Registered Charity number 1171527
SAB
Finanaal Statements
For tht year endin8
31-Jark22
MKAccountsncy Ltd
Suite 3.17
Universal Square
Devonshire Street
Manchester
M12 6JH

SAB
TABLE OF CONTENT
PAGE
Charity informatton
Charity actiwty report
ststement of Trustees responsibility
ndependent Examiner Report
Statement of Flnancial Artivities
Balance Sheet
Notes forthe Finantial Ststements
7-8

SAB
Reglstered Chrlty number 1171527
Trustee5
MRS ROLLA ROSTAM
MRS SAMARA ATA551
MRS SAMERA TAYAN
Constltutlon
Charitable Incorporated Organ15ation CIO
A￿lster•d OFflce
l Bridge Drive
Cheadle
Cheshire
5K8 IHN
A<countsnts
MK Accountancy Ltd
Suite 3.17
Unlversal Square
Devonshire Street
Manchester
M12 6JH
Ind•p•nd•nt Ex*rnln•r
Annas A El-Hamouz AFA
Bankers
Barclays
I Churchill Place
Lond¢)n
E14 5HP

ACt￿ltIeS report for the year endiry 31 January 2022
l- Narne ofthe Charfry: SAB
2- Charity Number. 1171527
> Officlal Addres$: IBridgè Drive, Chèadle. Cheshlre. SK8IHN
4- Governing Docurnent: CIO dated 08 FEB 2014
Narnes ofTrustee&'
MRS ROLLA ROSTAM
MKS SAMARA ATASSI
MKS SAMERA TAYAN
Obj•cts of ihe Chaiity:
11 The relief of financial need and suffering among victims of natural or other kinds of
dlsaster in the form of money lor other méans deemed 5Uitablel for persons. bodies,
organisations andlor countrÈes affetted.
21 The relief and asSlStan£e of people in any part of the world who are the vidims of
war or natural disaster, trouble, or catastrophe in such charitable ways as the trustees
see fit.
7- Area of Operntlon." National and oversèas worldwide.

Hn•4th1 *tem•nts farth• Y￿¥•nd•d 31J4nv•ry2022
srATEMENTOF TRUSTEES RESPONSIBIiITIES
a*rlty Y•wlm th•trust•eJtO V•PAr• statsm•ntsof •ccount* for￿Ch fir••bKhly••r
In preparlng thosefinanclal statements, thetrustets arè rewlred to:
- select sultable accountlng pollcies ènd èpply them con5tStentty:
- obseNe the methods and ￿ncIPleS In the Charltfes SORP..
- mèkeludgements •nd es￿rnateS that•re reasonable and P￿dent.
stote whetherappll¢able UX A¢¢ountlnq Standards have be•n followed. suwttt to any
m•tertal depart4Jre5 dlsclosed and explalned In the financlal ststernent,. and
- prepare the ftnanclal ststemènts on the golng concern unless Itls In •pproF*lots
to presume that the charlty wlll Contlnue In operntton.
The trustees are Tespon51ble forkeeplng prop•raccountln8 rttords which dl%105e wlth reasonable
accuracy at )ny tlme In the ftnantljl posltlon of the ¢harlty ond to enable them to ensure that the
flnanclal statements comply wlth The tharity 1993 and the Charlty (Accounts and Reports) Re8ulatk>hs
2(XJ8.They arealso responslble for￿feguardIng the •ssets of the charfty and hencefortsklr
reasonable steps for the preventk>n ènd dttectlon of fraud and other IrTe8ularltle&
Approval
Th15 report was •ppYoved by the bo<of tnNtees on 31st October 2022 4nd slgned on Its behalf,
MRS ROLLA RosfAM
MRS SAMARA ATASSI
MRS SAMERA TAYAN
Trustee

Flrmndal statsments forihe yearended 31 Janu•ry 2022
INDEPENDENT EXAIIINERS REPORTS
We have examined the accounts on p4es 5 to 8 which have been prèpared underthe historlcal cost
convention and thè accountirva policies set out on page 7.
RESPEcnvE RESPONSJBILMES OFTRusfEES AND EXAMINER
A5 the charity, trustees you are responsible for the preparation of the accounts,. you conslder that the
avdlt requlrement of sertion 43 of the Charities Act 1993 (the Attl does not apply. It is our
responsibility to 5tste, on the base of procedures specified in the General Dirertions given by the charity
Commissioners under section 43171{bl of the ACL whether particular matters have Come to our
attention.
BASIS QF INDEPENDENT EXAMINERS, REPORT
Our examination was carried out in attordance with General Dlrertions given bythe Charity
Commissioners. An examination Includes a review of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also includes ronsideration of any unusual
items or disc105ures in the account. and seeking explanations from you as trnstees concerning any such
matters. The procedures undertaken do not provlde all the evidence that would be required In an audit,
and consequently we do not expres5 an audit opinion on the view givlng by the accounts.
INDEPENDENT EXAMINERS, sfATEMENT
In connection with our examination. no matter has came to our attention:
l. Which gives us reasonable cause to believe that in any material respect the Tequlrement5
- to keep aceounting record5 on accordance with section 41 of the 1993 Act.. and
- to prèpare accounts which ac¢ord with the accounting records and comply with the accounting
requirements of thè 1993 Act.
have not been métr or
2. To which, in our opinion. attentlon should be drawn in order to enable a proper understanding of the
accounts to be reached.
Date:
3011012022
Mr Annas A El-Hamouz

AIEMENTOF FINANCL4LAcnvTriE5
FOR ThE PERIOD lsTFEBiI￿ 2021TO 31¥fJANVARY2022
2022
1021
NotÈs
Total
Restricted ilnTestricted
Totsl
IPKOMERE50URCWG
RtstYki*l LlThr•ssitthed
Donatk)
49,944 35.548
Totsl ific(iffliTrgieswrce5
49,914 34548
35.
LESSEXPEN(¥TURE
D1fertCharitafrJeExpgnd￿rè
Fundftisingco
Adm5n￿ratIOn c05t
33.307
35J07
32.492
31492
I8￿12
18.612
5.716
5,n6
54919 38A08
36,208
N￿lI4￿mEFoR ThE IE•II
1975
1.975
1660
BAL)J4CE BRO￿￿TFORw￿l10
9563
9563
12.223
12323
14(ErJJirdED FORWNJID
7.58
7.588 9.56Y

SAB
BALANCE SHEEr
AS AT 31ST JANUARY 2011
2022
2021
CURRENT ASSErs
Cash at bank and in hand
8736
10712
CURRENT LIABIUTIJES
1149
1149
N￿(uRRENT ASSErs
7587
9.563
TOTALASSEfs LESS CURRENT LIABIUTUES
7,587
9.563
CHARITIY FUNDS
General fijnds
Restricted fvnds
7,587
9.563
TOTAL CHARITY FUNDS
7,587
9.563
Approved bythe board of Trustees on 3011012022 and signed on its behalf
M5ss Rolla Rostam
Try￿tee

NOTE5TO THE FINANCIALSTATEMENTS
PERIOD ENOED 31 JANUARY 2011
l.AccouffflNG p￿l(lEs
Basis of •ccoun*in8
The accounts ha￿ been prepared under the historical cost basis of actountin& and in accordance
with applicable accountFngstondard&
Income
income 15 accounted for on receipts basls.
Incoming resources
All incoming resourcès arè included in thè statemerst of financlal attl￿tIeS when the charbty is ￿gallY
entitled to the income and the amount can be quantified with reasonable accuracy.
L DIRE￿ CHARThABLE EXPENSITURE
2022
2021
Prolèrt Funding
Rent
Statlonery
Telephone
Subscriptions
Travel & Subsistence
Staff training
Bank Char8es
32.667
32,435
115
119
35
256
22
Totsl
33,X17
32,492
3. Cost of 6•neIzti￿ funds
2022
2021
Totsl
4. ADMINISTRATION EXPENDffURE
Salaries and workers
Accountancy Fees
Marketing
Legal Fees
18.112
5,216
Total
18,612
5,716

NOTES OF THE FIfrIANCIALSTATEMENTS
PERIOD EfiDED 315TJANUARY 2022
STAFF COSTS
No remUnera￿on was paldtotFUStees In the year. norwevE any trustee's expenses
reimbursed. The staff costs were:
2022
2021
Salaries
Social security costs
Total
18,112
5,216
.1
5.216
The avera8e nurnberof staff employed bythe tharlty durfng thèyearwèsas folkJw5".
Empbyed stsff
& CREDITOR5: anwnts fall1￿ due within
2021
Aetrua15
Totsl
s￿
7. STATEMENTOF FUNDS
G•nernl Funds Rèstri￿ Fund5
Tot•1 Funds
Balance at 31st January 2021
Net incomeforthe year
Balance atthe 31st J4nuary2022
9,563
1.975
1.975