REGIsfERED CHARrrY NUhIBER: 1151818
rt of the TnLStEes and
Unaudit¢d Financiat sta￿￿ents
for the Year Ellded 31 March 2￿5
for
EducotiOD Trust
M.F Khan & Co
375 Coventry Road
Smal Heath
Bim]ingbam
Wesi Mid13nds
BIOOSW

I ra Education Trust
Contents of the Financial Stat
ments
for the Year Ended
h 2025
Report of the Tn]stees
Independent Examinevs Repott
Ststement of Financial Activities
Balance Sheet
Notes to the Ftiwcial Statements
5 fo 9
Detailed State[[￿¢ of Financial Activities
10

ra Education Trust
UK
Re
ort of the Ti"ustees
for tli¢ Ye8r Ended 31 March 2025
The trllstees present their ieport with Ihe financial ststements of the charity for the year ended 31 March 2025. The
trustees have adopied the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice
applicable 10 chaiities preparing their a¢counis in accordance with the Financ581 Reporting Standard applicable in the
UK and Republic ofireland (FRS 1021 {effeciive l January 2019).
STRUCTURE, C.OVERNANCE AND MANAGEMENT
Governing doeument
The charity is controlled by its governing document, a deed of trusi and constitutes an unincorporated charity.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity number
Principal address
1154 Pershore Road
Stirchley
Birmingham
Wesl Midlands
B30 2YG
Trustees
M K Hussain
Q Aslam
S Akhtar
ADAII
Independeftt Examiner
M.F ￿lan & Co
375 Coventry Road
Smal Heath
Birmingham
West Midlands
Bioosw
Approved by order of the board of trustee5 on 19 December 2025 and signed on its behalf by..
A D Ali - Trustee
Page I

Ind
endent Examinels Re
I ra Education Trust
ort to the TrusteE5 of
Indppelldellt ex?￿]￿er,$ report to the trustets of Iqra Edueatlon Trn5t (UK)
I report to the ¢harity trusiee5 on my eLqminatioD of the accounts of Iqra Education Trnst (UK) (the Th￿t) for the ye
ended 31 March 2025.
Responsibilities and basis of report
A5 the charity trusttts of tbe Tn￿ you are responsAl>le for the prepar￿10￿ of the accounts in aceDrdance with the
requirements of th¢ Cbariri¢5 Act 2011 Cthe Act).
I report in respect of examination of the Trusts accounts ¢arried out under Section 145 of the Act and in carrying out
my examination I have followed appLicable Dire¢tion5 uiven by the Charity Commission under Section 145(5)(b) of
the Act.
Indepelldtnt examlner'5 $tstement
I have completed my examination. I confirn] that no m￿trial matters have come to tny att¢ntion in eonnection Hqth the
examination giving Jne callse to believe that in any m*¢rial respecL'
accounting records were notkept in Tespect of the Tnjst &5 required by Section 130 of the Act. or
the accounts th) not accord With those records: or
th¢ aceountg do not comply with tbe applicable requirelnents conccrning the form and colltent of accounts set out
An the Charities {Accounts and Rcports) Regulations 2008 other thaD any requiremeut that the accounts give a
true and fair view which is not a matter considered &$ part of an indepettdfflt examination.
I h&ve no conceTll5 and have co]ne across no other matters in CODnertion with the examination to which attention should
be drawn in this report in order to enablc a proper understalldillg of the accow)ts to be reached.
Mr N Khan
M.F Khan & Co
375 Coventy Road
Smal HeatlL
Bimiingharn
West.Nlidlall¢L8
BIO OSW
19 December2025
Page 2

I ra Education TTU5t
Statement of Firt8ncial Activities
for the Year Bnded 31 March 2tr25
31.3.25
Unr¢stri¢led
fund
31.3.24
Tota]
funds
Notes
INCOLIiE AND Ef4DOWMENTS FROM
Donations and legacies
31,545
52,080
Investment income
37,580
26,767
Totsl
69,125
78.847
EXPENDllURE ON
Raising ￿ndS
34,232
35,887
NET INCOME
34,893
42,960
RECONCILIAT10Tr4 OF FUNDS
"rotal funds brought fonyard
319,600
276,640
354,493
319,6(h)
The not¢s form part of these financial statements
Page 3

ra Education I'rust
UK
Balance Sheet
31 March 202
31.3.2i
Unrestricted
fund
31.3.24
Toial
funds
Notes
FIXED ASSETS
Tangible assets
332.304
332,595
CURRENT ASSETS
Debtors
Cash at bank and in hand
730
21,959
148
5.503
22,689
5,651
CREDITORS
Amounts talling due within one year
(5001
(18,6461
NET CURRENT ASSETS
22,189
(12.995)
TOTAL ASSETS LESS CURRENT
LIABILITIES
354,493
319,600
NET ASSETS
354,493
319,600
FUNDS
Unrestricted funds
354,493
319,600
TOTAL FUNDS
354.493
319,600
The financial starements were approved by the Board of TTUStees and authorised for issue on 19 December 2025 and
were Signed on its behalf by..
A D Ali - Trustee
The nores form paii of these financial statement5
Page 4

I ra Education Tn
Notes to ihe Financial Statements
¢ar Ended
ACCOUNTING POLICIES
Basis of preparing the finanelal $tat¢￿ents
The financial $t8tenLents of the ¢harity, whtch is a public benefit entity undeT FRS 102. bave been prepared in
accordanrx with the Charities SORP (FRS I02) 'Accounting and Reporting by Charities: Staternent of
R￿ornMended Practice app]icable ttTr charities prep￿ing their accounts in aeeordanc¢ with tbe Financial
Reporting Stattdard applicable iu the UK and Republie of Ireland (FRS 102) (effecuve l January 2019),,
Financial Reporting Swidard I¢Y2 The Fitiancill Reporting Standard applicable in the UK and Republic of
IreLand' alld the Charities Act 201 l. The financial statements have b¢ell pr¢par¢d ullder the historical cost
convention.
lJTrcome
All incom¢ 15 recogttised in the Statement of Financial Activities once the clwity has entitlejnent to the fiJnd8, it
is probable that the income wiIl be received al￿ the aTnount can be me&£ured reliably.
EXI￿dIt￿re
Liabilities are recobnLised as expellditt]re &5 500n &s there is & legal or constructive obligatiory conunitting the
charity to that expenditure, it is PTobable that a transfer of etontimic benefits will be required in settlement and
the 4mOUttt of tb¢ obligation can be measured reliably. Expenditure is accowited for on an aC¢n￿lS b￿1$ and ho$
been classified under headings that awegate all cost related to the category,. ￿r¢ cosis ¢annot be directly
attributed to particular headit]gs they have been allocakd ￿ a¢tiviti¢s a bosis ¢ollsi5tent with the use of
resources.
Tangible fixed 855¢ts
Depr¢ciation is provided at the following antmthi rat&q ill ord¢r to WTite off each asset over its estimated use￿1
life.
Fixtures and fittings
25/4 on rthirngb2lan¢e
Taxatlon
The charity is ¢xempt from tsx on tts charitable activitie5.
Fllnd #eeoullting
UDrestri¢led funds can be used ill accordance with the ¢hwitable objectives at the discretion of th¢ tsiths.
Restricted fjJn(L% can only be used for paTticular restrict&J pury￿Se5 withiD th¢ obje¢t5 of the clwity. Re8trictiot]s
arise when spe¢ifi¢d by the donor or funds are raised for particular restricted purpises.
Fffiher expla1￿tIOn of the aDd pwpose of each fi]nd is included ill the notes to the financial statements.
INVESTMEfff INCOME
31.3.25
31.3,24
Rents received
tkposit a￿ount ￿tEreSt
37,562
18
25.732
1.035
37,580
26,767
Page 5
continued...

I ra EdueatioTh Trnst
Notes to the Financi￿ StaieDLents - continued
f the Year Ended
RAISINC Fuf4DS
Investment management costs
31.3.25
31.3.24
Council tax
Propety repairs
MaintBtwice tharg¢s
454
11,764
20
4,545
4,545
12,238
TRUSTEES, REMUNERATtON AFID BE.YEFITS
There were no trustees, remuneration or other benefits for the year ended 31 Mar¢h 2025 nor for the year ended
31 March 2024.
Trustees, expenses
There weTe no tn￿tee5, expenses paÉd for the year ended 31 Marcb 2025 nor for the year ended 31 March 2024.
COLKPARATIVES FOR THE STATEIIENT OF FINAI¥CIAL ACTIVITtES
UDr¢strictsd
fund
INCOMF AND F.NDOWTrtENTS FROM
Donaiions and legacies
52,080
lttvesttnent illCOTll¢
26,767
Total
78.847
EXPENDrruRE ON
Raising funds
35,887
r4ET INCOII
42,960
RECONCtLIATION OF FLI. ¥DS
Total fullds brought forwaTd
276,640
TOTAL FUNDS CARRIED FORWARD
319,600
Page 6
continued...

ra Education Tn￿t
Notes to ibe Eit￿le1a1 Statements- Continued
for the Year Ended 31 March 2025
TANGIBLE FLXED ASSETS
]mprovemellts FIxtL￿eS
to
propety
FTrehold
property
fittll￿S
Totals
COST
At l April 2024 ond 31 March 2025
291080
39,350
12,230
343,660
DEPRECIATION
At l April 2024
Charge for year
11,065
291
11,065
291
At 31 MJxh 2025
11,356
11,356
NET BOOK VALUE
At 31 March 2025
292,080
39,350
874
332,304
At 31 March 2024
292,080
39,350
1,165
332.595
DEBTORS: AMOiJNTS FALLING DUE wITll￿ ONE YEAR
31.3.25
31.3.24
Other debtors
730
148
CREDITORS: AMOUNTS FALLI.YG DUE WITHIN ONE YEAR
31.3.25
31.3.24
Other creditors
500
18,646
MOVEMENT LN FUNDS
Net
ovemellt
in funds
At
31.3.25
At 1.4.24
Unre8trS¢¢ed fund$
tienerdl fi￿d
319,600
34.893
354,493
TOTAL Fuf4DS
319,600
34.893
354,493
Net movement in funds, Includ￿ in the above are ￿ follows:
Incoming
resourc
Resovrc&
expended
Movern¢nt
Unrestricted funds
Gejkeral fulld
69,125
(34232)
34,893
TOTAL FUYDS
69.125
(34,232)
34,893
Pa8e 7
continued...

ra Educ
titsn Trust
Notes to the Financial Statements- continued
Year Ended 31 March 2
MOVEMENT IN FUNDS- eontillued
Comparative5 for movement fund$
Net
movement
xn fill)ds
At
31.324
At 1.4.23
Unrestricted funds
General thd
276,640
42,960
319,600
TOTAL FUNDS
276,640
42,960
319,600
Comparntive net movement in fvnds. Included ill tbe abov¢ ar¢ as follows:
tncoTning
resources
Resourees
expended
Moiement
in funds
Unrestricted funds
Genernl fund
78.847
(35.887)
42,960
TOTAL FUNDS
78.847
(35,887)
42,960
A Cltrrent year 12 months and prior year 12 months conthin¢d ￿5]￿Oll is as follows:
Net
movement
in fU]￿S
At
31.3.25
At 1.4.23
Ullre5tricted fulld
General fuud
276,610
77,853
354,493
T(wfAL FLNDS
276.fAO
77.853
354,493
A current year 12 months and prior year 12 months combined net nlovement in fiLlld5, included ID the aboye are
as follows..
Incoming
Resources Movement
expended
in fund
Unrestricted funds
General fillLd
147.972
{70,119)
77,853
TOTAL FUNDS
147.972
{70,119)
77,853
Phge 8
contillued...

I ra Education Tn￿t
Notes to the Financial St&iements- continlled
for the Year Ended 31 March 2025
io.
RELATED PARTY DISCLOSLIiES
There were no retsted partv transactions for the y¢ar ended 31 March 2025.
Page 9

I ra EdurAtion Trnst
Detailed Statemelll of Financial Activitie5
ear Ended 3 1 March 2025
31.325
31.3.24
INCOLVIE AND EfiDOWMEKrs
Donations #nd legaeiÈs
Donations
31,545
52,080
IDve5tmeDt income
Rents received
Deposit account interest
37,562
18
25,732
1,035
37,580
26,767
Total incoming resourre5
69.125
78,847
EXPEP4DITURE
Ralslng donations &nd legacies
Wages
Rates and water
Light and heat
Sundries
Depr¢¢iation of tangible r￿ed assets
25.201
978
3217
16,3 10
520
6,013
418
388
291
29,687
23.649
Investment m4n8gerneDt ¢05ts
Council tax
Property repairs
Maintenanee charges
454
11,764
20
4,545
4,545
12,238
TotaLresour¢es ¢xpended
34232
35,887
Net income
34,893
42.960
This page does not fonn part of the slatutory financia] 51Htements
Page 10