cHAR￿y REGISTRATION NUMBER: 1191798
LOC FOUNDATION
Unaudited Financial Statements
31 December 2022
KBM
K LIMITED
Chartered Certified Accountants
1 Concord Business Centre
Concord Road
London
UK
W3 OTJ

LOC FOUNDATION
Financial Statements
Year ended 31 December 2022
Page
Trustees, annual report
Independent examiner's report to the trustees
Statement ol financial activities
Statement of financial position
Statement of cash flows
Notes to the financial statements
The followlng pages do not form part of the financial stsiements
Detailed statemenl of financial activities
15
Notes to the detailed statemenl of financial activities
16

LOC FOUNDATION
Trustees. Annual Report
Year ended 31 December 2022
The Iruslees present their report and the unaudrte(l financial slatements of the charity for the year
ended 31 December 2022.
Relergnce and admlnlstratlve detalls
Reg19tered charlty name
LOC FOUNDATION
Charlty reglstratlon number
1191798
Prlnclpal offlco
18 Chestrut Walk
Watford
WD24 6NS
England
The trustees
MrSAhm
MrFAIi
hlr N Ahmed
hls M Ahmed
MrUAIi
{Resigned 28 January 20221
(A￿)￿nIed 28 December 20221
IAFwinl&J 28 December 20221
Independent ¢xamlner
KBM UK LTD
1 Concord Business Cenlrè
Concord Road
Lornlon
UK
W3 OTJ
Struclure, gov8manca and monagement
LOC Foundation is charitable incorForated organisation, were Ineorporaled on 14 Oclobgr 2020.
The day t¢ day running ol Ihe charty is led by managiThJ Iruslee, Mr Faisal Ali who manages the daily
actniitles DI the charity and ￿anagement related tssks. Mr Ali also pa￿paleS in fundraising lor the
charity and Iravels lo places where charilatrAe atslivities are undertaken.

LOC FOUNDATION
Trustees. Annual Reporl (eoftunu
Year ended 31 December 2022
Oblectlves and acllv1119S
The charity helps poor families, schools, childrèn aloru the line of wntrol. This ranges from sending
clothes, provide slalionery oquiprp.8nt lor schools, providir.g medical aid and Ir equipment loi tho poor.
The main objectSves ol the organisadon are..
The wevenlion or relief of poverty amongst those INing in Kashmir Nakyal Sector by the provision of
grants ol Ite￿$, equipment and lurKls to relievg their needs the reliel and assistance ol PgOFle In
Kashmir Nakyal Sector, who are vicums ol war or natural disaster, trouble or catastrophe In partlcular
by the supply ol grants.
The relief ol financial need and suffgring arno￿ w¢l'.ms ol natural or olh8r kinds of disaster in thg lomi
ol money lor other means deemed suilablel lor persons, b￿les, organisalions affected in such ways
as the trustees shall think ftL
Achlevèm6nt8 and pertormance
In the year 2021 - 2022, charity has collected donation from iThJNKluals lo fu￿& and support 118 activitie8
and projects in Kashmir Nakyal Sector. Som8 ol them are highlrfJhled beEow,
> We have successlLIty distributed 7 19-inch laptops lo a local school ir. JarKJrol boys High Sch{￿7.
> We have Continu￿ from the previous year in provkling wnter clothing to the poor and needy lo
help In harsh wnl8r condiliDns.
> Like the previous years we provided Ramadan packages lo up lo 100 families and this wll be
happening every year.
> We helped fund a mqor bridge that gives road access lo over 200 peorAe who previously had 10
cross a river to get to the road. Road crossing impossitAe and dangerous during the wnonsoon season
whenever the rivor bursts tts banks.
> W& provlded a 40011r plasti¢ waleT lank for lamity in the village ol Dabsi Soyden, Nakyal. Thls
has hèlped 3 families to store and use water lor their everyday use.
> We successfully drilled 2 water boreholes which has helped in 2022. The first one being in Sultan
Baghla which has helped 20+ lamili8s. The second on8 has alsi) helpgd ovar 20 families in th8
mountainous Kilnger Colony in Lanjole.
Flnanclal revlew
Thg Charity received donation and tunds £11,968 during the period. Tolai outgoing rosources
amounted to £11.233 of wh￿h £10,953 was eypencled on direct chari.able aclivfties at* £280 on the
costs ol running the ollice and on other Governance costs.
Total aV￿lable funds al 31 December 2022 amounted lo £12.342 of which £12.342 related lo
unrestr￿ted funds and £nil was available for restricted wrry)ses.
Thg Trnslegs are salislied that lh8 chaTiVs activtties duririg the period havo met th@ir obj8ctiv8s and
aro satisfied with th8 finan￿al position al the ￿riC￿l end.

## 



LOC FOUNDATION
Independent Examinerfs Report to the Truslees of LOC FOUNDATION
Year ended 31 December 2022
I r8wrt tD the trustees on my examination ol the ffinan0￿ Statements of LOC FOUNDATION I'lh&
charity) lor the year ended 31 December 2022.
Responslbllllles and basls of report
As the Irusl8es ol the charity you are reswnsible for the preparation of the financlal statements in
accordance wlh the requirements ol the Charities Act 2011 I-the Acl'l.
I report In respect ol my exarninatron ol the charivs financial statements carrfed out under section 145
of Ihg 2011 Act and in carrying out my examination I have fDllowed all the awicable Directions given
by the Gharily Commission under section 14515}Ibl ol thg ACL
Indopendent examiner's stalement
I have completed my examination. I confirm that no Tr.ateri￿ rnatters have come to my attention in
connectKJn wlh the examination gmng me cause lo believe that in any malerial respect..
accounting records ￿Te not kept in res* of the charity as required by s8clion 130 of the
Act., or
the financial statements do not accord ￿￿th those records; or
the Ilnanclal slalernenls do not comply th the a￿leable requlremenls concerning the fom
and conlènt ol acco￿nts sel out in the Charibes (Accounts and Reports) Regulations 2008
othèr than any requiremenl that the accounts give a Irue and fair, view which is nol a matter
considgred as part ol an independer..l examination.
I have no concerns and have come across no other matters in connection wth th8 examination lo
which attention Shou￿ t* drawn in Ihis rewrt in order lo enable a propw undersianding ol the
a￿O￿nts lo be reached.
l<f)M
KBM UK LTD
Independent Examiner
1 Concord Business Centre
Concord Road
London
UK
W3 OTJ

LOC FOUNDATION
Statemenl ol Financial Activilies
Year ended 31 December 2022
Period from
140c120to
31 Oec 21
Yoar to 31 D8c 22
Unrestricted
Restncted
funds
funds Total funds Total funds
Income 8nd endowments
Donations and legacigs
Total Incorno
8,497
8,497
3,471
3,471
11,968
11,968
29,792
29,792
Expendlture
Expenditufe on raislng funds-.
Costs of other trading aCt￿..les
Expgndlture on charitable activities
Total expendlture
280
1.700
280
10,953
2,082
16,103
9,253
1.980
9,253
11,233
18,185
Not Incom•
6,517
{5,7821
735
11,607
Transfers btheen funds
2.928
12.9281
Net mov8ment In funds
9.445
18.7101
735
11,607
Recon¢lllallon ot lunds
Total funds brought forward
Total funds urrled forward
2,897
12,342
8,710
11,6D7
12,342
11.8Q7
The slalemenl of financial actiwlies indudes gains and losses ré(wni8ed in the year.
All income and expenditure dernig from continuing activibes.
The noles on pages 8 10 13 fom port of fin•n¢lal $tstsmènl$.

## 

## 

## 

|||**2022**|2021|
|---|---|---|---|
||**Note**|£|£|
|**Currentassets**||||
|Cashatbankandinhand||13,493|13,207|
|**Creditors:amountsfallingduewithinoneyear**|**11**|1,151|1,600|
|**Netcurrentassets**||12,342|11,607|
|||--|--|
|**Totalassetslesscurrentliabilities**||12,342|11,607|
|**Netassets**||12,342|11,607|
|**Fundsofthecharity**<br>Restrictedfunds|||8,710|
|Unrestrictedfunds||12,342|2,897|
|**Totalcharityfunds**|**12**|12,342|11,607|





LOC FOUNDATION
Statemenl of Cash Flows
Year ended 31 December 2022
2022
2021
Cash flows from operatlng acllvltles
Nel Income
735
11,607
Adjustrnents for..
Inieresi payable and sirnilar charges
AGcrued expenses
24
600
Changes in..
Trade and other creditors
(449)
210
1.000
Cash generated from operations
13,26D
Interest pa
Nel cash Irtsm operatSng activilies
1241
286
{531
13,207
Net incroase in ca$h and cash equlvaknts
Cash and cash equlvalgnts at beginning of year
Cash and cash equlvalent$ at end of ythqr
13,207
13,207
13,493
13,207
The notes on pagès 8 to 13 fomi part of theso financlal ststements.

LOC FOUNDATION
Noles to the Flnanclal Statements
Year ended 31 December 2022
Gengral Information
The charity is a public benefit entty afjd a r8gis.ered charity in England and w￿e$ and is
unlncorporaled. The address ol the principal offlce Is 18 Chestnut Walk, Wattord, WD24 8NS,
England.
Statement ol cornplionce
These finanGYal statements have been prepared in eomFAiance vrith FFIS 102, The Financlal
R8POrting Slandard applicable in the UK and th8 Reput￿￿ ol Ireland,, the Statement ol
Recommended Practice apylicable lo charibes preparing their accounts in accordance wilh the
Financial Reporting Standard applicable in the UK aThl Rgpublic ol Ireland IFRS 1021 (Charities
SORP IFRS 1Q211 arml the Charities Act 2011.
Ac¢ountlng policles
Ba318 ol preparatlon
The financial slalements have begn prepared on the hi8toital cost basis, as mcMYifiod by the
reva1uat":on ol certain financial assets and liabil￿eS and investment properties measured al fair
vJue through Income or expenditure.
The finanry￿ statements are prepared in sl8dirKJ, whth Is the fvnetiOn￿ currency ol the enlty.
Golng concem
There are no material uncertainties a￿ul the charit￿S ability lo continu8.
Judgements and key sources of estimation uDcertalnty
There are no malerid uncertanties atout Ihe charivs abilrtyto continue.
Fund accountlng
Unreslri¢led fu￿1$ are avwlthe for use al the discretion of the tNstees lo further any of the
charlty's purposes.
Dosignated funds ar& unreslrtcted funds earmthed by the truslges for parDcular lulure projocl or
commiknenl.
Restricted funds are subjecled lo reslfictions on their expermliture declared by the donoy or
through the terms of an appeal, and fall into on8 of sub-classos.. restricted income funds or
8ndowmenl lunds.

LOC FOUNDATION
Noles lo the Financial Stalements (conthuedj
Year ended 31 December 2022
Accountlng pollcles {¢oniiiwd)
Incomlng regources
All incoming resources are included in the staternent of linanual actmtes when enlillement has
passed to the eharSty,' It Is probable that the economic benefits associaled with ihe transaction will
ow to the charily ar..d the amount can be reliably measured. The followrrfJ s￿¢111¢ pobcies are
applied lo particular categories of income..
income frorn donations or grants is recognis¢d when there is evidgrte of entittement to the
gift, recelpt is probable and its amount can be measured reliably.
Iwacy income is recognised when receipt i8 probtho and entitlement is established.
Inoome from donated goLxJs is mèasured at the l&r value of the goods unless Ihis is
impractical lo measure reliably, in whieh case the vdue is derived from the cost lo the donor
or the 8slimated resde vJue. Donated la¢ilities aThJ serrices are recognised in tho aceounls
when received rf the value can be reliably measured. No amounts af8 included lor the
conlribLJliorb of geneid volunieers.
irKorne from contracts for the supyly of setmces is r￿OgnIsed with the delivery ol the
contracted service. This ￿ classrfied as unrestricted fuids unless there 15 a contractual
requirem¢nl for rt lo be spwt on a part￿￿lar purpose and returndl il unspent. in which case
it may be regarded as reStr￿ted.
Re8ource8 expended
Expenditure is recognised on an accnJals basis as a liatmlity is incurr&d. Expenditure includes any
VAT which cannot be lully recovered, and is classrfied under headi4gs of the statement of
financial actwilies to wh￿h it relates:
expenditure on raising funds includes the costs of all fundraigng activities. events, non-
chariiabl8 trading acb"vilies. and the sale ol donated g¢J)ds.
expenditure on charitable activr(ies includes all costs incurred by a charity in undertaking
activities that further ils charitable aims for the benefrt ol ils beneficiaries, including those
support costs and costs relating to the governancg of ts charity apFX)rtioned to cfr.arilable
aclivtties.
other expendrture includes all expendr(ur¢ that is neilher relatsd lo rWsl￿ funds lor the
charity nor part of its expenditure on charitable actwibes.
All costs are allocated to exper￿[lUre categories r8qe¢l'ThJ the use ol Ihe resource. Direct costs
attributable to a single activity are ailocat¥J diTecdy io Ihal acl'.wty. sb.ared costs are apportioned
belween the activities they contribule lo on a reasonaNe, justrfiable and consistent basis.
Flnanclal instruments
A financial asset or a financi￿ liability is recognised onty when the charty tecomes a paty lo the
contractual provisions of the inslrumenL
Basic financial inslrum8nts are inilially recognised at the arnount receivable or payab￿ including
any related transaction costs.

LOC FOUNDATION
Notes to the Flnancial Stalemenls (conURued)
Year ended 31 December 2022
Accountlng pollcles iwn1lm￿dj
Flnanclal Instruments (conth
Currom assets and current liatyl￿oS are subsequenty Measur￿ al the eash or other
consid8ration expected to be or receIv￿1 and not discounted.
Debt instruments are subsequenity measured at amorbsed cost.
Whero investrnonls In shares are publicty traded or Ihgir Iwr vdue can otherwise be maasured
reliably, the investment is subsequendy measured al lair value with changes in lair value
recognised in income and experKJiture. All other such invesknenls are subsgquenlly measured al
cost less impami8nt.
other linanaal instruments. Incluaing derivatives. are initially recogni* al fair value, unle8S
payment for an asset is éelerred beyond nomiej business terms or financed al a rale of inteyest
that is not a markgt rat, in which case the asset is measufed al the present valug ol th8 futL4re
payments discounted al a rnarkgt rate of interest lor a similar debt instrument.
Other financial inslrumenls are subsw4uenUy measured al fair vdu&: with any changes
recognise(5 in the sla4ement of fflnanci￿ activities. wilh the exception of hgdging instruments in a
designated hedging relationship.
Financid assets that are measured al cosl or amortised eosi are reviewed for 0￿.ectiv8 8vid8nce
of impairment al the end ol each reporbThJ dal8. 11 thèrg is olieclive evidence of Impairment, an
impairment loss is recognised under thg awropriale heading in the statement ol linancial
activities in wh￿h the infLiai gan was recognised.
For all equty instruments regardless ol signrficance. and olher financi￿ assets that ar
Individu￿lY signilicanl. Ihese are assessed irKlividualty for Imp￿rment. Other financial assets are
either assessed Indimdually or grouped on the basis ol similar credit risk charaCterist￿s.
Any reversals ol impairment are recognised immediately, lo the extent thal Ihe reversal does ntst
resL¢It in a carrying amount ol Ihe lin2ncia asset that exceed5 what th8 carrying amount Would
have been had the impaimienl nol previously been rKognised.
Donatlons and leg8cles
Unrestrlcled
Furxls
ReStr￿ed Total Funds
Funds
2022
Donation$
Donations
6.7&5
3,471
10,256
Glfts
HMRC Gift AKJ
1,712
8,497
1,712
11,968
3,471
Unrestrcted
Funds
Restricted Total Funds
Funds
2D21
Donatlons
Donations
8,342
21,450
29,792
10

LOC FOUNDATION
Notes to the Financial Statemenls {¢0nVn￿)
Year ended 31 December 2022
Donatlon$ and lega¢les (L￿n￿nu80)
Unrestr cled
FuThls
Restricted Total Funds
Funds
2021
Glfts
HMFtC Grft
8,342
21,450
29,792
Costs of other trading acllvllles
Unrestricted Total Funds Unrestricted Total Fuyds
Funds
2022
Funds
2021
Costs of other trading activities-
Advertising and publicity
2,082
2,082
Expondltur8 on charltable activltles by lund typg
Unreslricled
Funds
Restricted Totgl Funds
Funds
2022
Charltablg Activities
Support costs
978
722
9,253
10.231
722
1.700
9,253
10,953
Unrestrict8d
Funds
Restricted Total FurKas
Funds
2021
charital￿e Aclivili8S
Support costs
2,709
654
12.740
15,450
653
3,363
12.740
16,103
ExpendiluTr On charttable actlvltles by actlvltylype
Actsvilies
undertaken
directty Support costs
Total funds
2022
Total fund
2021
Charitable Actiwties
Governance costs
10,231
10,231
722
15,450
653
722
10,231
722
10,953
16,103
11

LOC FOUNDATION
Notes to the Flnancial Statements (¢onUnu
Year ended 31 December 2022
Indgpgndent 9xAmlnallon fee8
Period from
Year to 14 Oct 20 10
31 Dec 22
31 Dec 21
Foes payable lo the independent examiner for:
Independent exarrjination ol the tinanaal slalemenls
Other linanryal servvs
200
300
300
300
600
600
Staff costs
The average head count ol employees during Ihe year was Nil12021'. NID.
No employee received employee benefits ol more than 260,OCK) during the year12021: NID.
10. Trustee remuneratlon and expenJe8
No sdaries or waggs have been pwd lo employees. inCt￿lIng the members of the committee,
during tho year. The Trustees received no rgmuneration or expenses lor acting as Iruslees.
During the year the 10t￿ ol 8xpens8 reimbursed lo the truslee5. incurred in the course ol acting
as members of thg charity. amounted to £Nil.
11. Credltors: omourrts talllng due wlthln one year
2fY22
2021
Trade creditors
Accruals arKi deferred income
551
600
1,0
600
1,151
1.600
12. Analysis of charftable furKIs
Unrestricted funds
At
1 January 202
At
31 December
2022
Income ExFenditure
Transfers
Gen8r81 funds
2,897
8.497
{1:9801
2,928
12,342
Ai
14 Octoter 20
20
At
31 December
2021
Iwme Expenditur8
Transfers
General lund5
8,342
15,445}
2,897
12

LOC FOUNDATION
Notes to the Financlal Stslements f¢onlknueLI)
Year ended 31 December 2022
12. Analysls ol charllab19 funds (eonttn
Restricted lunds
At
1 January202
31 December
2022
Irwme Expenditure
Transfers
Reslrict8d Fund 1- desc
in alcs
8,710
3,471
19,253}
{2.9281
Al
14 Octob8r 20
20
At
31 December
2021
Income Expendf(UTe
Transfers
Fleslricled Fund 1- desc
in 8Jcs
21,450
112,7401
8,710
13. Analysls of net assets beaween funds
UnrestrFcled
Funds
Restricted Total Funds
Funds
2022
Tangiblg fixed assets
12,342
12,342
Unreslricl8d
Furn1s
Restricted Total Funds
Funds
2021
Tangib￿ fLXgd assets
2,897
8.710
11,607
1￿ Analysis of changes In ng1 debt
At
At 1 Jan 2022 Cash flows 31 Dec 2022
Gash at bank arKI in hand
13,207
286
13,493
13

LOC FOUNDATION
Management Information
Year ended 31 December 2022
The followlng pages do not forni part of the flnanclal statemgnts.
14

LOC FOUNDATION
Detailed Slalement of Financial Actlvltles
Year ended 31 December 2022
Pèriod from
14 Oct20to
31 Dec 21
Year to
31 Dec 22
Incomo and endowments
Donatlon8 and lega¢les
Donations
HMFIC Gill Aid
10,256
1,712
11,968
29,792
29,792
Total Income
11,968
29,792
Expendlture
Costs of other tradlng a¢￿VItIeS
DetsiledSOFAExpenditureOnOtherTradingAcbvTtiesType1 H
280
2,082
Exp8ndilure on charltable acllvltles
Purchases
Legal and professional fee8
Other office costs
Olh9r interest payabl¢ atKI similar charges
Direct charitab18 aclivty- Water
Dir&ct charitable aclivty- Food
Direct charitsble activity- Ed￿ation
Direct charitable activity- Eid & QuTbani
Direct charitable actiwty- Community
978
2,709
600
98
24
1,180
923
280
53
4,957
3,305
2,479
2.000
6,870
10,953
16,103
Total oxpendlture
11,233
18,185
Net Income
735
11,6Q17
15

LOC FOUNDATION
Notes lo the Detailed Stalement of Financial Aclivities
Year ended 31 December 2022
Period from
Year to
140c120to
31 Dec 22 31 Dec 21
Cost8 of other tradlng actlvltles
Costs of other tmdlng actlvltles- Advertlslng and publlclty
Advertising and publicity- Events, Marketng & Fu￿dr￿Sing Costs
280
2.082
Costs of other Irading aoilvllles
280
2,082
Expondlturo on charltable activities
Charltable Activities
Actlvllles undertaken dlreclly
Dirgct charitable activity- General
Direct charitable activity- Water
Direct charitable activty- Food
Diroci Charitable actiVty- EdL￿atIOn
Dirgct charitabl8 aclivty- Eid & Qurbani
Direct charitsble activity- Community
978
1.180
923
280
2,709
4,957
3,305
2,479
2,000
6,870
10,231
15,450
Governance c08ts
Governance costs - accountancy lees
Governancg costs- other olli¢e cosls
Governance costs- bank charges
600
98
24
600
53
722
Expenditure on charitable actlvltles
10.953
16,103
16