CHARITY COMMISSION
FOR ENGLAND AND WAIES
Trustees, Annual Raport lor the ￿rIOd
From 1$1 Jan 2023 P•rlod st•rt dal• To 31•1 Dec 2023 P•rlod •nd dato
Ch•rlty name: Naw••l B•n•vol•nc• Fund
Charlty r•gl•lTatlon numbèr: 1155381
Objectives and Activities
SLFmm8ry of the purposes of
the tharity as sel out in rts
govemin9 do￿nt
P** 1.17
The Tel￿ of poverty and eeA7nomic
dtsadvantage among pwsons a￿ in
rx)ndit￿n of need. hardship or di51re$s
imarity in Ihe united kiThJdorn and genef81ty
around Ihe by providing such per￿nS
wilh finance. goods and services which they
C4)uld Th)t 01heTh￿Se afford through lack of
finanoal rne*s.
Awarding finarwl hardship grants.
Issuing supe￿arke1 vouchers to individuaL8
as well as t￿MunNY (￿niSatIOnS and
d￿nt*S to gNe to needy indfvfjdual on tyjr
Summary of the main
actsvities in ￿￿tiOn to kne
purposes for the
benefit, in parbcu￿r. the
P•• 1.17
tdentified in the accounts.
Fresh meat dstributN)n.
Raising funds Iof ￿)SPital5 and
homeless prityects.
Rai*ng funds for assis11r￿ ￿l￿geeS
rèsettkd loca
Yes tw hav¥.
stsiwnent confvmi
whether the InJstee5 have
had regard to the guidance
issu¢d by the Charity
Commi5$ion on puNic
benefft
1.10
Additional Inforn)￿on (optlonall
YCNJ ma
thc*)se to In￿de fvrther slatements there relBvanl at￿J1..
Polcy on grant mthThJ
Pdity on soa81 investment
including progr8m relalod
investment

Cohthbuts)n madè by
¥olunlee
Ov
Achlevements and Performance
Helping lo clear debts of beneficiarie5 Ihus
allowng Ihen lo use Iheir incorne lor daily
cosls andlor avoidin9 becoming
horne￿$S.
Summ*y ol Ihe rnain
achievemèn￿ ol the chanty.
dents.￿.￿g the difference Ihe
thariws work has made lo
Ihe Circumstances 01 [15
nefidaries and any wider
benefils lo 5￿ty as
Pw• 12•
Helw'ng benef￿alle$ by provwJin9 financial
assisiance in meetsng f(x*J. clolhin9 and
U￿"￿"ty costs.
PiovKling grants to cover Ihe cosl of
deposts and renl of be￿fiCia￿e5 theréby
s•curffo Ihtir atrommodallon.
Assisting beneficbafies wthh costs of
purthasing essenlial househokj il¢m$ and
Addltlon•l Inlomiatlon loptlonall
You ma choose lo indude lurther stslemenls ￿le rebpvanl about.
A￿￿¥•m￿nIS againsl
otyectives sel
P•¥ IAI
PerfomarThJ Of lundrai5ing
acb'vtties against oty'edN
Set
P¥• IAI
Investrneni ￿rfO￿lanC•
89alnst obJ"ociJves
1.41

Flnanclal Revlew
Review of the charity's
finanoal p051tion al Ihe end
ol Ihe period
Pqr4 1.21
Al Ihe end of the of the period the charity
had available funds In excess of £84k lo
continue its activilies of providing grants an
financial assistance. This will be further
Increased during the course ol the next
financial period as more donations are
received from members of the
Reserve5 kepl solely lo be awarded as
grarsls in Ihe fulure when received donalions
3re less Ihan expeded or do not m8el the
bud el ax
endilure.
£10.000.00
Not applicable as we always keep reserves
from the
reviou5
ear.
Nol applicable as no funds in deficil.
ststemenl explaining the
poli¢y for holding reserves
stating why they are held
Par4 1 21
Amount of reseryes held
Reasons lor holdin9 zero
reserve5
Detai15 01 fund rnalerialty
deficil
Explanatson of any
uncertainties about the
tharity continuing as a going
concem
P4ra 1 22
1.24
P¥ri 1.2J
No concems.
Addltlonal inlom)atlon loptlonall
You ma
choose to include further ststements where relevant about-.
The charity's prinapal
sources of funds lindudin9
any fundfai5in91
P** 1.47
Investment policy and
objectives including any
social investment policy
adopled
PaTa 1.46
A description of Ihe principal
risks laGing th¢ charity
oth

Slruclure, Governancè and Management
Dè5cripihJn ol thBrtty'i
trusls".
Type of goytming docuffenl
Pw•125
Conslrfution.
How is Ihe chanty
o)nslrtuted?
Pw•125
Ch81ty lncoryJ￿1od Org8nisDlJon {ClOI.
)orBle¢J
Trust•e selociion ￿￿1h￿a$
Including detalls of any
constrtv¢ion81 provisions e.g.
elticiion to p)si or name of
any person or b>Jy entrt*d
lo appoint one or mcffe
tW$iees
12$
Elèct•d by Iwsl membgrs.
Addlllonal Inlorni•llon lopilonall
You ma
chcKJse lo include lurlher 5t8tements ￿le¥an1 at￿lL
Policies and pIc￿dultS
adopted lor the induciion ar
training of trustees
Pw• 1.51
The alartty's organisatwl
$tructufe and any W￿¢T
*)th whKh th•
P** i.si
ch8rrty
Rela1￿nshIp TAth •ny rfatod
part*s
Reference and Admlnlstratlv• dotalls
Cha
name
Olher n8m8 th&
Uses
¢st6red cha
nurnbgr
Chanlls principal addi•ss
Nawaal 8on•volenc• Ftsnd
Nawaal Fund NBF
1155381
70 Founloyna Road
London N16 7DT

Narntr of petson
lor b￿y) enfltlert
ID appolnt twst••
D•lEs Thot lof whole
Trust•• nam•
Offir• Ilf anyl
A R Mangera
Eusool Dawood
AJnerat
Chairperson
Tnjst Members
Trust Members
Musa Jabbai
Yusul Dana
Secretary
Trust Members
Trust Members
Trust Members
Yunus Kapadia
Treasurer
sin￿ 3110812023
rate tnJslees- names of the dNectors at the dale the re
Dirodor
wasa
Name of trusteés hokling tiue io propetty belonging to th• charty
Funds held as custodian trustees on behalf of others
Descriptson of the assets
None
held in this capacity

Name and objecls of Ihe
charity on whose behalf the
assets a￿ hold and how this
falls wthin the custodian
charity's objects
None
Details of arrangements lor
safe custody and
segregation of such assets
from the charity's owm assets
None
Addltlonal informatlon {tsptlonall
Type of
Name
adviser
Address
Nam• of chief executive or name5 of s•nlor Stsff m¢mbews (Optional informatlonl
Exemptions from disclosure
Reason lor r￿n-d*S￿oSu￿ of ke
NIA
rsonnel delaiLs
Other o
tional infomiation
Declarations
The trusiees declare Ihat they havg approved the trust••s' r•port Ilncludlng dlr•ctors'
r•port} above.
Slgntrd on b•half of th• ¢harlty'8 tn•8t••sldlr•ctor•
Slgnatur•(s}
Full narn•{•l
Yunu5 Kapadia
Eusoof Dawood Amernt
Posltlon
Treasurer
Twuslee
D•t•
3111012024
3111012024

The Charlty Reglstratlon Number: 1155381
Nawaal Benevolence Fund
Nawaal Benevolence Fund
Accounls
31 December 2023

Mawaal 8enevolenee Fund
INDEPENDENT EXAMINERE REPORT
I rep)rt to th¥ Iruste8s on my examinat￿￿ ol at%tyJnts ol Nawaal Bene¥oleKe Fund for the
year eThJed 31 December 2023
Ro#ponslbllllS•s •nd b•sls of r•port
As the trustees ol the chaiilatAe ir*ofw)ralèd orgar4sath?n ytyj ar8 r95wnsib18 lor thè preparalK¥n
ol the accounts in accordan¢e ¥￿th the requirements ol the Chan￿$ Act 2011 llhe 2011 Acll.
I re[￿ in respect ol my examThlion ol the clwitth Ir￿p￿ated or9anisaiion's accoLtnts
carried out under se¢tKJn 145 of the 2011 Acl. In carw"ThJ oul my examinat￿ I have lollowad all
the ap￿Icable DirectKJns gwen by Chwily C4ynmi8sion urn1er sedKJn 14515llbl ol the 2011
examinaiion was ¢arried out in acctydarKe Mlh general Direetyons gNen by the Charity
CommissKin. An exarninatK>n inckths a review ol the ar*gJunting rery)rds kept by the tharity and
a eJ)mparison ol the accounts wesented *ith th)se recorts. It also i￿**jeS considefat*Jn ol any
unusual items or disdosurès in accounts. arKI sè8kn.rg e¥planaiKYts from the IFusl$es
concerning any such matters. The wocedures u￿lertaken do not wovKYe all the evidence thal
V4wJd be required in an audit. and consequentty no ow#)n 15 gNen as lo wtsther Ihe accounts
present a Irue aTrJ lairf VI￿ a￿1 the report 15 Im1￿ lo those matter5 Sat oul ￿ the slalemgnt
I IH¥e comW*d My ex￿11a1￿. I confm that rK> matters havt o)mè to my attention in
nr*ction *ith tho examination giving m8 cause io be&e¥e that in any fflaterial Te$r*d:
aoxuntWVJ fecord$ were ￿1¢ ke0 ￿ respect of Ihtr ¢hwitablè incorporaled Organisation
as l￿ulred by sectyon 130 01 the 2011 N£t.' c
accounts (kn not a¢¢tyd *ith thos¢ r￿¢￿., or
I have no ¢0￿m6 and have c¢xne across other malt8rs kn conn￿li0n with èxamlnation lo
tKh attenlion sPthikJ be dro￿ in this ordaT lo enabl& a Frfoper understa￿1￿￿ ol the
a¢¢¢)unts to bo roat**d.
7kJL
Z P￿h2n
7th October 2024

w••1 Benevol•nce Fund
R•¢elpt$ and p•ym•nls accoun¢$
Y••r •nd•d 31 D•E•fflb•r 2023
(In￿Sts￿l
Funds
Bestrf¢led
Funds
T￿•1 Funds T¢>t¥l Fvndj
2023
2022
Ineomlng R•￿￿￿1
R•c•ipts
Zakal. lithahlsadaqah other
Grfi knl
130.756
19.374
130.756
19.374
196.604
17,380
Totsi r•c•lpl•
150.130
150.130
213.984
Charslable activths
Grants and vrAJ¢hers
authni woje¢t
174.￿7
174.007
1.300
169,060
720
Offti eythlure
Salaries
Subscriplion
Websrte costs
IAark81i
Irlsurance
Volunteer exFwses
Tr￿1
210
210
S.200
504
428
436
420
290
162
235
428
157
157
1,839
731
731
1,262
Tgtsl ￿yM•D¢S
784.376
184.376
173,991
Nel IneomellExp8TrJrtu￿} for Ihe yaar belore
trartslws
1342461
134.2461
39,993
Tran51ws from g8n•ral lur*Js
Nel lrwrn￿IEXF¢TrdN￿￿} Ihe ￿al
1342461
134,2461
39,993
N•1 mo¥•mwst In fund•
134.2461
134.2461
39.993
galan￿ broLwhl loThNd at 1$lJanu¥y 2023
124.907
124.907
84,913
).661
9),661
124,906

N•w••l Benevolen¢e Fund
B¥l•nte Sh*et
As * 31 December 2023
Current Assets
Cash at bank and in harml
91,051
124.906
91.051
124.906
Credllors- amounts laLlre
due Mlhin one yeaf
Nel ¢urrent assets
90.661
124.906
Tolal n•1 ass•ts
90.661
124,906
Funds
Aestricled
UnrestrKled
.661
124.
90.661
124.906
Pmroved by the Bo*d ol Tntstees arnl 5th]￿ on its be￿￿1 ty..
nature:
Swjnatwa..
FvseoF .?.
J I(APh.SIA
Dale: 21- io- lolg-
Namè:
Dal•'.

otes to the Accounts lor the year ended 31 December 2023
1 Ae¢ountlng pollcles
Basls of preparation
The accounts have been prepared on cash basis Ireceipls and
payments aecounlsl.
Lllllah, sadaqah and othèr donatlons
Zakal, lilliahlsadaqah and other donations represents donations made
by individuals and or9anisalions duTing the course over the year
2 Credllors - amounls falling due wilhin one year
2023
2022
PAYE
390
390

The Charlty Reglstratlon Number: 1155381
Nawaal Benevolence Fund
Nawaal Benevolence Fund
Accounls
31 December 2023

Mawaal 8enevolenee Fund
INDEPENDENT EXAMINERE REPORT
I rep)rt to th¥ Iruste8s on my examinat￿￿ ol at%tyJnts ol Nawaal Bene¥oleKe Fund for the
year eThJed 31 December 2023
Ro#ponslbllllS•s •nd b•sls of r•port
As the trustees ol the chaiilatAe ir*ofw)ralèd orgar4sath?n ytyj ar8 r95wnsib18 lor thè preparalK¥n
ol the accounts in accordan¢e ¥￿th the requirements ol the Chan￿$ Act 2011 llhe 2011 Acll.
I re[￿ in respect ol my examThlion ol the clwitth Ir￿p￿ated or9anisaiion's accoLtnts
carried out under se¢tKJn 145 of the 2011 Acl. In carw"ThJ oul my examinat￿ I have lollowad all
the ap￿Icable DirectKJns gwen by Chwily C4ynmi8sion urn1er sedKJn 14515llbl ol the 2011
examinaiion was ¢arried out in acctydarKe Mlh general Direetyons gNen by the Charity
CommissKin. An exarninatK>n inckths a review ol the ar*gJunting rery)rds kept by the tharity and
a eJ)mparison ol the accounts wesented *ith th)se recorts. It also i￿**jeS considefat*Jn ol any
unusual items or disdosurès in accounts. arKI sè8kn.rg e¥planaiKYts from the IFusl$es
concerning any such matters. The wocedures u￿lertaken do not wovKYe all the evidence thal
V4wJd be required in an audit. and consequentty no ow#)n 15 gNen as lo wtsther Ihe accounts
present a Irue aTrJ lairf VI￿ a￿1 the report 15 Im1￿ lo those matter5 Sat oul ￿ the slalemgnt
I IH¥e comW*d My ex￿11a1￿. I confm that rK> matters havt o)mè to my attention in
nr*ction *ith tho examination giving m8 cause io be&e¥e that in any fflaterial Te$r*d:
aoxuntWVJ fecord$ were ￿1¢ ke0 ￿ respect of Ihtr ¢hwitablè incorporaled Organisation
as l￿ulred by sectyon 130 01 the 2011 N£t.' c
accounts (kn not a¢¢tyd *ith thos¢ r￿¢￿., or
I have no ¢0￿m6 and have c¢xne across other malt8rs kn conn￿li0n with èxamlnation lo
tKh attenlion sPthikJ be dro￿ in this ordaT lo enabl& a Frfoper understa￿1￿￿ ol the
a¢¢¢)unts to bo roat**d.
7kJL
Z P￿h2n
7th October 2024

w••1 Benevol•nce Fund
R•¢elpt$ and p•ym•nls accoun¢$
Y••r •nd•d 31 D•E•fflb•r 2023
(In￿Sts￿l
Funds
Bestrf¢led
Funds
T￿•1 Funds T¢>t¥l Fvndj
2023
2022
Ineomlng R•￿￿￿1
R•c•ipts
Zakal. lithahlsadaqah other
Grfi knl
130.756
19.374
130.756
19.374
196.604
17,380
Totsi r•c•lpl•
150.130
150.130
213.984
Charslable activths
Grants and vrAJ¢hers
authni woje¢t
174.￿7
174.007
1.300
169,060
720
Offti eythlure
Salaries
Subscriplion
Websrte costs
IAark81i
Irlsurance
Volunteer exFwses
Tr￿1
210
210
S.200
504
428
436
420
290
162
235
428
157
157
1,839
731
731
1,262
Tgtsl ￿yM•D¢S
784.376
184.376
173,991
Nel IneomellExp8TrJrtu￿} for Ihe yaar belore
trartslws
1342461
134.2461
39,993
Tran51ws from g8n•ral lur*Js
Nel lrwrn￿IEXF¢TrdN￿￿} Ihe ￿al
1342461
134,2461
39,993
N•1 mo¥•mwst In fund•
134.2461
134.2461
39.993
galan￿ broLwhl loThNd at 1$lJanu¥y 2023
124.907
124.907
84,913
).661
9),661
124,906

N•w••l Benevolen¢e Fund
B¥l•nte Sh*et
As * 31 December 2023
Current Assets
Cash at bank and in harml
91,051
124.906
91.051
124.906
Credllors- amounts laLlre
due Mlhin one yeaf
Nel ¢urrent assets
90.661
124.906
Tolal n•1 ass•ts
90.661
124,906
Funds
Aestricled
UnrestrKled
.661
124.
90.661
124.906
Pmroved by the Bo*d ol Tntstees arnl 5th]￿ on its be￿￿1 ty..
nature:
Swjnatwa..
FvseoF .?.
J I(APh.SIA
Dale: 21- io- lolg-
Namè:
Dal•'.

otes to the Accounts lor the year ended 31 December 2023
1 Ae¢ountlng pollcles
Basls of preparation
The accounts have been prepared on cash basis Ireceipls and
payments aecounlsl.
Lllllah, sadaqah and othèr donatlons
Zakal, lilliahlsadaqah and other donations represents donations made
by individuals and or9anisalions duTing the course over the year
2 Credllors - amounls falling due wilhin one year
2023
2022
PAYE
390
390