Charty number. 1181064
DIYYA
RetK)rt ofthe Trustees and Unaudited Financial Statements
For the year ended 31 M￿ch 2022

DIYYA
Contents Page
For the year ended 31 March 2022
Roport of the Tru5te88
IndeF¢ndeTrt EX￿)1￿$ Rekx)rt to the Tru5te8S
ststerrEnt of Fina￿alA￿tr8
Statemént of Fina￿•1 Pc6ib)n
Notes to the Finanraal Sta*r
5t09
Detsikd Stakn￿t of FInants￿ Acbvrb
10

DIYYA
Report of the Trustees
For the year ended 31 2022
The Trustee$ have P￿aSUre in r*esentiro their report aryj the finanual $tsterwts for the rJ)anty for the year ended 31
March 2022. The Trustetrs have adopted the provi%ons of Account*rs aThJ Reporri￿ by Charrties.. Statement of
Recomrnnded Pra¢tKe ap￿Kable to ¢haribe5 preparing their accwnts in acCOrdar￿ iti thB Financk?l Reportlng Stsndard
applicab￿ in tho UK and the Republic of Ireland IFRS 1021 leffecbve 1 January 20191.
OBJECTIVES AND AClllnTIES
Ob￿ctIveS and alm5
The trustees have ¢onsKler•Y th8 Charty cc*r￿LS*)Tr￿ gUKlar￿ on putAic terf induding the guidan￿ 'public benefft..
running a charity IP821'.
REFERENCE AND ALIIINISTRATIVE INFOR￿TIoN
Nama of Chartty
Charlty rqgl$tr*ion numbèr
Prlnclp81 a(klre5S
DIYYA
1181
117 Qayuoft Pla
STOURBR1f￿E
DY9 8BY
The trustee5 and officèrs sèrviry durirvJ thè year and srjce the year end ￿re as foll￿".
St￿Y K￿¢￿•S
Mihai
NadA ShahKI
Senlor management
Nasown BEgum
Ichairpars￿tl
Ind9￿ndent examlners
WM ACCOUNTAKtS LTD
3 COVENTRY ROAD
BIRMINGHAAI
EST MIDLANDS
B26 3DY
Approved by the Board of T tees aNJ wned gn fo tr*haWby
31 August 2023
Ak5ah Azad
10110

DIYYA
Independent Examiners Report to the Trustees
For the year ended 31 March 2022
I report to tre trustees on my exarninatKJn oftrE accounts ol the tharity for the year endgj 31 March 2022.
R8sponsltAIRlos and basls of report
As the charty tDJstees, you are respons*k fc* the preparation of tha a￿￿￿ts in accordancè ￿￿th the requirements of tha
Chari¢ies Act 2011 ftr* 2011 Acn.
I r8POrt respe¢t of my examination of (*antys accounts ¢arrEd tyJt urwjer sec1m￿ 14501 the 2011 Act and v) carrying
out my examination I have folknwed 811 appI￿ab￿ Direc4K￿ gNen by the Charity Comrn*5ion uTrJ8r section 14515llbl of
the Act.
1rn18pend&rrt examlrws slatem•nt
I have cunpleted my examinab"on. I ￿thfirrn that Ro mattws have ¢J)N* to my a￿tKIn in connecth)n WTth the examination
giwng *re ¢ause to belEve that in any m*ial respect".
1. aC￿unting records We￿ not kept in re￿￿ d Ihe Charty as required by sect*)n 130 oflhe 2011 kt,. or
2. the accDunts do not ac£ord wth those records.. or
3. the a¢￿￿ntS do not comFly with lh8 awCab￿ requirw)*nts (x)n￿Ming the fom arKI (￿nIent of a￿unts set out in the
Charitses IA¢¢ounts and Reports) Regulatims 2(M)8 0th8rthan any wuirewt that accounts gtve a Jrue arvj fair v
which ￿ not a rnatter conSide￿d as part Df an independent examination.
I have no ￿eeMS and have ￿)[re acrc6s no other mattéts in Con￿￿on with the examin8ti)n to whth attenb.on should be
drawn in ihi5 report in order to enable a prDper urxlerstandiry of the accounts to be rgacthed.
IMI ACCOUNTANTS LTD
2063 COVENTRY ROAD
BIRMINGHAM
WEST MIDLANDS
B26 3DY
31 August 20r8
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DIYYA
Statement of Financial ActNitEs
For the year ended 31 March 2022
Unrnstricted
Ro5tricted
funds
2022
2021
Income and endowmMts from:
tknations and lega¢¢s
Investments
5.657
108,377
70
114,034
70
80,968
31
I￿.447
114,104
80,999
Ex￿ndItuTe on:
Raising funds
char[tab￿ actw¢bes
Total
1110,0551
14.1611
11143161
1110,0551
14,1611
1114.2161
180.9791
111,7251
172,7041
Not kneorndexpgnd1￿r•
R8conclllaUon ot fuwwjs
Total fvnds brought forward
Totsl carrf6d lo￿ard
&6$7
15,7691
11121
8,295
37.514
25,868
63,382
34,876
41171
63,270
43.171
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DIYYA
Statement of Financial Posilh)n
As at 31 March 2022
2022
2021
Cash at bafik and in h8Th4
63,270
63,270
63.270
63.270
43.171
43.171
43,171
43.171
Net current assets
Total a55ets less current liatrAIitio¥
Not assets
63.270
43.171
The fvnds ofthe charlty
Restricted inc£)￿0 funds
Unrn5trictsd Ir￿cThe furKI$
11
20.099
43,171
11
43,171
43,171
Total funds
63.270
The finar￿la1 State￿nts wwe appr
an
aulhorwd tr issue by the Boafd 3rkl on ts by..
Trustee
31 August 2023

DIYYA
Note5 to the Financial Statements
For the year ended 31 March 2022
1. A¢¢ounting Policigs
Basis of account5ng
The finanaal statemènts have prepared ynder the htstorical cost convenkn. exceptfor inve5fvnts which are
included at market value and th8 revaluabon ol ￿rtain fixed 8Ssets and in xcordanr* with the Charities SORP IFRS
1021'Accounting and RewrbTvJ by Charities. State￿￿nt of Recornrr*nd8d Pr￿th.￿ applicable to charibes Prep8n￿ their
counts in accordance with the Finanoal ReFx)rting Standarf applicab￿ in the UK and Republic of Ireland IFRS 1021
leffectNe 1 January 20191., Finanaal R8porbryJ Standard 102 F￿ancIal R8pth"ng S￿darrt applicab￿ in the UK and
Republic of IrelaTrJ IFRS 1021, aTrJ the Chantts Aca 2011.
DIYYA meets the definrtion of a ptrt)lic berefft entity FRS 102. Assets and liabilities are in￿'al￿ reccKJnised at
histor￿¢ Gost or tranSaCtic￿ value un￿8 otheAYise stated in relevant xcountirvJ notelsl.
2. Incom•from donatlons aThJ lègxies
2022
2021
fund&
t>onations re￿Ned
Grants recelved
5.587
102.79)
5,587
108,447
670
5.657
80.298
10B,377
114,034
80,968
3. Investment IwKome
2022
2021
R¢strf¢t•d funds
88nk Interest reoivable
70
31
31
4. Expenditure on genaralng donatlons l¢gxi89
2022
J21
A•gtrf¢teil
Donatitsns
103,557
6,498
28,400
25,579
Support costs
110,055
51,979
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DIYYA
Notes to the Financial Statements ￿tInued
For the year ended 31 March 2022
S. E¥rRndfjbJrn on othertndirwj a¢tivlti8s
2022
2021
Fund rai8iry ev￿lS
9,000
9.mo
8. Costs of ¢tJarltalAe acthfnl•s tyfund type
2022
2021
Restricted ft￿d$
AetNty 1
Support costs
1.114
10,611
4,167
4,161
1f.725
7. Costs of chaiiiable advltl8s by activity type
2022
2021
Activty 1
4.161
11,725
8. Anatysis ofsupport costs
2022
2021
Finan
2,783
33,407
Govemano costs
10,659
10,639
36.190
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DIYYA
Notes to the Financial Statements Continued
For the year ended 31 March 2022
9. Staff crffjts a￿1 emolwffjnts
Total staff costs for tha year endéd 31 Marth 2022 we:
2022
2021
Salaries and wages
60,454
29,183
60.454
29.183
2022
2021
10. Comparatlve forthe Statement of FlnanelaE Acl1¥1￿
Tha ￿rative y6ar Val￿ ofi the Stat8menl ol Financial Acbvite5 ar8 for unr8Stric*d fvnd5.
11. Alov•mant in frJnd5
Unr85trlcted Funds
Balaf￿8
Ir￿0m[￿j
Outgolng
r•sources
Balance at
0110¥2021
3110312022
General
37.514
5.657
43,171
37￿14
5.657
43,171
Unr•strietsd Fund¥- previo￿ year
Balance at
I￿OMIE¥j
OutgoirKJ
resources
Balancè at
3110312021
G•nwsl
General
34.876
).999
172.7041
43.171
34.876
(72.7041
43.171
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DIYYA
Notes lo the Financial SlaterrEnts Continued
For the year ended 31 March 2022
Purpos• ol unrV5tr1C￿ Fth)d5
Ge￿ra1
Th8 Preventr"on Or RelEfOf Poverty Re{xPati￿.
R•stricted Funds
Balarte at
0110￿21
Incomirvj
Outgoing
Balance at
3110312022
Rèstricted
25.868
1CB.447
1114,2161
20.099
25.168
108A47
1114,2161
20.099
at
01K1412020
It￿r￿n1r9
ChrtgolrwJ
Balance at
3110312021
Purpose of r*strr(ted frJnd&
Restricted
The Prevention Or RelEf Of Povgty RecsaalK)ft.
12. Analys1$ of r*t as8Ots funds
Nvt¢urrEnt
a88èts 1
I1*bIf￿>
tktAs59ts
Uwe5trictsd fuThts
G￿eral
General
43.171
43,171
R95trfictsd funds
Re8thf*l
20,099
20.099
6&270
63,270
80110

DIYYA
Notes to the Financial State￿Ents Continued
For the year ended 31 March 2022
Pr•viou¥J ywr
Netcurrert
0S50ts 1
N•tA81•ts
Unr¢8¢rf¢ted funds
43,171
43.171
Restrlct•d funds
43.171
43,171
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DIYYA
Detailed Stateirent of Financial Activities
For the year ended 31 March 2022
2022
2021
INCOME AND ENDOWMENT
DonaUon5 and
Donations
Gran15 r￿Nat4•
5.587
1rxq.447
670
80,298
114034
80,968
Investments
Bank interest receovable
70
31
31
Totsl Incoming r8sourcts
EXPENDITURE
114,104
80,999
Ralslng donauons and Iwiès
Donations
1103,5571
126.4001
1103,6571
126.4001
Othèr iv¥(*ng acU¥lt*s
Fund raisiro events costs
19,0001
19,TrJQl
Charitable activities
Cost ol di￿th thartsble a¢b¥Tty
11,1141
11.114
SUPPORT COSTS
nance
Finan
12,7831
12.7831
Go¥•manee Costs
Govemance costs
Gov8rn8nce costs
16,4981
14,1611
122,7*1
110.6591
133,4071
TfAal res￿￿Te08 expended
{114,2161
1747041
Not Expondltrjr
11121
8,295
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Thts page does r￿t forn part ofts statutory ffinarKial stateft*nts