AL-HUDA MANCHESTER
COMPANY LIMITED BY GUALINTEE
TRUSTEES, REPORT & FINANCIAL STATEMENT
FOR THE YEAR ENDED 28 FEBRUARY 2024
COMPANY REGISTRATION NO: 08893191
CHARITY REGISTRATION NO: 1165367

TABIE OF coThrrENrs
Tn￿te&￿IDjtectOr5
Ststement of Trusttts, tesponsib]ities
for the accouttts
Sutement of141ti9￿Cla1 Activitits
Bthce Sbeet
7-10
Notes to the.Iccounts

Page I
ALHUDA MANCHEsfER
TRUSTEES AND PROFESSIONAL ADVISORS
TRUSTEES/ DIREcr0￿.
Shailla.4baid Khan
Shabana.4hmed
T21at Rashid
Safoora Rafiq
BUSINESS ADDRESS:
2 Grccn]￿dS Closc
Cheadle Hultne
Chea(lle Hu]me
Cheshire
SK8 6SW
N2twest
.Ilttincbam Branch
23 Stamford Ncw Road
Cheshire
W,414 IDB
AccouNfANrs:
Zaheet & CA)mpany
63 KllWWdF
lanthestcr
119 21L

Page 2
Al-Huda Manchester
Trustees report for the year ended 28 February 2024
The trustees present their annual report and unaudited finarKial statements for the year ended 28
February 2024 and confirm they compty with the Charities Att 2011, the trust deed and the Charities
SORP requirements.
STRucfuRE. GOVERNANCE AND MANAGEMErir
Govern1￿1 Document
Al-Huda Manchester is a limited company constituted as a chartty and registered with the Charity
Commission on l February 2016 under charity number 1165367. It is governed by a company
structure with memorandum and articles incorporated in 2014 company number 08893191.
Orzanlzatlonal Structure
The directors are the charity trustees and are responsible forthe general control and management of
the charity. The trustees give their time freely and unless approved by the Board receive no
remuneration. The trustees meet toBether and are responsible for decisions taken in relath)n to
acttvities provided by the charity.
Recruftment and Appolnlment of Trustees
The existing twstees are re5pon5ibk for the recruitment and appointment of new trustee5.
Rlsk Management
The trustees assess the risks the charity faces on an ongoing basis and manage them throughout the
year. The charity is new. and the trusteeswill put in place policie5 and procedures as needed to ensure
that risks are reduced.
OBJEcfivES AND AcnvmES
To Advance the Islamic religK)n in accordance wtth the teaching of the Holy Quran and Sunnah of the
Prophet Mohammed {PBUHI.
"Amluda Manchesterf aims to provide Social, Cultural. and Islamic Educational support for the public
in and around Manchester, whatever their cultural or background may be.
Our aim is to promote understanding between communities of different races and falths and promote
facilities that provide for social and educatK)nal development of Muslims within the wider community.
We believe a development of faith with social services through education and training combined wlll
help build a stron& peaceful local community that is confident enough to engage with and make a
P051tive contribution to wider society. We believe our actrvities a￿ helping thls community
development process and delivering public benefit.

Page 3
FINANCIAL REVIEW
Reserves pollcv
The trustees have reviewed the reser¥es of the charity. Their policy 15 to hold enough funds to meet
three months operatin8 costs of the Centre.
STATEMENf OF TRUSTEEY RESPONSIBILMES
The charity trustees are responsible for preparin8 an annual ￿pOrt and financial statements in
accordance with applicable law and United Kingdom Accounting Standards {United Kingdom Generally
Accepted Accounting Practice).
The law applicable to charities in England and Wales require5 the chartty trustees to prepare financial
statements for each year which give a true and fair view of the stste of affairs of the charity and of the
incoming resources and application of resour￿ of the charity for that period. In preparin8 the
financial statements, the trustees are required to:
Select suitable accountin8 policies and then appty them consistentty; observe the methods and
principles in the Charities SORP.
Make judgements and estimates that are ￿3$Onable and prudent: state whether applicable
accounting standards have been followed, subject to ony rnaterial departures disclosed and explained
in the financial statements. Prepare the financial ststements on the going COn￿M basis unless it IS
inappropriate to presume that the charity will continue in business.
The trustees are responsible for keeping proper accounting records that disclose with reasonable
accuracy at any time the financial position of the charity and to enable them to ensure that the
financial rtatements compty with the Charities Act 2011. and the provisions of the tmst deed. They
are also responsible for safeguarding the assets of the charity and hence taking reasonable Steps for
the prevention and deteCt￿n of fraud and other irregularities.
The trustees for the purposes of charity law WI￿ served during the year and up to the date of thls
report are setout on page l.
Approved by the trustees and signed on its behalf by.
Mrs Shailla Abald Khan
Date: 30.10.2024

INDEPENDEKf EXAMLNER REPORT
l Tep)rt on the ￿￿Ounts of the A1-H￿ja Manche￿. rcgist¢r¢d charit¥. numbtr 1165367 forth¢
unts yw ¢Dd¢d 28 F¢lwuaT)' 2024 wthirh Jrt * out on PAtes 5 kn 10.
PE￿1VE RFSPOYSIBILITI
Th¢ charitys tru￿¢¢S ar¢ r¢sty)nsibl¢ for the rK¢rAr￿ of the xo)unts in XCOrdan￿ with the
requirements of the Clwiiie5 ACL 2011 Acri. The ¢harit)'s ¢nu*¢s wnsiderthat aaj audit
is Th)1 required for this yt4r{under section 43121 of th¢ LlJ•rÉts¢s Ad 1993 (the IW3 Act)) and
that itxktThdent oumination is neojtyj.
It b my re8p)wibility t•:
- examine the accounts (section 145 of the 2011 Aetl
- follow th¢ procedures laid dowTr ID th¢ Genernl Direaions 8iven b). the Charity
Co]nmission Isectiot) I4515Xbl of the Acll.. and IA accordance FRS 102 SORP
NDENT EXAMll¥
My ex0mi￿on ￿nied out in *¢otdance with the Gcnoal Di￿lonS given b). the Ch8rit)'
Commission. An ¢wninatK>n includes the accounting recorts kept b). the chwity. atld a eomwiwk
of the xcounts pre￿￿ted ￿7th ￿$¢ records. It ajs) includes ¢oThsideratiotL of an)" unusuaj item5 or
disclosures in the ￿counts and seeking eKpianations from &$ LY)ncerning any Such matte
Th¢ undejtsken &1 not provide ail the J'i0t￿CthaI b¢ required in an audic aTMI
consequently we do express an ahmlit opinw)n on the with'givuL bj. the xcoull
EPENDENT
STATE
In ¢OTmediorÈ with m} ¢xamiEWiOQ no matt¢T b&$ Coll￿ to rn)'8¢teniion:
(11 which 8ive5 rnc re4wJJable LWSety b¢li¢%r that LD any n)akrial re4>cdthe rquiretn¢nts
. to k¢ep xwunttng r¢¢orts in XL¥>rdwK¢ ￿7th section 41 ofthe kn. md
. to prep8r¢ accounts wthich accord the rniing record% a￿] to comply with
the acwwiting requirenKnts of the Act have not been or
121 to wthich. in myopiniotL attention should bethawn ID orderto en•blc a rKop¢r undcrthLdKng
of th¢ accounts ￿ bc rtactKd.
Mr. FArrfj¥kh Z4beer (FCCA)
7Aheer and COJnpAn%'
Chartered Certified AcLY)unlants
63 Kil￿￿&).
Burnage
Manehe5ter
M192LL

39J)55
S9￿55
40yI
xi>i.Thi)rii.'Rl.: l)N CJI.IRII'.UlIJ.:.IfIlll 6
iiii
1x831
t5I31
T(YIAL EXPENDITURE
NET INCOME / EXPENDrruRE
103
BAIANCE BROUGFrr FORWARD
7.965
7.96?

P4e6
FOR IHE ENDED 28 FEBRUARY￿24
FreelK)Id Property
(Ash at ￿t)k ￿a in hattd
117 717
118,i05
(:]u,DrI()￿..L%1oLTN75 I.'.UJJNC: DLb.
q'IIIIN ()NI.: 11.- IR
()dKY (￿tOrS
141.189
117.965
294
267,SYJ5
The Fwbds Ofthe Cjwiy.
LntL%ttiCtcd funds
267.965
267.965
The mcfflbets hair not 4uired the cOmp￿r to obtain an audiE oEits accounts for the Fear tii question in accord8n(z Mtb
section 4:.6: The dirtrto￿ aknowledge ilw r£sE￿rIeS (or COMph￿ thc of the.lcr re5pert io accouniitig
.4rt th)6. the Filw￿l￿ Rewtmg.%rgndgrd for.￿ k4Xtiiits (effective.4pnl and in accordance FLS 102 4)RP.
.4pprovcd on behalf olth¢ Btr￿d
Tt￿tte8.
D#tr.. 30.10.%)2A

Pw7
I. ACCOUNfJNG POIIC
11.ILS 10? qX)RP).
i ￿AFF coKrs
Number
Nwnber
'uluLtttYs

Poge 8
N(yfES TO THE ACCOUNrs
FOR THE YEAR ENDED 28 FEBRUARY 2024
3. CASH AT BANK AND ￿ HAND
Cash in hand
Bank Account
141.695
117.5?8
14L729
117.717
3.L sfocK
Stock
4. CREDITORS: AMouNfs FALLING DUE
VITHIN ONE YEAR
Acmials

Page 9
ALHUDA MANCHEsfER
NOTES TO THE AccouNrs
FOR THE YEAR ENDED 28 FEBRUARY 2024
2>23
Totsj
DONATIONS AND LBGACIES
10262
19.993
11272
21.(h59
Fee$ Receiird from aassess
Rent Received
19.993
EXPENDITURE ON RAISING FUNDS
EXPENDITURE ON CHARrrABLE AcrtVlTIES
Bwk5
.Icccountatt¢r
Bank Chg4es
393
393
373
Rent. Rates, tAghr 8od IIeat
t4al and Pl￿ Trees
Onithe meew expenth.tu
Gener*1 expense5
11(
302
445
445
725
543
'F.T tXCOlIE
TOT.4L FLNDS BROLGFrr PORI¥'.4RD
267,96j
267.965
241862
Tiyf.4L FLNDS Q4BJJED FORW.4RD
189

Page 10
NOTES TO THE ACCOUNrs
FOR THE TrTAR ENDED 28 FEBRUARY 2024
7. ACCUMULATED FUNDS
Unmtticted Re8tric*d Endowment
Fund8
Fund8
Fund8
TOTAL
openi￿ ba1￿ce as at 01 ilf2tch ?J123
267,965
Net incorn¢
CIo8iog bal2ttce ￿ at 28 February 2024
29L189
29L189
8. INDEPENDENT EXAMINER FEES
Accountano" Fecs