Charity number: 1155092
Company number: 06597997
Muslim Women's Network UK
Trustses, report and 15nancial statements
for the period ended 31 March ￿)25

Muslim Women's Network UK
(A company limitsd by guarantee)
Contents
L¢gal and administrntive Inforn￿tiOn
TTUSte£s' report
tndependent examiners, ret
Statenxnt of financial a￿1vItieS
Incom¢ and expenditure account
Balanc¢ sheet
io-ii
Notes to the financial stalen￿ntS
12-17

Muslim Women's Network UK
(A company limited by guarantee)
Legal and admithtive information
Charity number
1155092
Company r*tration number 06597997
Buslnthg addrns
1192 StratEord Road
Birmingham
B28 8AB
Registered office
1192 stra￿Ord Road
Hall Green
Binningham
B28 8AB
Dr Iram Sattar MBE
(Co.Chair & Treasutv)
Sopbie Garner (General Secretary)
Faeeza Vaid MBE
Ibtisam Belola
Angela Dainton {Joined May 21Y24)
Sopbie Garner
Accountants
RUS & Company IUK) Ltd
1190A_1192 Stratford Road
Hall Green
Birniingham
B28 8AB

Muslim Women's Network UK
(A company limited by guarantee)
Report of the tn￿tee$ (ineorporaling the directors, report)
ror the period ended 31 MaTch 2025
The tsustees present their report and the financial statements for the period ended 31 March 2025. The trustees. who are
also directors of Muslim Women's Network UK for the pu4)08es of company law and who seryed duting the period and
p to the date of this report are set out on pag¢ l.
structu￿ governance and management
Incorporati(m ond Stah
The MWNUK wos incorporated &5 a Conllnurrity tnterest Company with a Memorandum of Articjes on 20tb May 2008.
The company registration number is 6597997. The company operatrs as a con)pany ]imited by guarantee and has no
sl)are witsl. The Itability of it's n￿rnberS in the event of a viinding up is limited to £1 per member. The nanK of the
company was changed to Muslim Women's Netwo￿ UK Ltd on 27 November 2013. The company was also registered
as a charity in December 2013 with the ChaTity No: 1155092. On th¢ 29th of (ktober 2018 Limited was rell￿Ved fro
the organisational name to be known &s Muslim w0n￿k,s Network UK.
organ￿allo￿alSlr[1cfyre
The overall control of MWfrIUK lies with the Board of Directors who have the power olld legal duty to oversee aDd
decide on all matters concerning MWNUK subject to the Memorandum of Articles and agreed policies and pr￿ed￿re8.
The Chairpersons are responsible for the managenw?t of the Board of Directors. and the CEO is responsible for the day
to day nwement of MWNUL The Ch￿r￿n and the CEO report dir￿tlY to the Board of Directors.
Desthptlon and Objectives
MWNUK works nationally to inwve the quajity of the lives of Muslim woll]en and girls. Our mission is tI￿efOre to
achieve equality and justice for Muslim Women and girls through SUPPOTL education. research and advocacy. We
believe these activities will lead to our vision of a society where Mw]im women and girls fillly utilise rights, choices and
voices.
We have three strategic objectives:
l) Safety- Upholding the rigbts of Muslim WonKn and girls to be and feel Safe.
2) tDclusion - Upholding th¢ rights of Muslim Women and girls to be and feel included.
3) Solidarity. Building a solidarlty m0vell￿nt for Muslim w0ft￿ and gtrls.
Strateglc Actions (to deliver objectives)
l) Strengthen the Muslim Women's Network Helpline and Counselling Seryice.
2) Edll￿te Muslim women and girls about their rights through caTnpaigning and developing resour¢e8.
3) Challenge and change unjust policies, practices and behaviours through research and advocacy.
4) Increase membersbip and strengthen member engagemenL
5) Develop and div¢rsify partnerships and collaborations to maxinllse impact.
6) tnvest in and Capacity build Mu81im women and girls.
7) Celebrate achieven]¢nts of Muslim women and girls.
?.

MuslAm Women's Network UK
(A company limited by guarantee)
Report of the tnRStees (ineorporating the directors, report)
for the period ended 31 March 2025
Perforniance
In 2024. the MWN ¢u]turally sensitive and multilin8val helpline service received approxin￿telY 3.679 Contacts,
supporting 1,380 seryice users direcdy. An additional 936 beneficiaTi¢S-PTimttrily children-were indirectly supported
through the help provided to their mothers. Most service users supported were victims of all type8 of abuse particularly
dottwtic abuse and related issues. This included providing supported refe￿alS as well a8 holistic trauma infornrd help
via case workers in¢luding an IDVA over many weeks and months.
To improve meDtsI wellbeing, we delivered 444 culturally sensitive coutwlling sessions to 62 individuals, averaging
around seven sessions per person. To compIell￿nt our helpline. we officially launched the Amal Safety App, giving
abuse SLrvivofs instant access to vital inforr￿l0n and a dI￿¢t lillk to our help]in¢.
Our advocacy efforts included responding to six forn￿1 consultations and contributing to parliamentsry discussions on
violence against women and girls (VAWG), domestic abuse. women's health (particu18Tly maternity care). education.
racis￿ and anti-muslim hatred. We also published research exploring Muslim women's voting habits, extcriences of
anti-musjim hatred, alld the challenges minority women face in participating in local politic8.
In the Jnedi4 we issued 20 statements and were featured over 22 titnes. including a significant segment on Sky News
bighIigbting Muslim women's safety. We also held several listening events to celltre the lived experiences of minorlty
ethnic women-these included a roundtable with the UN Rap￿tellr on VAWG and a Wom￿'S health event c(Fhosted
with the Cabinet Office and the Department of Health.
Ollr digital reach continued to grow. with resource downloads incre&8ing by 15% to a total of 377.606.
You can find nK>re details in the MWNUK Annual Report {2024) at www.mwnuLco.uk

M￿91]￿ Women's Network UK
(A company limited by guarantee)
Report of the trnstees (incoryoratlng the directs)TS' report)
for the period ended 31 March 2025
After ded￿tIll8 operational expenses of £373,552 from the total income of £404,609. The net resources 8mouJtted to
£31,057.
At the end of the financial year. the reseryes were £264.442. However. after taking into account the assets of £15.295
(funds already spent). reseryes available to spend is £249.147 of which £122.430 is restricted. Our reserves are being
maintained in ￿e0rdance with our Reserve Fund Po]icy and can only be spent in 8¢cordance with that policy. At present
our reseryes cover at least 3 months operating costs and costs to cover potential maternity pay.
The princApal fundmg sources for the organisation were by way of grant income, th)nations and other activites for
generating funds. These fill￿S have been utiiised in aCcOrda￿e witb ful￿¢[ gL￿t agreements.
Statement of trnstees, r￿0￿￿7)I71t1eS
The trllstees (who are also directors of Mus]im Women's Network UK for th¢ purpose of company law) are responsible
for preF)arAng the Trustees, ADnua] Report and the financial stat¢rnents in accordance with applicable law and Urrited
Company 18w requires the trustees to prepare financial statements for each financial period which give a true and fair
view of the state of affairs of the ch￿itable company and of the incoming resources and application of resources.
including the income and expenditure. of the charitable company for that ￿R0d. In preparing these finaocial statetnents,
select suitable accounting FK>licies and then apply them consistently;
observe the Th￿thodS and principles in the Charities SORP.
rnake judgements and estill]ates that are reasonabk and prndenL
state whether applicable UK Accounting Standards have been followed, subjett to any material depart￿S disclosed
and explained in the fina￿la1 statements: and
prepare the fillanci￿ staten*nts on the going concern basis unless it is inappropriate to pre8um¢ that the ¢haTAtable
company will continue in operatio
The tru8te¢s are responsible for keeping proper accounting records whicb disclos¢ with reasonable ac¢urd¢y at any time
the fIJw￿l81 EK)sition of the charitable company and which enable them to ensure that the fman¢ial Statell￿n￿ comply
with the Companies Act 2(K)6. They ar¢ also resp)nsible for safe￿rdIng the assets of the charitable company and hence
foT taking re&8onable steps for the prevention and detection of fraud and otlkr iTtegulatities.
Small company provisions
This report h&s been prepared ill aCC4Jrd￿￿e with the spe£ial provisions for small companies under Part 15 of the
ConwaDies Act 21x16.
PArrf* d

Muslim Women's Network UK
(A company limmted by guarantee)
Report of the trustees (incorporating the directors, report)
for the period ended 31 March 2025
On behalf of the board
Dr Iram Sattar MBE (c￿chaIr & Treasurw)
2 9 October 2025
b4

Muslim Women's Network UK
(A eompany limited by guarantee)
Independent examiner's report to the trustees on the w￿lld1ted financial statements of Muslim
Women's Network UIL
I report on the xcounLS of Muslim Women's Network UK for peTi(xl ended 31 Mawh 2025 set out on pag¢s 2 to 17.
Respective resw)nsibilities of tr￿Stee8 and Independent examiner
The charity's trustees (who are also th¢ directors of tk company for PUT￿>S¢S of company law) are responsible for the
preparation of Ihe accounts. The trustees consider that an audit is not wuired for this year under section 43{2) of the
Charities Act 1993 (the Act). as an￿nded by section 28 of the Clwities Act 2(Kkn and that an inde￿ndent examination is
needed. It is my responsibility to examine the acmunts under section 43(3)(a) of the ACL amended. to follow the
procedures laid down in the General Directions given by the Chariry Commissioll under section 43(7j(b) of the ACL &8
anrnded. and to state whether particular tr￿1￿ have CO￿ to my atlentio
Basis of Independent examiner's statement
My examination was canied out in accordaDce with the General Directions given by the CFJarity Commission.
examination includes a review of the aC￿￿ntIng rewrds kept by the charity and a COMp￿&son of the accounts presented
with those records. It also includes consideNion of any unusU31 it¢￿8 or disclosures in the accounts, and seeking
explanations from you as trustees concerning any such matters. The uTrJertkn do not provide all the
evidence that would be required in an audit and cOnSeq￿ntIY no opinion is given to whether the accounts present
'true and fair view, and the report is limited to ttK)se ￿atters sei out in the State￿￿nt below.
IDdependent examfiner's statement
In cotmection with my examinatio￿ no mattrr has con* to my attention".
(i) which gives me reasonable Cause to believe th* in 8ny rDaterial respect the requirenynts:
io keep proper accoullting records in w)rdance with section 386 of the Companies Act 2(Ki6; and
to prepare accounts which aca)rd with the acc(yJnting re£ords. comply with the accounting requirenrnts of
section 396 of the Companies Aci 21XhS and with the n*dMKts and principleg of the state￿￿nt of
Recommended Practice: Accounting and Re￿rtIng by Clwities
have not been llrt. or
(li) to which. in my opinion. attention should be drawn in onkr to enable a protw understanthg of the accounts to be
Independent examlner
tharteredAccountsnts
1190A-7 794 Stratford Road
Birmingham 828 8A8
+44 (0) 721 777 1200
infoOrus.co.uk
www.rus.co.uk
L.
£71161 ?eLC

Muslim Women's Network UK
(A company limited by guarantee)
Statement of financfial activities
For the period ended 31 March 2025
ended
ended
31103f25 31103124
Total
Notes
Voluntary income
Charitable Activiteslservices
403,4(Y)
1.200
414,948
Total Incoming Mour
415.788
Cost of running charitable activities
373.552
Total funds brought fonvard
233.384
224.642
Total funds ￿rrlled forward
264,442
233.384
Total reserves imclude £122.430 of restricted fimds.
The notes on pages 12 to 17 forni 8n Integral part ofthe8e Ilnancial stalenwits.
PA0• 7

Muslim Women's Network UK
(A company limited by guarantee)
Income and expenditure ac¢ount
For the period ended 31 March 2025
ended
31103125
ended
31103124
NotÉ8
Inwme
415.788
Owating expenditu
(373,552)
(407,046)
Opernting surplus
31.057
8.742
Rdalned surplus for the finandal perlod
31.057
8.742
The notL8 on pages 12 to 17 forn an integral part of these IRnancial Staten￿t&

Muslim Women's Network UK
(A company limited by guarantee)
The notes on pages 12 to 17 forni an integral part of these fin￿ela1 staten￿lts.

Muslim Women's Network UK
(A company limited by guarantee)
Balance sbeet
as at 31 March 2025
Notes
Tangible &8sets
Current assets
Debtors
Cash at bank and in hand
Credltors: a]nounts falling
due wlthin one year
Net assets
io
15.295
19,864
li
86,234
319.473
13.027
408.763
12
(156,560)
(208,270)
264.442
233.384
13
Reserves
264.442
233,384
Totsl funds
264.442
233.384
Total reserves indude £122,430 of restricted fi￿d8.
The Bajonce Sheet continuc8 on following page.
The llotes on 12 to 17 fonn an Integral part of these IlnaDciRi staten*nts.

Mwlim Women's Network UK
(A company limited by guarantee)
Balance sheet (continued)
TTh￿teeS statements required by the Companies Aet 2(M16
for the period ended 31 March 2025
In approving tI￿e financial statements as trustees of the company we hereby confirn.
(a) that for the peri(MJ stated above the con]pany was entitled to the exemption conf¢rred by section 477 of the
Companies Act 2(Th .
(b) that no notice has been de￿sited at th¢ registered office of the con)pany pursuant to section 476 of the Cowpanies
Act 21X)6 requesting that audit be conducted for the ￿l(￿j ended 31 March 2025.
(c) that we acknowledge our Tespjnsibilities for:
(l) ensuring that the company keeps proper accounting recoThJs which comply with section 386 of tbe Compani¢s Act
(2) preparing fmawial statements which give a Irue and fair vivw of the state of affairs of the company as at the end of
the financial period and of its profit or loss for periiKI then ended in accordgnce with the requirements of sections 394
and 395, al￿ which otherwise comply with the provisions of the CompaDies Act relating to fitwiciaI Staten￿ntS, so far &8
applicable to the company.
These financial statrments are prepared in a￿ordanCe with the special provAsions of Part 15 of the Companies Act 2(
relating to small companies and in accordan￿ with the Fu￿￿la1 Reporting Standard for Smaller Entities {effective April
2008).
The financial Statell￿nts approved by the board on 2 ¥ October 2025 and signed on its behalf by
Dr Iram Sattar MBE (Co•Chatr & Treasurer)
? 4 October 2025
Th¢ Dotes OD pages 12 to 17 fonn an integral part ofthese fiuaDcI81 statenwit&

Muslim Women's Network l]K
(A company limited by guarantee)
Notes to financlal statements
for the period ended 31 March 2025
Aecountlng pollcles
The principal acwunting policies are sull)n￿d below. The accouthg po]icies have been applied consistently
throughout the period and the preceding period.
1.1. Basts of accounling
The financial statemeats are prepared under the histOTica] cost convention and in accordance with the Financial
Reporting Stfjndard for Srn￿er Entities (effective Apiil 2(K)8). the Statement of Reconunended PTactie¢
'Accounting and Reporting by Charities, issued in March 2(K)5 (SORP 2(X)5) and the CompaDies Act 2LKI6.
1.2. Incomlng resour
All incoming resources included in the statement of fmancial activities when the dharity is entilled to the
income and the amount ¢an be quantified WAth re￿nable accuracy. The following specific polici&8 are applied to
particular categories of income:
Voluntary income is received by way of grants. don*ions and gifis and is included in ill the Stateme￿ of
fllwicial activities when receivabk. Grants where entitlement is not conditional on the delivery of a specific
perforniance by the organisation, are recogntsed when the organis8tion becomes unconditionally entitled to th¢
Gifts donated for resale are included as incoming resources within athivitie8 for generdling funds wben they are
sold.
Grants, including grants for th¢ purc]we of fixed &8sets. are rewgnised in in stalement of financial
activitie8 in the year in Trthich tbey are Teceivable.
1.3. ResounH expended
Exp¢nditure is recognised on an accntsl basis fts a liability is incurred. Expenditure includes any VAT which
cannot be fi￿Y recovered and is reported as part of the expenditure to whtch it relates.
Expenditure comprises those costs incurred by the organisation in the delivery of its activities and seryices for its
beneficiaries. It includes both costs that can be auocated directly to such activities and those cost8 of an indir￿t
nature necessary to support thenL
l.& Research and development
Research expenditswe As written off to the Profit ￿dI08S account in the yeÈr in which it is incurre
1.5. Tangible IlThl assets and deprthtlon
Tangible fixed assets are stated at cost less accullwknted depreciation. Depreciation is provided at rates calculated
to Write off the cost less residual value of each asset over its expected useful life. as follows:
Fixtures. fittings and equipment . 20% reducing balance
Computer
33% Teducing bdallce
l.& Defined contrlbutlon pension schemes
The pension costs charged in the financial statell￿ts represent the contiibution payable by the cbarity during the
period.
1?.

Muslim Women's Network UK
(A company limited by guarantee)
Notes to financiaj ststements
for the period ended 31 March 2025
Volunl8ry income
ended
31103125 31A)3124
14.797
4.473
27,250
13.509
102.324
31134
io.(
52.350
15.IM)
Grants r￿e1Vable . Lloyds Bank Fnd (Core costs)
Grants receivable- JRcf (CoTr costs)
Grwms receivable. National Lottery (Helpline)
Grdnts Teceivable- Tudor Trust (Membership)
Grants re£eivable - Charles Hayward (Counselling)
Grants r￿CIVable . Esmee Fairbairn (Advowy)
Grants receivable- Comic Relief (Helpllne)
Grants receivable- Awards for All (Counselling)
Grants receivable - HeDry Smith (Case Work)
Grants ￿CeIVable - Citizens UK (Ek4ual Power)
r¢ceivable- Rosa (CapH¢ity Building)
Graots receivable- Swyrt England(Walking Project)
GTants receivable - John Ellernwi (Core costs)
Grants receivable- Aziz Fnd (Advocacy tntern)
Grants receivable- BTham Council (Casework)
Grants receivable - Clothworker8 Fouudation(Equip)
Grants receivable - Coutts Foundation (Core Costs)
Grants receivable - NHS Blood Transplant (Proje¢t)
Grants receivable- tkpL of Health (Research)
Grallts receivable- Pe&rs Foundation (Core costs)
Grgnts receivable. Schroder Charity (Help]ine)
Grants receivable - Warwick Uni (Mattiage Project)
Grants receivable- Eleanor TnL%t* (Casework)
Grants receivable- Islamic Relief (Case Work)
ioo.o(M)
04.062
67.199
13.620
30,086
4.869
24.425
35,000
16.242
4.925
9,800
3.106
iO.(KM)
35.(KK)
8,758
9,925
45.472
14,060
18.653
9.455
5.195
2.424
403.409
414,948
* Eleanor Rathbone Charitable TThst

Muslim Women's Network UK
(A company limited by guarantee)
Notes to financial statements
for the period ended 31 March 2025
Activltl£s for generating funds
ended
31103n5
Total
31103124
Total
Other activities for generating funds incon
Sponsorship income
840
1.2
1.21N)
Cost of (knltable actlvltl£8
ended
3M13125 3110312A
Totsl
Totsl
373552
407.046
Goveniance LY)sts
ended
3JM125 31103124
Total
Net incomlng resources for the perlod
Year
ended
ended
31AIY25 31103124
t￿pr￿lation
4.983
6,695
1d

Musjim Women's Network UK
(A company limited by guarantee)
Notes to fllwiclal statsments
for the period ended 31 March 2025
Employees
Ye
ended
ended
31103125 31103nA
Wages and s8larÉes
Social seawAty costs
Pension costs
Other staff costs
236.079
8.818
3,872
246.810
8.667
3.213
248.769
258.690
Althougb social security costs of £8,818 are iodicated. the costs actually totalled: £13.818. Howev¢r. the
National Insurance Contributions Employment Allowance rebatr of £5.0(K) was owed to MWNUK.
Number of employees
The average monthly nu]nbers of employees during the calculated on the basis of time l¥￿1Valents.
W&8 &$ follows".
ended
ended
31103125 31103r24
Number
Number
Penslon costs
The company operates a defined ¢ontribution pension scheme. The pension charge represents contributions dug
from the company and was &q follows..
ended
ended
31A13125 31103124
Pension charge
3.872
3.213
Taxation
The charitys artivitie5 fall wtthin the exemptions afforded by the piovisions of the Income and Co4￿atiOn
Taxes Act 1988. Accordingly. there 18 no t￿tion charge in these accounts.

Mus]im Women's Network UK
(A company limited by guarantee)
Not&s to fmaDcial statements
for the period ended 31 March 2025
10. Tanglble fixed a&sets
eqUipD￿t Computer
Totsi
At l April 2024
Opening balance adjustment
Additions
19.023
24,673
43.696
414
414
At 31 March 2025
19.437
24,673
44.110
Depreclation
At l AprAI 2024
a)arge for the period
6.288
2.630
17.544
2.353
23.832
4,983
At 31 March 2025
8.918
19.897
28,815
Net book values
At 31 March 2025
10.519
4.776
15,295
At 31 March 2024
12.735
7.129
19.864
11. Debtors
31m3125 31103llA
Trade debtors
86,234
13.027
86.234
13.027
12.
Creditors: amouBts faukng due
within one year
31nb3n5 31103124
Pension aEditors
Trade creditors
Other taxes and social security
Acfflials and deferred income
1.365
3.090
1.095
18,743
148.057
184.333
156.560
208,270
* Accrnals include a525 of accoU￿cY fee ond £117 of Payroll fee.
* Deferred income relates to gtxnt income t￿rIed over:Albert Hunt (£7.000). Awa￿5 for All (£6.080.IXi). Coutts Foundation
(£31,422). Esmee Fairbairn {£50.354), Islamic Relief (£11.107). John Ellerman Trust {£I,IKLI). Pears Foundation (£11,892).
Rosa Foundation (£21.756) and WaThick University (£4,805).

Muslim Women's Network UK
(A company limited by guarantee)
Notes to financial statemeDts
for the period ended 31 Marcb 2025
13. Analysis of net assets between fimds
Totsl
Fund8
Fund ba]ance8 at 31 Ma￿h 2025 a8 represent¢d by:
Tangible fixed assets
CuTreDt assets
Current liabiiiiies
15.295
405.707
-156,560
15.295
405,707
-156,5(
204.442
264.442
14. Funds Analysts
At
At
01 Aprll Inconth¥ Outgolng 31 Mareh
2025
Reserves
233,384 404.f
373,551
264.442
IS. Capltsl commltments
31103125 31103124
2025
2024
Details of capital commitments at the
accounting date are &8 follows..
Rent payabl¢
19,039
17.318
16.
During the year, the tn￿teeS expenses (travel I subsistence) related to their board duties were £654.
17. Company limited by guarantee
Muslim W¢)men's Network UK is a company limited by guarantee and a¢cordingly does not have a share capital.
Every member of the company undertkn to contribute such amount as may be required not exceeding £1 to the
assets of t￿ organisation ID the event of its being wound up wbile he or she is a member. or within one year after
he or she ceases to be a member.
17

Muslim Women's Network UK
(A company limited by guarantee)
The following pages do not forni part of the ststutory accounts.

Muslim Women's Network UK
(A company limited by guarantee)
Detsiled statement of fjnallcial activities
For the period ended 31 March 2025
Year
ended
31103124
Incomkng resources from generathig funds:
Voluntary income
Donations
Grnnts receivable- Lloyds BaDk Fnd (Core costs)
Grants receivable- JRcf (Core ￿Sts)
Grants receivable. National tA)ttery {Helplin¢)
Grants receivable- Tudor Tru8t (Membership)
Grants receivable- Charles Hayward (counSell￿g)
Grants receivable. Esmee Fairbairn (Advocacy)
Grants re¢eivable- Comic Relief (Helpline)
Grants receivable- Awards for All ICouDselling)
Grants receivable - Henry Smith (Case Work)
Grants receivable- Citizens UK IFquaI Power)
Grants receivable. Rosa (Capacity Building)
Grants receAvable- SpM)rt Engl8nd(Walking Project)
Grants receivable- Jolm Ellern]an (Core costs)
Grants receivable- Aziz Fnd (Advocacy tntern)
Grants receivable _ B Tham Council (C&8ework)
Grants receivable- Clothworkers Foundation(Equip)
Grdnts receivable- Coutts Foundation (Core Costs)
Grants receivable - NHS BI￿1 Transplant (Project)
Grants receivable- Dept. of Health (Research)
Grants receivable - PeaTS Foundation (Core costs)
Grants receivable- Schroder Ckwity (Helpline)
Grants receivable- Warwick Uni (Marriage Projert)
Grants receivable - Eleanor TnLSt* (Casework)
Grants receivable- Islan)ic Relief (Case Work)
14,797
4,473
27,250
13,509
102,324
32.134
iO.(KKJ
52.350
15.0(Kl
icrf).Ix)o
64.062
67.199
13.620
30.086
4,869
24.425
35.(XM)
16,242
4,925
9,8(K)
3.1
io.(
35.000
8,758
9.925
45,472
I4.￿0
18,653
9.455
5,195
2,4
403,409
414.948
Activitiesforgeneratingfvn
Other activities for generating funds incoTne
Sponsorship income
840
1.200
1.2tK)
840
Total Incomlng resources from generathig funds
404.609
415,788
Total Incoming resources
404.609
415,788
PJD(rg lQ

Muslim Women's Network UK
(A company limited by guarantee)
Detailed statement offinancial activities
For the perfiod ended 31 March 2025
31m3r25
Resources expended
Costs of runnlng charltable activltts:
Grants
Events & workshops
Advertisinwmarketing
Wage8 & salaTÈes
Employer's NIC
Pension costs
Vi¢tim Support
Rent & Services
31103124
410
3,106
236.079
8,818
3,872
5.722
19.039
167
2.226
23,322
8513
3,603
2.6(Ki
717
701
5.671
6,691
12J16
17.325
4,982
5.859
1,810
7,695
7.721
246.810
8.067
3.213
1.876
17.318
156
2.082
7.378
11,125
5,058
9.443
l.(K)8
389
10,135
6.752
17,074
14.410
6.695
9,346
2.125
10.574
PPSIResour¢e Production
Staff Training
AceountancylFinance
Researth expense
Subscriptions
General Overheads
L£gaVProfessional
TeleplM)ne
Websites & IT
Counselling Servi
Depreciation of ComputerlFFE
Travelling and Accomodation
Subsistence
W8Jking Project
373.551
Total cost of running charltable acdvities
373.551

Musllm Women's Network UK
(A company limited by guarantee)
Detailed statement of fmancial activities
For the period ended 31 March 2025
Year
ended
31A)3125
Year
ended
31103n4
ch￿itable actlvities
Activilies undertaken directly
Net inCOmiDgl(outgokng) resources for the perlod
31.057
8.742
PA0• ?.1