BURDETT BANGLADESHI CULTURAL ASSOCIATION
Charity Registration Number: 1189772
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2025
REPORTING ACCOUNTANTS..
Ahrt ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONDON EI 4SA
TEL: 020 7790 6111
Page 1 of10

BURDETT BANGLADESHI CULTURAL ASSOCIATION
FOR THE YEAR ENDED 31 JULY 2025
CONTENTS
Pag9$
Inlormation of financial Slalements
Report of the Executive Committee
Statement of responsibilities of the Committee..
Independent Examiner's Report
Income and Expenditure Acciwnts
Statement of Assets and Liabilities
Notes to the Accounts
9.10
Page2of 10

BURDETT BANGLADESHI CULTURAL ASSOCIATION
FOR THE YEAR ENOED 31 JULY 2025
MANAGEMENT COMMITTEE
CHAIR PERSON
Kawsar Miah
GENERAL SECRETARY
Mohammed Abdul Rafi
TREASURER
Mohammed Shafiqur Rahman
ADDRESS
BBCA
6 Medina Place, Masjid Lane
Off Wallwood Street
London
E14 7UD
BANKERS
Barclays Bank PIC
Al Rayan Bank
Lloyds Bank Pl¢
INDEPENDENT EXAMINER
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONDON E14SA
TEL.. 020 7790 6111
Charit
'$ Trustees:
Kawsar Miah
Faruk Uddin Khan
Mohammed Abdul Rafi
Syed Mahbub Alam
Chair Person
Vice chair
General Secretary
Assisianf Secretary
Mohammed Shafiqur Rahman
Treasurer
Abul Hasan Chowdhury
Mohammed Ahbab Hussain
Alaur Rahman
Mohammad Abul Kashim
Ali Newaz
Assistant Treasurer
Education Secretary
Cultural Secretary
Trustee
Trijstee
Saim Uddin
Trustee
Harun Rashid Miah
Trustee
Aliakber Abdur Rahman
Tnjslee
Md Taj Uddin
Trustee
Page 3 of 10

BURDE￿ BANGLADESHI CULTURAL ASSOCIATION
REPORT OF THE EXECUTIVE COMMITTEE
FOR THE YEAR ENDED 31 JULY 2025
The truslees present their report and financial statements for the year ended 31 July 2025
The Trustees l)ave adopted the provision5 of the Statement of Recommended Practice (SORP)
Accounting and Repo￿"n8 by Charities issued in 2005 in preparing the annual report
and financial statements of the Charity.
Legal Status:
Charity: Regist¢r¢d with the Charity Commission, Charity Number: 1189772
Objects, Principal Activities and Organisation of the Charity
The charity's objects are for the benefit of the inhabitants of London Borough of Tower Hamlets,
and in particular membets of the Muslim Minority Ethnic Communities but exclusively who
are in hardship by..
a) Relieving poverty, sickness and distress by through the provision of advice and
inlormalion lo the said inhabitants in need of such advice that méy include welfare
benefits, health and education.
b) Advancing education in particular the provision of language and other subject classes
c} Providing or assisting in the provision of facilities for the recreation and the leisuTe
lime occupation in the interests of social welfare and the object of improving their
conditions of life.
To advance the religion of Islam in accordanre with the doctrines and
Tenets of the Sunni Sect of Islam.
To advance the education of Muslims and Muslim children in
Confomiity with the doctrines and beliefs of the Sunni Se¢t of Islam.
Organisation:
A Management Committee. the members of which are trustees manages the affairs of the charity.
The Management Conimittee manages the business of the charity including the paying of all expenses.
Trustees:
Trustees. who ar¢ all members of the executive committee, and who served during the year are
set out on page 3.
The trustees are elected at the Annual General Meeting. for membership of the Executive Comrnitlee
and serve until the end of the n¢xt Annual General MeetÉng. where they can stand for re- election
as members of the new Executive Committee.
Page 4 of 10

BURDErr BANGLADESHI CULTURAL ASSOCIATION
FOR THE YEAR ENDED 31 JULY 2025
STATEMENTS OF RESPONSIBILITIES OF THE EXECUTIVE COMMITTEE
Law applicable to charities in England & Wales require the Committee lo prepare financial slalemenls for each
rinancial year that give a true and lair view of Ihe charily's financial activities during the year of its finanoial posits'on
al the end ofthe year. In preparing those financi81 statement5, the Committee is required to..
Al Select suitable accounting policies and apply them consistently.
Bl Make judgments and eslimales that are reasonable and prudent-
Cl Stsle whether applicable accounting standaTds and slalemenls of recommended practice have
been followed. subject to any departures disclosed and explained in the financial statements.,
DI Prepare the financial slalements on a going conceffl basis unless il is inappropriate lo
presume that the charity wll continue in operation.
The Executive Committee is responsible for keeping accounting recoids which disclose with reasonable accuracy
81 any lime the financial position of the charity and enable them lo ensure that the financial slalements Comply wtlh
the Charilies Act 1993. 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.
INDEPENDENT EXAMINER
According lo the provisions of the Charities Act 1993, the Committee has agreed that and audit is not required for
this financial year. However due trj provisions of the same act an independenl examiner is requlred.
Transaction and financial position
The Statement of Financial Activities shows nel surplus for the year of £177.253 and our accumulated
funds Stand at £1.099,528 in lolal.
AM Accountancy Services carried out an independent examination of the accounts included in the report.
This report, which has been prepared in accordance with the Slalemenl of Recommended Practice
{SORP) AGcounting and Reporting by Charities issued in 2005.
Approv•d by the trustees and signed on Its behalf by
This report was approved by the Executive Committee on
and signed on their behalf.
Kawsar Miah
(Chairman}
Date.. 26 November 2025
Mohammed Abdul Rafi
(General Secretary)
Dale.. 26 November 2025
Mohammed Shafiqur Rahm8n
(Treasurer)
Date.- 26 Novomber 2025
Page 5 of 10

Aecountants, Report
To the Trustees of
BURDETT BANGLADESHI CULTURAL ASSOCIATION
We report on the account5 for the year ended 31 July 2025 set out on pages 7 to 10 which have
been prepared under the historical cost convention and the accounting policies set out in note I
to the financial staternents.
Respective Responsibilities of Trustees and Accountants
As described on page 5 the t￿SteeS are Tesponsible for the preparation of the financial
stateinents, and they consider that the trusl is exempt from an audit. It is our responsibility
to carry out procedures designed to enable us to report our opinion to you.
Basis of Opinion
We conducted our work in accordance with the Statement of Standards for Reporting Accountants,
and so our procedures consisted of comparing the accounts wilh the accounting records kept by the
charity, and making such limited enquiries of the trustees and officers as we considered necessary
for the puryose of this report. These procedures Provide only the assurance expressed iu our opinion.
Opinion
In our opinion:
(a) The accounts are in agreement with the accounting records kept by the charity under the
requirements of the Statement of Recommended Practice- Accounting and Reporting by Ch￿ltIeS..
(b) Having iegard only to, and on the basis of, the inforn]ation contained in those aeeounts:
( l) The accounts have been drawn up in a manner consistent with the accounting Tequtrements specified
the Statement of Recommended Practice- Accounting and Reporting by Charities, and
(2) The ch&rity satisfied the condition5 for the exemption from an audit of the accounts for ttle year
specified in th¢ Charities Act.
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONDON E14SA
Am Accountancy Services
43 Benjonson Road.
London E1 4SA.
'Tei. 020 7790 6111
Date.. O l December 2025
Page 6 0110

BURDETh BANGLADESHI CULTURAL ASSOCIATION
INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 JULY 2025
2025
Total
2024
Total
Notes
Unrestricted Restricted
Recgipt$
Volunta
Income
Donation & Contribution
Sa19$ of Calgndgrs
Donationd for Freehold Mosquelmaintenace Etc
Other Income
Sludenls Cdleclionl Parents Contribution (Maklab)
Profits from AL Rayan Bank
185.651
550
185.651.0
550.0
105.224.0
156.485
490.0
103,414.0
105,224
150,858
150.858.0
242.9
149.490.0
21.0
242.9
TOTAL INCOME
186,444
256,082
442.526
409,900
Less Payments
Imam'l Care laker's wages and NIC
Freelance teacher5 (Maktabl
Freelance Imam {3rd Imaml cover Imam}
Freelancè Imam
12nd Imam)
Rent & Service Charge
Lighting & Healing
Food and Refreshment
Telephone and Internet
Events and Activitiès IEid & Youth Projeclll
Repairs and Maintenance
Postage, Books, Prize. Stationeries & Cleaning Ilerns
Advertising l Leaflets, Calendersl
Cultural and promotional costs (Ramadan. Waag)
Accountancy
Depreciation
Insurance
Bank Credit Card Chargesl Card Machines
Election ExpenseslAGM Expenses
Printer HPIRenl
26,033
26,033
143.194
14,975
10.800
2.108
21,746
24,674
145,172
12.933
11.216
4,142
29.688
1,532
18
2.647
7,765
11,970
1.425
7.830
1,200
4,638
367
2,197
160
822
143,194
14,975
10.800
2,108
21.746
Ilftar Foods)
555
2,346
12,533
7,926
1.460
11,244
1.200
5,217
386
2,529
220
801
555
2,346
12.533
7.926
1,460
11.244
1.200
5.217
386
2.529
220
TOTAL EXPENSES
122.079
143.194
265,273
270,394
NET SURPLUS IISHORTFALLI
64,365
112,888
177,253
139.506
Page 7 of 10

BURDETT BANGLADESHI CULTURAL ASSOCIATION
STATEMENT OF ASSETS AND LIABILITIES
AS AT 31st JULY 2025
NOTE
2025
Fixed Assets
Leasehold Building
Fixtures and fittings
1,233,000
29,563
1,262.563
Current Assets
Cash al Bank (Current & Saving account)
Cash in hand
48,801
2,949
51,750
Current Liabilitie5
Amount falling due lo one year
4.785
NET CURRENT ASSETS I ILIABILITIESI
46,965
Lon
Term Llabllities
Amount falling due lo more than one year
K8rje Hasana Ilnleresl Free Loan)
210,000
TOTAL ASSETS LESS CURRENT LIABILITIES
1,099.528
FUNDS:
Balance BIF
Income and ExpenditLtre Account
922,275
177,253
Total Funds
1.099.528
Kawsar Miah
(Chairman)
Dale= 26 November 2025
Mohammed Shafiqur Rahman
(TreasLJrerl
Date: 26 November 2025
Page 8 of 10

BURDETT BANGLADESHI CULTURAL ASSOCIATION
FOR THE YEAR ENDED 31 JULY 2025
NOTES TO THE ACCOUNTS
1. ACCOUNTING POLICIES
The financial statements have been compiled in accordance with the general directions given by the Charity
Commission and with the Statements of re¢ommended Practice.
a. Basls of Accounting
The accounts have been prepared under the historical cost convention of ac¢ounling.
b. Grants
Revenue grants are credited lo the Income and Expersditure account on a receivable basi5.
Donations
d. Depreciation on fixed assets is provided al the rates estimated lo write off the cost on reducing
balance basis
as follows:
Fixtures. Fittings and Equipment
15.
2. FIXED ASSETS
COST
Fixtures
and fittings
Leasehold
Building
Total
At 01 August 2024
Premium Paid
Fixluies and fillings blf
Addition {Fixlure and Fittings)
At 31 July 2025
800.000
433.000
1.233,000
26.280
8,500
1.267,780
26,280
8,500
34,780
1,233.000
DEPRECIATION
Charge for the year
Al 31 July 2025
5,217
5,217
5,217
5.217
NET BOOK VALUE
Al 01 Augus12024
Al 31 July 2025
26,280
29,563
800.000
1,233,000
826.280
1,262,563
3. ACCRUALS AND LIABILITIES
Amount failffng due rrithin one year
Lighting & Healing
Telephone
HMRC- PAYE
Accountancy
3.115
260
210
1,200
4,785
4 Loan Accounts..
Karje Hasana (Interest Free Loan)
210.000
Page 9 of 10

4 Breakdown of Income
Dis¢riptl¢ns
Unrestricted
Restrlcted
Total
Frlday Collections
Donations by standing orderslcard
Ramadan Collection
Box Donations
Donation For Cultural Programs
Eid Collections
Calanders Sponsorshipl Ramadan Timetable
AIB I Sum up card Machines
Parents contribution Imaklabl
Sundry Income Clothes Bank, Election Fees
101.967
8,192
24,691
5,903
101,967
8,192
24.691
5,903
12,707
1.225
25,727
12,707
1.225
25,727
150,858
5,239
150,858
5,239
Total
185,651
150.858
336.509
Total Income
185.651.0
150.858
336,509.0
Page 10 of 10