REGISTERED COMPANY NUMBER: 03038Y)5 (EDff1￿d •nd Wal¢8
REGISTERED CHARITY fiuMBEIL. 1156023
Report of the T￿￿te¢S
u￿•￿dIted Sts¢¢m¢Nts
forth• Ye*r KDded 31 M*reh 2025
ADMr Fkn*n¢¢ Group Umlt
(Llmlttd by Guir*•¢¢¢)

Alls*r FthaDe¢ Group ljmited
(Llmitsd by Gu4r4Dttt)
Contrnts ofthe Th4D¢l•l Statenhetttg
forthe Ye*r EDded 31 2025
P*8e
Rryort ofthe TTUSttes
I to 4
A¢e0￿￿tant.3 Report
Indtpende•¢ Exwkner's Report
Ststem¢Dt of FIn￿CIal AetMtle8
Bal*•ce Sheet
r4•te8 to the Fln4n¢i41 Stgtements
io to IS

Ansar FthAtsee Group Limlted
{Limited by Cumrxnlte)
Report ofthe Trystees
for the Year Kllded 31 Marcb 21125
The tru5ttts who are also directors of the Ch￿lty for the puJpos¢8 of the Companie5 Ad 2006, presetit their report with the
rinancia] siatem¢nt5 of the charity forthe year ended 31 ma￿ 2025. The t￿$￿5 have ￿0p1¢d the provisions of AcLouniing
and Rey)rting by Chariu¢s.' Statemeni of Rewmrnended Practice appli¢able to etwiti¢s preparing their accounts in
¢¢ordallce withtheFinaDcialReportin8Standgrd applicablein thc UK and Republi¢ of Ir¢land (FRS 102) (effeGtiv¢ l January
2019}.
OWEcfivES ALW ACTIVITIES
Prln¢lp81 Artivitles
'The principal actiViiiC5 during the above-mentioned year were &s fL)Ilows:
Promoting an ¢thI￿lS[amI¢ way of finallce.
Edu¢è¢ing the publi¢ about ahical finan¢iai affairs in lin¢ with ihe teachiTgS of Jslam.
Providing interest-free loalls to any qualifying member ofthe public in accordance with its main objectives as laid
down in th¢ articles ofas50¢ialion.
Coll¢rtion of Zakai att4t distrilNJting funds wherc ne¢cssary.
Collaboration with Universities wjd other UK Ch￿￿¢$ and Organi￿lonS to further promot¢ Ansar's int¢ffstsfree caus
Raising funds for internationol cAmpaiEn4 wherc necLSS8ry and conducting dEploym¢nts to distribu¢r the funds for
specific causes.
Networking by attending D&ional and intern￿lOn￿ r]nance ¢v¢nts and conlem¢¢$ to develop ¢0otact$ and n)iero-
rinance pr(wJu¢ts.
Ansar Finanr£ Gmup Limit￿1 are the only provider of tsue iniuest-free IoaD& As a organi5ation, we face huge
¢ha]lengcs to raise futtds under an interest-free banner. Also, wh¢D &%8ts5ingloall application$ forapproval and havitt8to tum
down c¢nain apPli￿lionS knowing thai ihe applicant is in d¢sp¢rate of the money. A strict uffoTdability criterion is
applied, likc any Oth￿ loan provider in thc markct, to &rf¥8uard our donor5, fimds and for the PUTpo8e of prev¢oiin8
Opportuni￿ individual$ 89 the TruSt￿S are tsusted with these fi]nds.
Objeetlv¢s and 8lms
'[￿ aim ofthc charity is to ¢hang¢ thc perception of how peopl¢ view int¢r¢st in general and provide help where members of
th¢ Community are sufferingwith inter¢si relJt¢4 d¢bt problems. This a150 in tum afr￿tS (heir physical and metrttsj healih and
aus¢s family problellLS. Alyo, to assist our co]nmunity to rc4lise living within their tneans 15 possibl¢ with comrnitmen¢.
A5 a charity. th¢ 108n application h&8 bcen open w ail pernianeni r¢5idents of the UK. in accordance wilh th¢ rules artd
ttEulaiions in force at ihe lim¢.
Pwblie benefit
Ansar deliv¢r8 immcdiatc finan¢i81 sUPPOrt to The members of the community who are in necd of urgent support in 8
em¢rx¢ncy v￿8 our Zakat fiLnd. This help is &vRilable to all pcrmanent ttsidents of the IJK. subjcctto the Nl¢s and regulations
in forcc at the time. This now diT¢Ctly benefits any p¢rson who is in finanoi&l diifiGul¢y (Trr hardship. A loan may be offcr¢d
wh¢n an individuAI ￿gular income to mok¢ loan repayments and can still mainthin their lifeslylc without causing them
any financia] difficulty.
Anw helps at the time of need, i.e. flow problems and iTrterest-related debi. As this is an intetEst-free loan. the pcrson
i$genuinelybcing hGlp¢d andnotbeing buTden(xl withmoreaJLd ¢vw.in¢rc4sin8debton intercst-relatcdtrans￿tiorts. Gcnuine
r¢lieli5 given; our l¢)an5 ore not an illwion of relief but a Iruc reality. Our fund is for Muslims within our ¢ommuni(y
who ar¢ struggling to meet their b&8ic day-tfrday nccds.
Pag¢ I

Ansar Flnante Croup Lim5¢¢d
(Lllllited by GuarAntet)
Report of tbe Trw5tee8
for Ibe Y¢8r Ended 31 M*r¢h 2025
ACHIEVEMEPtr AND PERFORMANCE
Charlt*ble Activitles
lThth¢ fitwi¢ial yearend¢d 31 March 2025, Ansarawarded 21 int¢rest-fre¢ 108ns (2023-24: 12 IowLsI amounting to£21)0,709
{2023-24: £53,250} in total. We have StrLmgthen¢d our loan appn)val process and are perforniing additional ¢h￿kS on the
potential FK>rrower's ability to pay the loan5back. Li)&ns were given for deh consoliila¢ioN ¢redii card aJreaTS, wedding cost&
¢m¢r8cney travel, wairs, essential appliances, and ur purchase.
Wc offer inl¢r¢st-frtt 10gn5 and charge an admin fee of £30 irrestKetiv¢ of the loan wnount and L¢rn. Our policy is to giv¢
all applicants equal 8¢CCSS to the loaD&
Anw approY¢d 17 z4k#t Mpplleatlons in the yew 2024-25, amowting to a tota] of £IIJW. This Compar￿ to th¢ year 2023.
24 zero zakat payD)ent. as all applications did not meet the zakat tligibility ¢riteri& We have bccn fortunatc cnough ¢0 k in
receipt of Z4kat dottatio￿ from our generous donors and wider community due to our promoiiort of this fimd. We were able
to Signpost those in need to fO￿j banks and other support within their11)￿lty.
Ansar Finan¢¥ undertook its fir5t.¢v¢r int¢rnaiional campaign and raised fimds for Orphan5 and Widow$ in Pakistarn 11 used
the Muslim Givin8 platform to rais¢ fund5 and coll&borated with SOS Pakistan to use the fvnds forthai purpose. Ansarraised
£11,077 through 8enerous donations from our donors and the public. As. & registered ¢h￿ty, An5ar can claim Gift Aid from
HMRC. ¥]]d th¢ 8moynt of fimding for this wpai8n b¥corn¢s £13,126, including Gift Aid. As this w&s our fjrst cxperience,
we had io wo)* very carefully to ensure safe trdvelling arr8mg¢ments, stay while visiting sevcral places and S￿￿re travel
arrartgements for thc staff and volunteers travclling within Pakistsqn, along with food and hygi¢n¢ arrangemen15. In keeping
88(ety paramount, Artsar Chose to book accomtnodation ai well-￿Cured and r¢putable premise5 and arranged private trnvcl
arrJn¥emettis throughoul, ￿clUding a driver to a￿OMpanY the team. Anw'leam visited 5 SOS siTrs in Islamabad, Lahore.
Abbottabad, ManEal and Dhodiai. After careful Consider￿101￿ assessment and deliberation. Ansar donatcd a Subs￿lIa[
ponion of fi￿dS to SOS Children's Villa8e Dhodial, w4Jich provides care. educalion, and support for orphans and ghandoned
¢hildren, including widows, in Pakistan. The funds were u3cd for a sust8ithle project to provide y¢en energy (inslailaiion
o(a solar encr&v system) to the 8-acre sit4 including lo homcs, a school (with astrength of 1,400 student5), spotts facilitie
a mo8quc, and the admin block within the 3it¢.
A collalx>ration with Herits8e R￿10 at BHMC (Britith Muslim Herttsge Centre) w88 atso exttuted by AnsarFtnattce Group
to run a fothightly show covering diveJ%e topics on Ethic￿/[SIaMic finance with specidl emphas'is interest-free fina￿cing.
The Ans'ar Team tnonaK¢d to illviie 5cholar$ a¢ad¢mic$ entrepreneur4 and other I￿al influential pcople tts run a nwnbcr of
shows to fulfil its mission and visi(KJ to ¢durat¢ the communiti¢s on Ethi¢aVisiomic financin& This was also a Sl￿c£s5ful
pn)jKt done over 6 mortths with a vi¢wto fi]rther collaboraiion.
Year of 8CtlvltieJ at a giauce
The Ansar i¢am h&8 becn rcmarkably busy in engaging with a uumber of organi53tions and individuals io strengthen its
collaborative approach. This ha5 r¢$ulied in new opportwiiii¢s for ADsar. other charitlC5 and noL-for-profJt organisaiions to
work tO8¢ther with our cau5¢ ag4illSt Rib& Bclow is a list of activiti¢$ Anw has undcrtak¢n in th¢ fi]wcial y¢ar 2024-25.
P8g¢ 2

AD8or Flnanee Group Lffimlted
(Ijmlttd by Guar*ntet)
Report of th¢ Tru8tees
f•r the Year Ended 31 March 202$
No
Month
Event details
Collaborated with Muslim Givin
to raisc fun¢ls for international cam
Unity Cornmuniry ILocal F(xyJ Bank) conts¢t¢d to p￿VIde meat for Mus]im
familie5 for Eid.
Crcatsd L8 la ul
Ramadan SL4 for $o¢ial medi&
CThairman and cTllploy¢¢s travelled to Pakistan for I I days to 5UPPOrt OTphan5
& Widows.
Apr-24
May-24
-24
Jun-24
Jul-24
ided to refij
¢5 at bot¢1 and deliver￿ to our ¢0118borotors.
Provided Eid meat for Uni
. Communi
Onlin¢ nKetirt8 with Coliaborn¢ors from Pakistan ah¢&d of our internalional
Ju1-24
T-shirL hoodie and bsmner8
tin
for in*mational cam
RetUTnS incllldin activii b) , loatt a￿1 kn¢ distribution infornjation.
Halal Ex
stall dt MJn¢h¢$ter United Stadium fvr 2-dav event.
Oldham foodbank contacted to provided non perishable i1¢n￿ for distribution
which were ￿Ch￿d and delivered.
Eid ifts ijisthbution #t R¢fu
e hotel.
Collaboration with GM Muslim Allian¢e for R¢eu8ees. Offering vital support
in Manchestr.
Me£tin
with a m￿tee at Makki Mas id for
t¢ntial collaboration and su
Ste¢rin¥ ¥roup for key pluy¥JE in EthiLaVlsla]niL FinJncE in the UK in HOU￿ of
Lord b
invitation of Lord Shat*¢
Meetirl with H¢tita Radio
ro
Thana er to su
and collaiN)r8te.
Record￿ show at Heritage R*dio -Profcssor Nazaam & Dr Mirizah Mitthat
fr(trm Bradford Univergi
Or¥anised Eid food for vv]nerable families withill m￿Che$l¢r in Colla￿ration
witb a local food battL
10
S¢p-24
12
13
0¢1-24
Nov-24
14
Fe￿25
F¢b-25
16
17
Mar-25
Mar-25
18
Mar-25
Investment perfom9ne¢
In accordance with the memorat￿u￿ ¥Ad Articles of Associatiott. the Trustees have the pow¢r to make and hold
inveslmcnts using th¢ gen¢ral fimds tsf the charity. The trfjlicy of the ¢harity 1$ to invest in low risk, short to medii]m t¢rn)
inv¢sDnents. There 15 a ne￿ io develop an investment 5¢fdt¢gy to etssure our fund$ ar¢ diversifjed.
The aDnexcd ￿cOUl115 show the state ofthe f￿4￿4¢8 uf the Cbarity at 31 March 2025. which the Tru&t¢¢s consider to bc
5atisfa¢tory.
FINAf4CIAL REVIEW
Restrves pollty
The dLatity'S uorestricted fund% for the financial y¢ar h8Ye remained tn SU￿1￿$. It is the norn￿1 policy of th¢ charity to
Ainl#in fimds at a Icvel 5uffici¢nt to cov¢ruDforeseen and major ¢xp¢nditure thd shortfa]b in It￿e.
Future pl*n•
Ansar will conlinue tts work with its communities and parthcrs to raise awamiess about the prohiTr*ilion of Ribalinter¢si.
Currently the fi￿ancIal ¢limate is very uDcertain a¢ro&s the whole fman¢e industry. Ansar will ¢ontinue to work hard to
incr¢85e its donoT base alld invest Some of its suTrlu$ fullds to ettsure that the income gets divcrsified. Collabora¢ing with
ITk¢mind¢d org40isation5 to spread ow m¢s$age and dcsign new products to help our Communitie& easing their fJn8Dci81
difficulties in the many yeAr5 to ¢4)me 2nd to furthcr collAborats with other charities to r￿￿ more of the UK PDPU]&tion.
Page 3

ADsar Fkn*n¢¢ Group Lill￿ted
(Llmited by Gu￿#￿￿¢)
Report of the Trnste
for the Year E￿ded 31 M8rrh 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The ¢harity is constituted by 8Th aDJended Memornndurrt Articles of A￿o¢latiOn dated 28 July 2019, and coL%¢itut¢s a
limited compally* limited by guarantee, as d¢fmed by the Companies Act 2006. 11 1$ r¢gistered with th¢ Charity Commissio
ut)der charity number I 156023. The manz8emeni of the chaTity is the res￿)nsIbIl￿ of the Trustees who are elected alld
Co-opted under the term5 of the TnLSt Deed. The Tnjstees bavf the power to ap￿ltit (unher tnjstefs by a simple majority
voting sy$tem.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Company Dumber
03038595 (En8laDd and W￿¢8)
ReW5tered Charlty number
1156023
Regl$tertd offlee
59 Kingsway
Manchester
England
M192LL
Trnst¢es
ADjum Zulfiqar
Moh8mmad RAfiq
Abid Ahmcd Satwijkar
Nas¢er Nazar
Accountant
The Accountants & managell￿nI Consultants Ltd
6 FroD]e Driv¢
Crumpsail
Manchester
M8 OGA
Independent EAAmiller
Adnan Aslam Sthi ACCA
27 Rallworth Clos¢
Bolton
BLI 7RL
SMALL COh(PANY EXEMPTION
This rqK)rt bEBn prepated in accordance with the 5pe¢i81 provisions of Part 15 of th¢ Cotnpanies Aci 2006 T¢latiDg tsTr
small ¢ompani¢s.
Approved by orderof the board of trwst¢es on 23 Dccembcr 2025 and signed on its behalf by..
Anjum Zul
qar- Trustee (Chairman)
Mohammwd Rafiq. Tnwtee
Page 4

Actountatst's Report to the Trustee5 of
ADsar Flnanet Gr0￿p Limitsd
(Lfiwlted by Gu*ranl¢e)
Acc•uDtant's to tht irnrteu of FlllAllte Group ljmlted (Llmlted by Guarantee) (Ithe Company.)
In orderio assist you to fulfil yow duties wider ihe Corrtpanies Art 2(K)6. we have pr¢pared foryow approval the ¥￿ints of
Ansar Finance Group Limii¢d for the year ended 31 Mar¢h 2025, which comprisc the Profit and Los5 Account, the Balance
Sheet and the related rt0￿ from the Company's ￿￿ll￿tIrtg ttcords and frorn ll)fonnation and ¢xplonations you have given
us.
As a practising membcr firm of the Chartertd Inbrtitut¢ of Management Accountants we are subje¢t ¢0 its ¢thical and oih
professiot)al rcquirern¢nt4 which are detailed at hit :l/ww'w.¢itna lobal.corn.
Our work h&8 becn undcrtakert in accordance with the Tequirem¢nL8 ofthe Charteral Instttute of Mana8cment Ac0)u￿￿
detailed at htt ../INww.¢iin
The A¢¢ountsnts & Management Consultsllts Limit¢d
Chartered Manag(ment ACco￿t9￿1$
6 Frorne ￿1Ve
Cnuttpsall
Manchcster
M8 OGA
Datc: 23 D￿￿￿ber 2025
Pag¢ 5

IndependeDt Examlnews Report to the Trn5tees of
FlnaD¢¢ Group Lithittd
{Llmited by Guarntttse)
IDdependeut e￿￿]ner'S r¢port to th¢ trnstees of Ansar Fl•8nce Croup Llmited (Llmited by Gu*rHrttse} {'the
Company,)
I rq)ort to the charity trÈ￿ on my examination of the account5 of the Comparty forthe ycar end￿ 31 Match 2(125.
RespoD$Ablltlt5 b•sls of report
As the charity's tNstees of the C4)mpany (end also its dire¢tots for the puryK)ses of eomparty lawl you are reswnsible for the
preparatiOD of the accounts in XLordan¢e with the r¢quiremeThts of th¢ Companies Aci 2(XI6 Cthe 21K)6 Act).
Having sa¢isfied myself that the a¢￿Unts of thc Company are not required tu be audited under Part 16 of the 2(XI6 Act ond
arE eligiblc for independent wlnination, I report in JEsp¢ct ofmy examitjation of your charity's ac¢ounts a5 carricd outunder
Section 145 of the Clwitics Act 2011 Cth¢ 2011 A¢t'}. In carrying out my examination I hav¢ followed th¢ Direciions 8iv¢n
by the Charity Commission under Section 145(5) (b) of the 2011 Act.
Independent ex#mlner'8 ststemeDt
I have complewd my examingLiOL I confirni that no matters have comc to my attention IA connwtion with the ¢xamination
giving me cause to b¢li¢vc:
accounting re¢onts wer¢ notkepi in restect of the Company a5 required by Section 386 of the 20(￿ Aci or
lh¢ accounts do noi accord with those record5; or
lh¢ accuunts do not comply with the &countlli8 requiremenLS of Section 396 of the 2006 A¢t other than any
requlrement th￿ the accounts givc & true 8￿￿ fair view whi¢h is not a tEJatter ¢onsid¢red as part of an indcp¢nd¢nt
examination,. or
Iheoccounlb. have noi been prwred in accordance with thc methods and principle5 ofthe Ststement of Recommended
Practice foraceountinB and reporting by chojities {applscable to ¢harities prep￿ing their accounts in accordan£c wilh
the l inancial R¢porting sthdard applicable in the UK andRepubli¢ of Irtland (FRS 102)).
I have no concems and hav¢ cDme xross no other matters in conneGtiort with the examiTJ4tioii to which att¢nlion sho￿ld be
drawn in thi5 r¢rth in ord¢riO enable a proper UDd¢rstsnding of the Accounts to be reached.
Adnan A51am Sahi ACCA
27 RaThworth Cl(kS¢
Bolton
BLI 7RL
Date.. 23 December 2025
Page 6

Ansar FlnADce Group Limited
(L5mlted by GMar4Dl¢¢)
Sl*t•nent of FlmanclalActivitits
(InurporA¢iDg ¥n Income and EApettdttsYt Aceount)
for tht Ytar Ended 31 M4r¢h 2025
2025
Un￿5￿]¢t¢d
2024
'rotal
funds
No¢¢s
INCOME AND ENIK)WMKNTS FROM
DOn￿lon8 and l¢gacie$
Other Irading aclivitits
62,619
74,167
64284
75.376
EXPENDITURE ON
ChArit8ble activities
Raising donations and legacies
72.955
NET D4COME
(8,671)
9.773
RECONCILIATION OF FUNDS
Ti)tal ￿ndS brtsught forwstd
1,114,611
1,104,838
TOTAL FUNDS CARRIED FORWARD
1 105 940
1 114611
The note8 form part of these fit)all¢Aal stat¢m¢nts
Pag¢ 7

ADsar FiD8nee Group Llmitrd
ILlmite41 by Guarantee}
BAIArtee Sheet
31 March 2035
2025
2024
Notes
FLXED ASSETS
"I"angible &s5cts
InveskneDL
21.464
24,466
21,472
24.474
CURRENf ASSETS
Debtors
C&sh at bank
10
604,054
519.832
l.l(K>,500
,121.760
CREDITORS
Amounts falling due within one year
NET CURRENT ASSETS
1,090.137
NET ASSETS
1 105.940
1 114611
FUNDS
Unrestricted fi￿dry
12
1 105,940
1 114611
114611
The charitable company is entitled to exemption from audit under Seciion 477 of the Companies AGI 2006 for the yearended
31 Ma￿￿ 2025.
The tnembtrs have noi r¢quir&l th¢ company to obtain an audit of its financia] sthtements for the Y￿￿ ended 31 March 2025
in a¢¢ordan¢e with Section 476 ofthe CompaDi¢s Act 2006.
Thc trustees acknowledge their responsibilities for..
(al
ensuring that the charstsblt company keeps accounting records that comply with SLXtions 386 and 387 of th¢
Compartie8 A¢1 2ts￿ and
preparing fitwieial statements which give a true and fair view ofthe state of alyairs of the charitable Company &8 at
the end of each financial year and of its Surplus or deficit for each ffft8A¢iai yellr in aceordancc with the requiremenis
of Sections 394 aDd 395 w]d which otherwise comply with the requirements of the Cornpanic5 AGI 2006 relating to
fitwicial sts*ments. so far &8 applicable to the ¢harirable company.
(b)
The notes forni ￿ of these fioaneial statements
continued...
Page 8

## **Ansar Finance Group Limited (Limited by Guarantee)** 

**Balance Sheet - continued 31 March 2025** 

**These financial statements have been prepared in accordance with the provisions applicable to charitable companies subject to the small companies regime.** 

**The financial statements were apQioved by the Board of Trustees and authorised for issue on 23 December 2025 and were signed on its behalf by** 

**Mohammad Rafiq - Trustee** 


**The notes form part of these financial statements** 

**Page9** 



Al￿r ￿ll￿D¢t Group Limited
(Limittd by Gll8rantee)
Note5 ts the Fln*nelal Ststenb¢nts
for the Ye*r Ended 31 M#reb 2025
ACCOUNTING POLICIES
Baglg ofpr¢parlng the littall¢l•l s¢at¢rnents
The financi￿ 5tatem¢nls of the charitable tompsny, which 1$ a public benefit entity under FRS 102. have been
prepared in actordancc with the Ch8Xities SORP IFKS 102) 'A¢¢ounting ond lieporting by Ch￿lties.. Statement of
Recommended P￿tICe applicable to rhdrities preparing their accounts in ac¢ordaThTr with the Financial Reporting
st8￿dard app]i￿ble in the UK and Republi¢ of Ireland {FRS 102) l¢ff¢ctive l January 2019),, Finan¢ial Rcportln8
Slandard 102 The l.inancial Reporting Standard applicable in the UK and Republic of Ireland and the Companies
Aci 21X)6.'lthe fmancial siatemcnts have b¢¢n prep￿ed under the historical cost convention.
Pr¢pan)tion ofeon501id*ted tln4nelal statements
The finanLiaJ statementb Contain inforniation about Ans&r Finanw Group l.imited &% gn indivtdual charity ￿]d do not
Cotttain con501idated fiTwi¢ial infornjatton as the parent of ihc group. The company is exempt ￿d¢r Section 399 (2A)
of the Companies Aci 2006 from the requirements to pr¢par¢ con￿1]dated fLnanGiai stai¢ment&
Related p¥rty eiemptlon
'rh¢ charity h&8 taken adV￿tAge of exemption, unts t¢rn)s of Financial Reporting Standard I02"1￿£ Financia]
R¢porting StandardappliGqbl¢ intheUK and Republic of Irelan(Y, nottodiKlose rclatcd partytrazisactiortswiih wholly
owned subsidiaries within the Broup.
lll¢ome
All income is r￿08￿1&ed in the Statement of Financial Activities once the charity h&8 entitlement to the funds. li is
prob4bl¢ that the incoEne will be nxeived, and the amount b¢ m¢awrcd reliably.
Expenditur¢
Liabilities are recognlsed &4 expenditure as qoon as thtte ig a legal or co))qts￿ctlve obligation Committing the charity
to that expendittw< it is probable that a tran5f¢rof ¢¢onomic benefits will be required in yettlement and the pJnount of
Ihe Oblig￿lOn can ￿ tneasured r¢liably. Expendilur¢ 15 accoujjied for on an acen]als basis and has be¢n cl&s5ified
nder heading5 that aggr¢8ale ail cost related tts th¢ category. Wherc costs ¢aILnot dtr￿llY attrlbllt￿ to particular
he￿ing* they hav¢ bccn all0¢￿ed to a¢tiviiies on a b&sis consib1¢nt with th¢ us¢ of r¢sources.
CowÈrnAttte tosts
Govemance costs comprisc Gosts for the runn2n8 ofthe charity.
Tangible flxed assets
Tangible fixed asws are initially rttorded at cost1¢5s any t&x, dIscou￿&8￿d ￿bal¢s. Subs4uently they are recorded
at co< less a¢¢umulated d¢preciation and impairment.
Depr¢ciation ts provided #t ihe foltowing annual rates itt order io WTite off each ￿tt over its ¢5tima¢ed useful life.
Itnprov¢Jnents to Jwopety
IOY• On Cost
FixturGs and fittings
15% r&lu¢ing ba]an¢¢
Compuw equipment
25% reducing ba]ance
IDV¢StEDtits
Investm¢Dts in Subsidiaries undertaking5 are reCO￿lS¢d at cosL
T*xatioJb
The charity is exetttpt from co￿oNi0n tax on its eh2rithble a¢tivitie&
Fund At¢ountlng
Unrestri¢t¢d fitnds can be used in ￿￿T￿an¢¢ with the charitable objectives at the discretion ofthe trusie¢s.
Restricted fwids can only be used for particular restricted purtM)ses within the obiects of the eharity. Rest￿￿70m$
ar1￿ when 5pecifid by the dwor or when fimds are raised for particularrestri¢t¢d purposes.
PAg¢ 10

All￿r Group Limited
{Llmited by Gparalltee)
Notes to the FlnADcl81 Ststements- eolltlDued
for the Year ￿￿ded 31 Mgrch 2025
Golng toneern
The ch8riry'S Financial ststern¢nts for the year ended 31 Mar¢h 2025 have been prq)ared on 8 80in8 concern basis as,
after making appropria1¢ ¢nquiries, the tTUStecs hav¢ a rc&8onable cxpcctation that the charity has adeqtmte resour¢¢$
to continue in operational existence for the foreseeable fvDJre.
P¢Dslon costs other post-retlrement bellellts
The¢ompany operdte5 adefined contr1￿¢10n pcnsions¢hem& contribution8payabletsitheo)mpany's pension scheme
arc charged to profit OT loss in the pCrI￿ to which they reldte.
DONATIONS AND LEGACIES
2025
2024
DonatÈuns
Gift aid
55.195
70,677
OTHER TRADING ACTivfrJES
2025
2024
Application and other fees
CHARITABLE AcfivITIES
2025
2024
Supwrt ry)8t$
65,603
TRUSTEES, REMUNERATION AND BENEFITS
There w¢r¢ trustees, remwiwation or other benefits for the y¢4r ¢nded 31 Mtrch 2025 nor for thc year end
31 Ma￿h 2024.
Ttuste¢$' ¢Jpe]￿S
The charity arrang&1 OBE ¢clebration lor the founder and awurded umrah pxkag¢ amounting lo £2,5￿ &8 a g￿t￿re
orappreci￿lotI forhis lif¢long¢ontribu(ion ioih¢¢harity durIngtheYearend￿ 31 March 2024.'11)crL were noth]*¢
expenses paid forthe year ended 31 March 21)25.
STAFF COSTS
Th¢ average monthly numberof ¢n)ploy¢e$ during the as follows..
2025
2024
Number of employees
No employees received emoluments in excess of£60.(MM).
Pag¢ll

FID2Trte Grnup Umlted
(Limittd by Gu8rnlltee)
Not•$ to the Fitt*ncl*l Ststewents- t•ntlnlle
lorthe Y•*r End¢d 31 March 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UTwestrictrd
fund
ILYCOME AND ENDOWMENTS FROM
Donations and legaci¢$
Other it￿1n8 activitie
74,167
1,209
75,376
EXPENDITURE ON
Charitsbl¢ activities
NET INCOME
9,773
RECOFICILIATION OF Fuf4DS
Total ffijnds broughl fon¥ard
1.104,838
TOTAL FUIYDS CARRIED VORWARD
1 114611
TANGIBLE FIXED ASSETS
Improv¢m¢nts
to prop¢try fittin8S
Computor
uipm¢nt
Totals
COST
Ai l April 2024
Additions
27,212
350
27,068
19,503
73,783
350
At 31 March 2025
27
DEPRECIATION
At l April 2024
Charge for period
6,767
23285
568
19,265
59
49,317
Ai 31 Ma￿h 2025
NET BOOK VALUE
Ai 31 March 2025
179
21,464
At 31 March 2024
238
Page 12

Ans8r Fin*nee Lirntttd
(Lillbl¢¢d by Guar*ole¢)
Notss ¢0 the FIn￿e1￿] Slxtethethts- tonttDUtd
for tbe Ye*r Ended 31 March 2025
FIXED ASSET INVESTMEf4TS
Share5 in
group
Idenakings
COST
Ai l April 2024
and 31 March 2025
NET BOOK VALUE
At 31 March 2025
Al 31 M￿Ch 2024
io.
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade debtors
Amounts owed by group undert8kii]gs
Othet dd>tors
264.575
311,857
191,834
311.857
604,054
ii.
CREDITORS: AMOUN75 FALLING DUE WITHIN ONE YEAR
2025
2024
I'rwk creditors
T￿e5 and swiai security
Other ¢￿dItOrS
3,070
627
12.335
,896
932
28,795
12.
MOVEMENT IN FUNDS
Nct
movetnent
in funds
At
31.3.25
At 1.4.24
Unrestricted funds
General fund
.114,611
(8,671)
1,105,940
TOTAL FUNDS
1 114611
1 105 940
N¢t movement in fimds. inoludcd in the abo￿ are as follows:
PaA¢ 13

Ans8r FinaD¢e Group Limittd
(Limited by CuAT*Dttt)
Notes to the Fln¥nei81 Slatemethts- ¢ontinued
for tb¢ Ye*r Ended 31 mA￿h 2025
Incomi
resources
ResourGES
expended
Mov¢ment
in fund5
Ujwestricttd fuDds
Gencrai fimd
64,284
{72,955)
(8,671)
TOTAL FUNDS
com￿r#I1v￿ for movewerbt
Net
movement
in funds
At
31.3.24
At 1.4.23
Unr¢$trl¢ted frytsd$
General
1.104,838
9.773
1,114,611
TOTAL FUNDS
I 104838
9.773
1114611
CompU￿]v¢ n¢t IixoY¢m¢nt in indyd¢d in th¢ abov¢ ar¢ ￿ follow&.'
Incoming
Resources
expended
Mov¢ment
in funds
Unrestritted futtds
75,376
(65,603)
9,773
TOTAL FUNDS
A current yw12 months alldprioryear 12 mofft)ths Combin￿ position 1$ ls follows..
Net
movemenr
in fimd5
At
31.3.25
At 1.4.23
Unrestrlc¢¢d fund8
General fi]nd
1,104,838
1,102
1,105,940
TOTAL FUNDS
1.104,838
.102
,105 940
A cu)Tent year 12 months and prior year 12 Months combined net movement in fi￿d$ includ¢d in the above 8xe as
follows..
Page 14

Ansar Fln•nce Crnup Limited
(Llw1¢¢41 by Guarnlltee)
Notss to the Flnanci*l St*temellts- tontlnued
tor the Year Ended 31 MAreh 2025
Incoming
resources
Resources
expended
Movemeni
in fjjnds
Urtrestri¢ted funds
Gen¢ral fi￿d
139,660
(138,558)
TOTAL FUIYDS
138,558
1.102
Pog¢ IS