REGISTERED CHARrfY NUMBER: 1151818
Re
rt of the Tn]stces and
dited Financia] Statenients
for the Year Ended 31 March 2024
for
Education Tntst
M.F Khan & Co
375 Coventry Road
S]nal Heath
Bimiingham
West Midlands
BIOOSW

ial Ststements
Year Ended 31 Marcb 2024
Report of tbe TNstees
Indepe1￿¢￿1 Examiuer's Report
Statement of Financial Activiti
Balallce Sheet
Notes to the Ftnancial Statements
5 to 9
Detailed Statement of Finat)cial Attivities
io

ra Education Trust
LK
Re
ort of ibe Trustees
for the Year Ended
024
The ttwtees present their report with the fvaDcial statetnents of the charity for the ytar ended 31 March 2024. The
trustets have adopled the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice
applicable to charities preparing their accounts in accordance hith the FinanciaI Reporting Standard applicable in the
UK 8nd Republic of Ireland (FRS 102) (effective l January 2019).
STRLCTURF,, COTrERNLNCE AND MLYAGEMEFrr
Goi'erning docuJDent
The charity is Controll￿ by its governing docutnenl a deed of trust and constitutes an unincorporated charity.
REFERENCE AND ADMU%isTRATIVE DETAIts
Registered Charlty nutnb¢r
1151818
Prln¢lp21 #ddress
1154 Per5hore Road
Stirchiey
Birmingham
We$t Midlands
B30 2YG
TTUSt¢e$
M K Hussain
Q Aslarn
S Akhtar
ADAII
IndepeDdeDI Eiamin¢T
M.F Khan & Co
375 Coventy R(>ad
Smai Heath
Birmingham
West Midlands
BIO OSW
Approved by order of the board of trusltts OD 16 Mas. 2025 and sigtied on its ￿h￿lf by..
M K Hyssain- Th￿tee
Page I

Inde endeni Exarninels Re
I ra Educaiion Trust
ort to the Tn￿tee5 of
Independent examiner's report to the trustees of Iqra Edueatlon Trust IUK)
I report to the charity truMees on my examination of the accounts gf Iqra E"ducation Trust IUK) (the T￿St) for the year
ended 31 March 2024.
Responsibilities and basis of report
As th¢ charity trustees of the Trust )ou are r&8ponsiblc for the prepaJation of th¢ a￿O￿lts in accordance with the
require]nents of the Charities Ad 2011 Cthe Acv).
I report in respect of my examination of the Tr￿V5 3￿QuUts Ca￿led out under Section 145 of the Act and in carrying out
my examination I have followed all applicabl¢ Dir¢¢tioDs given by the Charity Commission under Se¢tion l45(SMb) of
the Act.
llldependeDt examiner's statement
I have Completed my examination. I confum that no n]ateri81 TDatt¢rs have come to my attention in connection with the
examination giving me cause to believe in any malerial r¢speci.'
accoullting ttcords w¢r¢ not kept in respect of the Tnjst &8 requir￿ by Section 130 of the A¢t; or
the accounts do not arxord with those records,. or
the accounts do not comply with the applicable requirements cottceming the forn] and content of accounts set out
in the Clwities (Accounts and Reports) Regulations ?008 other than any requirement th&t tlie accounts give
true and fair view wlJi¢h is ]Jot a matter considered ai part of an independent examination.
I have no concerns and have ¢ome a¢ross no other rnatt￿ in connectii)D with the examination to whT¢h attention should
be draw￿ in thi5 report in order to ¢nable a proper understallding ofthe accounLS to be reach¢d.
MTN Khan
M.F Khan & Co
375 Coventy Road
Smal Heath
Birmlligha
West Midlands
BIO OSW
16 May 2025
Page 2

ra Edu¢ation Tryst
Statement of Financial.4ctivities
for the Year Ended 3 1 March 2024
31.3.24
Unrestricted
fund
31.3.23
Total
nds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacie5
52,080
18,176
InveSt￿ent income
26,767
14,638
Total
78,847
32,814
EXPEYDITURE ON
Raising fvnds
35,887
26,636
NET IP4COME
42,960
6.178
RF.CONCILIATION OF FUNDS
Total fundg broU￿t ftrnvard
276,640
270.462
TOTAL FUNDS CARRtED FORWARD
319,6
276,640
The notes fonn part of these finaT)¢ial ststernents
Page 3

I ra Education Trust
Balan¢¢ Sheet
31 March 2024
31.3.24
Unrestricted
fLmd
31.3.23
Total
funds
Notes
FIXED ASSETS
Tangible assets
332.595
191,986
CURRENf ASSETS
Debtor5
Cash at bank and ill hand
148
5,503
84,775
5,651
84,819
CREDiroRs
Amounis falling due within one year
(18,646)
1165)
NET CURRENT ASSETS
{12,995)
84,654
TOT AL ASSFTS LE￿ CURREflT
LIABILIITES
319,600
276,640
NET ASSETS
319,600
276,640
UnTestrided funits
319,600
276,640
319,600
276,640
The fill￿tIal statements wetE approv¢d by the B08rd of #nd authorised for issue Oll 16 May 2025 and were
9ign¢d on its b¢haif by..
M K Hussain- Tnkstee
The notes forni part of these fllRrncial statements
P4¢4

I ra Education Th￿t
Notes to the Financial Statemen
for the
arch 2024
ACCOUF4TtNG POLICIES
Basts of preparlng the fillanetxl ytateTneDts
The financial st￿ements of the charity, which is a public benefit entity under FRS 102, have be¢D pr¢pard in
accordance with the Clwities SORP (FRS 102) 'Ac¢ounting and Reporting by Charities: Statement of
Recommended Practice 8ppIicable to Charities preparing their accounts in accordance with Financial
R¢porting Stslldard appliubl¢ in the UK and Republic of Ireland {FRS 102) (effective l January 2019),,
Financial R¢por￿llg Standard 102 The Financial Reporting Standard applicable in thE UK and Republic of
Ireland, and the Charities Act 2011. The financial statements have been prepaTrd under the historical cost
ctrnvention.
Illco￿E
All in¢om¢ 1$ r¢¢ognised in the Statement of Financial Activities once the charity, ha4 entitlement to the funds, it
15 probable that the income will be received and the amount can be In&￿ured reliably.
xpenditure
Liabilities are recogllised as expenditure as soott ￿ th¢re is o legal or ¢on$tru¢tive obligation committing the
charity to that expelldÉture, it is Probable ibat a tran)-f¢r of economic benefiLq will be req￿￿ed in settlement and
the amount of the oblig8tion Can b¢ m¢asured reliably. Expenditure is accounted for on att atcrua]5 b￿lS and h&8
been classified under headings that wegate all cost related to the category. Where costs cannot be directly
attributed to particular headmgs they have bcell allocated io activiti¢5 on a basis consistent with the use of
resources.
Tangible fixed assets
Depreci&tion is prtsvid¢d at the following antll￿] rdtes in order to write off each &sset OVEr its estimated useful
lif¢.
Fixtures and fittillgs
25Yo Oll Ttducing balance
Taxation
The charity is exempt from tsx on its ¢haritsbl¢ activitie5.
Fund aeeounting
Unrestricted fi￿d5 cwj used in aC￿rdanCe with the charitable objectives at the discretion of the trustees.
Restricted funds can only be iised for particular restricted purpos￿ within the objects of the cbarity. Restrictions
ise wha) specified by the donor or whell fullds are raised for particular restricted purpos&g.
Further explaDation of tbe nature and purpose of each fi]nd is in¢luded in the note5 to the finaJ)cial staternents.
Pension costs and ottrLer post-retirement benefits
The charity operates a defined eontrtbution pensioll scheme. Contributions payable Éo the charity's pension
scheme are charged to the Swwent of Fitw)cial Activities in the period to wbich they rel*e.
INVESTMENf INCOME
31.324
31.3.23
Rents received
Deposit account illt¢r¢st
25,732
1,035
14,638
26,767
14,638
Pag¢ 5
continued...

I ra Education Trust
tes to the Financial Statements- c
for the Year
nd¢d 31 March 2024
ue
RAlslng donatlons attd legaties
31.3.24
31.323
Sta(fGosts
Rat¢s and wat¢r
Light and iLeat
Posiage and stationery
Sundries
Depreciation
Support costs
16,310
520
6.013
14,821
431
3,592
42
418
388
518
23,649
19,408
lllvestment mallagement Costs
31.3.24
31.3.23
Council tax
Property repatrs
Maintenatsce cbarges
454
11,764
20
909
6,319
12,938
7,228
Aggregate arnO￿ts
35,887
26,636
TRUSTEES, REMUNERATION AND BE.NEF113
There wert UO trustee5' r¢muneT8ti¢)n or other benefits for the year ended 31 March 2024 nor for tbe yEar ended
31 Myrch 2023.
Trustees, expens
There were no trustees, expensts ￿ld for the year ended 31 March 2014 nor for the ended 31 March 2023.
COMPARATIVES FOR THE STATEL￿￿￿￿ OF FINANCIAL ACTIVITIES
Unrestricted
fifftd
INCOl￿E AND ENDowhfENTS FROM
Donations and legacies
18.176
Investment income
14,638
Total
32,814
EXPENDITURE ON
Raising fund5
26,636
NET INCOME
6,178
Page 6
continued...

Education Trugt
Notes to the Financi
Statemen
for tELe Year Ended 31 March 2024
ntinlled
COMPARATIVES FOR THE STATELIIE.NT OF FINAE4CIAL AcfIvITIES- eolltlnued
Unrestricted
fwid
RECONCILIATION OF FUNDS
Total funds brought forward
270,462
TOTAL FufqDS CARRtED FORWARD
276.640
TANGIBLE FIXED ASSETS
Improvemellts
Fixtures
Freehold
property
propety
fittings
Totsls
COST
At l April 2023
Additions
151.082
I40,998
39,350
12230
202,662
140,998
At 31 March 2024
292.080
39.350
12,230
343,660
DF.PRF,CiATION
At l April 2023
Charge foT year
10.676
389
10,676
389
At 31 March 2024
11,065
11,065
NET BOOK VALUE
At 31 March 20A?
29? 080
1,165
332,595
At 31 March 2023
39.350
1,554
191,986
DEBTORS: AMOUNTS FALLU¥C DUE WITHIN ONE YEAR
31.324
31.3.23
Other debtors
148
Page 7
continued...

I ra Education TTUSI
UK
Notes to the Financial Statements- continued
CREDrroRS: FAtLING DUK WITHIN ONE YEAR
31.3.24
31.3.23
Taxaiion and social security
Other creditors
165
18,646
18,646
165
MOVEMEhT IN FUNDS
Net
mov¢rnenl
ID fitnds
At
31.3.24
At 1.4.23
Unresirieted funds
Gener21 fund
276.640
42.960
319.600
TOTAL FUNDS
276.640
42,960
319,600
Net movement in flltth, included iti the above are as follows:
Incomillg
resour¢e5
Resoiirc
expended
Nloverne¥Lt
in funds
Unrestrlcled funds
General fund
78.847
(35,887)
42,960
TOTAL FUNDS
78,847
(35,887)
42.960
Comparatives for woveTheryt ID funds
Nel
ov¢￿ettt
in funds
At
31.3.23
At 1.4.22
Unrestricted fund5
General fijnd
270.462
6.178
276,640
TOTAL Fuf4DS
270.462
6,178
276,640
Comparative net movement iti illclud¢d in the above are as follows:
Resources
expended
Movement
in funds
resources
Ullr&slrleted funds
General fill
3?,8R4
126.636)
6,178
TOTAL FUNDS
32,814
(26,636}
6,178
Poge 8
contlliued...

I ra Education Trust
otes io the FinallcÉal Statetllents- continued
for the Year Ended 31 Ma￿h 2024
MOVEMENT IN FUNDS- continued
A current year 12 months and prKor year l2 mouths combined position is &8 follo￿..
Net
movement
in fLncLs
At
3 1.324
At 1.4.22
Lnrestricted funds
Genwal fuTLd
270,462
49,138
319,6(M)
TOTAL FUNDS
270,462
49,138
319,600
A current year 12 mouth5 and PriOT year 12 motth combined Det rnoveTllent in funds, included in tbe above are
a5 follows:
In¢oming
Resources
rwurces expended
Movement
in funds
Unre8trl¢t¢d fund$
GeneraI fi￿d
111,661
(62.523)
49,138
TOTAL FUNDS
111,661
(62,543)
49,138
io,
RELATED PARTY DISCLOSURES
There were no related paty trdDsactions forthe year ended 31 March 2024.
Page 9

Education Trust
Detail¢d Slat¢TKL¢llt f Financial Activiti
for the Ytrar Ended 31 March 20
31.3.24
31.3.23
INCOME AND ENDOWMEYI TS
DDtiations legacles
Do￿￿tionS
52,080
l8,176
Investment Income
Rents received
Deposit account interest
25.732
1,035
14.638
26,767
14,638
Total Ineomlt)g resources
78.847
32,814
ExPEND￿URE
RaisiD% donations and legacles
Wages
PeJ]sions
Rat¢S dnd water
Light alld heat
Postage and stationery
Sundries
Dcpreoiation of tatigtble fixed
16,310
14,804
17
431
3,592
42
520
6.013
418
388
518
23,649
19,404
InY¢stThent JnMnagem¢nt ¢osÉ$
Council t&
Property repai]
Maintenance charges
454
11,764
20
909
6.319
12238
7,228
Support costs
Finance
Bank charge8
Tota] resources expended
35,887
26,636
Net incoThe
42,960
6,178
This page does not forni part of the slatutory fuwwial ststemenfs
Page 10