Registered Charlty Number 1191499 CHILDREN OF ZANZIBAR FOUNDATION REPORT OF THE TRUSTEES AND FINANCIAL STATEMENTS FOR THE PERIOD ENDED 30 SEPTEMBER 2021 Apex Associates LLP Accountants and Tax Consultants Apex Chambers 58-A Ilford Lane I Iford Essex IG12JY
CHILDREN OF ZANZIBAR FOUNDATION Report and accounts Contènts Page Charily infoi'malion Stalenieni of Trustees, responsibilities AcLountants' report Stalement of Financial Aciiviiies Incume and Expenditure account Balance sheet Notes to tht accounts Deiailed Statemeni of Financial Activities 10
CHILDREN OF ZANZIBAR FOUNDATION Charity Infom)ation Trustees Mr. Mbarak Hussein Mbarak- Chairnian Mrs. Nasriya Feiz<il S<ili Mr. Aluwiyii Saved Abdallah Mrs. Bishara.Mkiibwa Nassor Mrs. Saidit Saluin Mohatnmed Accountants Aftab Ahmad Kha Apex AssocIates LLP Accountants alid Tax Consultants 58-A Lllord Lane Ilford Essex IGI 2JY Bankèrs Barclays Pl LeiLester LE87 2BB Registered office 171 Lbscott Close Dagenham Essex RM109YX Registered charity number 1191499
CHILDREN OF ZANZIBAR FOUNDATION The report of the trustees for the period ended 30 September 2021 Introduction The trLiStees prcsenttheir final report and &eec)ilrttg for the period elided 311 Septetnber 21121. The board ot'trustees are illse with tlie perfoniliCe of the chariry diinn¥ the year cind th¥ pobilivn at 30 SLPtenibcr 2021 and considcr that th¢ Lhatity Is In a strong p)sitioii to conliiiiie its activities structure, Governance and Management Goveming document The chaTily is conlDJllLd by its gotrL'min¥ Jwumeni. a Coiistjtuiion and is a Charitsble Iniorporated Organisatioii ICIOI. Rl$k management The ttuslees haie a diity to idelltify aDd review Ilie risk% 10 which the charity ¢xposed and lo en5urc appiopriaie controls ate In place io PTovIde reasvnable #S%Lirai)ec a8&inst fraiid and error. Indèpendènt Examinèr Aftab Ahmad Khan FMAAT, Arr Apex Associates LLP A¢¢ountants and Tax Consultants 58-A Iord Lane Essex IG1 2JY Statement of Trustees. Responsibilities Thc Charitics Act rcquircs the Board of Tnistecs lo prcparc fujancial slaiements for e3cb faCIal ycar which givc a miL aiid laIf VIL. of tlie 8tatL Df atf21rs of thL eharity as ai tlit ld tsf lh¢ rirJanLiaJ y¥ar and ot'iknL sutpIu8 or d¢fJLiI ofihL ¢baiiiy. PTiparllJg IhosL lillaniial siai¢nK'nis the Bvarcl i5 r¥quirEd tv seleLI suiidble aLGvunling pulieies dnd Ihen apply IheTn Lunsi¥lenily-. ke judgeTneiilY eIlale Iliai are reasviiable ad PFudeni-. and preiNirc ihL firtanci&l $iaienienl¥ on ihe 8ving c(In¢¢m basis unless Tt 1$ InaPPTvpri4l¥ tv pr¥sUtne Lhal the Lhaiity will wntinue in businv&5. r¢coinLJJLndLd PTdCIiiL ha¢ bi'cll fulluwed. subjeLI Iv aiiy TnJieri#l d¢par¢ur¢s dis¢los¢d and txplJiiied in IhE fiiianLial slalETtbeiil¥.- Mie Trustees are also responsible for InaiThiainii)g adequaie aCci)lI11n¥T reLtsr' whiLh di%¢lvbe wilh &vable yccuiacy at any riine thc financial position ofihc chariry aiid which aiL suflicieni %laleinenls cvmply 'ith rebryldtioiis made under the Charities Act. They are also rcsponsiblc for safe¥uai'ding the assets of thc charity and hciite for Eakiiis rcasonable 51cps for thc pievention dnd deictyiion of fraud and Dihei irreLruldriti&. The irusie¢s ar¢ albv r¢bpvn$ibl¢ fvr lh¢ ¢vnt¢iits vf ili¢ iru¥lrrs' t¢pDrt. and thc rcspollsibilily of Ihe illdepeiident examillei in ielation lo the ttuslccs. rcport is limited lo cxaniining the rewil and eiisiiriiiL that . OD the face of the report. there arc iio inc0nstgtcilcs with thL figures disclosed in This report was approved by th& board of trustees on 31 IIOIiOI2 Mbayak Husseln Mbarak Chairman
CHILDREN OF ZANZIBAR FOUNDATION Independent
Examinerfs Report to the trustees of the charity
Report of the Independent Examiner to the trustees
on the accounts of the Charity for the period ended 30 September 2021
report on the finanLial statenients of the ChaLlty for the periud elided 30 September 2021 which have been
prepared in itccordante with the C.'harities Act 2011 and with the Fiiiancial Repoi'iing Stai)dard fol. Sinaller Entities
IFRSSEI. effeLtiwe Api"I12008. adapied 10 meet the needs ot- unincoworated organ15ations. a5 lliudifieij by the
Staiem¢nt of Recoinniended Practice for Accountin¥ diid Reporting issued by lh¢ Chdrity Conlliiisskoiiers for
England & W
{i) to keep accountIng records in accordance with section 130 of the ALt,' {iil Iv prepare financial %tatements which accord with the accoiinting reLoids and comply with the accounting ieqiiirement5 of tlie ALt and., {iiil that the financial statements be prepared iii accoi'dance with the methods and principles set out in the Statement vf ReLommeiided PractlLe- Accounting and Reportiiig by Charities have not be¢n met., or to whiLh. in iny opinion. attention Should be drawD in iny report in order to enable a proper understanding of the aLcuunt% to be leached. Aftab Ah d Khan FMAAT, ATF Apex Associates LLP Accounlanls and Tax Consultants 58-A Ilford Lane Ilford Essex IG1 2JY Dale '. 31
CHILDREN OF ZANZIBAR FOUNDATION Statgmont of Financial Activities For The Pgriod Ended 30 September 2021 NL>TES 2021 Incoming resources Incoming re50urces from generated funds Voluntary income Olher Incoming Resources 15.765 Total incoming resources 15.765 Costs ol charitable activities Total resources expended 8,910 8,910 Nel income Illossl resources before trsnsfer5 between funds 6.855 Total funds brought forward Total Funds carried forward 6,855
CHILDREN OF ZANZIBAR FOUNDATION Statement of Flnancial Activities For The Period Ended 30 September 2021 Income and Expenditure Account For The Perlod Ended 30 Septembgr 2021 2021 Voluntary income 15,765 Other operating income Costs ol charitable activities 18.9101 Gross surplusl Ilossl 6.855 Surplus I Ilossl on ordinary activities before tax 6,855 Surplus I Ilossl for the financial year 6,855 Gift Aid Payments Retained surplus I Ilossl lor the financial year 6,5
CHILDREN OF ZANZIBAR FOUNDATION Balance Sheet as at 30 Septembgr 2021 Notes 2021 The assets and liabilities ol the charity Fixed assets Tangible asset5 Total fixed assets CUrnt assets Debtors Cash al bank and in hand Total CLJrrent a558ts 7.575 7.575 Amounts due within one year Net current 8SS8ts 6.855 Total assets less current liabilities 6.355 Nel assets including pension asset I liability The funds ol the charity Unreslricled income funds Unrestricted revenue accumulat8d funds 6.855 .855 Total Funds 6.855 The financial statements were approved by the Board of Trustees on..3.1 /. l.Q. j.lo.!L signed on its behalf by.. Saida Salum Mohammed - Trusteg Aluwiya Saeed Abdallah - Trustee
CHILDREN OF ZANZIBAR FOUNDATION NOTES TO THE Ac¢ouNTS FOR THE PERIOD ENDED 30 Septembor 2021 Accounting polÈ¢re$ Accounting convention The finant121 %tateinciiis arc prcpared on a ¥Toing concern baqi8. linder the historical cost conveiition, and ii) accordaiice wstli th¢ FindnLial Ilcpoiling Standard for Smaller Lntities leffeclive April 20U8, Ilje Cliariiie Act ?01 l and the iequiiemciits of the Statemcnt ol. Reeoininended Practice, Accounting and Reporting by Incoming Resources All Incomiiig resoiirces are ineluded oli the Statement of FJia1]clal Activitie5 whcn the charity legally eiititled to the income aiid the 2mouni can be qiiantified w'ith reasonable accuracy. Re¢ognitlon of liabilities Liabilitics are recogiiised oji the acci'uals ba5j5 lll accordaiiLC Witli nonn(Il acloltllI prillciples, Inodified wliere necessary in accordance with the guidance given in the SORP. Taxation As a rcg?isicrcd charity, Ilie organisation i% excmpl frotn illcotllc and corporatioll lax to the extent that its Income aiid gaii)s are applicablL 10 Lhariiable purp()ses only. Funds structure policy The chariry maintaiiis a 8eneral unrestricted fulld wliicli reprcsents fiiiids which are expendable at the disci'¢tioll of tlie irusiees in turtlierance of the objects of rlie charity. Such tunds Jnay bc hcld order to finance both w'OTkinu capital guid capital investtneni. R¢5tricted fuiids have b¢tn PTovided tu the chaTily foT Partl¢Lilar purposes. and il is the policy of the board of ttL]Stee% lo carefully nioiiitor tli¢ applscation of those funds in accoidance with the r¢%lrictlOn5 placed upo them A fixed asset fund is rllaintained wljich represents tbe written down value of tangible fixed assets. and is dii'ided iiiio a i'esii'ieted fixed asset fund represeniin¥ Ihe written dotvi) K'alue of those assetg subject lo re5trictioiis. with the balaiice beii)g iii a dc51giialed fund repre5eiitÈiig tlie writieii down value ot. thosc assers frec of restriciions. Thc detailed operarion of these funds is described iillder the aecouiiting policy ' Capita] grts, There is no fomial polI¢y of IraiJsfeT between ndS or on the allo¢aiion of funds tts designated fiinds. other than ihat dcsci'ibcd abovc. Any other proposed trynsfer belweeii fiiDds would be coiisid¢re(l on the particiilar CiTCLimsianccs. 2 Winding up or dissolution of the charity If upoii windiiig up or dissolution of the chariry ihere remaiii any assets, after thc saiisfaclion of all debts and Iiabililies. the &yseis prsented by the acciimulated fiind shall be ti'aiisferrcd to some othei. charitable body or bodies having similar objects to Ihc chanry. 2021 2020 Revenue Turnover from ordinary activities 15,765
CHILDREN OF ZANZIBAR FOUNDATION NOTES TO THE AccouNTS FOR THE PERIOD ENDED 30 September 2021 3 Stsff Co$t$ and Emolum•nts 2021 2020 GFOSS Salaries There were no fees or other reinuneraiioii paid tD the tru%iees There were tto eniployees with einDluinei)ts in excess of £60,000 pcr 4 Trustees. Remuneration NeitJi¢T the Itust¢e5 Iior any per50ll5 colliie¢ied with then) have received any ren)ullerarion. either in the CUITeiit yeaT or the prior year. 5 Créditors.. amounts falling due within onè yéar 2021 Accrued expen5e5 720 720 6 Unrestricted rev8nuè accumulatèd funds 2021 At 28 September 2020 Boughi foiivard Unrestricied revenue I (loss) for the financial year 6.855 AI 30 Sepieinber 2021127 Septeinbcr 2020 6,855
CHILDREN OF ZANZIBAR FOUNDATION Schedule to the Statement of Financial Activities For The Period Ended 30 September 2021 Unrestrlcted Funds 2021 Total Funds 2021 Incoming Resources Voluntary Income 15,765 15,765 Total Voluntary Income 15,765 15,765 Other Incoming Resources Other operating incotn8 Total Other Incoming Resources Total Incoming Resources 15,765 15,765 Professional fees in support of charitable activities Donatiofjs 8.190 720 8.190 720 Accountancy fees 8.910 8,910 Total Support costs 8.910 8.910 Net income I11(>5sI resource5 6.855 6,855 10
- COZ FOUNDATION Annual Report Sept 2020 Sept 2021
PEMBA - April 2021
In April 2021, we had withdrawn £2000 CASH to fund the following donations:
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1) PEMBA - April 2021 - FOOD DISTRIBUTION - For Ramadan, we successfully managed to put together 130+ food packs feeding over 1000 people in total. Packs were distributed between large orphan families (5+ orphans), widows and 50 elderly people in different villages in Pemba. Each pack contained 10kg rice, 10kg flour, 10kg sugar, 5kg dates and 5L cooking oil which was able to feed a large orphan family for a month.
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2) PEMBA - May 2021 - EID IL FITRI - FOOD DISTRIBUTION - In May 2021, for Eid Il Fitri, we successfully managed to give out 130+ food packs feeding over 1000 people in total. Packs were distributed between large orphan families (5+ orphans), widows and 50 elderly people in different villages in Pemba. Each pack contained 10kg rice, 10kg flour, 10kg sugar, 5kg dates and 5L cooking oil which was able to feed a large orphan family for a month. We had also given out 10,000 Tanzanian Shillings each to the 130 people (Elderly and Orphan mothers).
PEMBA - 21st July 2021 - Eid Al-Adha - Qurbani
In July 2021, we had sent £1700 for Qurbani which is an Islamic gesture where cows/goats are sacrificed on Eid and the meat is given to the less fortunate. We managed to raise funds for 7 cows and 3 goats which managed to feed over 1000 people including orphans, widows and the disabled in different villages in Pemba.
PEMBA - July & August 2021 - Global Support
In August 2021, we had used £4400 from Global Support Trust donations to do the following:
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We had build a Water Well in a Madrasa (an Islamic learning centre) in Dar Es Salaam. The Madrasa teaches over 100 students and is also used for prayers by the local people. (£1200)
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60 food pack donations to give out to 60 orphan families containing;- 10kg rice, 5kg flour, 2L Oil and 3kg Sugar. (£2250)
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Four Wheelchairs for disabled people in Pemba (£700)
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Food packaging and travelling expenses (£250)