REGISTERED CHARITY NUMBER: 1165018
REPORT OF THE TRUSTEES AND
FINANCIAL sfATEMENTS FOR THE YLIR EI¥DED 5 APRIL 2024
FOR
TA YSIR RELIEF FOUNDATION
Prestons & Jacksons Partnership LLP
364- 368 Cranbrook Ro*a
Ilford
Essex
IG2 6HY

TAYSIR RELIEF FOUNDATION
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
P*ge
Reprlrt of the Trnittts
I to 3
Independent E￿mIller'S Report
Statemell¢ of FiDaJltial Aetfvltle8
B*￿ttee Sh¢¢t
Notes to tke FIA*neh•l S¢*t¢meDts
7 to 12
Det#lled Sts¢emeDt of Flx*ll¢l•l Athille•
13

TAYSIR RELIEF FOUNDATION
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 5 APRIL 2024
The trustees present their rew1 with the financial statements of the charity for the year ended 5 April 2024.
The trustees have adopted the provisions of Accounting and Rep)tting by Charities.. Statem¢nl of
Recommended Pra¢ti¢e applicable lo ¢haritie5 preparing theiT accounts in accordan¢e with the Fina￿la]
Reporting Stsndard applicable in the UK and Republic of Ireland (FRS 102) (effe£tive l January 2019).
OBJECTIVES AND A￿1VITIEs
Objectives and aims
Bein¥ an inlemalional charity. Taysir Relief Foundtition (TRF) is dedicated to help relieve ATrJ prevent
poverty in England, Wales. Somalia and Kenya. The obje¢iives will be achieved by Providing basic needs
(food, waler and shelier). education (providing educational centres. educational materiais and help
educational providers such &8 teac￿rs), h¢aithcar¢ (help in medical needs} aTvJ emergency relief (respond to
dis&sters). TRF 1$ currently regislered in En￿a￿L Wales and Somali&
Du¢ lo donation capacity collected and the project wuested ty the beneficiaries during the year 2023124,
focused on assisting communities {minorities) wffhin Somali& W¢ ar¢ extr¢m¢ly ￿8¢¢ful to OUT donors
for continuing to support those in need despiie the ditTi¢uli economic time we are in. Their inspiration81
generosity allowed us io provide b￿lC needs during the month of Ramadhan. assist patients who needed
medical att¢ntion. help orphans in their bASiC needs and coniinue to build the community centre in Kisrnayo.
During th¢ month of Ramadhan TRF managed w feed those in need in southem Somali& This year
particularly TRF focused on feeding orpha￿. widows, help1￿$ elderly and PAti¢nts suffering from different
conditions. The food pa¢kAges were disiribthed to 150 f4milies' each family consisted of 4 people. Each
package ¢onlained 25kg Tice, 25kg wheat flour. 12.5k8 sugar* 5 litres woking oil and 2kg dales Iokg pasler.
The packages were given at the beginning of th¢ Month lo cover the whole month of Ramadan. Ai the end of
RAmadhan rice wL8 distributed to helpless families from the fitran8lzAknI fitra re￿ived from the donors.
The construciion work that began the year 2021122 for the Kismayo community 1¢8rning cenlre was
continued. We have managed io complete ihe ground fl£￿ and the first floor and lh¢ secotKI floor is on the
way. Through the generosity of our donors, the ¢ommitmeni and the hard work of OUT leams and volunteers
on the ground, we have been able to accomplish many success¢s.
ObJe¢tlve8:
TRF is committed to contrib￿e in the efforts of ￿]e¥lating and preventing N)verty and ending the suffering
of the minority ¢onmiunities in England. Wale5. Sonjalia and Kenya. In thts respect, TRF seeks to promole
SU51ainable social and econornic developmeni exploiting the ￿lIAbOratIOn of local communities while
responding to emergerKy situations ay a relief agency regardless of the impacted ¢ommunitys Tace, Teligion
or demogrnphic5.
Field Intended 4ctlvlties abroad
TRF is planning to a￿1$1 th¢ communities by providing food Aid. clean Water and Sanitatio￿ shelter, heait
education, livelihood support and empowerment of vulnerable people while ¢arryin8 Out long terni
orphanages. Apart from th¢ f¢¢ding programme during the month of Ramadhan TRF is working on a long
tern) water solution rather thth th)rt lerni ￿lS￿nCe of providing water via water ianks. Our up¢oming
project is the continuation of buildinB work of the Rawdha ¢ommunity Centre in Kismayo. The Second floor
is on the way after completing the first fl￿r. The project will provide the community with a learning centre
(secondw sclK)ol). shops to help fillKI th¢ activities in the ¢¢ntr¢ and a praying hall.
Page I

TAYSIR RELIEF FOUNDATION
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 5 APRIL 2024
OWECTIVES AND ACTtVlTIFS
Publlc benefit
When planning activiries for the year, the truslees have complied with their dutie5 under s¢¢tion 17{S) of the
201 I charities Act to have due regard ro guidance published by charity commission'5 on public benefiL This
was arhi¢vd by h¢lping those in need according to the obje￿1Ve.
Trustees are satisfied thai the charity meets the Charity COMMI￿10n,S guidelines both in general a￿1 in
i¢ular by as8iSting those in n¢¢d of basic needs during the month of Ramad￿. help those needing
medical attention and build the learning ¢¢nlrt io provide education for all. This was a¢hieved by ihe funds
raised from fundraising in England other paTts ofthe world.
ACHIEVEMENT AND PERFORMANCE
Cb*rit8ble activitie
The charity h&$ made all the effort necessary to ensure that all income resources are utilis¢d in 8 be
p)$siblc way to achieve the objective of the charity
One of the main achievem¢nts of the charity durin8 the fiscal year ending 5th April 2024 was raising funds
to feed the needy during the month of Ramadh8n 2023 and 2024. 150 families of 4 p¢ople each including
orphans, widows and helpless ¢lderly and patients suffering from different conditions were provided with
iftar p￿kages. The charity continued to carry the construction work of the ￿mMUnIty learning cenlre in
Kism&yo. A palient L$s1￿ed in his medical need. From diagnosis io treathient including provision of
continuous monthly maintena￿¢ medicine.
FINANCIAL REVIEW
Ruerves poli(y
Our financial policy slates that unresrided funds are available for th¢ objects of the charity while restri¢i¢d
funds are available only for th¢ pur￿>SeS designated by the donors. During this fiscal year (202312024) we
had tM)th restricted and unrestricted funds in th¢ accounts. (kn overheaits are Minim￿ and Ihe tn￿tee$ are
confident they will receive sutTicieni donal10￿8 to Cover these experLses.
Golnz ¢oncerD
The trustees confirn) they have full support of the donors and local Gomrnunity to opernte for the next twelve
rnonths. As a result, the a¢¢ounts have been prepared on a going concern b&%is.
sTRU￿UR& GOVERNANCE AND MANAGEMEI
GoverDIDg documtDt
Taysir Relief Foundation is a Charilable Incorporated Ckganisation governed by wnslitution and managed
by a Board of T￿￿teeS comprised of 6 trustees.
Re¢rultment and appointmettt of ttew trnlees
In the process of c4)mpletin8 a skills &%se$5ment of currenl In￿¢¢$. once completed the in*ntiOn 15 lo recruit
more tn￿te¢S b￿d on dev¢lopment and skills needs of the board.
Orginl8*tioDal strn¢thre
The charity tru5t¢e$ are responsible for the genernl ￿ntrol aTrJ management of tk charity. Th¢ tr￿lee$ giv¢
their time freely and r¢¢¢tve no remuneration or other financial benefits.
Page 2

TAYS]R REUEF FOUNDATION
REPORT OF ThE TRusfEFS
Rlok
We elwty rn￿110r ¢l￿ltiOnS withNI the b¢o¢fi¢i•ry C4Thll*ry (SotMlia} TPF deliverirtg fimdthg
cthnpliancewith Health INI Safty ropir¢n￿ts.
1165018
17 K¢¢b Strwl
IGII 7RY
MohanKd Mo•lim M(thnxd
S4lim Sh&kn￿¢
Anw¢r P8teL BA(HoM). FCA. BFP
364. 368 Cratsbrook Rwl
llf¢rd
102 6HY
0510212025
Apwoved by wder of the i￿rd ￿.......................................... #i￿d ￿ its behalf by.
oH#ffj&Ls /VlhAM6>uE)
' rfio kL)Mod (YIAktrtOvd

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
TAYSIR RELIEF FOUNDATIOF4
IDdependent euminer's report to the trllstees of Taysir Relief Foundation
l T¢Wrt to th¢ chatity trustees on my cxaminatlOD of the ar￿unts of Taysir Relief Foundation (Charitsble
Inco￿Orated OrgaDisatiOJI) for the yesr ended 5 April 2024.
Responsiblliti¢s and ba51s of re￿rt
As the charity Irusiees of the CIO. you T￿￿￿1b1¢ for the iywation of the aco)unts in accordance with
the requirements of the Charitics Act 2011 (Ibe Act).
I report in respect of my eXami￿tion of the CIO'S accounts urried out under knion 145 of th¢ Act and in
Catrying out my examination I have followed all applicable Dire£tions given by the Charity Commission
under Section 145(5Xb) of the ACL
Jndependent txamln*% itaterneDt
I have completed my ¢xomination. I confirni that no tnatcrial malters havc Come to my attention in
connection with the examination giving m¢ to believe that in any n￿terIal r¢5P￿t.
accounting rccor&8 w¢rt not kept in of the CIO as requir)J by Sedion 130 of the Act; or
the ￿0￿ntS do not acc4)rd with those records,. or
the accoullls do not comply with the applicabl¢ requir¢m¢nts ¢oncerrring the forni and contenl of
accoun18 y¢¢ out in the Charities (Accounts and ReF￿s) Regulations 21x18 other than any requiTcmcnt
that the aecounts give a tn￿ and fair view which is not a ll￿¢*r ¢onsidered &8 part of an ind¢￿t
I have no concerDS and have come across no other matters in connection with tbe examination lo which
attention should be drawn in this rep)rt in otdcr Io ¢Dabk a undcrstsnding of the a¢￿untS to b¢
reached.
Anwer Patel, BA(Hons}. FC& BFP
Prestons & Jacksons Partnership LLP
364 . 368 Cranbrwk Road
Ilford
Essex
IG2 6HY
Page 4

TAYSIR REUIF FOiJNDATION
STATEM￿ OF FINANCIAL A
SA24
5.4.23
iNCOME AND ENDOWMEKJ% FROM
14ffj74
IU74
26.683
EXPENDITURE ON
Ch•ritsble #cdvhl
1&78B
32J47
Support A¢tiviti¢B
17J13
34,038
Nrf INCOMfJ(EXPENDIITJRK)
(&025)
OJ4)
(7J55)
RFLONCILIATION OF FiJNDS
Toul ivouobt fmv•Td
(W7)
(4J71)
2J84
<￿91)
1701•)
(4,971)
PAgc 5

TAYSIR RELIEF FOiINDATION
BAJANCE SHEET
S APRIL 2•24
24
5.4.23
CREDrroRS
Amounts fallin8 within onc year
(IWS)
(10,875)
F4ET CURRENr
17*10)
(4,971)
TOTAL A&SETS LESS CURREKr
(7JiO
(4.971)
(7010)
(4971)
10
Unre*ridcd fundi
R¢8tricted fill￿S
IW2)
l&667)
1.696
(7JlO>
(4.971)
Th¢ fi
o.foy.f2o..
Vrtre apprO￿d by the Bo•rd of Tr￿1¢￿ and aut￿rIsed for i86ue
were SiBDed on b¢h￿f by:

TAYSIR RELIEF FOUNDATION
NOTES TO THE FINANCIAL STATEMENrs
FOR THE YEAR ENDED 5 APRIL 2024
ACCOiIThNG POLICIES
Basis of pre￿ratiOn
The financial statements of the Charity, which is a public beneftl entity under FRS 102. have been
prepared in accordance with the Charities SORP (FRS 102) 'Accounting and RerrtTrrting by Charities:
StAtemeni of Re¢ornmended Pra¢tic¢ appli¢4bl¢ to ¢hJritie$ preparing th¢ir &counts in accordAnce
with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)
(effective l January 2019),. Financia] Reporting Standard 102 The Financial Reporting Siondard
applicable in the UK and Republic of Ireland, and the Charities Act 2011. The financial statements
have been prepared under the histori￿1 cost wnvention.
Golng Concern
At Balan¢e Sheet date. the unrestri¢ied funds w¢re in d¢fi¢it Al £8,692 (2023.. £6.667). This deficit
was financed by Kar7£ Hassana {Interest Free Loan3) received from the Community of £IO.000. Since
the Balance Sheet date, donations pledged were received which h&8 turned the Foundation into a
favorable Frf)Sition.
FOT the above reawns, the trus*e5 confirnied that the Found￿70n would be in operation for the next
tw¢lve months.As a result of thi$. the xcounts hav¢ b¢¢n pr¢p8r¢d on a goin8 wncern b￿15.
ID¢ome
All income is recognised in the Statemenl of Ftnanciaj Activilies once the charity ha5 entitlement to
the fjjnds. it is probable thar the income will be re￿iVed and the amount can be measured reliably.
Exp¢Ddlture
LiAbiliries recognised as expendilure as soo7J as ther¢ is a legal or constrnctive obligation
committing the charity lo ihat exFcnditu￿. it is probable that a transfer of economic benefits will be
required in settlement and the amount of the obligation Can be measured reliably. Exp¢nditur¢ is
accounted for ort an acerual$ basis and has been elAs$ified under headings th81 aggregate all cost
related to the category. Where costs cannth be directly &ttributed to particular headings they have
been allocated lo A¢tivities on a b&sis ¢onsisteni with the use of rtsource&
Qrants offered subjecl lo conditions which have i*en mei 4t the year end date are noted as a
commitment bth not accrued as expThlitUT¢.
T*x*tlon
The charity is exempt fTom tsx on its chaTitsble activities.
Fund &etOUDtlni
Unrestricted funds can be used in aCcOrd￿￿e with the charitable Obje￿]YeS at the discretion of the
Irustees.
Restricted fuThts can only be used for particular restricted PUTpose5 within the objects of the charity.
Restri¢tions arise when specified by the donor or when funds are rnised for parti¢uiar r¢stri¢t¢d
purposes.
Further explanation of the nanut and purpose of each fill￿ is included in the notes to the financial
stal¢ments.
Page 7
continued...

TAYSIR RELIEF FOUNDATION
NOTES TO THE FINANCIAL ST ATEMENTS- continued
FOR THE YEAR ENDED 5 APIUL 2024
DONATIONS AND LEGACIES
5.&24
5.4.23
Donations
11674
26,683
CHAR￿ABLE A￿1VITIEs cosrs
funding of
activities
(see notc
Direct
Costs
Support
COSLS
4)
Totals
Charitable Activites
Suppon A¢tivili¢s
3r
15.488
15,788
1,725
1,725
15,488
1,725
17,513
GRANTS PAYABLE
5.4.24
5.4.23
Charitable Aciivites
15,488
32.347
Th¢ total grants paid to individuals during the y¢8r w&% as
follows:
5.&24
5.4.23
205
775
330
23,153
150
7,939
Water Projects
ML%jid Construction
Medical help to p￿r
RAmadaan Proj¢cl
9303
15,488
32,347
Page 8
continued...

TAYSIR RELIEF FOUNDATION
NOTES TO THE FINANCIAL ST ATEMENTS . tontinned
FOR THE YEAR ENDED 5 APRIL 2024
TRUSTEES, REMUNERATIOF4 AND BEI¥EFtTS
There were no trustees. remunerntion or other beneffts for the Y￿ ended 5 April 2024 nor for th¢ year
ended 5 AprÈl 2023.
Trustees, expenses
Th¢re were no Irustees, expense5 paid for the year ¢nthd S April 2024 nor for th¢ year ended
5 April 2023.
COMPARATIVES FOR THE ￿ATEME1￿ OF FINANCIAL ACTIVITIES 5.4.23
Unrestricted Restrictrd
fund
fund
Total
funds
INCOME AND ENDOWMENTS FROM
Donaiions and l¢gacics
2.209
24,474
26.683
EXPENDITURE ON
Cbarltable icthpltks
Charitable Aclivites
Support Activities
330
1.691
32.017
32,347
1,691
Total
2.021
32.017
34.038
NET INCOMFJ(EXPENDITURE)
188
(6,941)
(7.543)
6,941
(7.355)
Tr&nJferJ between fundl
Net movement kn fun
{6.753}
(602)
(7,355)
RECONCILIATION OF IfuNDS
Total furkds brought forward
2,298
2,384
TOTAL FUNDS CARRIED
FORWARD
(6,667)
1.696
(4.971)
Pagc 9
continued...

TAYSIR RELIEF FOUNDATION
NOTES TO THE FINAIYCIAL STATEMENTS . contillued
FOR THE YEAR ENDED 5 APRIL 2024
KEY MANAGEME￿ PERSONNEL
Key Monagement Personnel comprise5 of Board of T￿￿1¢¢$.
CREDrroRS: AMouNfs FALLING DUE WITHIN ONE YEAR
24
5.4.23
OtheT creditors
IOJ75
10,875
ANALYSIS OF NET ASSETS BETWEEN FUNDS
5.4.24
Totsl
fimds
5.4.23
Totsl
funds
Unrestricted Restricted
fimd
Current as5els
Current liabililies
2.183
{ION5)
3.065
(10375>
(10,875)
(&692)
(7010)
(4,971)
10. MOVEMEI¥T TN FUNDS
Net
movement
in fjjnds
At
514124
At 614r23
UnreJtri¢¢ed funds
General fund
{6ffj67)
(2,025)
(8,692)
Restricted funds
Restricted fund
(814)
TOTAL FUNDS
(4971)
{2.839)
{7010)
Net movement in fvn&8. included in the aL￿e are ￿ follows:
Incoming Resources Movement
resources
expended
in funds
UDreJtrl¢¢ed
General fund
{2.025)
(2,025)
Restricted funds
Restricted fimd
14.674
{15.488)
(814)
TOTAL FUNDS
14,674
(17￿13)
{2,839)
Page 10
continued...

TAYSIR RELIEF FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS . continued
FOR THE YEAR ENDED 5 APRtL 2024
10. MOVEMENT IN FUNDS- eontinued
CoDiparatfves for moveme•¢ ID funds
N¢t
movement
in funds
Trdnsf¢rs
between
funds
At
514123
At 614122
Unrestricted funds
General fund
86
188
(6,941)
(6,667)
R¢Jtri¢t¢d fvnds
Restricted fund
1298
(7.543)
6.941
1,696
TOTAL FUNDS
2.384
(7.355)
(4,971)
Comparalive net rnovemenl in funds, included ID the abovc art as follows:
Incoming Resources Movement
resourres
expended
in funds
Unrejtricted fun
Genernl fund
2.209
(2.021)
188
R¢Jlrleted foDds
Restricted fund
24,474
(32,017)
(7,543)
TOTAL FUNDS
26,683
(34.038)
(7.355)
The r¢8trleted It 5th Aprlj 2024:
B*1 at
614n3 Income ￿4￿ndIt￿re Trinifer at514124
Funds
Ramadhan Proje￿$
7AkAat
medic￿ Proj¢¢ts
M&sjid Projects
4.559
1,010
(6.080)
2.219
(205) (2.315)
696
1.510
186
9,106
{9,203)
96
TotAI
1.696 14674
(15.488)
Restricled fund carried forward arc for the various Fyoiects related above.
Pagell
continued...

TAYSIR RELIEF FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS . continued
FOR THE YEAR ENDED 5 APRIL 2024
11. RKIATED PARTY DISCLOSURES
The trnstees dOn￿ed £2.500 (2023.. £3,860) durin8 th¢ y¢ar.
Pag¢ 12

TAYSIRRELIEF FOUNDATION
DETAtLED STATEME￿ OF FLYANCLIL AcrivrriES
FOR THE YEAR ENDED 5 APRIL 2024
5.4.24
5.4.23
INCOME AND ENDOWMENTS
Don*tloni And leg#¢ks
Donations
14,674
26,683
Total ineomlng resoure
14.674
26.683
EXPEIYDrriJRE
Chart¢able aetivities
M￿rassa Books
Charitabl¢ projects
300
IS488
32,347
IS788
32,347
Support costs
M*Da%em¢nt
Telephone
850
816
Gov¢rnaD¢e costs
AccoUnta￿Y and legal fees
875
875
Total resources exrrtnded
17A13
34.038
Net expendi￿re
(2039}
(7.355)
This page does noi form part of the ststutory financial ststements
Page 13