O11•1 EdUcatIty￿ Forurn
Registered Charity Number: 1162397
Financial
Statements
for the
year ended
June 30
2024

8llal Educatloml Fo￿￿
Refere￿ and Admlnistratlve Inforn*tk¥n
Charlty Name
Bilal Educational Forum
1162397
Principal Office
4 Sarum Road
Luton
LU3 2PA
Trustee5
A Hussain
MSAII
J I Choudhury
M A Haque
Chairman
Trustee
T￿￿ee
Trustee
Independent Ex•nln
Rci Chartered A¢¢ountants and Business Advisors
Windsor House
15 Adelaide Street. Luton
LUI 58J
B•nker5
Bardays Bank

Bllal Educational Forum
Report of the Trurtees for the year ended 30 June 2024
The trustees presenttheir annual report and unaudited financlal statements forthe year ended 30
June 2024 and confirm that they have complied with the requirements of sertlon 17 of the
charities Art 2011 to have due regard to the public benefit publlshed by the Charity Commission
for England & Wales,
StNrture. 8overnance and management
N•turn of th• GoverDln8 documents
The Charty's objectj and regulatlon are re8ulated by the Trust Deed dated 28 January 2015 as
amended by Deed Dpted 8 June 2015 and the charity Is an unincorporated association. Ellgibility
for membership of the charity, and membershlp of the board of trustee5 15 governed by the Trust
Deed. There are no restrictions In the constltution on the operation ot the charity or on its
Investment powers, other than those imp)sed by general charlty law.
Recrultment •nd •ppolntm•nl of n•w trustees
New Trustees are aFwlnted by Invitatlon based upon the specific requlrements and the sklll set
needed by the charlty to help advance the charltable objectlves.
lThdurtlon •nd trdnlr¥ of trust•tt.
We have at the mment no poll¢y or procedure for the tralning of trustees, other than the 'do's
and don'ts. pub16c4tlon provlded by the charlty.
Oryanlz4tlon•l structyre •nd m•n4¢ern•nt.
Trustees meet re8ul•rly on a monthly basis to dlscu$$ and plan oblectives and implementatlon
thereof. Matters of ieneral concern are ra15ed with all members. Day to day management and
resM)nsibility for implementing policles Is carried out by trustees and managers appointed bv
trustees. The Trustee5 undertake all final decisions with implementation being delegated
amon8St each other.
M•mbershlp of • wlder networf¢
The charlty has no ￿SponsIbl11ty for norls It answerable to any other organization.
Rel•ted p•rtl•s
Other than the Trustees and those persons connected with them there are no individuals who are
related partie5. Details of transattions wlth Telated parties are shown in the notes to the accounts.
Thls includes remuneration and expenses paid to Trustees.
R15k Mana8erneftt
The trustees acknowledge their responsibilities for e5tablSshln8 a rlsk management System and
satisfied that appropriate systems and procedures aft under development and contlnue to keep
the strategic, busin•ss and operatlonal risk under revlew wlth view to introducing* where
necessaryi additional procedures to mitigate these risks.

Bllal Ed4Katlonal Forum
Oblectlves and Actlvltles
Ch•fitable ObJertive&.
The Charity's objects and regulation are regulated by Trust Deed dated 28 January 2015 &
amended by Deed D•ted 8 June 2015.
Alms and Objertives
ThÈ objectives of th* Trust set by the Trust Deed is to provide education facility for the muslim
community within the Limbury & Lea8rave Area of North Luton in providing facilitie5 to learn and
practice Islam in accordance with the HO￿ Quran and Ahadith wlthin the bound5 of Ahle-sunna
Wal lamaat.
Oblertives for the y•r.
During this year the Charity sought to..
-Further improve aw•reness of it's existence. facilities and services offered.
-To continually enhance the facilities provided.
-To devèlop and enhance the educational Cufriculum.
Publlc benefit statement
The Trustees confimi that they have complied with the requirements of section 17 of the Charities
Art 2011 to have due regard to the public benefrt published by the Charity Commissbon for
England & Wale5.
Use of volunteers
The Charity uses the servios of volunteers in a number of ways,.
To assist in raising the profile of the charity.
To a55iSt with maintaining the records of the charity.
To assist with the development of the ¢harity.
To maintain the bLtrildin8S.
The charity uses 7 unpaid volunteers who spend approximately 5 hours a week providing
assistance to the charity.
Achievements and P•rfomi•nce of the Charlty
-The Charity ¢ontinuffd to provide service and facilities forthe Muslim Community
in Limbury & Leagrave areas of North Luton.
-started renovation works on new building.
Flnancial Revlew
During the year the charity's income was £209,859 12023: £199,574) and after expenditure of
£99,54512023: £136?321 the carry fonvard reserves stood at £394.12412023'. £283,808).

Bllal Edu¢atlonal FONM
Reserves Pollcv
The TrLSStees have resolved to establish over the next few years reserve5 to provide for future
activ￿leS, and to pro￿de funding for the expected expenditure for twelve months ahead.
Prln¢lp•l fundlng sow¢es
The prlnclpal income was generated from donatlon5 though the publk In accordance with the
objectives of the charfty. The PTlnclpal expenditure related to the provlslons of prayer facilitles and
children Islamic educ•tion.
Pl•nJ for the fulur• PErlod
The Charlty will also ctjntinue enhance bullding facility in dellvering the aims and objectives of the
Trust.

Bllal Educatlonal Forum
Statement of Trustee< responslbllltles
The Charitiès Acts r•quire the 8oard of Trustees to prepare financial statements for each financial
year which glve a true and fair view of the state of affairs of the charity as at the ènd of thè
flnan¢ial year and of the surplus or deficit of the charity. In preparing those financial statements
thè Board is required to:.
select suitable accounting policies and then apply them consistentlv;
obsèrve the methods and principles in the Charities SORP:
make judgments and estimate5 that are responsible and prudent,.
State whether applicable accounting standards have been followed, subject to any materlal
departures disclosed and explained in financial statements-
Prepare financial statements on the qolng concem basls unless it is inappropriate to presume
that the charity will not continue in business.
The Trustees are also responsible for maintsining adequate ac¢ountin8 fecords which disclose
with reasonable accufary at any time the financial position of the charity and which are sufficlent
to show and explaln the charity's transactions and enable them to ensure that the financial
statements comply with regulatlons made under the Charitles Art.
They are also re5wnsible for 5afe8uardlng the assets of the charlty and hence for takln8
reasonable Steps forthe preventlon and detettion of fraud and other Irreiularltles.
The trustees are als• responslble for the contents of the tru$tees' report, and the responsibility of
the independent ex•minerl audStor In relation to the trustees, report is limited to examining the
report and ensurin¥ that, on the face of the report, there are no InconsSstencies with the figures
disclosed in the finahcial statements.
Approved by the trL4tees and $18ned on ￿$ behalf by:
Abul Hu$$•ln
Ch•lrm•n
D•te: Apvll 30°, 2015

Bllal Educatlonal Forum
Statement of Flnafidal Actlvltl¢s
For the period l July 2023 to 30 Jun* 1024
Partkul•rs
Not•
Unrnstrl¢t•d
Fund• (£1
Tol#l FY
Fund• (£)
2023
In¢oml
w•sourc•s
I Incoming resources from generated
I funds..
180.401
15.000
7,025
2.198
5.235
180,401
15,OC(I
7,025
2,198
5,235
175,331
13,740
l Rent received
Standing orders- Donations
Other Income
Sub total
209,859
209,859
199.574
Investment income
Artivities for generating funds
Income rèsources from charitable
attivities
i Total incomin
R•sour¢•s •x
re50UTces
209,859
209,859
199,574
Cost of Benerating funds:
Charitable activities
99,545
99.545
136.932
Governance costs:
Total resources expended
99.545
99,545
136.932
Net movement in funds
R•¢on¢lll4tlon of fundB:
110,314
110,314
62,642
Totsl funds brought forward
283,809
283,809
221.167
Total funds carried forward
394.124
283 809

Balance Sheet 4$ at al JunE 2024
Amwnt (FY 2023)
Flx•d ass•ts
Tangible assets
1,152,290
1.167,618
Curr•rt 48s•ts".
444.416
Totsl Curr•rrt •ss•ts
Curr•nt Ilabllltl•s
265,773
Creditors falli
due wrthin one
40.30
-39.307
N•t curr•nt assats
Non4ufr•nt UablllU•8
226,466
Creditors fallirvJ due after one
N•t a￿*ts
Th• funds of th• ¢ha
Unrestricted funds
1,162.275)
394.124
1,110.275I_-
283,809
io
394,124 1
283,809
General funds
Total unrestricted funds
Restricted income funds
394.124 1
283.809
Total charl
funds:
394.124 ',
283.809
The notes at pages 9 to 12 form part of these accounts
Approved by the tru#ees on date and svdned on their behalf ty.
Abul HU￿1￿
Date: Awil 30". 20

BI1￿ Educati￿￿ Forum
l. Accountln8 pollcles
(•) Statement ￿ compll•nce
These accounts have been p￿pared in accordance with A¢countir8 and Reporting by
Charities: Ststement of Recommended Practice applicable to charities preparing their
accounts in accordance with the Financial Reportin8 standard applicable in the UK and
Republic of Ireland IFRS 1021 (effective l January 20151- (Charities SORP IFRS 10211, the
Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and
the CharIt￿S Art 2011.
Ibl B•sls ot prep•rath>n
The Charity meets the definition of publtc benefft entity under FRS 102. Assets and
liabilities are inr¢la1￿ recognized at historical cost or transaction Value unless otherwise
stated in the re￿vant accounting poly notes.
1¢) Exemptlon from prewlry a cash fl¢)w sthtement
The Charity opted to early adopt Bulletin I published on 2 February 2016 and therefore
not included • cash fk)w statement in these •c¢ounts.
Id) Funds structsr•
Unrestrirted Income fijnds comprise those fur#ls which the trustees are free to use for any
purpose in furtherance of the charitable objects. Unrestrthd funds include designated
funds where the tn￿tee5. at their discretK)n. have set aside resources for a specifl¢
purpose.
Restrirted funds are furKls whlch are to be used in accordance with speclfic restrictions
imposed by the donor or the terms of a specffjic appeal at any time Jnd under the ternis
for publlc colection of Zakat in accordance wlth the teachings of Isl•m.
(el Incomlni r••ourc•s
All incomin8 resources are recognised orKe the charlty ha5 entitlement to the resources, It
is certain thot the resources will be received, arKI the monetary value of incoming
resources can be measured with sufficient rellability. The followin& specific policies are
applied to particular categories of inc¢me-
Voluntary Income r5 received trrf way of donations •t Friday prayers and grants and is
inclLsded in full in the statement of Financial ArtNities when receivable. Grants, where
entitlement is not ¢onditional on the delNery of a specific perfomiance by the Charity, are
recognised when the charity becomes uncondrtK)nally entrtled to the grant.
Incomin8 resources from 8rants. where there are performances or services deliverables
required by ihe tem)s of the grant. a￿ accounted for as the charty earns the right to
payment through its performance. Donated services and facilrties are included at the value
to the charity where this can be quantified. The value of services provided are in the
nature of professional sèrvices where a fee would othenwise be charged, in which the
donated Se￿ke is valued at their char8eable rate.
Investment ibKome is included when receivable.

Bilal Educatio￿ Forum
Incoming re￿urceS from charrtabte trading artivity 15 accounted for when earned.
lfj expended
Liabilities are recogniTrd as resour￿ expènded as soon as there is a ￿£al or constructive
obligation committing the charity to the expendTture. All expenditure is accounted for on
an accruals basis and has been dassified under headings that ag8regate all costs related to
the category.
Supports costs indude administratTve cost for charIta￿e artr4ities.
Ihl Charitable actlvili
Charitable expenditure comprises those costs incurred by the charity in the delivery of tts
activf(bèS and ser¥ices for its beneficiaries. tt includes both the direct pay and non-pay
costs and support costs relating to those activities.
111 T•n8ible fiwl assets arbd depreci￿1
All assets tosting more than £l.IXKJ are capitalised and at historic ¢ost. Fixed assets are
stated at cost less acoJmulated depreciation.
Asset cate80ry
Land and buiklings
2% Straight line
Trustees re¢er¥Ed no emoluments12023 £nill.
3. A¥era8e Number of wnployees
Average number of employees during the year was 212023.21.
There were no employees wrth errK>luments iri excess of £fJ),¢XM) per annum
Unr•strl¢t•d
funds
Total (£)
! General Donations
180.401
180,401
' Rent received
15.1
', 15,CKKI
Slandi
7.025
7,025
. Other Income
Government
2,198
2.198
rants
! Total
209*59
204.624
io

Bllal Educ*ional Forum
S. Charit•ble actl¥lt1*5 511PPOrt costs
CharllAbl•
•¢tlvltl•• l£}
2024
10.046
Charitabl•
a¢tlvltlo$1£)
2023
5182
39098
1000
4254
t71
21KJ
18265
370
659
100
Partkul•vs
Wa
es & Salarie5
Accountanc Fees
Le
l and Profe8sional Fee$
Rates & Water
Rent
i Light, Heat & PowRr
Cleani
of Premises
Water
l Motor & Travel Ex
Bank Char
es
i De
reciab'on Cha
-￿..FreehOld Pro e￿.e5
reciation CharE". F￿lureS & Fthin
Re
airs and Maintenance
General Insurance
Stationery & Posla
Tele
one, Fax & Intemet
Buildin
Work
Fund Raisin
1.000
2,535
175
2C(I
10,363
Allowable
1,802
nse
19,574
314
7,398
2,074
513
17502
13870
2059
330 1
477
25840 1
nse
677
Total
136932
6. TaxatSon
The charity is exempt from corporation tax on its charf(able artivitie5
li

Bilal Educatkn￿ Forum
7. Flxtd A$5ets: l•ryible •ssets
umltur••
l Tot•1 {£
C*xtlvalu•
Al 1 July 2023
Additions
i Diswsals
AI 30 June 2024
D•pr•cl*t14>n
Al 1 Jul 2023
Cha
for
i onDis
I AI 30 June 2024
N•t B¢)ok Valu•
At 30 Jun• 2034
1.313,512
1,313,512
4,560
4,Sfy)
1.313.512
4,560
1.318.072
145.894.44
19,574.45
145,894
19,888
313.97
314
165,783
1,152,290
& An•lysli of rrnlltors I411￿ due wlthln txle ye
1£) 2024
1£) 2023
Trade Crethlrys
PAYE & S￿81 Secunty
rued Expen8e$
Oiher Creiltor8
Wages & Salari•8 Control
Accourt
38.307
38,307
Tot•1
40,307
39,307
An•lysl$ of credltorn f•lllw due •fter one ye
Am¢)unt
1¢} 2023
2024
Qardh e Hasanah
1.162.275
1.110,275
Totsl
1,162,275 ]
1.110,275
12

Oilal Educatloml Fornm
.T•tsl 1£).
Fixed assets
CUT￿nt assets
1,152,290
444,416
1403071
11.162,2751 j
394.124
1.152.290
444,416
140.3071
11.162,2751
394,124
Current liabilitie5
Non Current Ila￿.11ti"•s
. Total
10.1. An•lysls of th*ltable funds:
¢￿14
UnTestrictÈd funds:
Unrestricted general funds
283
204,624 :,
99.545
388,889
13

Bilal EduuIl￿￿ Forum
Ind¢pend•nt Exarnin•fs Report to Intstmslmembers ol Bllal Eduutlonal F¢)rum
We have examined the financial statements for the period l Juty 2023 to 30 June 2024 found on
pates 7 to 12 which have teen prepared on thè basis of historic cost. The Trustees have ¢onfimied
that they do not hold any restrirted funds and that all the funds are available to meet the chariWs
objectives.
Res
Res
"Iltles of Trustee5 and Examln
As the charity's trustee5, you are ￿spOnsible for the preparat￿￿ of the accounts in ac¢ordan
with the requirements of the tharities Act 20111tr Acf). It is our responsibility to:
Examine thè accounts:
Follow the procedures laid down in the General Directories 8Nen by the Charity
Commission: and
State whether particular matter5 have come to our attention.
B•si$ of In
nden
min*s SL7tement
Our èxarnination was carried out in accordance wrth the Genèral Directions given by the CharTty
Commission. An examination includes a ￿leW of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also includes consideratlOD of any
unusual items or disc105ures in the accounts and seeking explanations from the trustees
concerning any such matters. The procedures undertaken do rKrt provide all the evidence that
would be required in an audit. and consequently we do not express an audit opinion on the
accounts.
Indè
ndent Examin
In the course of our examination. no rnatter has cometo our attention:
11 Which gives us reasonable cause to believe that in. any material respect. the trustees have
not met the requirements to ensure that proper accounting records are kept lin
accordance with Act) and accounts are prepared whith agree with the accounting records
and compfy with the accountin8 requirements of the Act:
21 To which. in our opinion, attenth)n should be drawn in order to enable a proper
Understandi￿ of the attounts to ￿ ￿aChed.
31 To cause us to believe that the acwunts do not accord with the record5.
I have no conorns and have come across no other matter5 in connertion with the examination to
which attention should be drawn in this report in onjer to enable a proper understanding of the
accounts to be rea¢h•d.
Independent Examln•rfs Name: Dr M S I Chtyjdhury. Pho, FCA
Relevant wofesslmal quall11t￿(￿ or body: ICAEW
Addyess: Wlndsof House, ￿15 Adelalde StreeL knrton, LUI SW
Date: Aprll 30", 2025
14

Bilal Educatlon•l Forum
We hèreby approve the attached accounts for the period ended 30 June 2024 and confim) that we
have Supplied all the information and explanations required for these accounts.
Abul Husmln
Ch•lrman
D•te: Aprll 30 .2025
15