Ak%llBAH TRIJ%T RglstrBtin N A41drtss 3x4 ABB()I-I- R()AD. IINif ?i. )FR W()RK%. L()ND()N E14 IIIIX Trd5ngPr•flt l.oss AteouTht ForThe YeaT Ended.IOJune 2025 2QZS 2024 Turnoi"¢r C•si olsglts Puicliascs 96.621 43.938 87.979 Vc¢hic1o fy¢l ¢osts 1209.8631 610.7 Gru55 Profit Di5tTibution Costs Wasie D1Sty)l 626 Athinistratiie Expense5 Wagcsand 1rIC 115.2 S.4%4 3.386 )3.622 7.435 270 7.650 2.684 59.3%7 W3 43.9%3 6.725 5.390 5.748 10.473 7,258 11avel expeiLses RcTrt ghi and hcat W4lrrrutcs 8.258 3.063 P[c]ni%c% In%utRTrcc lerpre1Ie% LS Coinpiitcrsoftwarc. coThwmablcs and maiiilenancc 22.907 2.742 38.265 3.456 3.977 5.990 2.5rJ) Lo.qdil fccs 2.080 3.770 ChdnlKblr th)nHlivnS Sundry¢xDen5¢S 170.830 lTrtlir ()writlng InoTrMe (hherC0ronaLrU>&nt income OPERATTNG PROFIT 86.755 90.950 Ihtrrtst PAy9bl¢ 9nd slmSlArexp¢nse5 Ballk inierest payable 1.190 PROFIT FOR TIIE FIliAhCIAL I'E.*R 5.457 V¢ liave prepared the above A¢¢ounts trom th¢ Ek)ok5. records, infomatiort and explartations furnished by the HtAd lttistee, Mr Syed Nizamul Hwue, and cwtify such to be in accordance th¢rewilh. Apprnved- SYED NILIMUL HOQUE Hcad Trnstcc thte.. l?th February 2026
Balancesheel 2025 2024 CurTentAsset5 Cash ai n- 4nd In hand 654 654 Creditor5.'.lThount5 Fillin% Due Within One Ytar NETCURREhT ILIABILfTILSI 6)5 TOTALASSETS LESSCURRENTLIABILITES 655 Creditor.. A]nounts Falling Due After Mor¢'fhgn ()ThÈ I'eAr iX.558 NET$Ts 144,67 Sh4r¢hold¢rs' Fynd5 144.670 Ive have prcparcd thc aboYL AccoufiL% from Ihc book%. rLYoid5. Information and cxpli4 ll&iiiOliS rn]sIl¢d by tlic Hcad Tru5tc¢, Mi Sycd Nizainul Hiquc. artd Ltriify %llLh io bt in aLtordartet Ihertvlilh. Approved- SYED NTL4NIUL HO UE Hcad Tru¥tLL Date-. l%h Febwary2026