Mustafia Sharif
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 July 2025
REGISTERED CHARifYNO. 1156867

Mustafia Sharif
INDEX
Page
Trustees Rewrt
Independent Examinerfs Report
Summary Of Income and Expendilure Accoun
Balan￿ Sheet
Statement of Financial Aclivities
Notes lo the Accounts

MUSTAFIA SHARIF
TRUSTEES. REPORT
The trustees (management commtttee members) present their Report and the
Financial Statements for the year Ended 31 July 2025.
statu$
Mustafia Shanf 1$ a registered chartty under the charity number 1156867. It has no laxable
activities and is therefore nol liable to UK taxation. It is, however, unable to reclaim VAT on
expendilltre incurred.
Charity Registration No.
1156867
Trustees
The truslees who held office during the year were as follows:
Mohammad Shah Qureshi
Shehzad Moin
Dr Fassah Qumreen Bibi
Abdul Salam Choudhery
Bankers
HSBC
24 St Ann's Square
Manchester
M2 7HD
Accountants
Zaheer & Co . Chartered Certified Accountsnts . 63 Kingsway , Burnage, Manchester.M19 2LL
OBJECTS
To prevent or relive poverty,particularly in Graler Manchester.United Kingdom,Pakistan and
elswhere but not exclusively by providing rtems and services to individuals and famalies in need.
by reason of their yoiJth,age,ill health,disabilty,financial hardship,personal.social or economic
circumstsnces either ourselve5 or working with other charities wtth similar objects.
The charty is a limited company by guarantee and is non-profft making.
Risks
The trustees have taken steps to estsblish the risks to which the charity is exposed and have put
systems in place lo mitigate those risks.

IAUSTAFIA SHARIF
TRUSTEES, REPORT (cont...)
Review of the Results
The Iruslees consider that the resutts set out on pages 5 to 9 are satisfactory. They are of the
opinion that the balance on the fvnds is sufficient to meet any fvture commitments.
Fixed Assets
The movement in fixed assels is set oul in Note 8 to the Accounts.
Trustees Responsibilities
Charity law requir85 the trustee$ to prepare accounts for each financial year lor
other accounting period) which give a true and fair view of the state of affairs of the
Company and of its surplus or deficit for that year. In preparing those financial
statements, the tnjstees are required to..
- select suitable accounting policies and appty them consislentty..
- make judgements and estimates Ihat are reasonably prudent;
prepare accounts on a going concem basis un5ess r( is inappropriate to presume that
the company will continue in business.
The trustees are responsible for keeping proper accounting records vthich dI￿10$e
with reasonable accuracy at any time the financial posrtion of the company and to
enable them to ensure that the account5 comply wf(h the Charity Act 1993. They
are also resF)onsible for safeguarding the assets of the company and hence for taking
reasonable steps for the prevention and detection of fraud and other irregularities.
In preparing the above Teport. the trustees have taken advantage of Special
exemptions applicable to small companies.
Signed on Behalf of the Board=
Chairperson
Mohammad Shah Qureshi
2026

USTAFIA SHARIF
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF MUSTAFIA SHARIF
I report on the accounts of Mustafia Sharif. regiS￿red charity number 1156867 for the year end 3 1st July 20?5
which are set out on pages 4 to 9.
RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND EXAMINER
The charity's tTUSte¢s are responsible for the preparation for the accouTts in accordance wilh the requirement of
the Charitie5 Act 2011 (Ihe Acl.). The charity's tr115tees consider that an audit is not required for ihis year
(under Section 4312) of the Charities Act 1993 (Ihe 1993 Act) and that an independent examination is needed.
It is my responsibility to..
examine the accounts (under seetion 145 of ihe 2011 Acl)
to follow the procedure5 laid down in the General Direetions given by the Charity Commission
(under section 14515Mb) of the Act)- and in accordante FRS 102 SORP
to stale whether particular matter5 hawe come to my attenlion.
BASIS OF INDF.PENDENT F.XAMINER'S REPORT:
My examination WL8 carried out in accordance with the General Directions given by the Charity
Commissioners. An examination includes the accounting re¢ords kept by the charity and a comparison
of the accounts presented with those records. li also includes consideration of any unusual item5 or
disclosures in the accounts and seeking explanalion5 from you as trustees conceming any such matters.
The procedures undertaken do not provide all ihe evidence that would be required in an audit, and
ongequently I do not express an audit opinion on the view given by the accounts.
INDEPENDENT EXAMINER'S STATEMENT:
In connection with our exatninaiion, no matter has ¢ome to my attention;
(l ) which gives me rvasonable cause lo believe that in any material respect the requirements
. to keep accounting records in accordance with 5eclion 41 of the Act; and
. to pr¢pare accounts which accord wilh the accounting records and to comply wilh the accounting
requirements of the Aci have not been met. or
12) to which. in my opinion. attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
Mr. Farroukh Z4heer {FCCA)
Zabeer and Company
Chartered Certificd Accountants
63 Kingsway
Burnage
Man¢hester
M192LL
Date:

MUSTAFIA SHARIF
SUMMARY OF INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 JULY 2025
Notes
2025
2024
Income and End0￿entS
Expenditure
Net income lexpendrture) for the period
121
222.635
213.796
8,840
155.078
145.807
9,271
3)
Nel Income lexpendrturel before tax
8,840
9,271
Tax payable
(4)
Net income lexpenditurel after taxabon
8,840
9,271
Totsl Funds Brought Forward
17.915
Total Funds Carried Forward
(11}
26,755
17,915
RECONCILIATION OF STATUTORY INCOME AND EXPENDITURE ACCOUNT TO SOFA
Net income
nditure
forth
ar After Taxation
Totsl Net Income for the year pw SOFA- Page 6
Total Net Income as above
8.840
8,840
9,272
9,272
Relain
Ir￿me Carri
Forward
Total funds Clfwd per SOFA- Page 6
Retained Funds Carried Forward as above
26.755
26,755
17,915
17,915
The notes on pages 7 10 9 form part of these financial statements.

MUSTAFIA SHARIF
BALANCE SHEEr
AT
1 JULY 2025
2025
2024
Notes
FIXED ASSETS
Tangible Fixed Assets
181
874
1,028
CURRENT ASSETS
(9}
29.178
29.178
20.597
20.597
LIABILITIES..
Amounts falling due
within one year
110}
3.297
3,710
NET CURRENT ASSETS
25,881
16,887
NET ASSETS
26.755
17.915
ACCUMULATED FUNOS
Unrestricted
Restricted
23.588
3,167
26,755
11,924
5.991
17,915
For the year ending 31st July 2025 the charrty was entiued to exemption from Audf( urKler charities Act 2011.
We approve these accounts and and confimi that ¥￿ have made available all ther infomation and explation$
for their preparaliofi.
Approved on beha￿ of the Board
Trustee
Mohammad Shah Qureshi
Trustee
Shehzad Moin
Date..
2026
The notes on pages 7 to 9 fom part of these finanryal statements.

MUSTAFIA SHARIF
STATEMENT OF FINANCIAL ACTNITIES
FOR THE YEAR ENDED 31 JULY 2025
Year
Ended
31.7.25
Total
Funds
Year
Ended
31.7.24
Total
Funds
Notes
UJKe¥JKW Restricted Endowment
Funds
Funds
Funds
INCOME AND EXPENDITURE
INCOME AND ENDOWMENTS
{2)
Donation5 and Legacies
Gift Aid
Greater Manchester GMCVO
Hedley Grant
Man¢hesler VEF Grant
Main grants
Macc Grant
Manchester Active
Na￿est MFT
Forever Manchester
Love Manchester Grant
Salford Community 208
Manchester City Coucil
Lloyds bank foundation
Pink Ribbon Foundation
Better communty
ALZ Res Uk
Manchester Airport
Other Gfants
147,429
18.832
147.429
18.832
109.160
1.000
3.000
920
20,000
400
100
1,500
4.998
4.000
5.000
5.000
5.000
5,000
8,000
5,250
8,000
5,250
25,000
3,000
3,000
5,000
1.149
975
25.000
3.000
3,000
5,000
1,149
975
TOTAL INCOME AND ENDOWMENTS
191.261
31,374
222.635
155,078
EXPENDITURE ON '.
Expendfture on raising frJrKIs
(5)
13,512
13,512
8,219
Expendf(ure on charitable aclivrties
(6)
166,086
34.198
200,284
137,587
TOTAL EXPENDITURE
179,598
34,198
213,796
145,806
NET INCOME (EXPENDITURE)
NET INCOME BEFORE TRANSFERS
11.664
12,8241
8,840
9,272
NEf INCOMING IEXPENDITUREI
NET INCOME FOR THE YEAR
11.664
12.8241
8,840
9.271
Total Funds Brought Forward
11,924
5.991
17,915
8.644
TOTAL FUNDS CARRIED FIWD
{11)
23.588
3,167
26,755
17,915
The notes on pages 7 to 9 fomi part of these finarKial 5tstements.

MUSTAFIA SHARIF
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JULY 2￿25
ACCOUNTING POLICIES
The financial stslements have been prepared urKler the historical ￿$t convents.on and
in accordance wrth the Finanaal Reporting Standard for Smaller Enttties leffecb've
January 20151 the Accounting and Reporbng by Charibes. Ststement ofrecommeTrded practice
applicable lo charrties preparing their accounts in accordance wrth the Financial Reporting
Stsndard for Smaller Enthies pu￿1Shed on 16th Juty 2014 ISORP 2015} and the ¢harilies Act 2011.
Income
All income is induded in the statement of financial activities when the charity is entf(led to the
income.
ndilure
All expenditure has been refftecled in the Ststemenl of Financial Activrties on accrual basis.
Expenditure includes any VAT vthich can not be fully recovered and 15 reported as part of the
Expenditure lo %thich it relates.
Valuation
italisation ar￿ De
recith.on of Fixed Assets
Fixe<l assets are included in the accounts at net book value.
Depreciation is provided to write off the cost less the estimated residual value
of tangible fi.xed assets over their estimated useful lives as follows-_
Fixture and fftttngs
15% oncost
T ation
The organisab.on is exempt from inwne tax by reason of its charitsble stslus.
Income tax suffered on investsnenl income is reclaimed in lull.
Reserves
The organisation aim lo maintain suffiaenl reserves to cover three months running costs.
INCOME AND ENDOWMENTS
This represents donation receiveable for the provision of services lo members. The company
is a non-profit making.
NET INCOME IEXPENDITUREI
2025
2024
Net income lexpendrturel is staled after charging..
Depreciatson- owned assets
154
181
TAX ON SURPLUS ON ORDINARY ACTIVITIES
2025
2024
Number
Number
Stsff
Volunteers
35
35
Administration

MUSTAFIA SHARIF
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JULY 2025lrmt...I
Expenditure on ralsbng fund$
Unreslricted Restricted
Funds
Funds
Total
2025
Total
2024
Notes
Adverti$ing and sponsorship
TV appeal
Fundraisir¥J events and app8*
6.920
6.920
1219
7000
6,592
6,592
13.512
13,512
8,219
Expenditure on charitable activities
Unrestricted Restricted
Funds
Funds
Total
2025
Total
2024
Notes
Charitable exyndiknre
Kenya project
Pakistan project
India project
Uk charitable aclivities
Wages and nic
Support ￿$t
2,450
57.626
2,110
12,176
2.450
57.626
2,110
46.374
3,000
21,200
1,920
37,569
18,106
55,792
34.198
91,724
91,724
166,086
34,198
200,284
137,587
Analysis of Support costs
Expendilure Expenditure
on raising on charttable
fvnds
acts"vitie$
Total
2025
Total
2024
Accountsncy & Payroll
Wages and nic
HR service5
Pension
Bank Charges
Administration expenses
General expenses and maintenance
Cleaning and maintenan
Award ¢emony
Volunteers expenses
Rent. rates and venue cost
Prinl.advertising and marketing
Website and social media
Office supplies and maintenance
Telephone
Subs¢riptions, digital toolsand training
Professional fees
Travel and Iransport
Insurance
Sundry expenses
Depreciation
480
51,666
2,527
480
51,666
2,527
480
21,305
225
190
2,425
4,340
254
2.522
3,199
890
254
2,522
3.199
890
200
1,362
4.322
8.171
1,646
6,000
9,978
1.235
832
6.000
9,978
1.235
832
1,048
1,Q68
3.934
3,838
2,657
46
181
55.792
2.435
2,435
7.264
598
7.264
598
154
91,681
91.724

MUSTAFIA SHARIF
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JULY 20251cont...I
TANGIBLE FIXED ASSETS
Fixture And
Fitbngs
Totsl
COST
Al l August 2024
1.428
1,428
Al 31 January 2025
1,428
1,428
DEPRECIATION
Al 1 August 2024
Charge for Year
Al 31 January 2025
400
400
154
554
554
NEf BOOK VALUE
At 31 July 2025
874
874
At 31 July 2024
1,028
1,028
CURRENT ASSETS
2025
2024
C35h at bank
Cash in hand
5.640
23.538
16,530
4,067
29.178
20.597
10
LIABILITIES.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Paye
Accruals and other cre<lrtors
2,772
525
3,297
1.393
2,317
3,710
RESERVES
Unrestricted Restricted
FurKIs
Funds
Total
2025
Total
2024
Balance a5 al 31.7.2024
Add."net income lexpenditure) for the year
Total ReseNes
11,924
11,664
23.588
5,991
2.824
3,167
17,915
8,840
26,755
8,644
9,271
17,915
Balance carried foward
23.588
3,167
26,755
17,915