Ch8rily number.. 1150921
Unlted Klngdom Education & Falth Foundatlon
iINAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 3111212024

Unit•d Kingdom Education & Failh Foundabon
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 3111212024
TRUSTEES
Na5im Ashr8f
Hafizan Zaman
Zubaria Akhtar
Saima Nadim
Zara Khan
REGISTERED OFFICE
72 Yorkshirg Slreel
Oldham
OL1 1SR
CHARITY NUMBER
1150921
ACCOUNTANTS
Gib50ns AcccNJnlanls Ltd
Ch8Mered Acc¢unianti
226 Oldham Road
Rochda
Lancashire
OL112ER
page 1

Uniied Kingdom Education & Faith Foundation
ACCOUNTS
FOR THE YEAR ENDED 3111212024
CONTENTS
Page
Report ol the Twsle•s
Independent Examlnerfs Slalement
Slaiem&nt ol Finawal AdNtti
Bala￿0 Sheet
Notes lo the Accounts
81013
page 2

Unlted Klngdom Education & Faith Foundation
FOR THE YEAR ENDED 3111212024
TRUSTEES, REPORT
The trustees presenl Iheir report and accounts for the year ended 31112r2024
PRINCIPAL ACTIVITIES
The prinup81 activity of the charity in the Ye￿ under r￿￿WaS the ol religious ham)ony lor Ihe beThefll
of the public and cornmunrty cohesive actiwties.
STRUCTURE GOVERNANCE AND MANAGEMENT
Governry do¢urnenl
The thanty is ¢ontroll¢d by ils governing docJJrn•nl. a Iwjl deed daled 20th February 2013 and is a registered
charity number 1150921.
Truslèas
Trustees are encourage(I lo hav8 apwopriate Ir8lnirvJ from lh• NCVO.
Trusl88s hold quarterfy meelings lo dlscuss thè financial position and lulure strategy of tho Charity.
OBJECTIVES AND ACTIVITIES FOR THE PUBLIC
BENEFIT
rhe Iruslees have considered UKEFF adivilies and ￿hl6vementS for lh¢ yèar and havÈ gwen due consideration
to the Ch8ri1y Commission's wblished guthnc8 on thè puty￿ Ber*fil reqimrnment under the Chadties Aei 2011.
Our main aclivllies and who we try lo help are desc￿1)￿) b¢low'.-
- The promotion of re1￿louS hamyjty lor Ihe benefft ol the and ¢ommunily aclNltie8;
- Oldham lood ald hub and lh* weekly prov15bn of fotsj pafc¢l$ WKI signFo5ting Se￿ICe.
- Assist￿Ig refugees, homeless, ¥$ylum seekers and Ihose 11¢8ing dorresbc abuse
The strategies employed Io as$i$i Ihe charity to meel thesa obj¢¢tNes inc4ude the lollowng.."
- To prowde adV￿e on living in Ihè UK and weware righls..
- ro prowde adKe, support and $ignr#)sDng io relevant agena¢$:
- To prow(Se food and fir¢andal Sup￿ to people in need.
- To provide support wothers and Iraralthtors to enable and empNer Serv￿ users when navigating the benefits.
irnrnigralh)n and legal Iramework in marilal and chIld￿n disputes.
p4e3

Unitsd Kin9dom Educatlon & Falth Foundatlon
FOR THE YEAR ENDED 3111212024
TRUSTEES. REPORT
ACHIEVEMENTS
Our Oldhorn food #id hub a180 as Ihe Centrè of Warmth has prOV￿ed a lileline for many Oldham and Greater
Manchester residents. This project Vrn8 part funded by Cadènt, ￿l￿￿ng us Its estsUish a sustainable projecl and covei
50me ol our core running cost5.
The food aid hub provides a holistic sth1￿* lo I￿lIeS wilh c*ildien as wdl as sitvJle indNiduals. some wilh complex heallh
and well-being needs.
We had 3.830 beneficiaries Ihroughoul 2024. We prOvKI￿ 634 lood parcels wh￿h benefited 1,528 beneficiarles and
provided 31,404 meals. $0 that children were not g￿ng to bed hungry
We provided financial support 01 £45,081 11) 229 reripients. benefi11￿ 809 famity members, I￿UdIng the oklerly and
children. Thls Support varied and included direcl financi81 support, household items. clolhing and food sup￿rt.
Through the Oklham Councils Househol¢J SupFX*rf FuThd. dislribuled E6.547 to eA recipien1$ as crisis or other fr'nancial
support. Thi8 fund supported an overall 128 ￿nefiCiene8 whth included 62 children.
We also provided 4JomeSl￿ abu$e $upport Se￿￿eS which warè part lun¢J¢d IhroU9h the Standing Togeiher Community
Grant. This service provided jupport to over 200 and chiklren.
Fundsng durir4J Ihe year was £209,32812023'. £237.124I.
RESERVES
In keeping wth Ihe Charit*s Commiss￿￿ guidane• on reserves, the Board has a to h￿￿ unreslncted r08eNe$ in
order lo ensure the continued actNrties of Ihe charily In bmes ol r¥duc¢d incm.
STATEMENT OF TRUSTEES RESPONSIBILITIES
The Tfusieas are responsible lor preparing Ihe Twstee$' Amual ReFKYt and Ihe financlal slalements in accordance with
thè 8ppli¢aLqe18w and UK GAAP.
The Trustees are required lo wepare financial $1glemenl$ loreach fin8ro81 yearwhich give a true and fair view of the slalo
ol affair5 of Ihe charilable company and of Ihe incomin9 reswrces and application ol r•soure¢s, induding the Income and
expenditu￿, ol the Chari18￿* ¢ompany for that period. In wporing tht39 financial ststement8, the Trustees arè required
lo..
- select sultall¢ a¢¢ouniinp Oirjes and Ihen aPF4y ¢h•n c¢rts1$￿nuy-
observe the melhods and principles in the Chariiies SORP.,
- mak? judgemen¢s and eslimales that are reasonable and prudenl..
. slate whether applicablt UK Ac¢ounling Standards havé b¢ort follwd. subiect to any material departures dis¢losed and
¢xp18ined in lh¢ finanry81 slatements," and
prepare the financial statements on the going corKem basis U￿esS il is appropiiate to wesumo thai Ihe chariiatye
company will ¢onlinue in operation.
The Twslee5 are responsible for keepin9 proper accounling reccKds which discsosa with rea50￿&ble accuracy al any lime
the finanoal posits.on ol the charily and whKh enable them to en$urè Ihal the fina￿la1 slalemenls comply with the Charilies
Acl 2011 They are also responsiblè for salÈguarding the assets of Ihe charty h8nee for taking r¢8sonable sleps for
Ihe prevention arKI detertion of fraud and other Irregulari1￿$.
This report was approved by the Board ol Trustees on Tr July 2025.
ral trruslee)
page 4

Unlted Klngdom Edu¢atlon & Faith Foundation
INDEPENDENT EXAMINER'S STATEMENT
FOR THE YEAR ENDED 3111212024
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF UK EDUCATION a FAITH FOUNDATION
I report to the trustees on my examinalion tsf thg a￿oun1S ol the above ¢hArity ftheTrusn for Ihe year eThJed
3111212024
RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND EXAMINER
As the charity's ITU5tees, you are responsi￿¢ for the preparatioft ol the a¢¢ounts ￿th the wuirernenls ol the
Charitie$ Acl 2011 fihe Actl-.
I r¢port in respecl tsf my examinatlon of th& Tru81'5 accounls carried eArt und•r sectw 145 01 Ihe 2011 Act and In
carrying out my examination. I hav¢ followed all the applKablg Dire¢l￿n$ given by the Charty Commlssion under
seciion 14515llbl ol thè A¢t.
INDEPENDENT EXAMINERS STATEMENT
I have completed my examination. I c￿nfirM Ihal no m8terial rnalters have come lo my 8ttenlitin in cefineclion
Ih the axaminalion which gives me causts to b¢lieve that in, any rnaterfal respe¢t'.
. the account'ng re￿d$ w*re not kept in ￿￿Ordan￿ ￿th seclion ol thg Cha¥tt18s A¢l'. or
- the a￿Ount& d*J not accord wilh Iho a¢¢eAmling recLvth'. or
the accounts did comply with Ihe requirements concerning th8 lorrn and content ol accounls s&1
out in the Charilie$ (Accounts and Rep)rtsl Regulations 2008 other Ih8n any requiremenl that Iho accounig 9ive
a true and lairf, Vh?w which is nol a maller eon$thred as part of an independent exam¢n8110n.
I have no concems and have come across Th) DI￿r matter8 In connect#)n ￿th the axamlnation Its wlKh 8ttenllon
$hould ba drwn in this rewt in order to wwble a proper uThJerslandiThJ ol Ihe accounls to b8 reached.
Juty 2025.
David Gibson A.C.A.
Member ￿ The Institute of Chartered Accc4Jniants in England & Wa￿$
Gibsons Accountants Ltd
226 Oldham Road
Rochdale
OL112ER
page 5

United Kingdom Edu¢ation & Faith Foundation
Statement of Flnancial Activlti&s
for the year èndèd 3111212024
2024
2023
Unwtri¢tsd Restrlcted
funds
ful￿8
Totsl
Total
Income
Income from generated funds
Donations and legacies
Income fr￿ charitable 8ctNrties
20.9)4
3,847
24,751
184,577 205.481 233,064
3.847
4,0fj0
184.577 209.328 237, 124
Total Incom• and ondowment•
ExpenBe8
Cosls of generating fund5
Expendllure on Chanlable actr¥ili&y
Total Expgn$g¥
Net galng on Snve8tments
Ntt In¢om•l l•xp•ndltur•l
16.072
18,072
247.971 264,043 174,039
247,971 264,043 174,039
8.679
163,3941 154.7151 63,08J
Transfers between funds
3.020
13.0201
Galn81110s8881 on revaluatlon ol Ilxed awt•
Nèt movèmènt In lunds..
Net 1ncomtllèx￿￿do1yr91 for the y•¥r
Tot81 funds brought lo￿ard
Net funds carrl•d ft)rward
11,699
14,483
26,182
166,4141 154.7151 63.08S
141,8C6 156.289
93,204
75,392 101.574 156.289
This statement of financial xtivilles irtludes all galn$ bswJ r•¢o9nised yeaf. Al Income
and expenditure derive from continuing •Cti¥rti68
page 6

United Klngdom Edv¢athon & Faith Foundation
BALANCE SHEET AT 3111212024
2024
2023
FIXED ASSETS
Tangible assets
3,793
3.611
CURRENT ASSETS
Deblors larnounls fallirffJ due within one yearl
Cash al bank and in hand
28
98.889
98.717
936
20fj,394
206,394
53, 776
CREDITORS.. Amount8 falllng du• *rfthln one y•ar
NET CURRENT ASSETS
97.781
101.574
152,678
156,289
TOTAL ASSETS LESS CURRENY UA81UTIES
CAPITAL AND RESERVES
Unr8Btrl¢t8d fund•
General fund
21.Cfj4
5.118
75.392
101.574
13,267
1,216
741.806
156,289
Deslgnaled funds
Restrlcted lund8
ed by the board of tru8tts8 on 7th July 2025 #nd glgned on thelr behalf by
Nasirn Ashral
Trustee
page 7

Unlted Kingdom Ed￿ation & Falth Foundation
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 3111212024
1. ACCOUNTING POLICIES
la. Ba818 of Ac¢ountlng
The accounls have boèn prepared under the historiral cosl convenlton.
Thè 8ceounlS have been prepared in wth Ihe Charitias SORP IFRS1021.
Th8 Charity Is a Public Benefit Entity.
1b. Incomlng Re8ource8
All Incoming resour¢g$ are included on th8 Statèmeni of Financlal ACt￿tt￿$ wh8n th• charity is l$98lly enlitw lo th•
Incomo an¢J thè arnounl can be quantified ￿th reasonatle aceuracy.
1¢. Rg¥our¢e8 Exp•nd•d
Expendilure is gccounled lor on an accfuals basis and has been dassified undef he8din9$ thal aggrègate all cosl
related lo Ihe category. ￿ere tost5 c8nThot be directty allribuled to particu18f headings thay h8¥0 b8on allo¢?led
lo a¢llviiles on B basis ¢onsistent with the usa of ts#¢ur￿$.
1d. Alloeatlon And Apportlonm•nt Of Co•t•
All ¢o$ls ral8te 10 the single oclNity of th* Charilab￿ compary and •ro le￿9￿1$ed accortlingly.
16. Fund A¢¢ounllng
UnreslrKled fund& can be us•d tn a￿OrdanCe Ythh th& charilgW? obpclwes al the discrelion of the trusle&s.
Rtglrieièd fund3 can only be us8d for part￿ul8r restr￿ted purm5 within the objecls ol th8 charity. Restrialons
arise when speafi•d by the donor orwhen funds 8r& raised lor parh"cul8r restricled purprAes.
Designated funds a￿ funds set aiid¢ by the trustees out of unrestrKled general lunds for Ihe spedfic fulure
purposes or projects.
If. Depreeiatlon
Deprecialion has been provided al the Idltywing rales in ord8r to vfflte oll Ihe assets over their estimated u#elul
lives.
Commercial Vehicles
Office Equipment
reduong balance 25%
feducing baL9n￿ 25%
Securily Equipment
Slraighl L￿ 33.33%
page 8

Unitsd Klngdom Education & Fatth Fourtdab"on
lg. Pènaion Costs
The company operates a defined contnbulion pension scheme. The pension charg8 represents the amounts
Poyable by the company lo Ihe lund in re5pecl of the year.
2. EMPLOYEES
Particulars of ern￿oyeeS (including dir8clorsl shown bel￿..
Employee costs durin9 the year awK)unted
lo..
2024
2023
VV8ges and 8alarie8
Pension coals
110,3n
3.874
114.246
66,599
1.689
68,288
No employèe received rernuneralion in excess of £60.((￿.
The average weekly nymb$f8 ol employee5 ¢knring Ihe y￿r weffj 88 followg:
2024
2023
No.
No.
Managemenl Bnd administr9￿n
3. TANGIBLE FIXED ASSETS
Commercial
Securlty Offi¢?
Equlpm•nt Equlpment
Vehicl
Total
Co8t
Al 01101r2024
3.640 7,640
1,927
3.640 9,267
Addition$
1,627
1.086
AI 3111212024
Dèprèciation
At 01101r2024
For Ihe year
AI 3111212024
2.313
422
1,716 4.029
481
1,445
542
2.735
542
2.197 5.474
Net Book Amounts
Ai 31112r2024
1.265
1,08S
1,443 3.793
AI 3111212023
1.887
1,924 3.611
page 9

Unltsd Klngdom Eduution & Faith Foundatlon
4. DEBTORS
2024
2023
Amounts falling dutr wilhin One year=
Other detstor$
28
S. CREDITORS: AMOLINTS FALLING DUE WITHIN ONE YEAR
2024
2023
Accruo1$
938
1,696
52,tr20
53. 71fj
Other ¢rediliys
8. UNRESTRICTED FUNDS
Brought
Incomlng
Outgolng
fonward rn8our¢e8 r•$our¢•$
CarAed
forward
TranBf¥r•
General fund
Shop
Fundr8i3in9
13,267
17,C(12
3.847
3,YJ2
24.751
{15.8831
11891
6.678
13,658}
21.(64
1,216
14.483
5.118
26.182
18,0721
3.020
Shop
The retail shop sellin9 donaled goods.
Fundra181ng
The Incorne and expensès Irom ftJrKlr8iSifWJ evenls.
page 10

Unitsd Klngdom EdLKation & Falth Foundatlon
7. RESTRICTED FUNOS
Brought
forward
Incomlng
resoufe88
Outgolng
re8ource$
Trnn#f6r5
Carrled
torward
Sadaqah
Zakat
2S.921
58.876
23.320
30,350
133.3541
175.2131
18601
15.887
14,013
FilranalFidy8h
Ramadhan Food
box Appeal
MYMN
Holiday activit￿$
& food
Household
support lund
Domestic
Violence
Cadent
19941
121
118
131}
87
2.988
7,875
(6.488)
4,375
6.830
16,938
116,7eei
6,800
47,085
104,040
402
195,8541
15691
118.0401
1247.971>
121.0601
34,211
19
Hom8le$s
Building
18,040
13,0201
141,8Cfj
184.577
75,392
Sadaqah
Genefal chadtatl• donations used lor th• food hub, ckjlhw. hous8h•bJ and cri815
payments.
Zakat
For expenses and rumin8 ¢OSts in ￿$￿cl ol stivice8 for vlctims of t1omeslic 8buse.
FltranalFldyah
Donali¢ns made in the mcfflth ol Ramadam and boih Eids to benefit poor.
Holiday aetivltleB & food
Fundin9 for adivilies duriNJ school Ib)l*Jay8.
Hougehold Support lund
Provides food and support foi househc4d expensès.
Cad6nt
A Fund lor slaff wag&3 and general ex￿n5¢¥.
Horneless
A fund for hrmeless indNKIu81'8 needs.
8. TRUSTEE REMUNERATION AND EXPENSES
Ouring the year Har￿an Zaman {1[￿$(eel received a salary of £20.387 (2023 E17,0251 consu118ncy fees ol tNI
12023.. £7301.
9. INDEPENDENT EXAMINER
The independent examiner was p8id £ 93612023 £852) whth relales to the Fwarats"on and examination ol the
financial s￿leMentS.
page11

UK Educalyon & Falth Foundation
Incomlng Resource8
for th¢ year ended 3111212024
Unrnstrtctod Fund5
2024
Restrlctsd Funds
2024
Total fund8
Tolallunds
2024
2023
a. In¢omln# r••ourc••
Incomlng re80urces from 9eneratsd funds
Gr&n¢s & Donatlons
GrJnt8
DV Gfani
Household Support Fund
Homeles$ Income
Cadenl
16.936
7.875
402
104.040
129.253
16,938
7,875
21,9T8
430
104040
134.948
104,040
129,253
Don8tlon$
Zakat
FilranalFidyah
General fund
S<idaqah
Fundra151ng
Ramadan Foodbox Awal
30.350
57,676
1.246
16,987
26.065
2.122
17,C
17.￿2
23.320
3.9)2
23.320
3.9J2
20.9)4
$5,324
76.228
98,116
Cliarltable Aetlvlty
Charity shop
3,847
3,847
4.060
Toial incomè and eTrJowmwls
237 124
page 12

UK Education & Faith Foundation
Outgolng Resources
for the year end￿ 3111212024
Unrestslcttd
Funds
Restricted
Fundg
2024
Totsl funds
Tol41 fijnds
2Q23
2024
2024
10. Expen8e8
Expenditur? on ChaTltsble ActlYltle8
Zakat donation5
Sad&qah donaiions
Donations FiiranalFiéyah
Donations RF8 Appeal
volunteer expenses
Household fund user support
Hom8lessne$$ eKpen$es
Excursion costs 8 fundraisin9
Advèrtising
Travel expenses
Couneil lax
Walei iales
Heal and li9hl
Rent
Clèaning & waste
Shop expenses
Repairs and renewa15
Genergl wages
Pensions costs
Training
Computer co$18
Motor expenses
Consultancy Ivs
L8gal Costs
Insurance
Slalionery & office SUPF41e$
Telephon8
Inleinet
Subs¢riplions
Bank chargas
Paypal charges
Sundry expènsès
Depreciation ol Securty equiprn•nt
Depreciation of cornmercial vehides
DepreGialion ol equipment
75.213
32.482
7S,213
32.482
38.720
26.640
1.246
20
251
7,233
95
6,488
6.488
418
220
182
17
416
220
126
223
677
4,412
9,194
157
174
823
6.387
8.754
1,209
111
1,89)
110.372
3,874
8.387
8,754
128
1.081
It5
1.963
66,599
1,689
162
105.282
5.110
930
1,217
J38
1.217
4.040
13S
203
744
$41
878
205
1,324
318
668
1,119
1,254
308
784
770
580
318
789
139
452
542
13
1.362
542
422
481
262.￿7
422
481
247.971
$63
841
14,916
Governance Costs
A¢couniancy fees
Payroil fees
936
220
852
220
176
954
1.156
1.1
Total expenses
16,072
247.971
264,043
154.525
page 13