Financial Report 1st May 2020 to 30th April 2021 


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Restricted Funds Unrestricted Funds Total Funds<br>Incoming Resources<br>Incoming resources from generated funds<br>Voluntary Income 62256 147602<br>Investment income 0 0<br>incoming resources from charitable activities 0 0<br>total incoming resources 62256 147602<br>resources expended<br>costs of generated funds 0 0<br>investment management costs 0 0<br>charitable activities 33138<br>governance costs<br>total resources expended 33138<br>net incoming resources 0<br>total funds brought forward 114464<br>total funds carried forward 114464<br>All activities relate to continuing operations<br>**----- End of picture text -----**<br>




**Balance carried forward from previous year** 

85346 0 0 85346 

0 0 



||**May '20 - Apr 2021 **|**May '19 - Apr '20**|
|---|---|---|
|**Fixed Assets**|||
|Tangible fxed assets|1.5 million|1.5 million|
|investment property|0|0|
|**current assets**|||
|debtors|0|0|
|Cash at bank and in hand|114464|85346|
|**creditors:  amounts falling due**|||
|within 1 year|0|0|
|**net current assets**|114464|85346|
|**charity funds**|||
|unrestricted funds|114464|85346|
|restricted funds|0|0|
|**total funds**|114464|85346|






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tangible fixed assets freehold land and buildings<br>fixtures, fittings and equipment<br>As a registered charity, the<br>charity is exempt from income<br>and corporation tax to the<br>extent that its income and<br>gains are applicable to the<br>Taxation charitable purposes<br>voluntary income restricted funds unrestricted funds total funds<br>appeals and donations 0 62256 147602<br>investment income<br>rental income 0 0 0<br>incoming resources from charitable activities<br>Mosque 0 0 0<br>**----- End of picture text -----**<br>




**balance carried forward from previous year** 

85346 0 0 




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Investment management costs<br>restricted  unrestricted  total funds<br>funds funds total funds year before<br>property costs: Improvements, repairs & renewals 0 19000 19000 45000<br>Analysis of resources expended by activities<br>activities<br>undertaken  total year<br>directly support costs total before<br>Bills: Water, Light, Heat, Telephone & Broadband 8838 9521<br>Mosque activities/Miscellaneous expenses   none due to covid 19<br>(teaching materials and equipment, travel,<br>food etc.)<br>Insurance 1100 1200<br>Legal and Professional Cost 4200 4200 500<br>Building Improvements  19000 19000<br>**----- End of picture text -----**<br>




The charity is controlled by trustees who work voluntarily without any pay and are not reimbursed for any expenses, and receive no benefits in kind 


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Tangible fixed assets<br>freehold land and  fixtures, fittings and<br>buildings equipment total<br>cost<br>at 1st May 2020 1.5 million £25,000 1,525,000<br>Additions<br>Disposals<br>At 30th April 2021 1.5 million<br>depreciation<br>At 1st May 2020 £25,000<br>Charge for the year<br>At 30th April 2021 £23,000<br>net book value<br>At 30th April 2021 1.5 million £23,000 1,523,000<br>freehold<br>investment<br>Investment property property<br>cost<br>at 1st May 2020 0 0 0<br>additions at cost 0 0 0<br>**----- End of picture text -----**<br>




At 30th April 2021


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Debtors 04/21 04/20<br>prepayments and accured income 0 0<br>other debtors 0 0<br>Creditors<br>amounts falling due within one year<br>04/21 04/20<br>trade creditors 0 0<br>accruels and deferred income 0 0<br>other creditors 0 0<br>Statement Funds<br>Brought  Incoming  Resources  Carried<br>Forward Resources Expended Forward<br>Unrestricted funds 85346 62256 33138 114464<br>restricted funds 0 0 0 0<br>total funds 85346 62256 33138 114464<br>**----- End of picture text -----**<br>




Trustees re
ort for the
ear ended 30 A
ril 2021.
The charity has a reserve policy which is to maintain a suffitient level of liquid reserves to meet
short term obli8ation5 and any unforeseen expenditure. Thi5 reSe￿e amount 15 20,(m PDunds which the
Irustees are satisfied with.
Durin8 the year the chartty raised a total of £62256 pounds of incoming resources before charity
expenditure this added to money brought forward from the previous year1£85346 pounds) amounied to
a total of £147.602 pounds. All of the funds raised werevoluntary donations from within the Markazi
Jamiat Ahl-E-Hadith (Bradlordl mas1￿. The expenditure was £33.138 ptyJnds for the year leaving a
closing balance of £114,464 pound5 in the Mark41ij4ini4tAhl-E-Hadith account.
A5 identrfied irb the last few yeaws report5 we outlined the work needed tts be tondu(ted to a side
extension ro the building for a new wudhulablviion area_ This has been ongoing work and the majority of
the expenditure ha5 Sone towards the building ol the wudhu/ablutKTrn area. However. thi5 ha5 been a
slow ongoing process due to the Cwd-19 pandemic and due to builders not lulfilling their commitments.
We are tryln8 to complete 5t as soon a5 P055ible even though lockdowll has meant masjid thas had to
cl￿e several times. The trustees have contin￿d io pui a stop to all paid workers and instead have only
volunteer5 on board which ha5 meant there ha5 bEen no wages been paid forthe whole year.
Expenditu￿ was used on energv l utility bills. insur3r￿ and telephone & broadbarld bill as well
as legal fees. There were hardly any activie5 or classe5 due to the I￿kdOWn re5tri(tions henie why they
isnt any miscellar*ous eypenses this year.
The case that 15 lodged wtth the employrnent appea15 tribunal 15 Still orw)in& fvrther details have
previously been supplied to rhe charity commtssion. A date has teen set for 10th and Ilth Novemter
2021 lor case to be heard again.
atel
Il.. Mr Ehsan withdrew his Gise due to the court highlight1￿ his lies and deceit. he know
owes the Markazi Jamiat Ahl- E-Hadith money as per the judges orders. The tase rulin8 can be found on
the government courts website.
The trustees have set up a new ccffisllt￿10n forthe charity $0 that il can turn into a ao. The property will
be changed intothe CIO'S name in due course and the old charity will be wound up once the new CIO
take5 tsver.
The plan fof the future is io Comp￿te wudhuIatd￿￿n a￿a as soon as poss&ble. ideally soon
afterthe Coirid-19 pandemK is over. We also intend to repair the masjid r￿f which has rnajor leaks in it.
In the next few years the whole masjid building needs updating due to deter*oration $0 therefo
we wll Start this rerK)vation and updating in 5tage5 as 5L¥)n a5 POS5ible idealty startin8 Wtth the electric5
and heating.
We aim to continue the open days lor members ol the community and lotsl sthools and hope to
provide further relevant classes for mernbers of the community including those with vulneraNe needs.
once the pandemic is over.

|Receipts|||
|---|---|---|
|OpeningBankBalance<br>onatons Received|85,345||
||62,255|147,602|
|ayment|||
|.ter|472||
|-1&Heat|7,729||
|eleprone & Brcadcan|637||
|rsurace|2,100||
|Buldingimprovrnents<br>Legal&Professio-aCost|19,000<br>4,200|33,138|
|Cicsing Bank 3alance||114,464|



|PrestonHouse|||
|---|---|---|
|PrestonStreet|||
|Bradford|||
|BD71JE|nfield|Accountants|



## 






## Leavensgarth Assoc. 

Business Advisors and Accountants 

Leavensgarth 195 Leaventhorpe Lane, Thornton Bradford BD13 3BL T: 0044(0) 7890 454587 F: 00 44(0) 1756 791064 E: Atif@optimal-gear.com W: www.leavengarth-assoc.com 

~~**29** 20th January 2022~~ ~~**[th] January 2021**~~ 

## **To whom it may concern** 

## **Markazi Jamiat Ahl-e-Hadith** 

## Dear Sirs 

I can confirm that the I, Atif Zia ACMA MBA AAIA as an independent qualified accountant, have reviewed the above charity income and expenditure statement and the working papers that were used to compile the statement by the current accountants. I have also  spoken to committee members and discussed controls in place to monitor collection and recording of the monies received. 

I can confirm that the statement is accurate and true representation of the charities position as at April 2020 2021 

Yours faithfully Leavensgarth Assoc. 

