Docusign Envelopp ID." F2B3FSB&C08346CC-877A-F14919E7CBBA
Fiiiancial Stat¢Tnent5 for the Y¢aT F.nded 31 Mar¢h 2023
Planet M¢TC
CRN D80(14180
PTlVate Limited CoTn
an
uarantee without share ca
ital iise of 'LiTnited' exen)
tion

Docusign Envelope ID". F2B3F5B5£08&46CC-877A-F14919E7CBBA
Planet M¢1
c.ontents of the Pinan¢ial Ststeinents
ror Ihc Ycar Endcd 31 March 2023
Page
G¢n¢ral Inforination
Trustees Report
Stal¢Tnenl of trustees, Tespoiisibilitie5
Stsiemenl uf fiiiancidl aLtivitie.
Balance sheei
Notes to fjllancial activities

Docusign Envelopp ID." F2B3F5B&C083-46CC-877A-F14919E7CBBA
Planet MetL
rt of the Trustees
for the Year Ended J l March 2023
Tht trustees preseni their annual report and financial stateinents for the Year Ellded 31 March 2023 and they confirm
Ihey Lomply wilh the Charilies Aci 1993, amended by ihe ChaTilies ALI 2006, the irusi deed and Ihe Charities SORP
2005
CHARITY NAME:
Planei Mercy (Limited by guardnieel
COMPANY NUMBER:
080(H180
REGISTERED CHARITY NO:
1150069
TRUS'I-EbS-
A Mahinood
Amina Latif
Mulminmdd B Ra%hid
Sahida Baiio
Sajad Ilussain
Saydia Iqbigl-wajid
Shazia Azdin
Wajid Mohammed
ADDRESS:
CaTlson House
Unit2&3
Mount Pleasant Business Centre
Jackson Strcct
Oldhain
Manch¢sier
OL4 IHU
Page I

Docusign Envelopp ID." F2B3FSB&C08346CC-877A-F14919E7CBBA
Planet MetL
rt of the Trustees
for the Year Ended J l March 2023
Structure
overnance and tnana
ement
GovernlTh% document
Planci Mcrcy is constitutcd as a charilablc trust rcgistcrcd wilh Ihc Chariiy Commission in Dcccmbcr 2012 und¢r
chariiy number 1150069. 11 Is governed by a deed of Irusl last updated in July 2000.
Organisational structure
The chaTlty Iru.4teeE aTe responsible for the bFeneral coiilr()l and rnana¥enient of the chaiily. The tru.4lees give theiT liine
fr¢¢ly and rcccivc no rcmuncration or othcr financial bcncfits.
Ob eclive% dnd activitie%
Our aim5
The objects of the chaTlty aTe set out in the charity's trust deed and aT¢ 5umTn&rised a5 follows..
To d¢￿¢10p Ihc capaciiy and skill of Ihc mLmibcrs of Ihc sociallv and cconomically cxcliidcd and l or disadvantagcd
LLTrmmunily LTrf GteateT MaiiLlieslei In suLh d way thdl they aTe beltei able lu identify. and help Tneel. their need5 SU
tliat tlity Inay participate moTe fijlly in society. (the tW5t¢¢s iii fvrthering tliis object aTe required to work for the
benefit of all but in line with the teachings of Islam)
Tu further SULh LTrthei LhaTiiable i)utpuse5 OS the tru%lees see fil fTUm liine to lime lirt furtheTinE thig ubjeLt the trustees are
r¢quir¢d to ￿'ork for th¢ benefit of all but in line with ihe teaching5 of151am).
Our objectii'e¥
Our objectives ar¢ set to reflect our faith and community aims. Each year our trustees review oui. objectives and
aciiviljes to etjsure they eoniinue to refleci our aims. lrt c&rryirtg out Ihis revjew Ihe Irustees hai'e considered the
ChaTity CoinTni£sinii s geneTal guidance public henefit and in paTticiilar its suppleinentairy public guidance on the
advallcemeni of religion for the public benetit.
Use of Volunteers
Volunieers are an importhnt resource in both our faith alld communiiy work. Volunteers are involved in most of our
faith and cnrnTnunily activities. All niir tru%lee% giTre their tirne freely. We encnuTage all ineTnbeTS of OUT chaTity lo be
involved iii volunlaTy activities and to sliare tlieir skills with others.
Page 2

Docusign Envelopp ID." F2B3FSB&C08346CC-877A-F14919E7CBBA
Planet MetL
Statement of Trustees. r¢s
nsibilities
The chllrity Iru5t¢¢s aTe responsible for prepariiig annual report and financial slaternent5 in accoTd&nce with
applicable laiv and United Kingdom Accounting Standards Iunited Kingdom Generally Accepted Accountlllg Practice).
The law applicable to charities in England and Waleg requires the chatity trustees to prepare financial stateTrtertis for
each year which gTive a tiv¢ and fair N'iew of the state of atyairs of the charity and of the incoiningF Tesoui'ces and
application of rcsourccs of thc eharity for that pcriod. In prcparing Ihc financial su8tcmcnts, thc irustccs are rcquircd io..
Select suitable accounting policies and then apply thetn consistenily.,
Observe the tnethods priiiciple% in the ChdTltie% SORP.,
M8k¢ judgern¢nt5 and e5timat¢s that are rea50nabl¢ and prudtnt.
Siaie whether applicable accounijng siandards have been followed, subjeci to any ma￿rIal departures disclosed
and explained in the finanLial slateTnenl%-,
Prepar¢ the ffinancial statements on the going concern basis unless it is inappropriate lo presume that the cliarity
will Lortlillue in business.
Th¢ trust¢¢S aT¢ T¢sponsible for k¢¢ping proper accounting records that disclose with reasoiiabl¢ aCCUTacy at any tiTn¢
Ihc financial position of ihc chariiy and 10 cnablc Ihcm io cnsurc ihal Ihc financial siatcmcnis comply with Ihc Charitics
Act 1993, the Chdrity (Accountg and Reports) Regulaiiuns 21KI8 and the prvvisions uf the trust deed. They are also
1'¢sponsible tor safeguarding tlie a55ets of the charity and hence taking Tea50nable step5 for the prevention and detection
of fraud and oihcr irrcgularitics.
Th¢ trL]St¢¢s for tli¢ purposes of Charity law who S¢Tv¢d during tli¢ p¢riThJ up to th¢ date of this ￿pOrt are set out on pag¢
Approved by the trustees and 4ibTned on it8 belialf by..
D￿US￿an•dby.
Saydia Iqbal-wajid
14-)ul-23 1 1..05 PM BST
Date..
Page 3

Docusign Envelopp ID." F2B3FSB&C08346CC-877A-F14919E7CBBA
Planet MetL
Statement of fjllallcial activities
for the 31 M￿rth 2023
31.03.23
31.03.22
Donatl0115 received
50,174
35,654
Cost of sales
Activities for generating funds
Donarions paid
17.3111
12,414
14.483
9,373
29,795
24,217
GROSS PROFIT
20,379
11,437
Expenditure
Premises costs
Advertising
Insurance
Accountancy
SubsLtiptions
P(k41 & %latiniiery
Tclcphonc
Sundry ex￿nseS
Rates
560
3,670
784
720
425
4,448
123
720
513
45
173
134
750
6,159
6,726
14,220
4,711
Flank charg¢s
406
58
13,814
4,653
Depreeiation
Pl￿1 ￿lhi￿erY
213
284
-1. SURPLUS IDLb ICI'I.)
13,601
4,368
Page 4

Docusign Envelopp ID." F2B3FSB&C08346CC-877A-F14919E7CBBA
Planet MetL
Islered nU￿be[." 1150069
Balance Sheet
31 m￿rth 2023
31.03.23
31.03.23
Noies
FIXED ASSETS
Tangible assets
640
853
CuRRE￿T.￿SSETS
Cash at bank and in hand
19,363
19,363
CREDITORS
Amout)ts falling due within one year
NET CURRENT ASSETS
33,817
20,216
TOTAL ASSETS LESS CURRENT
LIABILITIES
33.817
20,216
NET ASSETS
33,817
20,216
RESERVES
Members equity and other re5en'es
33,817
20,216
33,817
20,216
l approve the financial statements and confirm that I have made available all T¢l¢vant records and inforniation for th¢iT
preparaiion.
Saydia Iqbal-wajid
14-Jul-23 1 1..05 PM BST
Datc..
Page 5

Docusign Envelopp ID." F2B3FSB&C08346CC-877A-F14919E7CBBA
Planet Metc
Notes lo the Financial Statements
fur the 31 2023
ACCOUNTING POLICIES
Attountlng toThventlon
The ffinancial srateintnts have been prepared under the historical cost coni'ention and in accordance with the
Siatement of Recommended PraLiice.' Accouniing and Reporting by Charities ISORP 20051 Issued in March
2005 and applicable UK Ateounting SiandaTds and the Chanlies Act 1993.
Turnover
TuTnoveT iepre%enls dunatiuns TeLeived.
Tangible fixed assets
DepTeLiatiun is provided at the following annual rdtes in ordeT to write off each asset over its eSlimated useful
Plani and machinery etc
250/0 On Cost
Aetivities for generating futlds
ActivitiLs for gcnLYating funds comptiscs th0￿ cosis incurrcd by thc charity in ihc dclivLYy of ils aciivilics and
services for its ben¢ficiari¢s.
TANGIBLE FIXED ASSETS
Plant and
Tnachinery
cic
COST
Al l April 2022
Additiuns
4.704
At 31 March 2023
4.704
DEPRECIATION
Ai l April 2022
Charg¢ for period
3,851
213
Ai 31 MdrLh 2023
NET BOOK VALUE
Ai 31 March 2023
640
At 31 MaTch 2022
853