REGISTERED CHARITY NUMBEIL. 1162392
REPORT OF THE TRusfEES AND
FINA1￿ STATEMENTS FOR THE PERIODENDED 31 MARCH 2025
FOR
SKZ Chartered Certified ACCO￿tan[S
Unit l. Kataria PoinL
l Ri¢hes Ro•L
Ilford. IGI IJH

ILL
COMMU
CONTENTS OF THE FIIYANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Report of the Th￿ee¥
Indep￿dent Examinerfs Rewt
StateJDfflJt of Trusttts Re5p)nsibilities
Statement of Financid AdiYitle5
BaiAnce Sheet
No*s kn th¢ Financi81 Statements
6t07
Detail￿ Statement of Firnncid ActivitiES

LL
LIM COMMUNITY TRU
FOR THE TrEAR F￿DED 31 MARCHZOXfj
The trust¢e. pres¢nttheir report with the filloncial st*m&tsof the eb8riry forthe yerended 31 Mwch 2025. The trustee5
have Adopt¢d the wovisions of the Stttnwxi of Re¢omfflded PTrdic¢ ISORP)'Accounti￿ and Re￿rtIn8 by Ch8riiies'
issued in March 2005.
REFERENCE ANDADMINISTRATIVE D￿Alls
1161392
362 Higham Hill RLwd
London
E17 5QX
Mr Abdul Aziz H8ffeje¢
Mr Jubair MA Pjhman
Mr Biljl Ahmed Dhami
IDdepend•Nt Kumltter
Syed KAshif 7af•r FCCA
SKZ ChArteTed Certified Acco￿1￿￿
Unit l. Ktsia Poini
l Ri¢h¢s Ro
STRUCTURL GOVERNANCE AND MANAGEMEYT
GDv¢rnlDB
The charity 13 a char*th trust whh the ckniry Ll￿?8•10￿ iti 2015. Ji8ov¢rn$ by the
comstithon last updated on 23 June 2015.
Rlsk
The tryrtee5 h•ve ll duty to identify •nd r¢vi•v the risks tt> which the ¢ltsrity is eX￿d and to ensure appTopriat¢
Is in plac¢ to provid¢ r¢amble assur￿ o8ainst fr8ud and CThOT. Th¢ th¥¢eeJ hfft assessed th¢ risk th* ¢hzrity
face5 and are sati$fJed that Wems Ire in place to the risks h•ve bven id¢ntifigJ. lrt particular. Insur￿Ce cover
is in place •nd fiDonces of the charity are kept und¢r r¢¥iv*. Appropriate DBS thecks are for dl who work wlth
childron or vNlner4ble ￿ul¢l
Mrjubair BAhnon. Tn
MF Atdul
July 14. 2025
p￿01

EXA
ER'S REPO
I reN)rt ￿ tht Ok%4Jurrts for the yearended31 ma￿ 2025 xlout(￿ paFs fixrts ¢lBhL
The ¢harity$tnwte¢sare Yes￿n$1￿[C for the prep•￿1￿ of
the The trugteu consider that ATh atyjii is t￿1 rtytrtil for this yeoT (ynder Se¢tion 144(2) oftbe
ChaTStia Ad 2011 (the 2011 A¢t)) and ￿￿eXaMIn￿10n ilTequircd.
It is my responsibilityto..
examx*the *eeotyrfS￿dtrsa11OD 145 ofthe 2011 Act
follow the prcKdw¢s loid th¢ GeDernl DI￿1￿ givtn by thrity Commlssfon (under
S¢rtiiyn 14515) (b) of the 2011 Actl. and
B￿￿Orth* ry￿rt
My ex8minotk)rJ wried out in acc¢Md￿ ￿ the G*Kr•] Biv¢n by the Chvity cornm1￿l0n, An
examinAtion includr¥ A rrview of the reojrds kw by the chffity knd a (yjrnpwi￿Tr of the accounts presented
with those rteords. It al￿ includ¢5 ¢￿￿id¢￿tIL￿I of •ny wiusuNI Items or dlsclosurts in the and 5E£ksng
explBn*ions from you ￿ tnthes corKernin8any w¢b m•tttss. The pm¢edur¢s undeth do not prDvide 811 ¢h¢ eviden¢e
th•1 would ￿ required in An audi4 uMsequentty no c9inÈon i5 given whetherthe wunts pr¢s¢nt 4
And fair vAew' and the rewt Is Ilmited those m*rs set oui in the sth*rnenL8 beltsw.
l￿depend￿t tx•mlty¢T'I
(l) whith Ifves me re&8onqble c4w¢ to belI¢V¢th￿ in any fflAterial rel￿ the r¢quir¢m¢Dts:
to keep #¢wJnting ￿￿rdS in I￿ord￿ with s￿11￿ 130 ofthe 2011
to prepart ￿￿￿llts which K<oTd with the attOWliYJ8 R¢4rdJ kX)mply with thea¢countin8 requir￿￿1* of
th¢2011 A
h&ve not been mrt or
{2) ts Whic￿ in my opinicm, wr¢nth)n slThld b¢ in (Yderkn eThthle awop¢r UN1￿¥*￿dIN¥ of the a¢Lxiunts to be
Syed Kashif Zafar FCCA
SKZ Chartered Certified Aecounwits
Unit I, KataTia PoinL
l Riches Ro
Ilford, IGI IJH
July 14, 2025

MUSLIM COMMUh
OF TRusfE
I IMARCH
law aod Uniied Kingdom G¢n¢Trlly Areep￿1 AcLM)wi¢in8 PraL*c&
The IAW appliubl¢ to chtrities in Eng]wMI and w￿e5 wuirE5 the Ch￿ity trUStee5 to prepore statoments for
e4ch y¢8r whl¢h 8ive a fair view of the swe of affairs of th¢ chwtty •Thl of the ioo)minB re*)urces Bnd
appllL*ion of r¢gouTces ofthe ¢h8rity forth￿ pukd. I thE finttn¢iai th¢ trustw required to:
SelKt Juitsble accountin8 FK¢lki¢s wly them
Make Judgements *1￿ ¢stimJrex lye Ye￿onIble pntht
Stste whether applicabk a¢¢ounthi8 h•¥e been follorf Jubjed ts> ally mattti￿ depoitrJreB disck>sed
Explained in th¢ fSnan¢i41 s¢a*m
Prep￿ the financiAI statefficnts ¢Jn the 8oiD8 ￿nC<M bKis unle55 51 1$ presumc the ¢harlry wlll
continue in busin￿.
The tnth are resFx)nsibk keeping proptta¢counting dl8¢kM¢ th rt4sonable ACCUW •t otiy time the
fuJan¢iAI wlsition of the charity and io en8bl¢th¢rn w ¢nwrE the finonciai st•tements compty with the ChATity Act
1993. the Charity {A¢eounts 8nd R¢Fvrtsl Regul￿10n$ 2008 and the pmvAsiott% of the trust de￿. Thoy Hre responsible
for sofe8u8rdtn8 the awts of ihe chnrity Iwjct takinB rtwn&bl¢ srepg forthe prevention ond d¢xion of fraud and
other Irffgularities.
Th¢ tlnan¢l81 ststemenls w¢r¢ •NMDved ty the Bt4rd of TrnAe¢s and were SI￿d on its Ixlwif by:
Mr Jyhir MA R*rnAn. Tnwt¢e
Mr Abdul
July 14, 2025

LL
AALA
JiJ325
31M24
V(4uDlary kn¢ont
11794
151,626
11.565
111356
Tuition Fe¢
Intcrr
T•t*l Ttwvt¢•
153
16(573
492
124,413
RESOLRCES LVLYDED
Coltsof 8ener*ll4
Ccd of ￿¢￿1*￿8 voluntsry ir*4yn¢
Charltsblt
Covtrnantt
Tolal txptDded
120223
14,251
1.554
136.028
91JQO
1,300
lJ91
95.191
NET INCOMING RESOI,TrC.ES
2&545
29222
RECONC.11.IAIION OF FIINDS
Totsl brootht forpxrd
103,226
74,QQ4
103

31J)325 31￿14
CuRRENT￿ETs
Cash at b￿k￿lld in h￿a
136,234
136,234
104.674
104.674
Amowms filllns dwe wlthln ye
4,463
4.032
131.770
l(M).642
TOTALASSETS LE&8 CiJRRENr
LIABILrnfS
13.710
100.642
131.flo
Urr¢Jtrlcted ffflds
131.770
87.387
TOTAL FUNDS
87.387

HIIL MUSIJM CO
Trugr
ATE
ACCOUNTING POIJCIFS
Th¢ financial st&temeots have bten prepaltd wder the hisknricai ¢onventMX4 in a￿dance wtth th¢
rtyulrun¢nts of the Ststematt of R¢coTnmend¢d PTh*iK Ac¢ow ond Reportips by Charitles (SORP 2005)
aDd •ppli¢thle UK Genernlly A* Accounkng Pr￿￿.
All in¢￿ill8 resources are i￿]￿ded ort the St8tement of FinwKid A¢tiviiies when th¢ ¢haTity is legally trtiiiled
to the In￿Me and the amounicau Ix qua￿lfiedWith r¢aqothle¥ityrw.
Reswrem expoDdtd
ExpenditUfE 15 a￿v￿￿ted for al aD xenmls bA8is h•5 be￿ cknsified under headings th•t •gBr¢Bate All LryJ*
rela￿d to the ¢wry. Where C￿￿5 be dirwtly quributed kn Falli￿lar hc4dlly they hiv¢ brm allocated
a¢tiviil¢son a b￿lS consisltm withth¢ u8¢ of r¢s￿r¢¢&
Tautlo
The charity is ex¢mpt wKThKt•xes Lmb its ctrthritsble*rtivhitJ.
FmidaecouTrtllli
Unrestrickd funds can be in withtheclwit&bleobj*ives #t the dijcrdionof the tru*4¢s.
Rutricted only be ￿Edfor PU￿￿ *ithintheobje<tsofthechArity. ReMrfrtlonJ
Ari8e when I￿lfied by the ￿nor￿￿h¢￿ fimd5 wr rnised for Fwticuiarmtrtctrd pwp)s¢
Furth¢r ¢xplAnati(m of the purFwtsf ¢•¢h 1$ include41 in the Mitrsto thr fmn¢ial 5thtement&
I TRUSTEEW REMUNWTION ANDBENEFITS

HIG
4 CREDrroRS: AMOUNT5 FALLING DUE w￿1N ONE YEAR
A¢cru￿S defferd in￿rne
Wages Paykble
1.104
1704
655
4.463
924
246
S MOVEMENT IN FUNDS
At Aprfl I l•¢•nkng
2•24
AtM•￿h31
UDre•trfthd fon
103226
164.573
(13&028}
13),770
TOTAL FUNDS
103226
164.573
(136.028)
131.770

DETAILED STATEMENf OF FIN
YurEHded Ye•r￿ded
31￿32$
JJffj24
INCOMING RLSOUR
DonAtions
Tuition Fv
IMereA
(YO￿ w And subsidies
Totsl
11794
151.626
153
I lJ65
112J56
492
164573
121413
RESOURCES EXPENDED
arftabk
Donotions Ind Givin8$
Othtt Charitsbie aaiviiies
14251
iJoo
14251
i Joo
Stspport eo•ts
Staff Co￿$￿1￿ 8ener*J office Expenses
45.615
45.744
31.5WI
3A694
PTini1￿ pox & xaiiotwy
Other support
Lkprc¢l8tiDn
28.456
23.998
120,223
91500
GoverD￿¢t ¢•Jts
L¢go1 & Prof¢sJit)Ml
1,391
1554
1,391
I36￿8
95.191
Net kneome
28yS
29.222