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2021-07-31-accounts

Mustafia Sharif

Mustafia Sharif Financial Statements For The Year Ended 31 July 2021

Charity Registration Number 1156867

INDEX

1 Statement of Financial Activities

2 Balance Sheet

7 Report of the Accountant

Statement of Financial Activities

:

:

Mustafia Sharif

For The Year Ended 31 July 2021

Notes Unrestricted Restricted Restricted Total
Funds Funds 2021
£ £ £
Incoming Resources:
Donationsand gifts
Covid 19 Grant
Grants Received
Investment income
2
3
4
5
54,332
9,990
40,791
-
-
-
-
-
54,332
9,990
40,791
-
Sundry income 6 - - -
Total Income 105,113
———eeeeeOOO
- 105,113
Resources Expended:
Managementand administration
Professional fees
7
8
81,306
-
-
-
81,306
-
Finance cost 9 - - -
Promotional cost 10 - - -
Total Expenditure 81,306
-
81,306
ee
Net movement in funds
fortheyear 23,807 - 23,807
Funds balances broughtforward
at
1 Aug2020
14 (2,406) - -
0
Fund balances carried forward - -
at 31 July2021 14 21,401
-
23,807
SV=—=—=—lN——

1

Mustafia Sharif

Balance Sheet

As at 31 July 2021

.

.

Notes 2021 £ £ Fixed Assets: Tangible assets 11 - Current assets: Debtors 12 - Cash at bank and in hand 21,401 Creditors: 21,401 Amount falling due with one year 13 - Net current assets 21,401 Net assets 21,401 Funds 14 Restricted Funds - Unrestricted Funds 21,401 Total funds 21,401

Approved cayBy the managemen mitteemera on 28 February 2022 and signed on its behalf by: . General Secreta ;el ‘Treasurer

2

Mustafia Sharif

Notes to the Financial Statements

Se

For The Year Ended 31 July 2021 =

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1. Accounting policies
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2021
2. Donations and Gifts e
Voluntary Organisations 54,332
Council grants 40,791
Covid-19 Grants 9,990
Manchester Social Services
105,113
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3-6

Mustafia Sharif

Notes to the Financial Statements

For The Year Ended 31 July 2021

3. Service charges

Service charges =
Hire of hall =
Translation/interpretation services -
4. Grants received
Greater Mcr Centre forVoluntaryOrganisations -
Youth Support -
Sports Equipment -
Food Banks
-
Investment income
Interest received on cash deposits -
Sundry income
Other income
-
Management and Administration
Wagesand NI contributions
Utilityservices
Insurance
4,442
893
-
Telephone E
Agent Fees -
Donations Paid
Service Charges
65,641
-
Travel and transport
Equipment repairs
334
-
Security 2
Accommodation
Rent
310
a
Advertising& Printing 9,686
81,306

4. Grants received

  1. Investment income

6. Sundry income

7. Management and Administration

3-6

Mustafia Sharif

Notes to the Financial Statements

For The Year Ended 31 July 2021

8. Professional fees

Interpretation / Volunteers expenses Audit and accountancy Other

9. Finance cost

Bank Charges Depreciation Bad Debts

10. Promotional costs

Festival celebration Creche expenses Sundries

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-
=
-
-
is
x
-
=
5
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11. Tangible fixed assets

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Equipment Fixtures & Total
Fittings
£ £ £
Cost - - -
31 July 2020 -
Addittions - - =
31 July 2021 - - -
Depreciation
31 July 2020 - = =
Charges for the year
31 July 2021 - : -
Net book value
31 July 2020 - - =
31 July 2021 = = :
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3-6

Mustafia Sharif

Notes to the Financial Statements

For The Year Ended 31 July 2021.

.

12. Debtors

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Debtors for services
Others
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s
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13. Creditors: amount falling due within one year

Loans Other creditors

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Z
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14. Analysis of fund balances between the net assets

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Restricted Unrestricted Total
£ £ £
Tangible fixed assets - - -
Net current assets - - -
31 July 2020 Z = z
=—— eee
31 July 2021 ; - - -
ee
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3-6

Mustafia Sharif

Report of the Accountant

For The Year Ended 31 July 2021

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:
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| have examined the balance sheet and income and expenditure account together with the notes and have received such explanation as | considered necessary for the purposes of such an examination.

In my opinion the balance sheet presents a true and fair view of the state of affairs as at 31 July 2021 and the income and expenditure account presents a true and fair view of the results of operation for the year ended on that date.

Ghani & Co Certified Public Accountants

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10 Grandale street co Ss
6
Rusholme HANI & CcOUNTANT
Manchester [FIED PUBLIC opREET
CERT GRANDALE oe
M14 10 SP EuSHON 4 5wGo
5WG R RMI
cHESTE 7 2200
28-02-2022 MAN 1: 016} 28
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