CHAIUTY REGISTERED NUMBER:1180620
YADHUL JANP4AH FOUM)ATION
Thu
ES, REPORT AND FINANCIAL STAT£MENTS
FOR THE YEAR ENDED 31 AUGUST 2025
ABU & ABU
TERED CKRTIFIED ACCOiJNTANTS
ABiJ NOWSHED CENTRE
71 WORDSWORTH ROAD
SMALL HEATH BIRMINGHAM
BIO OED
WEST MIDLANDS

RIYADHUL JANNAH FOUNDATIOF4
LEGAL AND ADMINISTRATIVE If4FORMATION
ReElst¢red Chgrity Number:
1180620
Chalrman:
Ubaidullah Shomeem
Trustee5:
Ubaidullah Sh8m¢em
Shuaib Sharif
Nurul Islam
Regtstered Office:
17 Burlillgton Mews
B109PF
Aecowilants:
Abu & Abu
Chart¢red Certified Accowltsnts
Abu Now8hed Celltre
71 Wordsworth Road
Small HeatlL Binningba
BIOOED
West Midlands

IUYADHUL JANNAH FOUE4DATION
FOR THE YEAR ENDED 31 AUGUST 2025
CONTENTS
Page
Charity. Examiners report
TTusle¢s' Teport
Balance sheet
Statement of financial activities
Schedule of ful￿5
Notes

Ir4DEPENDENT EXAMINER'S REPORT
TO TRUSTEES OF RIYADHUL JANNAH FOUNDATEON
FOR THE YEAR ENDED 31 AUCUST 2025
l Teport on the accounts which 2re set out oll pages 4 ro 8
Re5pectlve respon$ibi1S¢tt5 of the
The tThstees are Eesponsible for the preparation of the a¢¢ounts. The trustees consid¢r that all audÈt is not
required for this ye8r under section 144(2) of the Chattti¢5 Act 2011 (the 201 l Act) 8nd tbat an independettt
ex8min&tion is tseeded. It is my iwionsibility to..
The trustees who #re also directors of the ¢ollhpany for the pury￿Se of
Ex8mille the aCCQUDts under section 145 of the 20EI Act. follow the PTocedures 14id dowa in the general
dire¢tiO]LS given by the Charity Commission (uThder section 145(5Xb) of the 2011 Act). and state whether
particular matt¢rs bave come to my attelltion.
Bayts of kndependent tx#winer's report
My examination was c8rrÈed out in accordan¢e with the G¢neral Direction5 givell by the Charity CoEnmission.
An examination includes a r¢vi¢w of the accowiting T￿OrdS kept by the clwity a compart$on of the
a￿OuntS presented with those records. It a]so includes cot)8ideration of any unusual items or dise105wes in the
accoun￿ and s¢¢king explanations from you as tru5te¢s concernÉng any such rnatters. The procedures
und¢¥taken do not provide all the evtdence that would be requtred iti all audit, and eou5equently ELO opinion is
iY¢n as to whether the accounts present a "true and fAir view. and the r¢port is ]in)ited to those n￿tter$ set o
in the statement b¢low.
Independent ex*D￿Der,9 5t8tsment
In our opinion the fiwjcial S￿tell￿nts..
give a tNe and fair view of the of the state of the company's affairs as at 31 August 2025 and of its pmfit for the
year then ende￿.
have been propeily prepar¢d in aCctsrd￿ with Unlted Kiu8dollE Generally Ace¢pÉed Accounting Practice -
Financial R¢porting StaI￿ard 102; and
have been pr¢pared in ac¢ord
e with th¢ Tequiren*nts of the Colnpanies Act 21X)6.
Dated:27 jfjnu￿ 2026
Abu Nowshed. FCCA
Cljartered Certified Accoutttarl
Abu Nowshed Centre
71 Wordsworth Road
Small He8th. Btrn)ingham
BIOOED
W¢st MidlaDds
Page

RIYADHUL JANNAH Fouf4DATION
REPORT OF THE
FOR THE YEAR Ef4DED JI AUGUST 2025
The Charities Act 2011, together with the fiDancial statements for the year. and coDfiTm the latter comply
with the requirem¢nts of the Aet, the Trust Deed and the Charities SORP 2005.
Structurfy Governante &Dd Mgnagemellt
Appointment of knjstees
Trnstees ar¢ appointed following the ¢hariti¢s cotistitution.
Trnst¢e induction and training
New Tn￿e£S undergo all orientation day to brief them on their legal obligations Und￿ charity law. the wTrt¢nt
of the M¢morandum and Articles of Associatio￿ the commitee and decision making processes, the business
plan and recent financxal perfoErnanc¢ of the charity. During tbe induction day they meet key ejnployees and
oll￿r trustee& Trustees are eDCOUTaged to attend appropriat¢ external traiDin8 events where these wtll hcililale
the undertaking of thetr rok.
Organisation
A boaTd of In￿teeS of up to 3 member& who meet quarterly? admiwsters the ¢harity.
Risk policy
The tr￿ste¢S bav¢ examined the Major strategic, business alld op¢rational risks which th¢ ¢harÉty faces and
Cottfir￿ that systems have been established to enable regular reports to be productd so that the necessary step$
can be ttken to 1¢&8en these Tisks.
Vobjnteers
Many volunteers give up their tÈme to help at th¢ branches, particularly at w¢¢k¢nds and in the cvenings. We are
greatly indebted to thes¢ volunteers fortheiT wmmittment and support.
Objectives and activiti49
The principal activity of th¢ company continues to b¢ that of charitsble activities.
Aehievemettts perfonnance
The hun￿ltar1￿ll aid assistance will c4)ntinue into the future.
Flnalle5AI revlew
Grant making policy
Page 2

RIYADHUL JANf4AH FOUNDATION
REPORT OF THE (Continued)
FOR THE YEAR ENDED 31 AUGUST 2
25
This year the Clwity awarded grants to poor children and families.
Accounting and reportittg responsibilities
The ￿SteeS are responsible for preparing the Ttwtees, Allnual Report and the fitwncial ststements in
aocordance with applicable law and UAJited Kingdom Accounting StandaTIts (United Kingdom Generally
A¢¢epted Aecowitiug Practice).
The law applicabl¢ lo clwities in Englalld alxl Wales requires tbe trustees to Prepare financial statements for
finallcial year which give a INe and fair vt¢w of the stste of affairs of th¢ cbarity and of the inco]ning
resources alld tpplication of r¢8ources of the charity for that peTiod. Ill preparillg these fJn8ncial statement4 the
tTUStees are required to:
$¢l¢ct suitsble wounting policies and apply th¢m corjsistently. obsave the ￿￿OdS and principle5 in 1he
ch￿ltieS SORP 2019 (FRS102)'
make judgem¢Dt8 and estimat¢s that are r￿onable atjd PDJdent: stste whether applicable a¢wunting sténdards
haye been
folloWed￿ubJect to any nrdieTiai departures diwlosed and explained in
th¢ fJDancial statern¢nts'
pwate the fmaDcial statenknts on a goirlg CODCWn basis unless il is illappropriate to preAll￿¢ that the clmrity
will cOntim￿ in operdtion.
Th¢ t￿Stee$ aT¢ responsible foT keeping proper accounttng records whtch disclose with reasonable accura¢y at
any time the fiDanciAI positioll of the charity and enable them to ¢nsure that th¢ financial stst¢ments co]nply
with the Ch&ities kn 201 I, the Charity (Accounts and Reports) Regulations 2008 aud the provision of the ttust
deed. They are also responsible for safeguarding tbe assets of the charity attd hence for taking re#8onabl¢ steps
ftsE the pr¢Yention and detection of fravd and other 2rr¢gthities.
AppEov¢d by the tti&¢¢s on 27 January 2026 siglled on its behalf by.
Ubaidullali Shameem
T￿￿tte
Page

RIYADHUL JANNAH FOUNDATION
BALANCE SHEET
AT 31 AUGUST 2025
r4ote
2025
2024
Current *￿ets
Bank AccouLt$
20.080
11,882
20.080
11,882
Credltor$
knouDts f￿ill% due within
one year
230
230
Net current assets
19.850
11,652
Totsl AsietB l&$$ current ilabilities
19.850
11.652
Net assets
£19.850
£11,652
Capfitsl funds
Unrestricted fuDd5
19,850
11,652
Tot81 fvDds
£19,850
£11,652
Approved by the trust¢¢8 on 27 J#nuary2026 and sigryed oll its bchalf.
Ubaidullah Shameem
The a￿leXed noks forni part of these finoncial stalements.
Page 4

RtYADHUL JANNAH FOUNDATI
STATEMENT OF FINANCIAL ACTIVITIES FOR THE
R ENDED
AUGUST 2025
Total
Funds
2025
Total
Fynd5
2024
Unrest'd
FuDds
Infoming resources
Incomillg Resources from
generated funds:
Voluntary illcome
24.343
24,343
28.256
Total Ineomang re50uree$
24,343
24,343
28,256
Resourees expended
Charitable aclivities
15.915
15.915
23,929
Governance costs
230
230
230
Totsl r¢$ources exp¢Ddtd
16,145
16,145
24,159
Net movement In fund$
8,198
8.198
4.097
Total fuThd3 brougbt foTW
£11.652
£11,652
7.555
Total funds carrled forw4rd
£L9.850
£19,850
£11.652
D¢tails of IneoEning tesourees resources used are given in the notes
to the financial ststements.
Page

RIYADHUL J
AH FOUNDATION
STATEMENT OF FINAFICIAL ACTIVITIES
DETAILED ANALYSIS OF MOVEMETr4TS IN FUNDS
FOR THE YEAR ENDED 31 AUGUST 2025
2025
2024
Gentral Fund
Bal8nc¢ Blfivd
Surplus forthe year
11.652
8.198
7.555
4.097
19.850
11,652
Totsl funds *t 31 August 2025
£19,850
£11,652
Page

RIYADHUL JANNAH FOtJP4DATION
NOTES TO THE FINANCIAL STATEME
FOR THE YEAR ENDED 31 AUGUST 2025
Afeountltsg polÉcies
The charity con8titutes 4 public benefit entity as defined by FRS 102. The financial Statements have been
prepared irA accordance with Accounting alld Reporting by CharÈties'. Statement of Recommended
Pract5¢¢ applicable to ¢barities preparing their accounts in accordance with the Financial Reporting
Standard applicable in th¢ UK and Republic of Ireland {FRS102) issued on 16 July 2014 (as updated
through Bulletin I publish¢d on 2 Febwary 2016), the Financial Reporting Standard applicable Èn the
United Kingdotll alld Republic of Ireland (FRS102). the Charities A¢¢ 2011 and UK Generally Ae¢¢pted
Pr&ctice ￿ it appltes frorn l January 2015.
Th¢ ¢harity Ims applied Update Bulletin l as published on 2 Febnwy 2016 aud does ￿t include a cash
flow statement on the grounds that it 15 applying FRS 102 Section IA.
The f]Danci81 ststem¢nts are prepaEcd on a going ¢on¢ern basis und¢r the historical Convention (modified
to include certain ilems at fair value). The fin￿Cl￿ ststemellts are presetlled in sterltng which 15 the
filltctional Currency of the chatity and rOUt￿ed to the neatest pouThd.
The Si￿1￿cant accoilnting policies applied in the prep￿atiOtt of th¢se fjjwicial statements ate set out
below. These policies have been eonsislently applied to all yoars unE¢ss otberwise 5tal¢d.
lllcomlng res0￿reeS
All incoming resotr¢es are illcludcd in the SOFA wheD the charity is legally entitled to the incoLne and
tbe auK)unl can be quantified witb reasonable eccuracy.
Rewurces expend
expenditure is accouDt¢d for on an aC¢n￿lS basis and has been ¢lassified U[￿er headings tbt
aggregate all costs related to the category Where costs Cal￿Ol be directly attributed to parttcular beadings
they have be¢n allocated to a￿1vitieS on a b￿lS collsistent with use of the resources.
Grants re¢eived
Th¢ Charity is not T¢ceipt of any eAt￿lla1
Turnover
Turnover is attributable solely to ¢ontinuing charitable activities alld from gencral doDm as do]Jations.
Staff costs
Page

RIYADHUL JAf4NAH FOUNDAT
or4
NOTES TO THE FINANCIAL STATENIENTS (Continued)
FOR THE YEAR ENDED 31 AUGUST 2025
CredStors
Amount8 fallin8 due within one year:_
21125
2024
Sundry Creditors
230
230
£ 230
£ 230
IMcomiDg rewureel
Unrest'd
TotAI
Fullds
2025
Total
FllDds
2024
21125
Voluntary b)eome
General dollation8
Zakat
9.643
14.700
9.643
14.700
28.256
24.343
24343
28256
Cbaritxble actfivftRes
2(125
2025
2024
Overseas Zak4th & Sadak2h
UK Register￿ chartties
12565
3350
23.729
200
15,915
23,929
Goverllall¢e costs
2025
2025
2024
Accounts and IE Report
230
230
230
230