Charity Registration Number.. 1187822
Company Registration Number .. 12361695
SEFTON MULTICULTURAL CENTRE
A COMPANY LIMrrED BY GUARANTEE
FINANCIAL STATEmE￿r5
FOR THE YEAR ENDED
31 DECEMBER 2025

SEFTON MULTICULTURAL CENTRE
CONTENTS
ron TMI TlllK INDID11 DfiEMbEK101S
L8gal and AdministralNe Infomiation
Trustees, Report
Independent Examinerfs Report
Statement of Financial Activtties
Balan￿ Sheet
Notes lo the Financial St8tements

SEFTON MULTICULTURAL CENTRE
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 DECEMBER 2025
TTUSt•es
Hu5sain Ahmed Ali
Mohamoad Suleman Miah
Dr Hasnain Raza
Munsoor Ali
Charlty Number
1187822
Company Numb•r
12361695
Règlstered Offlc•
Deepdene 15 ￿CtOria Road
Waterfoo
Liverpo(
L22 IRP
Chalrnwn
Mut)soor Ali
Independent Examln•r
Aahil & Co Accountants Ltd
Smithdown Road
UVERPOOL
L7 4IG
Paoe1 of9

SEFTON MULTICULTURAL CENTRE
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
The trustees present their annual report and financial ststements for the year ended 31 December 2025.
Trustee's rèport and flnanelal statements
The trustees who are a150 directors of the charity for the purposes of the Companies Att 2006. present their report
with the financial statements of the charity for the year ended 31 December 2025. The trustees have adopted the
provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice applicable to charities
preparing their accounts in accordance with the Financial Reporting Standard applicable In the UK and Republic of
Ireland IFRS 1021 (effective I lanuèry 20191.
Objectlves and a¢tlvlt6ès
The purposes and activities of the charitable company a￿ to promote for the inhabitants of Sefton Merseyssde
withotjt
distinction of sex. sextjal orientation. race or of political. ￿ligiouS or other opinion5. by associating together the said
inhabitants and the Local Authorities. voluntary and other organisations in a common effort to advance education and
to
provide facilities in the interests of social Welfa￿ for recreation and other leisure time occupations with the objects of
improving the conditions of life ol the said inhabitants.. and. to secure the establishment of a Community Centre and
maintain and manage the centre in furtherance of these objects.
The principal activity of the charitable company to date and sn the year under review was that of the raising and
collection
of donations to be used for the funding and operation of a Communfrty Centre.
In shaping our objectives for the period and planning our activities, the ¢Y1￿ctorS have cOnside￿d the Charity
Commission's guidance on public benefit. including the guidance 'public benefit- njnning a charity IPB21' The charity
rely on the income from fees & charges to cover its operatin9 Costs. Affordability and access to our facilities is
important
to us and will be reflected in our pricing policy once the Community Centre ha5 been estsblished.
Achlevements and perforniance
The results for the year and financial position of the charitable company a￿ as shown in the annexed financial
statements. The charity intends to provide much needed facilities and anticipates that there will be a steady demand
for
these. The dirertors are continuing with the raising of funds to support the future operational plans. During the year
the
charitable company continued with the hire of rY)om space pending the raising of sufficient funds ro enable it to
acqu[￿ its
own suitable premises.
Structur•. govtrnance and management
The organisation 15 a charitable company limited by guarantee. incorporated on 12 Dècember 2019 and ￿gIstered as
charity on 7 February 2020. Members of the charitable cofflpany guarantee to contribute an amount not exceedlng
£10 in
the event of the charity wsnding up. The company is govemed by the policies made from tome to time by the directors
together with the terms of its Memorandvm and Articles of Association which set out the objects and powers of the
company. The pmcedures for the appointment. re¢l￿ment and ￿MOVal of directors are Set out in the Articles. All
dirertors are encouraged to attend appropriate external training events where these will facilitate the undertaking of
their
role. The day-to-day operadonal aspects of the charity are currendy undertaken by the ￿1￿ClOrS.
Trustees
The trustees, who are also the directors for the purpose of company law. and who served during the year and up to
the date of signature of the financial statements were..
Hussain Ahmed Ali (Appointed On.. 12112r20191
Mottamoad Suleman Miah (Appointed On.. 12112n0191
Paae2of9

Dr Hasnain Raza (Appointed On.. 12n2n0191
Munsoor Ali (Appointed On: 12112120191
Trustee's responslbllltle5 Statement
The trustees. who are also the director5 of Charity For Sefton Multicultural Centre for the purpose of company law. are
responsible for preparing the Trustees. Report and the financial statements in accordance with applicable law and
United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).
Company Law requires the twstees to p￿pare financial ststements for each financial year which give a true and falr
vlew of the state of affairs of the charity and of the incoming resources and application of resources, including the
income and Èxpenditure. of the charitable company for that year.
In preparing these financial statements. the trustees are ￿qUired to..
select suitable accounting policies and then apply them conslStently-
observe the methods and principles the Charities SORP..
make judgements and estimates that a￿ reasonable and prudent-
state whether applicable UK Accounting Standards have been followed. subjert to any material departures
disclosed and explained in the financial statements,. and
prepare the financial statements on the going concern basis unless it Is inappropriate to presume that the charity
wlll continue In operation.
The trustees are responsible for keeping adequate accountiny records that disclose with reasonable accuracy at any
time the financial position of the charity and en3ble them to ensu￿ that the financSal statements comply with the
Companies Act 2006. They are also responsible for safeguarding the assets of the charity and hence for taking
reasonable steps for the prevention and detection of fraud and other Irregularities.
Addltlon81 Trustee Note
RELATED PAKnES
None of the directors receive remuneration or other firhancial benefit from their work with the charity and any
contractual
relationship with a related party must be disc105ed to the full board. In the current period. no such related party
trar15aCtions were reported.
RISK MANAGEMENT
The directors have a risk management strategy which compri5e5'. an annual review of the principal risks and
uncertainties that the charity faces and. the establishment of policies. systems and procedu￿$ to mitigate those risks
identified in the annual review.. and the implementatson of procedu￿$ designed to minimise or manage any potentSal
impacL on the charity should those risks materialise.
The ability to raise sufficient funds to establish the proposed Community Centre is the malor financial risk for the
charity.
Attention has also been focused gn non-flnancial risks arising from chlld protection and health & safety. These risks
are
managed by ensuring procedures and accreditations are up to date. having robust policies in place. and regular
awareness training for directors and volunteers in these operational areas.
Standards are monitored internally to ensure consistent quality of de14very for all operational a5petts of the charity.
This report was approved by the trustees and signed on its behalf by.
Munsoor All
Chalnnart
Date 13 July 2026

SEFTON MULTICULTURAL CENTRE
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
Independent Examiner's Report to the Trustee5 of SEFfoN MULMCVLTUBAL CEKfRE
report to the Charity Trustees on my examination of the accounts of the charity for the year ènde(J 31-12-2025
which con515t5 of the statement of financial activities.balance sheet and the related notes
Responslbllltles and basls of report
As the charity's ttustee5 you are responsible for the preparation of the accounts in accordance with the requirements
of the Charitie5 Act 2011 1.the Act'l
I report in ￿SpeCt of my examination of the charity's accounts carried out under section 145 of the Act and in
carrying out my examination I have followed all the applicable Directions given by the Charity Commission under
section 14515llbl of the Act.
Independent Examlnerfs Statement
The charity's gross income exceeded £250.000 and l am qualified to undertake the examination by being a qualified
member of ACCA.
I have completed my examination. I confimi that no material matters have corne to my attention in connection wlth
the examinatlon which gives me cause to believe that in. any material respect..
the accounting records were not kept in accordance with section 130 of the Charities Act- or
the accounts did not accord with the accounting records.. or
the account5 did not comply with the applicable requirements conceming the forni and content of accounts set out
in the Charitie5 IAccounts and Reports) Regulations 2008 other than any ￿quIrernent that the accounts give a 'true
and fair. view which is not a matter Considered as part of an independent examination.
I have no concerns and have come acr055 no other matters in connection with the examination to whlch attention
should be drawn in thi5 report in order to enable a proper understanding of the accounts to be reached.
Name.. Kpmran Mukhtlar
fof ènd on behalf of Aahll & Co Accountants Ltd
Date.. 13 July 2026
ccountanis Ltd
Chartered Certified AG¢ountants
43 smithdown Bood. LiweTpooI
UK. L74JG
01517335679
wv4W.8ahllandco.GQ.oK
Paae4of9

sirTQN MVLTIGVLTVRAL CENTRE
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2025
Recomm•nded cat•goTles by
artlvlty
Unrestrlrteql funds
Total Funds 2025
Total Funds 2024
Notes
Income and e*dowments from:
Donations and legacies
33.819.45
33.819.45
25.435.00
Total
33.819.45
33.819.45
25,435.00
Expendltur• on:
Roi55ng ftErÈd5
2.118.50
2.118.50
1.710.00
Charitable activities
7.540.110
7.540.00
,538.00
Other
654.00
Totsl
9.658.50
9,658.50
10.902.00
Net Income
24.160.95
24.160.95
14,533.00
Nèt movement In funds
24.160.95
24.160.95
14.533.00
R*¢onclllatlon of eunds:
Total funds brought forward
78.732.00
78,732.00
64,199.00
Tot•1 funds carrfed fon¥•rd
102.892.95
102.892.95
78.732.00

SEFTON MULTICULTURAL CENTRE
BALANCE SHEET
FOR THE YEAR ENDED 31 DECEMBER 2025
Re<omm•nded categorfès by
actlvlty
Current assets
Total Funds 2025
Motes
Total Funds 2024
Cash at bank and In hand
104.110.95
79.450.00
Total current a55ets
104,110.95
79,450.00
Creditors.. amounts falling due within
one year
1.218.00
71B.00
Net current assets
102.892.95
78.732.00
Total net as5et5
102.892.95
78.732.00
Funds of th• Charlty
Un￿StrICted funds
102,892.95
78,732.00
Restricted funds
Endowment funds
Total funds
102,892.95
78,732.00
For the year ended 31 December 2025 the company was entstled to exemption from audit under section 477 of the
Companies Act 2006 relating to small companies.
The members have not requlfed the company to obtsln an audit of its accounts for the year In question in
accordance with section 476.
The trustees acknowledge their responsibilities for complying with the reqU1￿ments of the Companies Act 2006 with
spect to actounting records and the preparation of accounts.
These accounts have been p￿Pared and delivered in accordance with the provislons appli£able to companies subject
to the small companies regime.
The financial statement5 were approved by the twstees on 13 july 2026 and signed on its behalf by.
Muns
All
Chalrman
Date .' 13 July 2026
Panp. fi nf q

EFTON MULTICULTURAL CENTRE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
Charlly for SEFTON MULMCULTURAL CENTRE is a Charitable Company ILimited by Guarantee) in Charity Commis5i9n
for England and Wale5. The registered office is Deepdene 15 Vittoria Road. Watertoo. Merseyside. Liverpool. L22 IRP.
l. Accountlng Pollcles
The principal accounting policies adopted by the Charity. which 15 0 public benefit entity, in the preparation of the
accounts are as follows.
1.1 Ba51s of preparatlon
These accounts have been prePa￿d under the historical cost convention. as modified by the incluslon of charitsble
properties and fixed asset investments and investment properties at valuation.
These account5 have been prepared in accordance with -Accounting and Reporting by Charities.. Statement of
Recommended Prhctice applicable to chariknes preparing their accounts in accordance with the Financlal Reporting
standard applicable in the UK and Republic of Ireland IFRS 1021- (effective I january 20191- (Charities SORP IFRS
10211, the Financial Reporting Standard applicable in the UK and Republi¢ of Ireland IFRS 1021 and the Charities Act
2011.
These acco¢Jnts are presented in pounds stedlng and rounded to the nearèst pound.
1.2 Golng concern
The Trustees have prepared financial projecknons. taking into constderotion the current economlc conditions and
have. at the time of approving these accounts. a ￿050nable expectation that the charity has adequate resources to
continue in operatitsnal existence for the foreseeable future. Thus they conkn.nue to adopt the going concern basls of
accounting in preparing the accounts.
1.3 Change of accountlng pollcy
These accounts have been PrePa￿d to give a 'true and fairf view
2. Income from Donatlons and Legacles
Analysls
ilnrestrlrted funds
Total funds 2025
Total funds 2024
Donation and gifts
Total
33.819.45
33,819.45
25.435.00
33.819.45
33.819.45
25,435.00
3. Expenditure on Ralslng Funds
Unrèstrfrted lund5
Analy51s
Total furbds 2025
Total funds 2024
Rent collettion. property ￿paIrS
and malntenance charges
Total
2.118.50
2.118.50
1.710.00
2.118.50
2.118.50
1.710.1)0
Support Costs
2,118.50
2.118.50
1.710.00

4. Expendlture on Charitable Artivltres
Analysts
UnrestrfrtÈd funds
Total funds 2025
Total funds 2024
Charity management &
administration
7,040.00
7.040.00
4,059.00
Cost of services
3.394.00
Donations
343.00
Total
7,040.1)0
500.00
7.040.00
7.796.00
Support Costs
500.00
742.00
7.540.00
7.540.00
8.538.00
5. support Costs
Total funds 2025
Total funds 2024
Analy51s
Support Costs
Governance C05ts
Independellt examiners fees
500.00
742.00
500.00
742.00
6. Other Expenditure
Analysls
Total funds 20Z4
other Expenditure
654.00
Total
654.00
7. Cash at bank and in hand
Analysls
Total funds 2025
Total funds Z024
Cash at bank and in hand
104.110.95
79.450.00
Totsl
104.110.95
79.450.00
8. Creditors: Amounts falling due within one year
Analysls of Credltors
Total fuJ)ds 2025
Total funds 2024
Trade c￿dItorS
1.218.00
718.00
Totsl
1.218.00
718.00
Panp. R nf g

9. Charity funds
9.1 Detalls of materlal funds held and movements durlng the CURRENT reportlng perlod
Fund balances
Fund balaneès
brought forward
cavrled forward
Incomè
Expendlturè
Fund names
Unrestrlrt•d funds
14.533.00
33.819.45
9.658.50
38,693.95
Unrestrfcted General
Fund5
Unrnstrlcted funds
total
64,199.00
64.199.00
78,732.(10
33.819.45
9.658.50
102.892.95
Total
78,732.00
33.819.45
9.658.50
102.892.9S
9.2 Deta115 of materlal funds held and movements durlng the PREVIOUS reportlng perfod
Fund balances
Fund balances
Income
Expendlture
brought forward
carrled forward
Fund names
Unrestrlcted fvnds
25.435.00
10.902.00
14.533.00
Unrestritted General
Funds
Vnrestrlrted funds
total
64.199.00
64,199.00
25.435.00
10.902.00
78.732.00
64.199.00
Total
64.199.lJO
25.435.00
10.902.1)0
78.732.00
Paae9of9