## Trustees' Annual Report for the period 

Period end date 

Period start date 

• 

From 01 04 2024 To 31 03 2025 

## Reference and administration details 

## Section A 

> **Charity name** Central Jamia Mosque and Islamic Education Centre 

**Other names charity is known by** 


**Registered charity number (if any)\** L 1_1_7_6_965 ______ __ **_** 

**Charity's principal address** 14-16 Church street Wolverton, Milton Keynes 

## **Postcode** 

## **jMk12 5JN** 

## **Names of the charity trustees who manage the charity** 

||**Names of the charity tru**|**stees who mana**|**ge the charity**||
|---|---|---|---|---|
||**Trustee name**|**Office (if any)**|**Dates acted if not for whole**<br>**vear**|**Name of person (or body) entitled**<br>**to aoooint trustee (if any)**|
||Mohammad Qasim Awan||||
||Mumtaz Ahmed Hashmi||||
|2|||||
|3|Kaleem Ur Rehamn||||
||Ghulam Jilani||||
|4|||||
|5|Zulfiqar Ali||||
||Mohammad lsrar Hussain||||
|6|||||
||Umair Sarwar||||
|7|||||
|8|Chaudhry Adrees Ahmed||||
|9|Mohammed Mushtaq||||
|10|||||
|11|||||
|12|||||
|13|||||
|14|||||
|15|||||
|16|||||
|17|||||
|18|||||
|19|||||
|20|||||



## **TAR** 

> March **2012** 




## 


## 

## 



## 



## 

## 














CENTRALJAMIA MOSQUE AND ISLm￿( EDLICATION CENTRÉ
CtywnyNumber
Ji•itTr361
DIRETCORS. RE
The directors have pl*a5ure In P￿senting their report and Financlal statements of the compnay
forthe pedod from 01.04.2024 to 31.03.2025
LÉGAL STATUS
The Company 15 a reg5itered charity and is a150 consiityted by Deed of Trust dated 28 Jafiu•ry 2C4X).
08JECTIVES
l. To organise and Undertake suth woJects*hKh shall further the faith of Idarn.
2.To celeberate Islamic rtliglousfestwa15 and cU￿￿ra1 evtnt&
3.To Pro￿de Rtligious •fid Other educ*i¢)n to Muslim thlldren.
4.To pro￿de tscilities for Sportsand Other le6sure adwties.
MANAGEMNEf COMMirrEE
Mohammad Qaslm Aw•n
rArector
Mumtii Ahmed Hashml
Director
Umair Sarwar
Directof
Dire¢tor
Mohammad lsrar Hussain
Director
Ghulam Jillani
Director
Mohammed Mushtaq
'rector
Kaleem Ur Rehrnan
Direttor
Chaudhry Adress Ahmed
Director

I

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Contents
P•g*
compony Infonwtion
Dlrtciors. RepDrt
countanvs Report
Income and Exrendiwre Accour4t
Balance Sheet
Not￿ to the Amndal si•tsments
The lollowlng yges do Iiot form part ot the staturory accounts..
Derailed Int¢ffle ond Expendlture Account

CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTrE
Company InfOrn￿tION
For The Year Ended 31 March 2025
Dlr•cto
ltr Ghukm JINoni
Mr Nohornmad Q￿￿rn AwaD
Mr Mumtsz H¥hml
Mr PtyJhanThd 15rèr
Mr Mo￿n￿ned ml￿￿tIq
tr Chaudhry Adrees
Mr zul￿¥TAN
Mr KI￿ Ur
Comyny Mumb•r
I1010961
14-16 Chwth st￿¢t awrch Str44t
Ery￿nd
MK12 5JN
19 RaLWfft styeet
Wc*%rton
Mltton ke￿5
MK12 50Q

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Company No. 11010961
Dlrectors, Report For The Y¢•r ETrded 31 March 2025
The directors prestt)I thelr rewt orvj fiMrKlpl Stat￿nts lor the year erAlel 31 Mbrch 2025.
Dlr•¢iorn
The dlrertors who held Dffke durfr¥J t￿ year were 4$ t￿.
Mr Umalr Sorwor
Mr Ghulorn Jlllanl
Mr Mohammad Q•slm Awan
Mr Mumt•z Ahmed Hashml
Mr Mohammad l$rar H￿sain
Mr Moharnmed Mushtaq
Mr Chaudhry Adrees Ahmed
Mr Zulf*ar Ali
Mr K•leern ilr A¢hm•n
stst•m•nt ￿ tyY•ttorn' Rupon•lbllltl
The dirertors ati resp)￿[ble for Dlrector5' Report ond the fimrflal statements th •t£ord•nce with applKoble
law ènd reguht*Jns.
Cornpèny requires the direaors to prepore finontial ststen￿$ for ￿ch financwl yeor. Under thot law the directtsrs h•ve
el¢tted to prepare the finaneial statements In aCCQTdance wlth Unittd Kl1wd￿ Generalty Attepted Accountiw Practice
iuniied Kingdom A¢eounring Standards aThJ lawl. Under company lèw dirertars must Th)r approve the finaKlèl
ststemtnts Un￿5$ they are 50tisfied that they give è true and fèlf view of the stote of affairs of the company and ol the
surplus or deficlt ol the tornpany lor that FOr￿J. lfv prepariw tt* fiDancwl stsiemeiiis the dmettors •re required to.,
sekt Suita￿ accounting p)Iicies and apply consi$¢¢nUy.'
• moke iu¢9meThts and 4ccouThtiw e5umates Ihèi ate reaso￿b￿ and prudent,.
prep•re the Iinonciol statew•nts on the goln9 conurn b•sis 1115 ￿apprO￿￿te ro that the c&mp•ny
will con￿nUt In bu51n¢ss.
The directors are responslble for ke*piNJ èdequate rttords IMI art suff*￿nt to show and expl•in the company's
trnnuctions and discb)se wirh re•$oMb* accurw at any tsmÈ finoncial position ol the cOM￿nY ond enable them to
ensure that the fimncial ststerrents comth wth the Comwn*s Art 2006. TW •rt a150 reskK)nsible lor safegu•rdin9 the
ssets of the £omp•ny and henct for reas0mb￿ rteps lor the preventH)n delett￿)ft ol •nd other
lrre9ulèr￿e5.
The difectors are responslb* lor Its mthten•ru and Intefv of corpornte •￿1 flrtondal InftsrrThation Incl￿ on the
company's Wtbsite. Leg￿lat￿Th In the Unrted Kiwjtyn the pr¢parthtiort ahd dlssemlnatr)r* ol finaficl•l statement5
mav difler Irom legIs￿rI￿n In other Ion5dKtI(￿$.
Sm•ll e•mp•ny Aul••
This report has been prepared In I¢¢￿a￿t with il* %pknl pro¥[sio￿ ￿￿tIN9 to com￿n*$ subject to the Sn￿11 companies
regime wrthln Part 15 of the Compan*s Id 2C¥J6.
On tehaif of the b￿r0
Mr Mumtsz Ahmed Hashml
Director
1411212025
Page 2

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Accountant's Report
r The Year Ended 31 March 2025
Rvrt to th• dlr•rtorn on th• w•p￿tIon alth• •t•iutsry Of ce•JTIALJAMIA MOSQUE AND
ISLAMIC ÉDLICATIONAL CEP4TfiE for tNt yè*r ended 31 2025
In order to asslst you to fu￿1 your dui*S un* the C¢yDpan*s Att 2006, 1 h•¥e prepared br your approval the accounrs ol
CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCAnoNAL CENTrE for the year ended 31 March 2025 wh*h cornpnse the
Income and Expenditu￿ kcount, the B•loKe Sheet •r￿ the rela￿ Mtes frcffi ￿ •ccountlng retvds ano from 1nf0rrnat￿n
nd eXF1anat￿ns you hève given to 115.
As • poctisin9 member ol the In5thtuts ot AcctyJrttyDts IIFAI, we •re subjert to Its ethical and Oiher prolessK)nal
requirements wbith are detsi￿d at hitps'.l/wWw.rfo.or9.ukl•t￿lrt￿￿I0CtITh>.1n.lhe.￿Ubl*-Ifitere5vm¢M￿rre9U1OtV)Th5.
Thls report is made solety to ￿ dkector5 of CENTRAL JAMIA MOSQUE AND IVMIC EDUCAnoNAL CENTRE. as a body. In
acctsrdonce wlth the terms ol our engagement ￿tter doted . Oui work hès been undertakeD solèly to prÈpore lor Your
approvBI the accounts ol CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE ond stote thts5e matters thai we
ha¥e ègreed to stole to the direttors of CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATtONAL CENTRE, as o body, In thks
report. To the fullesi extent perniitted by law. ¥ve do not acceffj or ossuw* responsibility to anyo￿ other thèn CENTRAL
)AMIA MOSQUE AND ISLAMIC EDUCATt014AL CENTAE dirwors, 0$ è b>JY, tor ovr work or lor this report.
It Is your duty to ensure t￿¢ Cf NTPJL )AMIA I%)SQUE AND ISLAMIC EDVCATtONAL CENTRE hès kepi a¢Jequ•te occouThting
records to prepJre statutory accounts thèi gN¢ a IrL￿ Jnd loir v*w of the I5sets, l￿bIll￿, li￿nC￿l position and profit
or los$ of CENTPAL JAMIA MOSQUE AND ISLAMIC EDUCAflOtUL CEPITRE. Ytyj con5thr that CENTRAL JAMIA MOSQUE AND
I5￿￿1c EDUCATt014AL CENTrE L4 txempt from #at￿Ory 0￿Jrt requirew*nt for Ihe yeor.
We have n¢t been Instrurted to carry out In iL*¥rt r4 the accounts of CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL
CENTRE. For this reason, we ho¥e n¢t verif￿0 the xcur•ty or CrynpWe￿S of the bttountin9 ￿(OrdS or Inlornatkjn ènd
¢xplan•tKJn5 you h•¥e given to us ¥¥e do not, therefore, exp￿59 any opIn￿n on the Iinanckil 5toiements.
ToxM•tt fv£count•nts
141121202S
19 R•dcllffe srr¥t
Wolverton
Mllion keytn$
B￿kS
MK12 5DQ

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Income and Expendlture Account
For The Year Ended 31 March 2025
2025
2024
TURII¢)VER
C05t of
184,482
124.5131
181,889
115,5001
GRO￿ SURPWS
IYJ.969
166,389
Plmlnlstrative exwrws
Il69,2631
1179,0161
OPERA71116 DEFJCIT AIID DEFicrr •lFORE TAXATION
Trx on DefKit
DEVICIT AFTER TAXATIOII •IIIIG oepicrr FOR The
F114ANaAL YUA
19.2941
112,6271
19.2941
112,6271
The note5 on p•ge$ 6 to 7 fom part of th7se ststem¢Nts.

CENTRAL JAMXA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Balance Sheet
As At 31 March 2025
2025
2024
Note#
FIXED ASSETS
nglble Assets
733,091
733.091
7J3.091
733,091
CVRIiENT ASSETS
Debtors
Cash at bjnk ènd In hond
3,536
226,952
954
238,168
230,488
239.122
Cr•dltor•: Amount• V•lllno Du• Wlthln
12,3121
IL,6521
NeT CUAR114T As$eTS (LXABILITIESI
228,176
237,470
TOTAL I￿7$ LESS CURRENT
961,267
970,561
NET ASSETS
961,267
970,561
Income and Exp•ndlture Attount
961,267
970,561
MEM•tR$' FUNDS
961,267
970,561
For the yeor endlng 31 March 2025 th• ctyxpany was entltled to e￿eMPtIon from Judlt under sectlon 477 of the Cornpanie5
Act 2006 relaVng to small compartles.
The rnernbers hove Mt requlred the compony to obtoln an oudit In accordance wlth section 476 of the Companies Act 2006.
The dlrertors 8cknowledge their rÈswnslbllltles lor wmplyin9 wlth the requlrernents of the Act wlth respect to accounting
records and the preporatlon of Jtcounts.
These attounts have bÈÈn prepared Irt accordance wlth the provlslons appllcable to ¢ampan*s subject to the smoll companies
reglrne.
On behalf of the bjard
Mr Mumtsz Ahmed Plashml
Dlrector
1411212025
The nott$ on pages 6 to 7 form part of these flnanclal statemÈnts.
Page S

ceNTRAL JAMIA MOSQUE AND ISLAMIC EDUCATKONAL CENTRE
Note$ to the Flnanclal Statements
For The Year Ended 31 March 2025
l. fjener•l Infornibtl•n
CEFITRAL JAMIA MOSQUE AND ISLAMIC EDUCATSONAL CENTRE Is o prlvate compony* Iimlted by guarèntee. Incorporated In
England & Wales, registered number 11010961. The re915tered offlce Is 14-16 Churih Street Church Street, Wolverton,
Milton Keynes, England. MK12 5JN.
2. Ateountln¥ Pollcl•s
2.1. B••li ol Prnp•r•tlon of FlTh•nclal Stst•monts
The flnanclal statemÈnts hèvÈ been prepared under the historlcal cost conyention and In accordance with Financial
Rep)rtlng Standard 102 section IA Small Entitles"The Flnonclal Reportlng Standard applicèble In the UK and Republic
of Irelènd. Ind the Companies Act 2006.
2.2. Turn¢v•r
Turnover Is meaSu￿d at the falr vilue of the conslderitlon recelved or receivable. net ol discounts and value added
tsxes. Turnover Includes reveTh￿ e8med from the sale of goods and from the renderin9 01 services. Turnover Is
reduced for estlmated customer returns, rebote5 ond olher 51mllar ollowance5.
S•1• Of good•
TumoveT Irom the sale of ojods is recognised wjhen the s￿nIfIcant rlsks artd re%Yards of ownership of the good5 has
transferred to the buyer. Thts Is usually at the polnt that the customer has signed for the delivery of the gO¢ds.
A•nd•rfn9 of ••Thlc••
Turnover from the renderlng of servl¢e$ Is reco9n15ed by reference to the stage of cornpletion of the contrncr. The
$tage of tompletion ol a contract Is measured by comporing the costs Incurred lor work performed to date to the total
estimated contract costs, Turnover is only rec¢gnlsed to the extent of recoverable expenses when the outcorne of
conrract cannot be estlrnated rellèbly.
2.3. T•ttglbl• Plx•d A•i•t• •nd O•pr•cl•tl•n
Tangible fixed assets are mejsured ot cost less accumul•ted dèpreclaiion and any èccumulatea Impairment b$5e5.
Depreclatlon Is provlded at rJte$ ¢alculated to writè off the cost of the flxed assets, less thelr estimated residual value,
over thelr expected useful Ilves on the following boseg..
Freehold
Plant & Machlnery
Motor Vehicles
Flxture$ & Flttings
20%
20W4
20%
2.4. T•x•¢lon
Income tsx expense r¢presents the sum of the tax curfftntly payèble Ind deferred tax.
The tay currently payable Is based on toxable gurplvs lor the year. Tr%able surplus differs frorn surplus as ￿pOrted in
the staternent of comprehenslve Income because ol Item5 of income or expense that are taxable or deductible In other
year5 and Items that are never ta￿aole or deductlble. The compony's Ilabllity lor current tax Is colcJloted using tè¥
rBtes th•t have been enacte¢t or substantlyely enacted by the end of the reportln9 wriod.
Deferred tax Is rétO9nised on tlmln9 differences between the tirrying atnounts fyf J5sets and liabilities In the Ilnaritial
staternents and the correspondlng tax bases used In rhe compulation Df laxoble 5urplu5. Deferred tax Iiabllities are
generally recogn15ed for all taxoble tlmlng dltrerences. Deferred tox assets a￿ generally recogn15ed for all deductiblt
temporary differences to the extent that 11 Is probèble that toxable surplu5 will be available against which those
deductlble tlmlng difference5 can be utllised. The carrylng amDuThI ol defer￿￿ tox assets 15 revipwed at the end ¢f each
reportlng period ènd reduced to the extent thèt It 15 nts longer probable that 5vlficient taxable surplus will be ovailable
to allow all or part of the asset to be reCove￿d.
Deferred tax èssets and I￿abIlitIeS are measured al the tax rote5 thal are experted to apply In the perlod In whlch the
Ilablllty 15 settled or the asset reèllsed, based on lax rate5 land tax lawsl that have bÈen enacted or stsbstantively
enacted by the end or the reportlno perlod. Deferred tax liabilities are presented within provision5 for liabilities and
deferred tax assets within debtors. The measurement ol deferred tax liabilities and assets reflecr the lax consequences
that would follow from the monner In whlch the Compony expects, èt the end of the reportln9 perlod, to recover or
settle the carryin9 amounl of Its assets and Iiabililies.
Current and dÈferre(J tax ore recognlsed In surplus or deficit for the year. èxcept when t￿Y relate to iterns that are
recognSsed In other tomprehensive Income or dlrecdy In equity, In whlch ¢ase current and defer￿d tax are recognised
In other comprehènsive Income or dlrectly in equity respectivelv.
Page 6

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL ceNTRt
Note# to the Flnancl•l Ststements (contlnued)
For The Year Ended 31 March 202S
3. A￿1•91 Iluml>tr ol Employtt•
Avera92 number of empws, incI￿￿1r￿a dIreCt￿$. wr was as lolh)ws'.5 212024-. 2)
4. Tanglble As••ts
n4&
Prop•rtv
Frmhold
Tot•1
FMiln¥•
Cost
As at l Ap￿1 2024
As èt 31 M•rth 202S
103,202
836,293
733.091
836,293
733,091
103,202
D•pr•d*tion
As at l Aprtl 2024
103.202
103,202
103,202
% at 31 MJrch 2025
103.202
Ilat V•lu•
As èt 31 March 2025
733,091
733,091
s at l Aprll 2024
733.091
733,091
5. D•btors
2025
1024
¥¥lthln yur
Other debtts
3,S36
954
6. Cr•dStorn: Amounto F•llln9 Du• Wlthln On• Y••r
2025
2014
Other r•x¢s •rtyJ secuvbty
ktn*Ls and deferred
L,854
458
1,227
425
2,312
1,652
7. C•mp•ny Ilrnlt•d by gwr•nt••
The company Is Ilmlted * 9tsarantee and has no shore c•prtal.
Every member of the c¢)mpany vndertèkes to Contribute to tlbt assets ol the compa￿. In the event ol a ¥Ylnding up, such an
amount a5 may te requjred Mt exceedin9 £1.

CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Detsiled Income and Expenditure Account
For The Year Ended 31 March 2025
2025
2024
TUAIIOVER
Oonath)ns
Rentsl ir￿Me
158,642
25,840
152,891
28,998
184,482
181,889
Jrchases
24.513
Is,soo
124.5131
115,5001
166.389
rAoss SUAPLUS
159.969
Admlnlrtr*thi• Exp•iiM•
Wages ènd $a1anes
*btth and sofvty costs
U9hL and heat
Water rates
Repair5 and m•lntenaK•
Ckonlng
Insuronce
Website cos
Accountancy lees
Leyl lee5
8•nk ¢hbr9es
Charltsble don•tknns
s￿￿Ory expenses
87.306
850
61.825
2.189
6,749
2,872
83.119
750
53,945
1.916
15.500
1,051
3.908
225
975
6.985
97
10.000
64S
452
975
1169,2631
19,2YI
1179,0161
112,6271
DEFICIT BEFORe TAXAnoM
DEFICIT AFTER TAXAT1014 BEIIIG DEFia7 FOR IHt
FIIIINCIAL VEAR
19,2941
112,6271

INDEPENDENT EXAMINER REPORTTOTHE
MANAGEMENT COMMirrEE OF:_
CENTRAL JAMIA MOSQUE AND ISLMAIC EDUCAlloN CENTRE
RESPEcllvE RESPONSIBILITIES OF DIREcfoRS AND WIMINER
As the Charity's Directors you are responsible forthe preperation of the accounts,
vou consider that the audit requirement of Sertion 43121 of ihe charlties Act 1993 IThe Act)
does not app￿.1t is my responsibility to stste,on the basis of procedures specifsed in the
General Directiors given by the Charity Commission under Section 4317lbll of the Act,
whether particular matters have come to my attention
BASIS OF INDEPENDENT EXAMINER'S REPORT
My Examination was carried ovt in accordance with the General Directions given by Charitv
Comrni5sion.An examinatlon Included review of the accounting records kept by the charity
and a compafison of the accounts presented with tksse records.lt also irKluded consideration
of any un(tsual items or disclosures in the accounts, and seeklng explaination from you as
Trustees concernSng any such matter.The Procedures undertaken do not provide all the
evldence that would be required in an audit, and consequently I do not express audit opinion
on the view 8lven by the accounts.
INDEPENDENf EXAMINER'S REPORT
In connection with my examination, no matter has come to my attentitsn'.-
l. Which gives me reasonable cause to believe that in any maierial respect the iequirementS
to keep records in accordan¢e with Section41 of the Act. and to prepare accounts which accord
with the accounting records and to comly with the accountin8 requ1￿MentS of the Act.
2. to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accouftis to be reached.
Taxmatt Accountants
19 Radcliffe Street
The Square, Wolverton
Milton keyens
MK12 5DQ

CENTRALJAMIA MOSQUE AND ISLm￿( EDLICATION CENTRÉ
CtywnyNumber
Ji•itTr361
DIRETCORS. RE
The directors have pl*a5ure In P￿senting their report and Financlal statements of the compnay
forthe pedod from 01.04.2024 to 31.03.2025
LÉGAL STATUS
The Company 15 a reg5itered charity and is a150 consiityted by Deed of Trust dated 28 Jafiu•ry 2C4X).
08JECTIVES
l. To organise and Undertake suth woJects*hKh shall further the faith of Idarn.
2.To celeberate Islamic rtliglousfestwa15 and cU￿￿ra1 evtnt&
3.To Pro￿de Rtligious •fid Other educ*i¢)n to Muslim thlldren.
4.To pro￿de tscilities for Sportsand Other le6sure adwties.
MANAGEMNEf COMMirrEE
Mohammad Qaslm Aw•n
rArector
Mumtii Ahmed Hashml
Director
Umair Sarwar
Directof
Dire¢tor
Mohammad lsrar Hussain
Director
Ghulam Jillani
Director
Mohammed Mushtaq
'rector
Kaleem Ur Rehrnan
Direttor
Chaudhry Adress Ahmed
Director

I

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Contents
P•g*
compony Infonwtion
Dlrtciors. RepDrt
countanvs Report
Income and Exrendiwre Accour4t
Balance Sheet
Not￿ to the Amndal si•tsments
The lollowlng yges do Iiot form part ot the staturory accounts..
Derailed Int¢ffle ond Expendlture Account

CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTrE
Company InfOrn￿tION
For The Year Ended 31 March 2025
Dlr•cto
ltr Ghukm JINoni
Mr Nohornmad Q￿￿rn AwaD
Mr Mumtsz H¥hml
Mr PtyJhanThd 15rèr
Mr Mo￿n￿ned ml￿￿tIq
tr Chaudhry Adrees
Mr zul￿¥TAN
Mr KI￿ Ur
Comyny Mumb•r
I1010961
14-16 Chwth st￿¢t awrch Str44t
Ery￿nd
MK12 5JN
19 RaLWfft styeet
Wc*%rton
Mltton ke￿5
MK12 50Q

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Company No. 11010961
Dlrectors, Report For The Y¢•r ETrded 31 March 2025
The directors prestt)I thelr rewt orvj fiMrKlpl Stat￿nts lor the year erAlel 31 Mbrch 2025.
Dlr•¢iorn
The dlrertors who held Dffke durfr¥J t￿ year were 4$ t￿.
Mr Umalr Sorwor
Mr Ghulorn Jlllanl
Mr Mohammad Q•slm Awan
Mr Mumt•z Ahmed Hashml
Mr Mohammad l$rar H￿sain
Mr Moharnmed Mushtaq
Mr Chaudhry Adrees Ahmed
Mr Zulf*ar Ali
Mr K•leern ilr A¢hm•n
stst•m•nt ￿ tyY•ttorn' Rupon•lbllltl
The dirertors ati resp)￿[ble for Dlrector5' Report ond the fimrflal statements th •t£ord•nce with applKoble
law ènd reguht*Jns.
Cornpèny requires the direaors to prepore finontial ststen￿$ for ￿ch financwl yeor. Under thot law the directtsrs h•ve
el¢tted to prepare the finaneial statements In aCCQTdance wlth Unittd Kl1wd￿ Generalty Attepted Accountiw Practice
iuniied Kingdom A¢eounring Standards aThJ lawl. Under company lèw dirertars must Th)r approve the finaKlèl
ststemtnts Un￿5$ they are 50tisfied that they give è true and fèlf view of the stote of affairs of the company and ol the
surplus or deficlt ol the tornpany lor that FOr￿J. lfv prepariw tt* fiDancwl stsiemeiiis the dmettors •re required to.,
sekt Suita￿ accounting p)Iicies and apply consi$¢¢nUy.'
• moke iu¢9meThts and 4ccouThtiw e5umates Ihèi ate reaso￿b￿ and prudent,.
prep•re the Iinonciol statew•nts on the goln9 conurn b•sis 1115 ￿apprO￿￿te ro that the c&mp•ny
will con￿nUt In bu51n¢ss.
The directors are responslble for ke*piNJ èdequate rttords IMI art suff*￿nt to show and expl•in the company's
trnnuctions and discb)se wirh re•$oMb* accurw at any tsmÈ finoncial position ol the cOM￿nY ond enable them to
ensure that the fimncial ststerrents comth wth the Comwn*s Art 2006. TW •rt a150 reskK)nsible lor safegu•rdin9 the
ssets of the £omp•ny and henct for reas0mb￿ rteps lor the preventH)n delett￿)ft ol •nd other
lrre9ulèr￿e5.
The difectors are responslb* lor Its mthten•ru and Intefv of corpornte •￿1 flrtondal InftsrrThation Incl￿ on the
company's Wtbsite. Leg￿lat￿Th In the Unrted Kiwjtyn the pr¢parthtiort ahd dlssemlnatr)r* ol finaficl•l statement5
mav difler Irom legIs￿rI￿n In other Ion5dKtI(￿$.
Sm•ll e•mp•ny Aul••
This report has been prepared In I¢¢￿a￿t with il* %pknl pro¥[sio￿ ￿￿tIN9 to com￿n*$ subject to the Sn￿11 companies
regime wrthln Part 15 of the Compan*s Id 2C¥J6.
On tehaif of the b￿r0
Mr Mumtsz Ahmed Hashml
Director
1411212025
Page 2

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Accountant's Report
r The Year Ended 31 March 2025
Rvrt to th• dlr•rtorn on th• w•p￿tIon alth• •t•iutsry Of ce•JTIALJAMIA MOSQUE AND
ISLAMIC ÉDLICATIONAL CEP4TfiE for tNt yè*r ended 31 2025
In order to asslst you to fu￿1 your dui*S un* the C¢yDpan*s Att 2006, 1 h•¥e prepared br your approval the accounrs ol
CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCAnoNAL CENTrE for the year ended 31 March 2025 wh*h cornpnse the
Income and Expenditu￿ kcount, the B•loKe Sheet •r￿ the rela￿ Mtes frcffi ￿ •ccountlng retvds ano from 1nf0rrnat￿n
nd eXF1anat￿ns you hève given to 115.
As • poctisin9 member ol the In5thtuts ot AcctyJrttyDts IIFAI, we •re subjert to Its ethical and Oiher prolessK)nal
requirements wbith are detsi￿d at hitps'.l/wWw.rfo.or9.ukl•t￿lrt￿￿I0CtITh>.1n.lhe.￿Ubl*-Ifitere5vm¢M￿rre9U1OtV)Th5.
Thls report is made solety to ￿ dkector5 of CENTRAL JAMIA MOSQUE AND IVMIC EDUCAnoNAL CENTRE. as a body. In
acctsrdonce wlth the terms ol our engagement ￿tter doted . Oui work hès been undertakeD solèly to prÈpore lor Your
approvBI the accounts ol CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE ond stote thts5e matters thai we
ha¥e ègreed to stole to the direttors of CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATtONAL CENTRE, as o body, In thks
report. To the fullesi extent perniitted by law. ¥ve do not acceffj or ossuw* responsibility to anyo￿ other thèn CENTRAL
)AMIA MOSQUE AND ISLAMIC EDUCATt014AL CENTAE dirwors, 0$ è b>JY, tor ovr work or lor this report.
It Is your duty to ensure t￿¢ Cf NTPJL )AMIA I%)SQUE AND ISLAMIC EDVCATtONAL CENTRE hès kepi a¢Jequ•te occouThting
records to prepJre statutory accounts thèi gN¢ a IrL￿ Jnd loir v*w of the I5sets, l￿bIll￿, li￿nC￿l position and profit
or los$ of CENTPAL JAMIA MOSQUE AND ISLAMIC EDUCAflOtUL CEPITRE. Ytyj con5thr that CENTRAL JAMIA MOSQUE AND
I5￿￿1c EDUCATt014AL CENTrE L4 txempt from #at￿Ory 0￿Jrt requirew*nt for Ihe yeor.
We have n¢t been Instrurted to carry out In iL*¥rt r4 the accounts of CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL
CENTRE. For this reason, we ho¥e n¢t verif￿0 the xcur•ty or CrynpWe￿S of the bttountin9 ￿(OrdS or Inlornatkjn ènd
¢xplan•tKJn5 you h•¥e given to us ¥¥e do not, therefore, exp￿59 any opIn￿n on the Iinanckil 5toiements.
ToxM•tt fv£count•nts
141121202S
19 R•dcllffe srr¥t
Wolverton
Mllion keytn$
B￿kS
MK12 5DQ

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Income and Expendlture Account
For The Year Ended 31 March 2025
2025
2024
TURII¢)VER
C05t of
184,482
124.5131
181,889
115,5001
GRO￿ SURPWS
IYJ.969
166,389
Plmlnlstrative exwrws
Il69,2631
1179,0161
OPERA71116 DEFJCIT AIID DEFicrr •lFORE TAXATION
Trx on DefKit
DEVICIT AFTER TAXATIOII •IIIIG oepicrr FOR The
F114ANaAL YUA
19.2941
112,6271
19.2941
112,6271
The note5 on p•ge$ 6 to 7 fom part of th7se ststem¢Nts.

CENTRAL JAMXA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Balance Sheet
As At 31 March 2025
2025
2024
Note#
FIXED ASSETS
nglble Assets
733,091
733.091
7J3.091
733,091
CVRIiENT ASSETS
Debtors
Cash at bjnk ènd In hond
3,536
226,952
954
238,168
230,488
239.122
Cr•dltor•: Amount• V•lllno Du• Wlthln
12,3121
IL,6521
NeT CUAR114T As$eTS (LXABILITIESI
228,176
237,470
TOTAL I￿7$ LESS CURRENT
961,267
970,561
NET ASSETS
961,267
970,561
Income and Exp•ndlture Attount
961,267
970,561
MEM•tR$' FUNDS
961,267
970,561
For the yeor endlng 31 March 2025 th• ctyxpany was entltled to e￿eMPtIon from Judlt under sectlon 477 of the Cornpanie5
Act 2006 relaVng to small compartles.
The rnernbers hove Mt requlred the compony to obtoln an oudit In accordance wlth section 476 of the Companies Act 2006.
The dlrertors 8cknowledge their rÈswnslbllltles lor wmplyin9 wlth the requlrernents of the Act wlth respect to accounting
records and the preporatlon of Jtcounts.
These attounts have bÈÈn prepared Irt accordance wlth the provlslons appllcable to ¢ampan*s subject to the smoll companies
reglrne.
On behalf of the bjard
Mr Mumtsz Ahmed Plashml
Dlrector
1411212025
The nott$ on pages 6 to 7 form part of these flnanclal statemÈnts.
Page S

ceNTRAL JAMIA MOSQUE AND ISLAMIC EDUCATKONAL CENTRE
Note$ to the Flnanclal Statements
For The Year Ended 31 March 2025
l. fjener•l Infornibtl•n
CEFITRAL JAMIA MOSQUE AND ISLAMIC EDUCATSONAL CENTRE Is o prlvate compony* Iimlted by guarèntee. Incorporated In
England & Wales, registered number 11010961. The re915tered offlce Is 14-16 Churih Street Church Street, Wolverton,
Milton Keynes, England. MK12 5JN.
2. Ateountln¥ Pollcl•s
2.1. B••li ol Prnp•r•tlon of FlTh•nclal Stst•monts
The flnanclal statemÈnts hèvÈ been prepared under the historlcal cost conyention and In accordance with Financial
Rep)rtlng Standard 102 section IA Small Entitles"The Flnonclal Reportlng Standard applicèble In the UK and Republic
of Irelènd. Ind the Companies Act 2006.
2.2. Turn¢v•r
Turnover Is meaSu￿d at the falr vilue of the conslderitlon recelved or receivable. net ol discounts and value added
tsxes. Turnover Includes reveTh￿ e8med from the sale of goods and from the renderin9 01 services. Turnover Is
reduced for estlmated customer returns, rebote5 ond olher 51mllar ollowance5.
S•1• Of good•
TumoveT Irom the sale of ojods is recognised wjhen the s￿nIfIcant rlsks artd re%Yards of ownership of the good5 has
transferred to the buyer. Thts Is usually at the polnt that the customer has signed for the delivery of the gO¢ds.
A•nd•rfn9 of ••Thlc••
Turnover from the renderlng of servl¢e$ Is reco9n15ed by reference to the stage of cornpletion of the contrncr. The
$tage of tompletion ol a contract Is measured by comporing the costs Incurred lor work performed to date to the total
estimated contract costs, Turnover is only rec¢gnlsed to the extent of recoverable expenses when the outcorne of
conrract cannot be estlrnated rellèbly.
2.3. T•ttglbl• Plx•d A•i•t• •nd O•pr•cl•tl•n
Tangible fixed assets are mejsured ot cost less accumul•ted dèpreclaiion and any èccumulatea Impairment b$5e5.
Depreclatlon Is provlded at rJte$ ¢alculated to writè off the cost of the flxed assets, less thelr estimated residual value,
over thelr expected useful Ilves on the following boseg..
Freehold
Plant & Machlnery
Motor Vehicles
Flxture$ & Flttings
20%
20W4
20%
2.4. T•x•¢lon
Income tsx expense r¢presents the sum of the tax curfftntly payèble Ind deferred tax.
The tay currently payable Is based on toxable gurplvs lor the year. Tr%able surplus differs frorn surplus as ￿pOrted in
the staternent of comprehenslve Income because ol Item5 of income or expense that are taxable or deductible In other
year5 and Items that are never ta￿aole or deductlble. The compony's Ilabllity lor current tax Is colcJloted using tè¥
rBtes th•t have been enacte¢t or substantlyely enacted by the end of the reportln9 wriod.
Deferred tax Is rétO9nised on tlmln9 differences between the tirrying atnounts fyf J5sets and liabilities In the Ilnaritial
staternents and the correspondlng tax bases used In rhe compulation Df laxoble 5urplu5. Deferred tax Iiabllities are
generally recogn15ed for all taxoble tlmlng dltrerences. Deferred tox assets a￿ generally recogn15ed for all deductiblt
temporary differences to the extent that 11 Is probèble that toxable surplu5 will be available against which those
deductlble tlmlng difference5 can be utllised. The carrylng amDuThI ol defer￿￿ tox assets 15 revipwed at the end ¢f each
reportlng period ènd reduced to the extent thèt It 15 nts longer probable that 5vlficient taxable surplus will be ovailable
to allow all or part of the asset to be reCove￿d.
Deferred tax èssets and I￿abIlitIeS are measured al the tax rote5 thal are experted to apply In the perlod In whlch the
Ilablllty 15 settled or the asset reèllsed, based on lax rate5 land tax lawsl that have bÈen enacted or stsbstantively
enacted by the end or the reportlno perlod. Deferred tax liabilities are presented within provision5 for liabilities and
deferred tax assets within debtors. The measurement ol deferred tax liabilities and assets reflecr the lax consequences
that would follow from the monner In whlch the Compony expects, èt the end of the reportln9 perlod, to recover or
settle the carryin9 amounl of Its assets and Iiabililies.
Current and dÈferre(J tax ore recognlsed In surplus or deficit for the year. èxcept when t￿Y relate to iterns that are
recognSsed In other tomprehensive Income or dlrecdy In equity, In whlch ¢ase current and defer￿d tax are recognised
In other comprehènsive Income or dlrectly in equity respectivelv.
Page 6

CENTRAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL ceNTRt
Note# to the Flnancl•l Ststements (contlnued)
For The Year Ended 31 March 202S
3. A￿1•91 Iluml>tr ol Employtt•
Avera92 number of empws, incI￿￿1r￿a dIreCt￿$. wr was as lolh)ws'.5 212024-. 2)
4. Tanglble As••ts
n4&
Prop•rtv
Frmhold
Tot•1
FMiln¥•
Cost
As at l Ap￿1 2024
As èt 31 M•rth 202S
103,202
836,293
733.091
836,293
733,091
103,202
D•pr•d*tion
As at l Aprtl 2024
103.202
103,202
103,202
% at 31 MJrch 2025
103.202
Ilat V•lu•
As èt 31 March 2025
733,091
733,091
s at l Aprll 2024
733.091
733,091
5. D•btors
2025
1024
¥¥lthln yur
Other debtts
3,S36
954
6. Cr•dStorn: Amounto F•llln9 Du• Wlthln On• Y••r
2025
2014
Other r•x¢s •rtyJ secuvbty
ktn*Ls and deferred
L,854
458
1,227
425
2,312
1,652
7. C•mp•ny Ilrnlt•d by gwr•nt••
The company Is Ilmlted * 9tsarantee and has no shore c•prtal.
Every member of the c¢)mpany vndertèkes to Contribute to tlbt assets ol the compa￿. In the event ol a ¥Ylnding up, such an
amount a5 may te requjred Mt exceedin9 £1.

CENTrAL JAMIA MOSQUE AND ISLAMIC EDUCATIONAL CENTRE
Detsiled Income and Expenditure Account
For The Year Ended 31 March 2025
2025
2024
TUAIIOVER
Oonath)ns
Rentsl ir￿Me
158,642
25,840
152,891
28,998
184,482
181,889
Jrchases
24.513
Is,soo
124.5131
115,5001
166.389
rAoss SUAPLUS
159.969
Admlnlrtr*thi• Exp•iiM•
Wages ènd $a1anes
*btth and sofvty costs
U9hL and heat
Water rates
Repair5 and m•lntenaK•
Ckonlng
Insuronce
Website cos
Accountancy lees
Leyl lee5
8•nk ¢hbr9es
Charltsble don•tknns
s￿￿Ory expenses
87.306
850
61.825
2.189
6,749
2,872
83.119
750
53,945
1.916
15.500
1,051
3.908
225
975
6.985
97
10.000
64S
452
975
1169,2631
19,2YI
1179,0161
112,6271
DEFICIT BEFORe TAXAnoM
DEFICIT AFTER TAXAT1014 BEIIIG DEFia7 FOR IHt
FIIIINCIAL VEAR
19,2941
112,6271

INDEPENDENT EXAMINER REPORTTOTHE
MANAGEMENT COMMirrEE OF:_
CENTRAL JAMIA MOSQUE AND ISLMAIC EDUCAlloN CENTRE
RESPEcllvE RESPONSIBILITIES OF DIREcfoRS AND WIMINER
As the Charity's Directors you are responsible forthe preperation of the accounts,
vou consider that the audit requirement of Sertion 43121 of ihe charlties Act 1993 IThe Act)
does not app￿.1t is my responsibility to stste,on the basis of procedures specifsed in the
General Directiors given by the Charity Commission under Section 4317lbll of the Act,
whether particular matters have come to my attention
BASIS OF INDEPENDENT EXAMINER'S REPORT
My Examination was carried ovt in accordance with the General Directions given by Charitv
Comrni5sion.An examinatlon Included review of the accounting records kept by the charity
and a compafison of the accounts presented with tksse records.lt also irKluded consideration
of any un(tsual items or disclosures in the accounts, and seeklng explaination from you as
Trustees concernSng any such matter.The Procedures undertaken do not provide all the
evldence that would be required in an audit, and consequently I do not express audit opinion
on the view 8lven by the accounts.
INDEPENDENf EXAMINER'S REPORT
In connection with my examination, no matter has come to my attentitsn'.-
l. Which gives me reasonable cause to believe that in any maierial respect the iequirementS
to keep records in accordan¢e with Section41 of the Act. and to prepare accounts which accord
with the accounting records and to comly with the accountin8 requ1￿MentS of the Act.
2. to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accouftis to be reached.
Taxmatt Accountants
19 Radcliffe Street
The Square, Wolverton
Milton keyens
MK12 5DQ