AHLUL ISTI
AMAH TRUST-UK
UNAUDITF.D FINANCIAL STATF.MF.NTS
AND TRUSTF.F.S RF.PORT
FOR THF. YF.AR F.NDF.D 31 MARCH 2025
RF.C.ISTF.RF.D CHARITY NUMBF.R 1163919
AAA Accounting Limited
Chartered Certified Aecount#nts
36-38 Sl4lion Parade
Barking. England
IGII 8DR

AHLUL ISTI
AMAH TRUST-UK
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
P&ge
Members of knards and professional advisors
Trustees annual re￿rt
Independent examiners re￿rt to the Irustees
Statement of financial activilie5
Balance sheet
Notes to the financial 5tstemenis
10

AHLUL ISTI
AMAH TRUST-UK
MEMBERS OF THE BOARD AND PROFESSIONAL ADVISERS
Registered charity name
Ahlul Istiqamah Trusi-uk
Charity number
116J919
Registered offJ¢e
108 North Str¢¢t
Barking
IGII 8LA
Trustees
M5 Muzn¢ Sul¢inian
Mr Sabri Salim Ali
Saleh al-Bahry (Chairl
Mr5 Salha Mansuur
Independenl examiners
AAA A¢¢ouniing Limiied
Chartered Certified Accounthnis
36-i8 Station Parade
Barking. England
IGII 8DR
Banker$
BARCLA YS Bank Pl¢. Llo>,ds Bank plc.

AHLUL ISTI
AMAH TRUST-UK
TRUSTEES ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The irustees have pleasure in presenting their report and the unaudited financial statements of the charit>
for the year ended 31 March 20?5.
REFERENCE AND ADMINISTRATIVE DETAILS
Reference and administrative details are shown in the schedule of members of the board and professional
advisers on page l of ihe financial siaiements.
THE TRUSTEES
The truslees who served during the period ivere as lollows:
Ms Muzne Suleiman
Mr Sabri Salim Ali
Saleh al-Bahry
Mrs Salha Mansour
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
Ahlul 151iqamah Tru5t.Uk is a Chariiable Incor￿rated Orgjanishiion (CIO). wnsii(Uted under a trust
deed dated 02 November 2015 and is a re¥islered charity Since 09 Ocl 2015. number 1163919.
Method of appointment of Truslee5 #nd policies adopted for their induction
Appointment of charitv trnstees
Apart from the firsi Charity Inisiees. every irustee must k appointed fora iemi d¢i¢rniin¢d by the Twst¢¢s
by a resolution passed at a properly convened meeiing of ihe charity trustees.
Information for new charity tThstees
The chariiy trustees will make available to each new chariry Iruslee. on or before his or her first
appointm¢nt'.
lal a copy of the current version of this constitution- and
Ib) a copy of thc CIO'S latC5t Trustccs Annual Rctx)rt and slalemenl of accounts.
Decision making
Thc tru￿tCC￿ arc l¢gally r¢sponsibl¢ for lh¢ ov¢rall manag¢m¢nt and control of the c¢nI￿ and do m¢cting5
regiilarl). The Finance and General PurKKises (building) memters generally meel regularl> to consider the
tasks delegated io them in respeci of financial. building work or any specialist adviser reporl which are
then COTllTnunicated to the other tru5tecs at the main board nieeting for their deliberatlOll5.

AHLUL ISTI
AMAH TRUST-UK
TRUSTEES ANNLIAL REPORT
FOR THE YEAR ENDED 31 MARCH 202)
continued
Risk rei'iew
The management committee has conducted a revieM' of the major risks. which the charity is exwsed to and
systems have been established to mitigaie thos¢ risks. Significant cxtcrnal risks to funding have been
reduced bj the del'eloptnent of a strategic plan. w'hich M'ill allow for de￿elOp￿ltnl only M,hen ihe funds are
in hand or have been guaranteed. Iniernal risks are minimised by the implementation of procedures for
authorisation of all transaclions and projwts and to ensu￿ consiSt¢nt quality of d¢liv¢ry for all op¢rational
aspects. These pn)cedures are periodicdlly reviewed io ensure ihai they still med the needs of ihe chariry.
OBJECTIVES AND ACTIVITIES
The aims and objects of the charity are=
l. To advance the religion of Islam. by means of. bui noi exclusively. promoting the teachings and ienets of
Islam, provision of facilitie5 for ￿orShiP and provision of facilities for Islainic educarion. in accordance
with the teachings of the Qurdn and sunnah of the Prophei Muh￿￿mad IPBUH) as expounded by the Ibadlii
school ol'thougyh¢,'
2. To relieve financial hardship. distress and sufferingamong p)or people. widows. orphans. refugees, victims
of naiural disasiers and other w)ple in need. by Ineans of. but not exclusivel>'. niaking grants or loans for
providingy or paying for items. equipmenl. services and faciliiies, includingy ihe cstsblishii)ent of wateT wells
and the pro￿ ision ol. fiKxI. clothingT. and acconiniodation for the said persons.
3. To advanee education for the benefii of the W￿r. ihe underprivileged and ihe general publi¢ by means of.
bui nt)i exclusively. the provision or the assistance in ihe provision of scholarships, educational activities
and faciliiies, such a5 schools, libraries and training? cenlers.
These objectiv¢s will be a¢hieved by raisin¥ fund5 Ihroubh donations.
ACTIVITIES
The chariiy carries Out a wide variely of aclivilies in pursuance of its charilable aims. summarised below:
W¢¢k¢nd Madrasah. Trainings and l.¢ctur¢s
5 dail) pra>'¢r5, Frida! pra>'¢rs. Eid Prayers and Tardweh prayer
Iftar for commLinity every nibhi of Ramdhan
Organizing Hall & Umrah Trip5
PUBLIC BENEFIT STATEMENT
In setting out the objectii'es and planning the activiiies. the t￿SteeS have gilen careful consideration to
compl)'ing wilh the duty in Section 4 of ihe Charities Ac( ?006 10 have regard to the public benefit guidance
published by Ihe Charit>. Commission.
ACHIF.VF.MF.NTS AND PF.RFORMANCE
Ahlul Isiiqamah Triisi-uk is a registered Lhariiy b&sed in London ihai has been operdling since 2015. It
has so far managed to provide the communitv wilh man), services such a5 leaures and seminars in
addition to holding spiritual. educational and culturdl eN'ent5 marking imtxkrtant 151aniic occasions.
Charity has pro&sre55ed from it5 humble be¥innin¥5 of only J people a5 SUPPOrters to having hundreds of
supporters who attend the numerous regular events it holds ￿eek1).. monthlv and annually.
The primary aim of the Charity is lo promoie ihe religious and moral values ofislam based on glorious
foundation laid down b}. the Holy Prophet Muhamniad (blessings and ￿a¢e be upon him).

AHLUL ISTI
AMAH TRUST-UK
TRUSTEES ANNUAL REPORT
continued
FOR THE YEAR ENDED 31 MARCH 2025
FINANCIAL REVIEW
The income is generated from donations colleded from Muslim people and Muslim organisations, and
other legal chariiable activities. the incoming resources and resources expended are detailed in the
Siaiement of Financial Activiiies.
The financial year commenced with ioral cash and bank balances of £ 13.125. ￿rIng the vear di)nations of £
157.160. other income of £ 3.018 and Qardh Hasan of £ 29.419 ￿ere received. Resources eXpe]￿ed in the year
tothlled £ 174,303. The cash & bank balance ai Y'ear end is £ ?8.419.
PLANS FOR FUTURE PERIODS
A key priorit}, for (he coming J'ear ￿OUld be io renova￿ ihe newl5' purchased building (masjid and comniunity
centr¢) and pr¢parin&T lo move in. Various furKlrni5ing ¢ffons have b¢¢n made to focilitote this move. Tli¢r¢ will
also be a lot of cotnrnunity ¢ngagemeTrl ¢ffort5 to b¢ plann¢d io furth¢r facilttÈt¢ cornmuTrit)' cohesion in tlie
area.
RESPONSIBILITIES OF THE TRUSTEES
The charily's irusiees are resp)nsible for preparing the Trusiees Annual Rerrfjrt and (he fii)an¢ial s(aten)ents
in accordance wilh appliLable law and Uniied Kingdom Accounting Siandards (United Kingdoin Generally
Accepted AccountinbF Praaice).
The law applicable io chariiies in Engiland and Wales requires ihe Irus(ees lo prepare financial staiemenis
for each IinanLial year which &?ive a true and fair view of ihe siale of afTairs of the charitv and of the
in¢oming r¢sour¢es and appli¢ation of resourtts ofthe ¢harity for that p¢riod. In preparing ih¢s¢ finan¢ial
statements. the trustees are required to:
S¢l¢¢t suitabl¢ a¢¢ouniing poli¢ies and then appl)" them ¢onsisi¢ntly:
Observe the methods and principles in the Charities SORP.
Make judbFements and eslimates thai are reasonable and prudent.
State whether applicable accounting slandards have ￿en followed. subject to any malerial
departures disclosed and explained in ihe financial statements;
PTcparc the financial slatemellts on ihe going concern basis unless il is inappropriate to pre5urne
that the charit>. will continue in operation.
The trustec5 are rcsponsible for keeping prop¢r accounting r¢cord5 that di5¢195¢ with redsonable acruracy
at any time the financial wsition of the charity and enable them to ensure that the financial statements
compl), with thc Charitics Act 199i and lh¢ Charit), (Accounts and Rcports) Rcgulation5 2008. Thc trustccs
are a150 re5pon5ible for 5afegJuarding the a55ets of the charit)" and hence for takinbT reasonable Steps tor the
prevention and detection of frnud and other irregularities.

AHLUL ISTI
AMAH TRUST-UK
TRUSTEES ANNUAL REPORT
continued
FOR THE YEAR ENDED 31 MARCH 2025
INDEPENDENT EXAMINER
B Ahmad FCCA of AAA Accounting Limited. Chartered Certified Accountsnts oners himself Cor re-
appointment as independent examiner in accordance M'ith the Chariiies Aci 1993. as amended by Ihe Charities
Act ?006.
Signed on behalf of the irusiees
108 North Stree¢
Bark'ing
IGII 8LA
Mr Sabri Salim Ali
Date.. 16.01.2026
Trustee

AHLUL ISTI
AMAH TRUST-UK
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF AHLUL
AMAH TRUST-LK
FOR THE YEAR ENDED 31 MARCH 2025
I rewrt on the accounts of the charit). for the year ended 31 March 2025 set out on pages 8 10 10.
RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND INDEPENDENT EXAMINER
The charity's trusttts are responsible for the preparation of ihe accounts. The charity's trustees collsiderthat
an audii is noi required for ihis vedr Iiinder seciion 4J{?l of ihe Chariiies Aci 199J (Ihe 199J Act). as
amended by section 28 of ihe Charities Act 20061 and ihal an independent exarninalion is needed.
It is my responsibiliiy to..
examine the accounts {under 5¢Ction 4i(il la) of lh¢ 199) ACL as am¢ndcd)'
io follow the procedures laid down in ihe General Direciions given by the Charity Commission
(under S¢¢iion 4i17Mb) of the 199) Aci, as am¢nd¢d)- and
to State whether particular matters have come to my aitention.
BASIS OF INDEPENDENT EXAMINER'S STATEMENT
My examinalion was ca￿led out in a¢¢ordan¢e wilh ihe General Directions Lyiven by the Charity
Commission. An examinaiion includes a review of the a¢¢ounling records kepi by ihe ¢harily and a
comparison of the accounls presented ￿1[h ihose records. li also includes consideration of an>, unusual
items or disclosures in the accoun15. and seeking explanaiions froni vou as trusiees concerning> any such
ma¢¢ers. -l-he pro¢edures undertaken do noi provide all th¢ eviden¢e that would b¢ required in an audi¢. and
consequently I do nol express an audil opinion on whether ihe accounts present a'true and lair view,.
INDEPEIYDENT EXAMINER'S STATEMENT
In connection with my examinalion. no matler has ¢ome io my attention..
I I I which giles me reasonable cause to believe ihal in any material respect the trustees have not met
the requirenienls to ensure thal:
proper accounting records are kept (in accordance with section 41 of the Act); and
accounts ar¢ pr¢par¢d H.hich agr¢c wilh th¢ accoulltillg r¢cords and coiiiply wilh the accounting
requirements of the ALt', or
12) to which, in my opinion. att¢ntion should IK drawn in ord¢r to enable a prO￿r understanding of th¢
accounts to be reached.

AMINER..
RE
HL
Tl
R THE YEAR EN
025
IIECOMMENDATIOKS th ADVISLS FOR FUTURE
As per my ¢xwninalion ofthe o¢c(Auwn8 rtcLYd& I wiwld lik¢ ￿ dr•wythw io the
followi￿ lty￿..
. It 15 Tecommrndcd ihc djwity slmxtld software kn rnairtain rwtyds r¢lthtrd ¢xpu
similarly reLY)rd5 were kcpl w> lo d•W. fw irK(¥ne.
li i$ r¢¢ommetyJtsJ to avoid knlin8 in ¢lwiiy in case oflth ihttt
shoutd b¢ r¢Yords ofpayments & rec¢ipts fur rLroncili4tions of trwk.
FurH15 by Cash 4h¢)uld bL' iThtoth¢ blnk or rnwl rLxxiv¢ by B•Lk.
T￿￿￿0.8 rn￿￿ knve TQCLYds wiy ¢th exp#￿ the yellr knd Lway eash expense
B AhnMlkCCA
AAA Ac¢(Awthin8 LiMi￿d
ChBrtLY¢d C¥rlified A¥wJTrtanis
3￿8 St*¢loD P•rAdt
BaTklD& F.llgl•#d
IGII bDR
The o• p•ge¥ 10 forn ofthtye flu•d*l Jl*tellK•ts

AHLii is
ANL4H TRL'ST-LI. (
FOR THE YLIR E)I)ED 31 MARCH 2025
Restrkied L'•re5¢Tlcted
2024
c1￿.1t￿ble dotjations
Haji & iLttJrah
Skuidry itt¢¢)the
157.160
3.000
18
157.160
3.000
18
65.725
3.150
Tot*] lmeomt)
160.178
I60.J78
68.886
Dlr•et ekArltAbl• •xp•ndltllr• (_)
Accoimtallcy fee
Adi'eitisement
Batjk char8es
c￿ria8t
Cleaiii118
DeplEciali￿1
DoEJalioii
Eqiiiplljeut expel￿d
Eqiiipliieiil Hire
1.020
1.503
38
1.020
l.020
3.57
216
105
968
481
2.606
5.323
1.996
360
1.996
360
6.086
149
27$
5.420
1.706
$88
13.430
19.673
71
6.170
9.399
6.086
152
278
3.4?0
1.706
588
13.430
19.673
71
6.570
9.399
S7S
Hajj & iLn)rah expenses
Hotel Accolljodation
33.899
897
570
12.940
14.897
54
6.000
3.484
1.292
936
985
3.732
3.364
1.138
42.205
Le￿1 & Profe$$ional fees
Li8lLt & lieat
Paypal Fee
Rates
Repair & M8ALltenaDce
Sernices
Sofrw*we
St8ff Trainin8 & Welfare
StatlOEiery
Siibscriptions
Telepliotie & fLx
Wa8egJ & salaries
1.067
$3$
3.410
2.788
1.463
55.305
1.067
535
3.410
2.788
1.463
Total expendittre
133.202
133202
138.044
et resOurces/E￿￿￿oI¢wre
?6.976
26.976
-69. 158
F￿￿￿9 brougb¢ fornAr
Transfer Ito)l fron￿¢strict¢d fiMK15
Funds CAiTied forn"AThl
1.091.!06
1.091.506 1.064.530
I'he Ststement of Financial Activities includes all gains and losses in the year and therefore
a stat¢m¢nt of tota] r￿Ognis¢d gain5 and loss¢s has not bc¢n pr¢par¢d.
I.0￿.$30 1,064.530 1.133.688
All of the aEK)ve amounts relate lo continuing aclivities.
The notes on pages 10 form part of these financial statements.

AHLUL is
MAH TRLST.LI£
4LLNCE SHEET AS AT YEAR ENT)ED 31 MARCH 2025
2025
2024
F￿e￿ Assets
FA-PTopety. Plant & Equipment- Cosl- B￿wd
FA_Propety. Plat)l & Eoiiipmellt- Depn- B￿wd
FA-Propety. PlaRt & Eqilipme￿l- Depn- Clwe
4.246
2.802
360
4.246
2.321
481
1.084
1.444
FA_l.AnA k Riiildin84 -r.Th4t- h/fi
1.135.846
1.135.846
Dobtors
OtIRr Debtors
4.100
4.100
4.100
4.100
Curre•t as$et$
Casli lli Bank
28.419
13.125
28.419
13.125
Cr*dltors ￿￿* on* v*Ar
Otlier ¢rditors
Other T&xes and Social Security
76.919
1.024
89.500
485
77.943
89.985
Total asselj less ciirreDt Il*bllltles
1.091.506
1.064.530
Nèi *$yèis
1.091.506
1.064.530
FuDd$
Res¢ri¢led
Unresttxcted
Net (loss) profil
1.064.530
?6.976
1,133.688
69.IS8
1.091.506
1.064.-530
TotAI
1.091.506
1.064.530
Th¢5¢ financial stat¢m¢nts hav¢ b¢¢n pr¢par¢d in accordanc¢ with lh¢ Financial R¢p(Trrting Standard for
Smaller Entities {efteciive April 2008).
These financial statemcnts w¢r¢ approved by the members of th¢ wmmitt¢¢ on 16.01.2026 and are signed
on their behalf by..
Mr Sabri Salim Ali- Trustee
The notes on page 10 form part of these fin4nci41 statement&

AHLUL ISTI
AMAH TRUST-UK
NOTES TO THE FINANCIAL STATEMEIYTS FOR THE YEAR ENDED 31 MARCH 2025
l Accounting Polirifs
Basis of aceounting
The financial staten)ents have been prepared under the hisiorical cost convention and ii) accordance I￿1th
applicable United Kingdom aCLounting sthndar(ts. the Siaiemeni of Reetsminended Praciice "Aceouniing
and Reponing b>. Chariiies" issued in March ?005 (SORP 10051 and the Charities Act 1993. and in
accordance with the Financial Reporting Siandard for Snialler Entities (effective April 2008)
1.2 Incoming resources
Voluniary income and donations are included in incoming resources when ihey are received except when
donor's conditions have not been fulfilled. and then rhe income is deferred.
1.3 R¢50ur¢es expended
Expenditure 15 accounted for on an accruals basis and has been classified under headingTS that aggyregyate
all cost relaied io the caiegor>'. Where costs cannot be directl). aiiribuied io particular headii)gks. they have
been allocated to activities on a basis consisteni with the use of resources.
1.4 Exemplion from pr¢p4ring a ¢*sh Ilow st*temen¢
Exemption has been taken from preparing a cash flow statement on the grounds that the charitable
company qualifies as a small charitable compan)..
T)Ixation
The charity is exempt From corporalion tax on its charitable activities.
1.6 Fund accounting
Unrcstrictcd funds can be used in accordance with the charitable objcctiv¢s at the discr¢tion of th¢
trust¢¢s.
Restricted fund5 can onlv be used for particular reslricied purpose5 wiihin the objects of the charity.
Re5triction5 arise when specified by the donor or when funds are rnised for particular restricted purposes.
10