TEAMS I,TrIPROVE LIVES TOGETHER AL FALAH CIIARITY
FINANCIAL sTATE]￿￿￿Ts
FOR THE PERIOD EhT)ED 31 MARCH 2025
REGISTERED CHARITY NO. 1188406
TAxE￿RESs UK LTD
18 Beehive Lane
Ilfor(l Essex
IGI 3RD

TEAMS LVIPROVE LIVES TOGETHER AL FALAH CHAIUTY
CONTENTS
Page No
Independent Eiamlner Report
IDeome & I￿)endItUre Account
Bslattee Sheet

TEAMS II(PROVE IIVES TOGETHER AL FALAH CHARrrY
CO}IP￿T LLMfTED BY GuAlL￿￿TE
LEGAL ADMINISTRATIVE DETAtLS
Re￿￿trItIOn
TEAMS IMPRO1￿ LIVES TOGEfHER AL FALAH CHARrrY
uninc0rporatedcb￿Ity ry5tLTcdulldcr CharitiG% Act 1993
(Re￿$tratIO[l
Address
AL FALAH NURSERY
57 E.WRESS AVENUE
FORD
IGI 3DE
tndependent
Ex#miner8
TAXFXPRESS UK LTD
18 Beeh$￿
llf0￿ E55eK
IGI 3RD
Board Of Trustees
Shazia Jwieja
Loui7a Mekse
Xristitia MejeroTrqca
Mobarned Zafar Yun¢ia
Sana Juneia
FaiinB Juneia
T￿￿ee
Tn]st
Trns
Tru#.ee
Cknalr
Mohamed Tariq Juoeia

INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF
TEAMS IMPROVE LIVES TOGETHER AL FALAH CHARrrY
ON ACCOUNTS
SETOUT ON PAGES 2 TO S
Re¥pe¢￿v? r09pon￿bIl1t1eS of trustees and ewniner
Th& ch8ri1l5 Iruste8s are responsible for the preparation ofthe accounts. Th8 tharitls
trustees consider that an audll Is not required for this undar s8¢tion 144(21 of the
Chartues A¢1 2011 (the 2011 Act) or under R8gul*ion 10(1Xal to (c} of the Charities
Accounts Iscotfandl Regulations 2006 Ithe 2006 Regulatlonsl and that an IndePend￿t
examination is ne8d8d. Th& charity is preparing a¢cruwJ aitounls and l am qualifiad to
und$rt8ke the èxamination by being a quaIffi￿ member of Th8 Inst&tula of Chartered
Accounlanis in England and Wales.
11 Is my responsibility lo..
Examine the accounts under seL*on 145 of the Charitses Act 2011 and uftd8r
section 44(1Xcl of the Charthes ane Trustee InvestMt IScoJa*dl Arl 20r￿ Ith8 2005 Acti
To follow the prwedures laid down in the gerwdl Directions giv8n by the Charity
COM￿..[$s1on urKl8r s81Ik)n 145(SXbl dthe 2011 A
To stat8 whathèr p8rbcular matters have comg lo my 8ttention
Ba￿¥ of Inde￿nd•n1 •xaMI￿￿S report
y examination was carr￿d OLrt in accord￿¢8 the g￿eral DIr￿￿K)nS gNen ty the Charyty
Commission and is in aceordanc8 %Mth RegL'iaOon 11 ofthe c￿6$ A(xx>unls IS(oi'andl RegUlar￿)r
2C¥)6.An exatnination indudg$ 8 rgviewof the acc(NJntitvJ r￿f￿5 kep: by the tharity arKI a C￿pari
of the accounts present￿1 those r￿)rds. It dso incJLQ&g rmSK1erati￿ of any uYo5ual it￿$ or
disd05ur88 ifj th8 accounts, and seek rKJ e￿lanat￿)n$ from you a5 LWS:ees corwn'.ng any su
rnattws. rye proc8dures undertaken do not prowide all the WOL*kl b8 wuired in an audit
and conseauenlly no oplnl¢M ts given a5 to whether the accour.ts Fwent a'true and f￿r vith¥ and
the report is limited lo I*￿e mattars 58t (xrt in the ￿xt stat￿￿t.
Ideperthnt eXaMin￿S statement
In connection with rny exarllin81ion. Th) rnattw has Ix)rne to rny 8itenkn'
111 Which gives ￿ reas¢y*Jle cause to believo th8t in any rnatprria ￿pect tr.e requirem9nts
To keep accounting rec(Yds in a¢xordance with section 130 of the 2011 Act
and section 44(1Xal crf the 2005 Ad and ReguJ811￿ 4 ofthe AcLvJnts Regulatio￿ and
To prepare accounts whlch a¢u*d with the accounhng r¢¢ords and (x)mply with
the &cy)unting Wulrem￿ts of the 2011 Act atKI secior 44(1XDI of the 2(XJ5 Act
and RwJulaiion 8 ofthe 2(Th Acc(xJn+E R￿ulati￿S ￿.8ve Th)t been met or
121 To which,
myo
nrfing o
nion, attention should be drawn in order lo onable a proper
the 8c¢tyJnls to be reachod
TLXEXPRESS
LTD
18 Boèhive Lar
Ilford. E¥
IG1 3RD
DatE'.
(-lo

TEAMS IMPROVE LIVES TOGETHER AL FALAH CHARITY
INCOTrIE EXPE.NDITLTRE ACCOUh
FOR THE PEIUOD Ehl)ED 31 MARCH 2025
2025
2024
Unwctyj UDrg•rriet&l
Incomin
Resourc
Donation rr¢eiv¢d
Tothl IDcolliillg Re5011rce5
37,10?
8,769
8.269
Resources
ended
Charlt&ble ex
Supportcosts
Wag&s
Donatioll Paid
Food Di5triburio
tnsurance
Advert
Lcgat & Profes5iofLal
elldlture:
11,245
l5,532
521
479
4,428
462
255
59
27.895
Total RejOur¢￿ ￿p¢lldQd
Net locoming Resources
Total Fuud5 Brought Forward
Total Fulld5 Carried Forward
9207
13J44
22,551
3,123
10,221
13J44

TEAMS tMPROVE LIVES TOGETHER AL FALAH CHARITY
BALANCE SHEET AT 31 IL4RCH 2025
2025
2024
Not¢$
CITrREwf ASSETS
Cash at bank & in hand
24,403
24.403
13J44
13,344
CURIIELYf LIABILITILS
Other creditors
1.852
Iyet Currellt Assets
22,551
13,344
Net Assets
22J51
lJJ44
CAPITAL ATr41) RFSERVE..
AccuTnulat¢d fun(L8 Iklf
l3,344
10.221
su￿1￿(DefIcIt) thiring the year
9207
3,123
Balall¢e CIFwd
13
22551 ￿44
Approved by the Committet:
Cbair:
DAt¢: