## **Trustees' Annual Report for the period** 

Period start date 

Period end date 

Day Month Year Day Month Year **From 01 08 19 To** 31 07 20 

## Section A                        Reference and administration details 

**Charity name** Al-Haadiyah **Other names charity is known by 1157738 Registered charity number (if any) Charity's principal address** 10 Park View Swillington Leeds **Postcode LS26 8UJ** 

## **Names of the charity trustees who manage the charity** 

**Dates acted if not for whole Name of person (or body) entitled Trustee name Office (if any) year to appoint trustee (if any)** 1 Naheed Sarwar Chair 2 Farkhanda Lak Secretary 3 Sarwat Akbar 4[Sobia Sarwar ] 5 Haris Muhammad 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 

## **Names of the trustees for the charity, if any, (for example, any custodian trustees)** 

**Name Dates acted if not for whole year** 

March **2012** 

**TAR** 

1 



## **Names and addresses of advisers (Optional information)** 

**Type of adviser Name Address** 

## **Name of chief executive or names of senior staff members (Optional information)** 

## **Section B              Structure, governance and management** 

## **Description of the charity’s trusts** 

Type of governing document 

Constitution 

- (eg. trust deed, constitution) 

How the charity is constituted 

Trust deed 

- (eg. trust, association, company) 

Trustee selection methods 

Elected by 

- (eg. appointed by, elected by) 

## **Additional governance issues (Optional information)** 

You **may choose** to include additional information, where relevant, about: 

- policies and procedures adopted for the induction and training of trustees; 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

## **Section C                    Objectives and activities** 

**Summary of the objects of the charity set out in its governing document** 

Al-Haadiyah educates individuals, so they develop into outstanding citizens with the highest level of spirituality, morality and social responsibility that will play a beneficial role in society leading to social peace and harmony. 

Al-Haadiyah looks to help individuals with their problems whether they be mental, spiritual, physical or economic. 

March **2012** 

**TAR** 

2 



_To create social cohesion by advancing the Islamic religion for the benefit of the public. This will be done through education, the holding of prayer meetings for spiritual and mental well-being, public celebration of religious festivals, producing and/or distributing literature on Islamic faith, supporting those in financial hardship and undertaking any other activities that help advance the teachings of the Islamic faith or helps create social cohesion._ 

**Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)** 

## **Additional details of objectives and activities (Optional information)** 

You **may choose** to include further statements, where relevant, about: 

- policy on grantmaking; 

- policy programme related investment; 

- contribution made by volunteers. 

March **2012** 

**TAR** 

3 



Section D                      Achievements and performance 

**Summary of the main achievements of the charity during the year** 

We have educated over 4000 students on how to be beneficial members of UK society. We have raised money for orphans, homeless people, helped those in financial distress, in addition given 400 gifts to children many of whom are under privledged.. 

March **2012** 

**TAR** 

4 



## **Section E                    Financial review** 

**Brief statement of the charity’s policy on reserves** 

We currently trying to save £1million so we can purchase our own building and run daily classes. 

**Details of any funds materially in deficit** 

## **Further financial review details (Optional information)** 

You **may choose** to include additional information, where relevant about: 

- the charity’s principal sources of funds (including any fundraising); 

- how expenditure has supported the key objectives of the charity; 

- investment policy and objectives including any ethical investment policy adopted. 

## **Section F                     Other optional information** 

## **Section G                    Declaration** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

|**Signature(s)**<br>**Full name(s)**<br>**Position (eg Secretary, Chair,**<br>**etc)**<br>**Date**|**Haris Muhammad**|**Naheed Mallal**|
|---|---|---|
||Haris Muhamad|Naheed Mallal|
||<br>Trustee|Chair|
||16.07.2024||
||16.07.2024||



March **2012** 

**TAR** 

5 



Regi￿ered ChanTh. Number :_ 1157738
AL HAADIYAH
TRUSTEES, REPORT
FINANCIAL STATEMENrs
FOR THE YEAR END
31 Au_gust ?O?I
0113287488S
admin@aLha2diyakco.Mk

FOR THE YFAR ENDFD 31 An2￿£t 2021
TRL'STEES. REPORT............................................................................................................................................
Trust&&s R
f or Al-Haadiyah Charity Accounts.............................................................
[￿EpENDENT EXLNIEXER'S REPORT......
Irydèr.tsndènt Ex&Tr- ryer ' s Rtsp )rt................--...-...............--.............-.........--.....-.....-...............................
STATEMENT OF FIN￿NcIAL ACTII"ITIES......................................................................................................
BALL￿￿ SHEET................................................
OTES TO THE FtXLNClAL STATE1￿%￿s....................................................................................................

FOR THE YFAR ENDFD 31 An2￿£t 2021
Trustees Report for Al-Haadiyah
Charity Accounts
Summan" of ¢he Objects of the Chariti":
The objects of Al-Haadiyah, as set out in its governing docurLent, are to educate
individuals so they develop into outstanding citizens with the highest level of
spiritualityi moralityi and social responsibility. The charity auns to foster
individuals who will contribute positively to societyi promoting social peace and
harnony. Al-Haadiyab also endeavors to assist individuals with mental. spiritual,
physical, and economic challenges .
Summan" ol IIain Actiiities l DdertakeD for the Public Benefit:
In pursuit of its charitable objects. Al-HaadiN"ah engages in i"arious actii"Ities for the pubh"c benefit:
Advancement 0£ Rellglon:
- Holdmg praN"er meetll]gs and lecture5.
- Pubh"c celebration of religious festii-al5.
- Producing and distributthg literature on Islamic £￿t￿ to educate and en￿ghten others.
Support Services:
- Pro7"id￿￿ emotional and psi"chological support to inthiiduals facing thfficulttes.
- Offering short-temi financial loans to those in need. aiming to all￿"late economic hardslups.
statutory Declaration on Public Benef it:
The tn￿tee$ of Al.HaadiN"ah affum tllat the!" hai"e had regard to the guidance issued b!" the Chanti"
Commissioll on public benefit ￿ Ca￿"￿￿ out the chann" s actiTr"Ities. Th￿- are con]mitted to ensurmg that all
actii'ities are conducied ￿ a tnanner that promotes the charir%" s puo)oses and proi.ides tsngible benefits to the
public.
Llst 0£ Trustees:
l. Naheed Sani7r (Ch￿)
2. Farkhanda Lak (Secretan")
3. SarTh"at Akbar
4. Sobia SarK17r
i. Haris Muhammad
Conclusion:

FOR THE YFAR ENDFD 31 An2￿£t 2021
Al_Haadii"ah contmues to ￿lfill it5 chantable objects through a range of actii"Ities designed to promote
Sp￿ltUal dei"elopment: commumn" cohesion: and ￿d17"1dUal li.ell-be￿o. The trustees rema￿ dedicated to
uphOld￿g the i-alues and Pr￿c1PleS of the chatiti-_ ensurmg that its resources are used effectii-el!" to benefit the
public and contnbute positii"elN" to wiet%".
Signed on behalf of the Trustees:
aheed SaTh"ar
Cl￿[ of Trustees
24,06 2024

FOR THE YFAR ENDFD 31 An2￿£t 2021
Independent Examiner ' s Report
To the Trustees of Al-Haadiyah Charity
I hai"e exatnined the accounts of Al-Haath!"ah ChanTh' for the fllIanC￿ l.ear ended 31 August 2021. Ii"lu'ch
comprise the Statement of Fllwicial Aciii-Ities_ the Balarlce Sheet: and the related notes. These fllwicial
statements are the responstbth"tt" of the charitt" s trustees. M!" responsibth"r%' ts to report on these financial
siatements based on mi" exaMu￿TIon.
Basis of Opinion
I conducted examuMtion in accordance Thith the D￿eCtIOnS gii.en bi" the Chan"tt. Corllfll15510n under section
145 of the Charities Act 'OI l. An exan]llMtion ￿CLudeS a rei"ieii" of the aCcoUnt￿E records L-ept b!" the clwi"t5"
and a comparison of the fuw]cial statenjenis ii.ith those records. li also mcludes consjderarion of anN' unusual
Items or disclosures ￿ the f￿anCIal staterllent5.
Conclusion
Based on my examination, I confirm that:
- The accounts hai'e been prepared ￿ accordance iiith dLe pToi"tsions of the Charities Act 101 I.
- The financial statements present f￿1!. the financial position of Al-Haadi!"ah Charits" as at 31 August ?021
and the financ￿ actii"ities for the l.ear then ende(L ￿ accordaoce iiith the Statement of Recommended Practice
(SOPTrl l applicable to chatities ￿ Encland and 11 ales.
statenent of Trustees ' Responsthilltles
The trustees are responsible for the preparation of the accounts. Th￿- are also responsible for ensur￿￿ that the
chariti" keeps proper accOunt￿E records iikn.ch disclose ilith reasot)able accuraci" at anl" time the fllwicial
position of the chariTh" and enable then) ro ensure tllai the fllIanc￿l statetnents conJplN iiith the Chan'ties Acr
?011 and SORP.
Conclusion
In my opinion, the infornia￿.On given in the trustees. report for the financial year for whieh the financlal
statements are prepared Is consistent with the financial statements.
Naheed Sani7r
cha￿ of Trusrees
24.'06, ?0?4

FOR THE YFAR ENDFD 31 An2￿£t 2021
Recommended categories
I nre5tricted
funds
Total Funds 2021 Total Funds 2020
Incoming resourees
Income and eDdoThments
from:
Donations and legacies
13.2ii.C
13.2i5.00
8.75i.00
80.089.00
SO.089.00
42.759.00
Total
93J44.00
93J44.00
£1 £14.00
Resources expended
E5pendituTr on:
R￿Sing knds
8.433.00
8.433_00
2.?06_00
40_?Oi_OO
40_?03_00
?3_597_00
Total
4S,636.00
48,676.00
25,803.00
Net incomel(expendithre)
before ini"estment
gains/(losses)
44,708.00
44,70S.00
2S,711.00
Net income}(e￿￿￿dltllre)
44,708.00
44,70S.00
25,711.00
Net moi"ement in funds
44,708.00
44,708.00
2$ 711.00
Reconcihation of fimds".
Total funds brought foni7rd
i_711_00
Total funds carried
forn.ard
70.419.00
70,419.00
2S.711.00

FOR THE YFAR ENDFD 31 An2￿£t 2021
Recommended categories
I nre5tricted
funds
Total Funds 2021 Total Funds 2020
Cll￿ent assets
Cash at bat]k and in hand
261.472.(Ki
264.472.00
219.764.00
Tot21 currellt assets
264,472.00
264,472.00
219,764.00
Total net assets or
liabilitie5
264,472.00
264,472.00
219,764.00
Funds of the Charitt"
Unrestncted fi￿d9
70.419_00
70.419_00
25.711.00
Restricted income fiu
EzLdoiiinent funds
Rei"aluation re5en"e
219.7￿.00
?19.764.00
194.Oi3.00
Total fuDds
290.183.1)0
290.181.00
219 764.00
The fllw)cial statements ii.ere approi.ed b!" the Board on ?4_Juo_20?4 and signed on its behalf bv:
aheed SarTh"ar
Ch

FOR THE YFAR ENDFD 31 An2￿£t 2021
l Accounting Policies
1.1 Accounting Policies
1.2 Ba5l5 of preparation
IJ Going concern
2 Income from Donations and Legacies
l-nrestricted
funds
Restricted
income
funds
Endowment
funds
Total fuDds
2021
Total funds
2020
-4nah-5i5
Donation and gifts
13.2ii.CM)
13.2i5.(Ki
8.75i.00
13.2ii.00
13.2i5.(Ki
8.75i.00
3 Other Income
I nrestricled
fuDds
Restrirted
income
funds
EndoThment
Dd5
Total funds
2021
Total funds
2020
.4n2h"si5
Interest- Bank
360_00
Loan RepaNinent
4.iOO.00
4.iOO.00
S40_00
Tuition & Registration
75.589.CM)
75.589.(M)
41.559.00
80.089.00
80.089.fy)
42.759.00
4 Expenditure on Raising Funds

FOR THE YFAR ENDFD 31 An2￿£t 2021
Total funds 2021
Total funds 2020
.4nah"sis
Tuitum Mater￿ knks
S.43i.IXI
2_?06_00
S Other Expenditure
I nrestricted
funds
Restrict
income funds
Endom'ment
fuDds
Total ￿ndS
2021
Tot21 funds
2020
Rent
14.389.
14.389.00
19.659_00
Donation nlade
i4.
54.(Ki
300.00
SundTh' Expenses
5,760.
5.760.(KI
3.638.00
Loan To oth￿S
20.(M)O.
20.000.Crf)
40.?OJ.00
40.70).00
?3.?97 00
6 Cash at bank and in hand
Total hDds 2021
Total funds 2020
Lloi.ds Bank A c xLx668
230.216.00
180.216.00
Llo!,ds Bank (Current A'c)
34.2i6.00
39.548.00
64.4 1 7.00
)19.764.00
7 Charity funds
7.1 Delails of material fuDds held aDd moi"ements during the CIIUiENT reporting period
Fund
balances
brought
for5¥2rd
Fund
balances
carried
forward
Gains and
losses
Fund names
Inconie
E￿endIture Tran5fer5
ITnrestricted
funds
2i.711.00
9i:)44.00 (48:6i6.(Ki)
70.419.00

FOR THE YFAR ENDFD 31 An2￿£t 2021
Tot21
?j.111.00
9i:i44.00 (4S:6i6.001
70.419.00
7.2 Detalls of materAal funds held and moi"ements durlng the PREIUOI S reportlng perlod
Fund
balaDces
brnuzht
foniard
Fund
balances
carried
forn'ard
Income
Expenditure
Transfers
Gains and
losses
Fund names
L nrestricted
fund5
il_*14.00
')i_SO*.00)
711_00
Total
l_i14.00 (: _SO*.00)
?) 711.00
7.3 Transfers betiyeen fllnds
This lear
Amount
Beth"een unrestricted and restricted fimds
Betti"een endoiiinent and restricted funds
Be￿"een endoiiinent and unrestricted funds
Last Year
-4mount
Betti"een unrestncted and restricted fijnds
Beni"een endoiiment and restncted funds
Betti"een endoiiinent and unrestricted fijnds

Regi￿ered ChanTh. Number :_ 1157738
AL HAADIYAH
TRUSTEES, REPORT
FINANCIAL STATEMENrs
FOR THE YEAR END
31 Au_gust ?O?I
0113287488S
admin@aLha2diyakco.Mk

FOR THE YFAR ENDFD 31 An2￿£t 2021
TRL'STEES. REPORT............................................................................................................................................
Trust&&s R
f or Al-Haadiyah Charity Accounts.............................................................
[￿EpENDENT EXLNIEXER'S REPORT......
Irydèr.tsndènt Ex&Tr- ryer ' s Rtsp )rt................--...-...............--.............-.........--.....-.....-...............................
STATEMENT OF FIN￿NcIAL ACTII"ITIES......................................................................................................
BALL￿￿ SHEET................................................
OTES TO THE FtXLNClAL STATE1￿%￿s....................................................................................................

FOR THE YFAR ENDFD 31 An2￿£t 2021
Trustees Report for Al-Haadiyah
Charity Accounts
Summan" of ¢he Objects of the Chariti":
The objects of Al-Haadiyah, as set out in its governing docurLent, are to educate
individuals so they develop into outstanding citizens with the highest level of
spiritualityi moralityi and social responsibility. The charity auns to foster
individuals who will contribute positively to societyi promoting social peace and
harnony. Al-Haadiyab also endeavors to assist individuals with mental. spiritual,
physical, and economic challenges .
Summan" ol IIain Actiiities l DdertakeD for the Public Benefit:
In pursuit of its charitable objects. Al-HaadiN"ah engages in i"arious actii"Ities for the pubh"c benefit:
Advancement 0£ Rellglon:
- Holdmg praN"er meetll]gs and lecture5.
- Pubh"c celebration of religious festii-al5.
- Producing and distributthg literature on Islamic £￿t￿ to educate and en￿ghten others.
Support Services:
- Pro7"id￿￿ emotional and psi"chological support to inthiiduals facing thfficulttes.
- Offering short-temi financial loans to those in need. aiming to all￿"late economic hardslups.
statutory Declaration on Public Benef it:
The tn￿tee$ of Al.HaadiN"ah affum tllat the!" hai"e had regard to the guidance issued b!" the Chanti"
Commissioll on public benefit ￿ Ca￿"￿￿ out the chann" s actiTr"Ities. Th￿- are con]mitted to ensurmg that all
actii'ities are conducied ￿ a tnanner that promotes the charir%" s puo)oses and proi.ides tsngible benefits to the
public.
Llst 0£ Trustees:
l. Naheed Sani7r (Ch￿)
2. Farkhanda Lak (Secretan")
3. SarTh"at Akbar
4. Sobia SarK17r
i. Haris Muhammad
Conclusion:

FOR THE YFAR ENDFD 31 An2￿£t 2021
Al_Haadii"ah contmues to ￿lfill it5 chantable objects through a range of actii"Ities designed to promote
Sp￿ltUal dei"elopment: commumn" cohesion: and ￿d17"1dUal li.ell-be￿o. The trustees rema￿ dedicated to
uphOld￿g the i-alues and Pr￿c1PleS of the chatiti-_ ensurmg that its resources are used effectii-el!" to benefit the
public and contnbute positii"elN" to wiet%".
Signed on behalf of the Trustees:
aheed SaTh"ar
Cl￿[ of Trustees
24,06 2024

FOR THE YFAR ENDFD 31 An2￿£t 2021
Independent Examiner ' s Report
To the Trustees of Al-Haadiyah Charity
I hai"e exatnined the accounts of Al-Haath!"ah ChanTh' for the fllIanC￿ l.ear ended 31 August 2021. Ii"lu'ch
comprise the Statement of Fllwicial Aciii-Ities_ the Balarlce Sheet: and the related notes. These fllwicial
statements are the responstbth"tt" of the charitt" s trustees. M!" responsibth"r%' ts to report on these financial
siatements based on mi" exaMu￿TIon.
Basis of Opinion
I conducted examuMtion in accordance Thith the D￿eCtIOnS gii.en bi" the Chan"tt. Corllfll15510n under section
145 of the Charities Act 'OI l. An exan]llMtion ￿CLudeS a rei"ieii" of the aCcoUnt￿E records L-ept b!" the clwi"t5"
and a comparison of the fuw]cial statenjenis ii.ith those records. li also mcludes consjderarion of anN' unusual
Items or disclosures ￿ the f￿anCIal staterllent5.
Conclusion
Based on my examination, I confirm that:
- The accounts hai'e been prepared ￿ accordance iiith dLe pToi"tsions of the Charities Act 101 I.
- The financial statements present f￿1!. the financial position of Al-Haadi!"ah Charits" as at 31 August ?021
and the financ￿ actii"ities for the l.ear then ende(L ￿ accordaoce iiith the Statement of Recommended Practice
(SOPTrl l applicable to chatities ￿ Encland and 11 ales.
statenent of Trustees ' Responsthilltles
The trustees are responsible for the preparation of the accounts. Th￿- are also responsible for ensur￿￿ that the
chariti" keeps proper accOunt￿E records iikn.ch disclose ilith reasot)able accuraci" at anl" time the fllwicial
position of the chariTh" and enable then) ro ensure tllai the fllIanc￿l statetnents conJplN iiith the Chan'ties Acr
?011 and SORP.
Conclusion
In my opinion, the infornia￿.On given in the trustees. report for the financial year for whieh the financlal
statements are prepared Is consistent with the financial statements.
Naheed Sani7r
cha￿ of Trusrees
24.'06, ?0?4

FOR THE YFAR ENDFD 31 An2￿£t 2021
Recommended categories
I nre5tricted
funds
Total Funds 2021 Total Funds 2020
Incoming resourees
Income and eDdoThments
from:
Donations and legacies
13.2ii.C
13.2i5.00
8.75i.00
80.089.00
SO.089.00
42.759.00
Total
93J44.00
93J44.00
£1 £14.00
Resources expended
E5pendituTr on:
R￿Sing knds
8.433.00
8.433_00
2.?06_00
40_?Oi_OO
40_?03_00
?3_597_00
Total
4S,636.00
48,676.00
25,803.00
Net incomel(expendithre)
before ini"estment
gains/(losses)
44,708.00
44,70S.00
2S,711.00
Net income}(e￿￿￿dltllre)
44,708.00
44,70S.00
25,711.00
Net moi"ement in funds
44,708.00
44,708.00
2$ 711.00
Reconcihation of fimds".
Total funds brought foni7rd
i_711_00
Total funds carried
forn.ard
70.419.00
70,419.00
2S.711.00

FOR THE YFAR ENDFD 31 An2￿£t 2021
Recommended categories
I nre5tricted
funds
Total Funds 2021 Total Funds 2020
Cll￿ent assets
Cash at bat]k and in hand
261.472.(Ki
264.472.00
219.764.00
Tot21 currellt assets
264,472.00
264,472.00
219,764.00
Total net assets or
liabilitie5
264,472.00
264,472.00
219,764.00
Funds of the Charitt"
Unrestncted fi￿d9
70.419_00
70.419_00
25.711.00
Restricted income fiu
EzLdoiiinent funds
Rei"aluation re5en"e
219.7￿.00
?19.764.00
194.Oi3.00
Total fuDds
290.183.1)0
290.181.00
219 764.00
The fllw)cial statements ii.ere approi.ed b!" the Board on ?4_Juo_20?4 and signed on its behalf bv:
aheed SarTh"ar
Ch

FOR THE YFAR ENDFD 31 An2￿£t 2021
l Accounting Policies
1.1 Accounting Policies
1.2 Ba5l5 of preparation
IJ Going concern
2 Income from Donations and Legacies
l-nrestricted
funds
Restricted
income
funds
Endowment
funds
Total fuDds
2021
Total funds
2020
-4nah-5i5
Donation and gifts
13.2ii.CM)
13.2i5.(Ki
8.75i.00
13.2ii.00
13.2i5.(Ki
8.75i.00
3 Other Income
I nrestricled
fuDds
Restrirted
income
funds
EndoThment
Dd5
Total funds
2021
Total funds
2020
.4n2h"si5
Interest- Bank
360_00
Loan RepaNinent
4.iOO.00
4.iOO.00
S40_00
Tuition & Registration
75.589.CM)
75.589.(M)
41.559.00
80.089.00
80.089.fy)
42.759.00
4 Expenditure on Raising Funds

FOR THE YFAR ENDFD 31 An2￿£t 2021
Total funds 2021
Total funds 2020
.4nah"sis
Tuitum Mater￿ knks
S.43i.IXI
2_?06_00
S Other Expenditure
I nrestricted
funds
Restrict
income funds
Endom'ment
fuDds
Total ￿ndS
2021
Tot21 funds
2020
Rent
14.389.
14.389.00
19.659_00
Donation nlade
i4.
54.(Ki
300.00
SundTh' Expenses
5,760.
5.760.(KI
3.638.00
Loan To oth￿S
20.(M)O.
20.000.Crf)
40.?OJ.00
40.70).00
?3.?97 00
6 Cash at bank and in hand
Total hDds 2021
Total funds 2020
Lloi.ds Bank A c xLx668
230.216.00
180.216.00
Llo!,ds Bank (Current A'c)
34.2i6.00
39.548.00
64.4 1 7.00
)19.764.00
7 Charity funds
7.1 Delails of material fuDds held aDd moi"ements during the CIIUiENT reporting period
Fund
balances
brought
for5¥2rd
Fund
balances
carried
forward
Gains and
losses
Fund names
Inconie
E￿endIture Tran5fer5
ITnrestricted
funds
2i.711.00
9i:)44.00 (48:6i6.(Ki)
70.419.00

FOR THE YFAR ENDFD 31 An2￿£t 2021
Tot21
?j.111.00
9i:i44.00 (4S:6i6.001
70.419.00
7.2 Detalls of materAal funds held and moi"ements durlng the PREIUOI S reportlng perlod
Fund
balaDces
brnuzht
foniard
Fund
balances
carried
forn'ard
Income
Expenditure
Transfers
Gains and
losses
Fund names
L nrestricted
fund5
il_*14.00
')i_SO*.00)
711_00
Total
l_i14.00 (: _SO*.00)
?) 711.00
7.3 Transfers betiyeen fllnds
This lear
Amount
Beth"een unrestricted and restricted fimds
Betti"een endoiiinent and restricted funds
Be￿"een endoiiinent and unrestricted funds
Last Year
-4mount
Betti"een unrestncted and restricted fijnds
Beni"een endoiiment and restncted funds
Betti"een endoiiinent and unrestricted fijnds