 3010712025
Page 6