AL JANNAT UK
Financial Statements
For the Year Ended 31 March 2024
Registered Charity No. 1194521

Ch*ritv Number
1194521
AL JANNAT UK
Page
Report of the Ttijstees.
Independent Examiner's Report
Stst¢ment of Financial A¢tivities
Balance Sheet
10
Notes to the Financial Statement

CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From 01.04.2023
Period end date
Pèriod start date To 31.03.2024
Charity name: Al Jannat UK
Charity registration number: 1194521
Objectives and Activities
SORP r8feience
P8rn 1.17
Summary of the purposes of
the charity as sel out in itg
governing do¢ument
Al Jannal UK is a f8ilh-based charitabl&
organisalion dedicated lo the advancement of
the Islamic religion in the United Klngdom and
globally. The charity's core mission is lo
promote religious education. facililale
community welfare. and support spiritual growth
in line with Islamic value8.
Summary ofthe main
activities in relation lo those
purposes for the public
benefit, in particular, the
aclivilies, projects or
services identified in the
a¢¢ounls.
Par81.178nd
1.19
As sel oul.,n its governing documenl, Al Jannal
UK'S obj8¢tives include..
.Providing facilities for WOT8hip and r¢liglou8
instruction lo enable individuals to practice their
lailh In a structured and supportive
environment.
.Enh8ncing understanding of Islam through
educationa1 programmes. lectures, and
dlstribution of Islamic literature.
.Encouraging spiritual and moral davglopmenl,
particularly among young people, to inslil
ethical values and slrenglhen community
bonds.
.Operaling a dedicated centre for praygrs.
religious education, and community inilialivè5
lo ensu￿ accessibility lor all members ol
society.
Statement confirming
whether the Ifustees have
had regard lo the guidance
issued by the Charity
Commission on public
benefit
PAM 1.18
The charity conslituies 8 public bonofil entity as
defin8d by FRS 102.

Achievements and Performance
SORP reference
In pursuit of these objectThiès, Al Jannal UK
carried out the following key activities during the
reporting period..
Summary ofthe main
achievements of the charity.
identifying the difference the
charity's work has made to
the circumstances of ils
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20
1.2.1 Worship & Religious Services
A central focus of Al Jannat UK'S work is
facilitating regular worship for the Muslim
community. The charity ensures that slruclured
prayer services take place throughout the year.
including-.
.Five daily prayers ISalahl- Conducted
punctually in congregation, fostering discipline,
unity, and dèvotion among attendees.
.Jumu'ah (Friday) prayersl- A significant
weekly gathering that includes a Khutbah
Isermonl delwered on contemporary topics,
offering religious guidan¢e relevant to daily life.
.Eid Prayers- Organised for both Eid-ul-Fitr
and Eid-ul-Adha, providing a platform for the
community to ¢elebrale Ihesfy151amic festiva15
collectively.
.Taraweeh Prayers in Ramadan- A key feature
of Ramadan. enabling worshippers lo engagè
deeply with the Qur'an through night prayers.
.Islamic Gatherings & Special Events-
Including communty Iftars Ibreaking of faslsl,
remembrance gatherings, and religious talks lo
strengthen bonds bètween worshippers.
.Annual Mawlid-un-Nabi IProphel's Birthday
Eventl- Organised yearty lo celebrate the birth
of the Prophet Muhammad *, featuring..
.Qurfan recitations.
.Na'al (Islam￿ poety in praise of the Piophel
.Inspiralional speech&5 on th& life and
character of the Prophet
+Food distribution, bringing tha Community
together in an atrnosphere of love and unity.
These services ensur& that all member5 of the
community￿nCludIng the elderly, young
people, and familiewan participate in
religious life and develop their spiritU81ity in an
inclusive environment.
1.2.2 Education & Spiritu81 Development
Education is a key pillar of Al Jannat UK'S
mission. The charity provides structured
ieligious instruction ID enhance the
Ljnderstanding and practice of Islam. This
includes..
.Children's Islamic Education Programme-
Over 40 students have benefited from regular
Islamic classes. covering..
.Qur'an ￿cItatIon and Taiweed (correct
pronuncialionl.
•Basi¢ Islamic belièfs and practices.
.Manners, morals, and the importance of good
character.

.Daily Duas Isupplicalionsl and their meanings.
.Hifz-ul-Qur'an IM@morisation of the Qur'anl-
The charity has introduced a slruclured Hifz
programme lo help students commit the Qurfan
lo memory with gradual progress monitoring.
+Adull Le8rning Programme5- Educational
sessions aimed at deepening religious
knowledge among adults. covering topics such
.Fiqh Ilslamic jurisprudencal lo understand
religious obligations.
.Seerah Ilife of Prophet Muhammad r¥} to
provide moral and leadership lessons.
.Tafseer lexegesisl lo gain insight into the
Qur'an's deeper mèanings.
.Wornen's Educational Sessions- Exclusive
weekly gatherings designed lo provide Islamic
education and practical advice tailorèd for
Muslim women.
.Encouraging and Teaching Worshippers lo
Give the C811 lo Prayer IAdhanl- A dedicated
Initiative within the charity encourages
community members, particularly young
worshippers, lo learn and conlidertlly deliver the
Adhan. This in¢ludes'.
.Te8ching the correct pronunci8tion and
melodious recitation of the Adhan.
•lnstilling an appreciation for tho spiritu81 and
historical signifi¢ance of the call lo prayer.
•Providing opportunities for le8rner$ lo practice
the Adhan in congregation.
.Encouraging youth participation in mosqu•
activities by leading the call lo praygr on
rotation.
.Teaching Worshippers How lo Pray in
Congreoalion - A 51ruclured approach lo
educating worshippers on the proper method of
praying In congregation lJama'ahl. ensuring
that both newcomers and regular attendee$
understand the @I￿￿911e$ and rulings of
collective prayer. Thi5 initiative covers..
•The importance ol praying in congregation 8nd
Ils rewards in Islam.
•The cerrecl way lo sland in row5 Isaffj and
maintain unity in prayer.
.The rol8 of the lrnam and how followers
Imuqladisl should respond in Salah.
.Guidance on catching up with missed Rak'ah$
when joining the prayer late.
•Tea¢hing young attendees how to lead prayers
in Smaller setting5, encouraging them lo
develo
¢onlidenc8 in reli
IOUS f8S

Financial Review
Review of the charity's
financial position at the end
of the period
Para 1.21
During the year the charity received incom& of
£74,82812J23 - £69,343).
The charity also received further interest free
loans of £39,000 during the year. The total
interest free loans outstanding al the year end
were £219,50012023 - £180,500).
The donations and interest free loans have
enabled the charity to acquire the premises in
which its activities are held.
The trustees have established a policy whereby
the unreslricled funds not ¢ommitted or invested
aTe maintained at a level that allows the charity
lo operate as a going concem for al least one
year.
Statement explaining the
policy for holding reserves
staling why they afe held
Pafa 1.22
Amount of reserves held
Para 1.22
The actual unrestricted reserves carried forward
for the year amounted lo £133,337, which is
sufficient for the purpose of covering
operational costs and planned charitable
ex
enditure.
Reasons for holding zero
reserves
Details of fund materially in
deficit
Explanation of any
uncertainties about the
charity continuing as a going
concern
Para 1.22
NIA
Pèta 1.24
NIA
Para 1.23
The trustees consider that there 8re no material
uncertainties about the charity's ability lo
continue as a going concem. This assessment
has been made on the basis ol the review of
the financial pos11ion and the operational risks.
The Iruslees are satisfied Ihal the financial
position of the charity is sound with the
ro
ale sale
uards in
lace.
Structure, Governance and Management
Description of charity's
trusts..
Type of governing document
Para 1.25
Constitution
How is the charity
constituted?
Para 1.25
Charitable Incorporated Organisalion
' aied
Trustee selection methods
including details of any
conslilutional provisions e.g.
election to post or name of
any person or body enlilled
to appoint one or more
trustees
Pafa 1.25
Trustees are appointed in accordance with Al
Jannal UK conslilulion. Once appointed,
Trustees are given introduction of the Charity
and information about its objects, Trustees
are also given the copy of the constilulion and
aims and objective. Role description are issued
to each trustèe and full induction is given
setting out the obligation5 01 a trustee. All
trustees are issued with copies of the Charity
Comm155ion's
uidance.

Reference and Administrative details
Chari
name
Other name the chari
uses
Re
Istered chari
number
Charity's principal address
Al Jannal UK
1194521
672 Lea Bridge Road
London
E106AP
Nameg of the charlty trustees who manage the charlty
Oates act?d If not for
wholo
ear
Trustee nam•
Offlce Ill anyl
Name ol pgrson lor body) ant1￿8￿
toa
olnt trufjtso
Raja Mahmood-Ul-Has$an
Bilaal Hassan Syed
Mohammed Haroon Yousaf
Mahmood Hussain
Chief Trustee
Resigned- 23.04.2024
Appointed - 23.04.2024
Declarations
Slgnaturelsl
Full namelg)
Posltlon leg Secretary,
Chalr, etcl
Date
Raja Mahmood-Ul-Hassan
Chief Trustee

Inde
endent exgminer's re
ort to the Trustees of Al Jannat UK
I report to the trustccs on my examination of thc accounts of Al Jannat UK for the year ended
31 March 2024 which are set out on pages 9 to 33.
Re5ponsibilitie5 and basis of report
As the charily trusiees, you are responsible for the preparation of the accounts in accordance
with Ilie requirements of the Charities Act 2011 {'Ihe ALt').
I report in respect of my examination of ihL I'rustee's accounts carried out under section 145
ofthe 201 l Act and in carrying out Iny examination I have followed all the applicable
Directioi)s given by the Cl)arity Commission under scclion 14515}(b) of ihe 201 l Act.
Independent examiner's statement
I have compleled my examination. I confirm thut no material matters have come to my
attention in conn¢clion with the examination gliving me cause lo believe that in any materi81
respecl:
(1) £1ccounling records were not kept in respecl of Ihe Charity as required by section 130 or
th¢ Act; or
12) the accounts do not accord with those records; or
13) the aicount8 do not cumply with the applicable requirements concerning> the form and
content ol-aLCOLintS sel out in tlie Charities (Accounts and Report8) RegTulations 2008
otlier than any requirLment thai ihc accounts givL' n 'true and fair view. which is not
matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection wilh the
L'xaminlltion lo which atl¢nlion should be drawn in Ihis report in order lo enable a proper
understanding ol'the 8¢counls to be reached.
Signed..
Muhammad Akram FCA
Chartered Accounlant
413 Leu Bridge Road
London r,10 71A
Date..

CHARITY COMMIS510N
FOR ENGiAND AYD WALE5
Al Jannat UK
1194521
Annual accounts for the
To
eriod
Period start dale
01.04.2023
enod end
dale
31.03.20?4
Section A
Statement of financial activities
Restrlcted
Income
lund$
Recommended cate9orie5 by
actlvlty
.p Unre5tri¢ted
flbnds
Endowment
funds
Prfor year
funds
Totsl fund5
In¢omlny rnsourc•$ (Not& 31
F01
F02
F03
F04
F05
Incomg and endowmonts from..
DonBuon$and legaciey
Ch&nuible
soi
60,242
12.025
2.300
61,213
8.130
S02
hdi Iièdinp athv1ti&9
Inv*$tn*nts
503
504
261
261
S45
Othèr
Total
Rèsourcès èxpèndèd (Not¢ 61
Expfrndlturo on=
RaiSinglund5
S07
72,528
74,828
6.204
24,498
4.632
509
25,998
Separ518 m8lEnal il8mofoxpns
Othei
S10
Total
S12
30,702
11,581
Net Incomell6xp•ndlturel before Investm•nt
galnslllossesl
S13
41,826
800
42,626
57,762
Nel 981n￿lI0$ye￿IQn Invg8trMnts
S14
Nèt Fncomellexpendlturel
Extraordlnary Items
Transfers betw••n fund¥
Other recognlsèd galnsl{lossesl'.
S15
41.828
800
42,626
57,762
si6
Galna h)sseg on ￿v￿￿￿￿OnvffIl8￿ao5èt1￿thÈth&Trty.s{Mn use
otherga1￿(￿SséSi
Net movement in funds
S18
S19
S20
41.826
800
42,626
Reconciliation of funds..
Totsi lund5 bmughtTorwaTd
Total funds earri¢d forward
S21
91.511
133 337
91,511
134.137
33,749
800

Section B
Balance sheet
Rtrstricted
Unr88trict8d Income
funds
funds
Endowment Total thls
fund8
year
Total last
ygor
Fixed assets
Intangible assets
TangSble assats
Herltage as$&t$
Investments
F01
F02
F03
F04
F05
(Note 151
(Not¥ 141
(Note 16)
(Noto 171
Total fix8d•ss8ts
256,849
256,849
257,139
B04
B05
256.849
256.849
257,139
Current assets
Stocks
(Note 181
Debtors
(Note 191
Invostments
(Not• 17.41
Cash at bank and In hand (Noto 241
Total Cuffent assets
80
8D7
458
458
809
15,222
15,222
810
100,140
800
100,940
Credltors: amounts talllng due wlthln
ono yoar
(Nolo 201
4,152
4,152
350
Net current assèts/iiiobllllle$)
812
95.988
800
98,788
Total assets less current Ilabllltles
813
272,011
Credltors: amounts falllng duo after
on¢ year
(Not8 201
Provlslon$ for Ilab511tlg
814
219,500
219,500
180,500
B16
Total net assets or Ilabllltles
Funds of the Charlty
Endowment funds (Note 271
Restrictod Incom6 funds INo¢e 271
Unrestrlctèd lund8
Revaluation reservg
B16
133,337
800
134,137
817
81U
800
800
133,337
819
133,337
91,511
B20
Total funds
21
133,337
800
134,137
91,511
Slgn8d by one or two trustees on bah8W of all
the Iruslees
Dale of
approval
ddlmml
Signature
Print Name
Ra
a M8hmoo(kUI-Has58n
10

Section C
Notès to th¢ a¢¢ounts
Nole 1
Ba51s of Propara￿on
Thls serLlonshouldbe GLvNpletEdbyJlAcharllle5.
1.1 Ba818 of accountlng
Thtte a¢¢ounts hav¥ tyeen p￿pared underihe histQOGoI cost convenllon wlth 5￿m￿ r&counisÉd alco51or
trdnsaGtion value unlessolheDNise stried In the ￿leY8Th1 r￿61$) to thes8 aLuwnts.
The8¢counts have been prepared in a(y>)rdanL* with
ihe StslemÈni of Rewmmended PraL*ice. Aruunbng and Reporting by Charities
aring Ih¢ir accounts in acrA)Tdance wilh the Financial Repoibng Slafjdard
¥pplwble in Ihe UK and Republicof Ireknd IFRS 1021 issued on 18 July 2014
andwilh.
wilh"
the Financlal RepDlbrKJ standard in the United ￿ngdoM 8rtd Republic of
and with the Charitses AGI 2011.
The thanty ￿nstitu￿5 a publK benefit enbty 89 defw¢d by
FRS 102..
-r￿ asappraprrat
1.2 Golng concem
mlhoro810mats￿*1uneerf¥1nOes relaledto events or¢tsn¢*l#ortS thatca5tslgnlll¢aDtdoubtLVJ the
harltysabiltyio conrinue asa yolng¢on¢em, plEaseprovlde thefollowlng detslls orstate"Not
appllcablè". If3ppropyl¥tO.'
An eXpEanaIi￿ a5 10 thtyse facicrs th*
support Iht ronrJu5￿n Ihatthe tharity198
ooing ￿nCe￿n,
The trvstoos ¢on$lderthat there are no m81srt81uncertaintles
aboutthe Trust's abiity to Coftllttue a$¥ tsolngcontam.
sd08ur8 of any Un￿rtaInbe5 that mske the
g¢ing ¢on¢qm a¥8umpbon doubbil.
14otappllcab
Where a￿OUntsare not prepa￿ on 8 goiDg
basis, plea5& disdose this fatt
t￿ether WI￿ the bags on ¥¥hich the buste8B
prepared Ihe accounts and the rea¥onwhy
Ihp chanty is Mtregardety ¥s 8 ooing
cOn￿M.
N￿apPlIca￿l&
1.3 Change ol ascountfjng pollcy
The aGCOUnLS present a Iwe and fail view and the a¢￿untIng pclicies adopied are thos6 0uu1T￿ in note 2.
Yès"
-rith •54ppffjprikte
No"
Pleas• dls¢lose.'
Notappllcabl•
(l) thè ntture olthe thoyJg•ln •Gcountlngpoll¢y.-
Notappllcabl•
(111 th&ro•sons whyapptylny th$n•waGGouRtlnstpollcy
provldesmorerfyllabloandmornrglfyvantlnlorma*oft,'
(1111 th•amouyJt of the adjusfrJ)orttfor￿¢h IlJJeaffo¢ted
In Vje currenrperlod, eR¢h prtorpertodprÈsentedand
theagg14g$itamount of rhe relatlny to
p•rlods before thosB pro$frnted, 3.44 FRS 102 SORP.
Notapplleablo

1.4 Changtrs to a¢cDunting estirnate5
No changes lo accounting esbm8tes have oo)J(red In the reporbng pericQ 13.46 FRS 102 SORPI.
Yes.
-TKk ks4pprtyriat
Plsase dls¢lose.'
(l) the n•thre ofanychaft9es,'
Notappll¢8ble
fll) thepffecl olthechanye w Income •ndexpftns*
s$8ts8ndll*bllltle5 forthe C￿r[W￿)¢￿erlO￿.' anLI
(Illj wherepractlcable, the effectolthe chAt7ge In one or
more iuttsreperfod&
Nolappll¢8ble
1.$ Maierfal prloryear •rror8
No prior ye8r error have been k1￿11[£d in ￿e reporting P&riOd13.47 FRS 102 SOFIPI.
Ye$"
No.
-Tick a$ *ppwrfa
Please dlscloso..
Notappll¢•ble
flj thenAtufr¥ oltheprtorperlodetror,.
(11) loro*ch prlorpertodFMe$enledlft th•A¢¢ount4 th8
amoLtntolO)e ¢ty1R￿￿O1Y for¢o¢h accouniiine It•rn
Notappllcable
Illi) the amountofthe correerioFJ 81 the beylnrtlttyof the
eaillestprlorperlodpreseFJted In ghfrae¢ount%
Notappllcablo
12

Notes to the 3ccounts
Note 2
2.2 INCOME
No
Yes
No
N14
Oll••W
FRS 10250RP WFRS 102.
Nla
Qrnrts4Trd don•iion*
utrAaTrMI9.10tyJ S.12FRS102S1YIP)
Y95
No
ty¢rAr•thon tr*PBrf￿rnW￿ t*t¢d<th1J*￿*EMDl1$ 18FRS 102 SORPI
Nla
Yes
No
Yes
No
Nl
No
Nl4
Ye5
No
b)oi•gts•lth• bm•erthwr•r• •oJi￿&t•
Yes
Nl•
No
Nl•
Y¢8
No
Yes
Ye5
No
Nl
th•9fft¥Jth•thrts
Nll
Nl•
Ye$
No
¥ypppn co•
nts•rh•lp
NO
Nl
es
No
Yes
Nl
•ub•erfplloTr•
es
No
13

Ves
No
Nl
0rnrf1S.1tiioS.12 FRS102 SORP) *1* *nL4c
Yes
No
IoB•q•
2.3 EXPENDITURE AND UABIUTtES
bllty
Yes
No
es
G•¥•￿V￿ iUPPDrt
Yes
N¢
Nl4
ND
NIJ
GOndhknn*
Ye$
No
Nla
pgrforrnaficè¢Ond￿o
Yes
No
Yes
No
Nla
Yes
No
Nia
Cr•dNor•
Yes
Nts
Nla
Yes
Nla
11.19. FRS102SORP.
2.4 ASSETS
ultrby Gtharity
Ye$
Ng
Yes
NO
Nts
Nla
Yes
No
Nl
r*es OS¢Jtsduwtin we9.6.14.
No
Nla
Yes
No
Ye5
No
stock••Trd*T)thITr
progr•
Ye5
Nr
Nl
Yes
No
Ye5
No
14

Ye5
knvNlrn•nts
Yes
No
POUCIES ADOPTED
ADDinoNAL TO OR
DIFFEAENT FROM
THOSE A80VE
Not appli¢ab

Section C
.Noles to the ac¢ounis
Notg 3
Analy•le of Incomo
Ana
Oonaiions
and kgacles..
Donaiions and
60.242
62.542
61,213
ac*s
Gentrral gr8nis pro¥￿ed by 9ts¥¢mfflenVolN7r
chariiitrs
Donaled goDds. lac111￿ and ser¥Kos
Other
To
60,242
62,512
61.213
Chorf¢￿1•
actlvlllo1'.
Madrassa lees
12.025
12.025
Olher
Totsl
12.025
oth•rtradlng
•¢tlvltl•s'.
Olh¢r
Totsi
Incoffle from
Inv•6tm•nt8'.
Inleresl hcorne
Divh1end Income
R•nwi and lea
Oiher
com•
Total
261
261
S•parnt•
m•l•rlal It•m
ot Ineom•'.
Totsi
Oth•r.
COnV¢￿￿n 0fen¢jo%￿on1 funds inmffle
Gain on dr4poul 018tangthfL¥¢d •sMt Iwbj
ntss•
Gain on disposal of • related
invesknenl
Royanies from tho expbhaii¢n of in1•1￿Ul1
prope
h18
Other
Totsl
TOTAL INCOME
72.528
74.828
69.343
Olhvrlnfoirn411on'.
All Incom4 In th• prlDry••i wa• unrnll￿¢l41 •x£•ptfor. IpknM•
ovld• d•4crlpllon and •rnuyn¢vl
Wh•r• any •ndowm•nl lund Ib £onv•n•d Into InEorn• In lh•
r•parting p•rl¢d. pl•••• 9lv• th• rn*•pn lorth• ¢onwrnlo
Not
Whprn ¢ndowm4rfiund h ¢onvgrt•d Inio In¢¢Jm• Inth•
pvitsr pryriod. pleas• thA rnUOrtfor IIK? ¢on¥•rnlorL
Not
WlthSn the Incom• It4m• above the lolltymng it•mF?r• m•t•rtal..
Ipl•B¥* d1$¢1￿9 thp rMlur•, 4mount•nd •ny prloi y•41
ovntsl
16

Section C
Noies to the accounts
Not• 6
An2ty8￿ of expendlture
Th18 yoar
Last year
LIMwts1ciia *Kom• EThdwn•n¢
fvr#J¥
fuTr
Jnd•
An*tysls
ondlture on raisin
lunds..
Incurred 5epking donations
Incyrred 5eEking
Incurred seeking grants
Operating member¥hiD Scherr￿S ar
TO￿lundS
siaginy fundraffding events
FL*lraising agen15
Opefaliny charily sh
Op8raiing 8 Irading comp8ry
undertaking noTrcharilable t￿￿1￿9
Adverti$ing, m8rkvllng. dlrecl mail and
siart up costs Incufred in g•nèr*tsng
new sourc• olfulura inGomg
Dglabase dovelopmont costs
Other trading 8Clivil&•s
Inveslmenl managem•nl cwtè..
Porttolio m8na
emenl cosls
Co81 of ob18ininy Inw¥lmenl •d¥K•
Invèsimeni administr•iion ¢Mto
Ini¢lleduo1 propety I￿¥n￿n9 costs
Premises and admln ¢011
4,832
4.632
To￿1 •xp•ndltsr• on r•lsln9 fun
8204
4.632
Exp•ndltyr• on ¢harftabl• aCilvllJ••-
Piimtse5 •r¥l Bdmin cost
6.949
Donations mad•
Madrn88a cojls
19.944
Tolal expendlturn on ch*rll•bl•
a¢tlvrtl¢$
rat• rn8t•rlal Itém oleA
Total
Othèr
Total othor expendlture
TOTAL EXPEIIDITURE
30.702
1.500
32.202
17

OthBr InfoFrnatlon:
Analy51s of 8xpendliure on charltable activibe5
Thls
Grart
Fundfjn9 01
activrt
ear
Activil
und•rtak•n
dire¢
Last year
Grnnt
Support
fundin9 01
Costs
Aethtty Or prouramm•
Support
Crots
Totsl th
y4ar
cti¥it*s
un¢lBrtakeTr
direc
Total1o$t
year
Other
Total
18

Section C
Notes to the accounts
Note 9
Support Costs
Please ¢ompl•t• this rwtÈ ff th• charity has analy58dits expenses usln9 activity
categorles 8nd has support costs.
This year
CharftaL4e
ox
nditure
Support ¢ost
exam
Ralsl funds
Aeiiv
Activ
Grand toml
Basi$ of allocation
(De￿rIbe m8thodl
Governance
160
240
Premises costs
2.026
Admin cost
Other
2.196
Ttstsl
6.450
Last year
harrtab
Support Cost
exarn
Ra151 funds
Grand tot
èa81s of allocatlon
IDe5crfbe m2thodl
Govetnan
1.012
Premises costs
3,647
5.470
9,117
Admin cost
581
871
1.452
Other
6.949
Total
11.5BI
Please provide delall$ of the aceountlngpollcy
adopted for the apportlonment of costs between
8cbvitres and any estimation teehnlques tss8dto
calcula¢e thelrapportlonmen¢
These governan￿ and Support ¢05ts refer lo funds expended to fulfil
the objectives of the charty. 60% of the support and governance cost
has been allocated to charitsbje expendituie and the remainder to
raising funds.
19

Section C
Notes to the accoutits
Noto 10
D•t•ll• of c•rtaln It•m8 of •xp•ndltur•
10.1 F••8 for gxamlnatlon of tho •ccount•
Pleasepmvlde detalls ofth• amountp•ld lor anyst•tutory •xternols¢rnUny of
ccoun¢s and other$•rylc•s pr0vld8dbyyourlnd0￿￿d¢nt ￿&mIn•r. ff nothlng
was p8ldp1e￿e •ftt•r'O' In th• •pproprfats box(•s).
Th1• yeor
La•t year
Indop•nd•nt •MmlMrf• f•
A$$urance Mrvlc•• oth•r thon audlt or Ind•p￿dent èmmlnatlon
Tax advlsory f••¥
Oth•r l•e8 (for •xample'. fFnancl•l advle•. ¢on•ultsncy. •¢¢ounlancy ••rv5cg•1 p•ld
to th• Indèpendent ?x¥mln•r
350

Section C
Notes to the accounts
Icontl
Note 11
Paid employees
Please complete this note rf the charity has any employee
11.1 Staff Costs
This year
Last year
Salaries and wages
Social security costs
Pension costs {defined Contribution scheme)
Other employeè benefits
18,478
570
127
Total staff costs
18,605
570
This year:
Please provide details of expenditure on stsff working for the
charity whose contracts are with and are paid by a related party
Last year.
Not applicable
Please provide detslls of expenditure on staff working forthe
charity who$e contracts are with and are paid by a related party
Not applicable
Please glve details of Ihe number of employees whose totsl employee benefits (excluding employerpension
eosts) fell within each band of £10.0￿ from £60.000 upwards. If there no such transactionss please
enter'true. In thè box pmvlded.
No employees received employee benefits {excluding employer
pension co$tsl for the reporting period of more than £60.000
TRUE
Band
Number of employees
This year
Last year
£60,000 to £69,999
£70,000 to £79,999
£80,000 to £89.999
£90,000 to £99.999
£100.000 to £109.999
This year
Last year
Please provide the total amount paid to key management
personnel (includes trustees and senior management) for their
services to the charity. For Specific amounts paid to trustees. see
Note 28.
21

11.2 Average head count in the year
This year
Number
Last year
Number
The parts of the charity in which the
employees work
Charitsble Activities
Total
11.3 EX￿ratIa payments to employees and others (ex¢ludlng trustses)
Please complete if an ex-gratia payment is made.
Please explain the na￿re of the
payment
This year
Last year
Please state the legal authority or
reason for making the payment
This year
Last year
Thls year
Last year
Please state the amount of the payment lor value ol any waiver of
a right to an a$$et)

11.4 Redundan¢y payments
Please complete if any redundancy ortenninatlon payment is made in the perlod.
This year
Last year
Total amount of payment
The nature of the payment {cash. asset
etc.)
This year
Last year
The extent of redundancy funding at the balance sheet date
Plea$e state the accounting policy for any redundancy or
temiination payments
23

Section C
Notes to the accounts
Icontl
Not8 12
Defined contributlon pgnsion sehem• or defined benefit scheme accountgd for as a
defined contribut5on 8ch•m•.
12.1 Pleas• complete Ihls not• Il• d•llned contslbudon pensloft schem* Is oper•t•d.
This year
Last year
Amount of eontr5butlonB rncognl••d In th• SOFA as an èxp•n8•
127
Please explaln the ba¥1¥ lor alloca￿n9 the Ilabillty and èxpènso of
defined Contributlon penslort seheme between aetivlues and
between rn•lrfct•¢l and unreBtrlct¢d lund•.
12.2 Ple•8• compl•ts thi¥ s•clloft wh•rn th• ¢h•rltypartklp4l•s In • d•llnedb•n•fftpenslon pljn butls unabl• ¢0
•8c•rt•ln Its *h•r• olihe und•rtylnp 4S¥gt• •nd Il•bllfth&
Pl¢a•o connmi th¥t although th•
•¢hèrn8 18 accounted lor as a d•fln•d
¢ontrIbU￿On plan, It l• o defln•d ￿￿¢111
plan.
Please provlde ¥uch Infomatlon a• l•
$vollable about thè plan's >urplu8 or
d•fflc5t ond the Impllcatlons, 11 any, for
the reportlng ch¥rfty for th1• year •nd
l••t year, if dlffgr•nt
12.3 Ple8se compl•t• th1$ $ertion where th• ch*rttyp•rtlelp•t•s in • MU1￿•mPloY•r defin•d bgn•lltp•n¥lon plan
th•t Is a¢¢ounted foras • defln•d contrlbutlon plan.
Dèscrfbe the •xiont to whS¢h the charlty
can b• Ilable to th• plan for other
en￿11¢9. oblSgatlonJ under the term•
and condI￿On5 oltht multlvemploytrr
plan. If th1$ Is dlfferent for last year.
provld• d•tsil¥
Provlde an •xplanatSon of how any
Ilablllty ari8lng from an agreement wlth
o multi-employef plan to fund a deficit
has been detemiin8d. If this i# drfferent
for last yèar. provSde dtrtails
24

Section C
Notes to the actovnts
Icontl
Note 14
Tangible fixed assets
Please ¢ompl¢ie thi5 nole If the charftyhas anylanglble fix¢da558ts
14.1 Cost or valuation
Frnohold land &
bulkllng•
Ouwr l•t)d &
bu4dlngs
Pl4nL
m•¢hlnory an
mowr
¥ehlc1•5
Flxtuw, flttlngs
and equlpmont
Total
At the beginnirvJ of the year
Addition$
255.981
257.525
Revaluation5
Disp05als
Transfers"
Al end of the year
257,525
14.2 Dep¥eciation and imp•innents
-Ba81s
RB
25%
At beginning of the year
Disposals
386
Depreciatron
290
290
Impai[￿￿1
Transfers.
At end of Ihe year
678
14.3 Net book value
Net bDok value at the beginnirrtJ of the year
255.981
1,158
257,139
Nel book value at the end of Ihe year
255.981
25S.849
25

14A tmpalmiont
Thi$ year.. Ple8se provide 8 de5cFipllon of the evenls and clrcum$tsnoe$ tlrat
led to the recognlllon orrever5al of an lrnpalm?entloss.
Lastyear.. Plees&provAde è deserAptlon of the events and clrcurnstrn¢e$ that
18d to the recognltlon orrevers81 of an Impalmientloss.
14.$ Rgvaluatlon
If an accountingpollcy ofr8velu8lAon Is adopted. pleasepmvlde..
the effecllve date of the revaluatlon
Thls tar
La8t
ear
Ihe n8me ollndependent valuer. If appllcable
the methods applled8ndslgnlffeant a55umptlons
the carryiyrg amount that wouldh8v6 b¢M recognlsedh8dlhe assets been
carniedund8r Ihe cost model.
14.6 Other dl&¢lo$ures
This year
LJ¥ty8ar
flj Ple8se slate tIR¢ amount of borrowlng costs, If any. c8pltallsed In tlre construction of
tangible fixed assets and thtr ¢4pita115atlon t¥te used.
(Ilj Please provlde Ihe •rnounl of contreci￿1 eomrnltments forthe acqul3ltlon of tanglble
flxeda55etS.
{Ili) Delalls ollhe exlstenc8 and c8rylngamounts olpmpertyt plantand
equipment to which the ch8rlty b•$ re51rfctedlllle or that are pledgedas
securlty forll8bllltie5.
Ths Yr8nsf&rs-n)wis forffiovements belween fixgd8ssetC8legories.
' Pleas8 ind￿81$ Èh8 méthod ordepre￿8(￿ort by deleling th& method nol 8pplic&ble {SL= straighl line,. RB= rpducing belancel. Also pb8S&
indicate the r8le 0fdep￿GiaIIon.' forslr8ight line, wh81 is Ihe 6nlicipaled life of the &ss6È (in years),. fort*ucing b818no. wh81 is Ihe
percen18￿ 8nnUaldeducl￿n.

Sèction C
Notes to the accounts
Icontl
Note 19
D•btor8 and prèpayments
Pleasè complete thls not? Mthe charfty ha$ any
debtors orprepayments.
19.1 Analy*l# of debtors
Thls year
Last y•ar
Trad• d&btors
Prepaymonts and accru8d Sncoma
Othor dabtorn
458
458
Total U
Pleasa eomplet• 19.2 where a malerl81 debtor Is ￿0Verabl9 more than • year after the reportlng dale.
19.2 AnalyslB of d•btorn recov•r•bl• In mor• than 1 y•or Ilnclud•d In debtors above)
Th18 year
Last yoar
Trade debtorn
Prepaymonts and a¢cru8d Incom
Other debtor¥
Total
27

Section C
Notes to the accounts
(conti
Note 20
Creditors and accruals
Please ¢omplete note rfthe charityhas any credkors or aceryals
20.1 Anatysis of creditors
Amounts falling due within
one year
This year
Last year
Amounts falling due after
more than on8 yèar
This year
Last year
Accruals for grants payable
Interest free loan
219.500
180,500
Trade CTeditOW5
Payments received on account for corrtracts or
perfomFanc•-rèlated grants
Accruals and dafarr￿ in¢ome
350
350
Taxation and soclal security
other creditors
3.802
Total
20.2 Deferred income
Pleaso complete thi5 note rfthe ehartty ha5 deferredineome.
Thi5
ear
Last
ear
Please explaln the reasons why lrtcome is deterred.
Movement In deferred income account
Thls year
Last year
Balance at the start of the reporting period
Amounts added in current perlod
Amounts releas￿ to income from previous perfads
Balance at the end of the reporting perlod

Section C
Notos to Ihe 3CCOunts
Not• 24
Cash ai bank and in hand
Th55y•ar
Last yoar
Short tmm Ilessthan 3 rnonihs rn*urlty daiAI
S*ort tgrrn deposits
C86h at bank and hw)d
Other
Total
100.482
15.222

Section C
Notes to the accounts
Icontl
Note 27
Chari
funds
27.1 Details of materlal funds held and movements durlng the CURRENT reporting period
Please glve d8talls of the movements of materfal Indlvldual funds In the ryrtlngpwlod together wlth a balanelng Ilgure for ￿ther funds.. The Total funds. flgure I￿lOW
$hould reconclle to Total iunds. In the balance sheet
' Key.. PE- permenent endowment funds.. EE. expendlble endowment lunds.. R- restrfct8dlncon￿ funds, In¢ludlng sp8clal trusts, of the ¢hantty.' and u£ unrnstrl¢t¢d
funds
un
balances
brought
fi>v*ard
un
balances
¢arrled
forward
TY￿ PE. EE
RorUR"
Purpos• and Restrlctlons
Galns and
losses
Income
Eyndlture
Transfers
Fund nam•a
Restricted funds
Unreslricled lund8
Donali¢)ns for Palestine
1.500
30.702
800
91.511
72.528
133337
Other funds
Nla
Total Funds
91.511
74,828
32,202
134,137

Section C
NotÈs tts tile arctrunls
Nottr 28
Tr8nsa¢tlon8 with tru8tseB aThl relaled parlies
Iltho ¢h•rityha$ Ony tsxnsa¢iiw)s rnlatedpArtr•s lobwrthaft the trustee e¥p￿SeS explalnodln ytsl¢tsn¢e ntstssj
detalls of such trWIP5JCtions sh¢wldbeprovldtt14n thlsnot& ￿thwea￿￿O transacdons ttsr¥port ptsose enter~Yn￿"I￿
the box ¢V"Fats•' thw•ar*transaethns to
28.1 Truste8 remuneratlon and ben8fft9
This year
Nonè ollhfr trusleos have k•on pald any r4mun•rntion Iw r￿￿ed any oth•rbpneftsfrDrn a
ernployrnpnl with their charity or a TrfJtad •nlity Ifruo or F•1591
TRUE
fr) theperlodth8 ¢hortyhos rnmwi*¥tlortwrdbenefits thean￿￿￿1oI. andley•l8uthorftyfor,
Jnyremunwatim orotherbeThefitspaldlLI? tsusiEe by thectsirityoranylnstshthrtorttynwrty conjieciedwlth IL
Amourt8 wid orbpnefit val
LeyJl authorlty (09
otdpr. governing
docum*rti
RodytyJ•nty
r￿CludI1*1
lom ol
TOTAL
PleasegfvedpiaNs orother
Lasiy•ar
Noffl• ol the tnMtA•A hA+A b••n pald JThy njrnunerntlon or rntÈiv•d Iny oih•r bon•fits from thn
•mploymort with thelrcharfty oro r￿athd •Trtlty ¢True orFJb•)
TRUE
anyremunerniion orotherbenefitspaldlo a In￿teety the¢hatyoranylnsbYtsWon or¢tsmpanyconn8¢ied¥Ylth
Amounts p•KI or bonefftvAIu8
0￿hOlIty{eg
ordtyr. governin9
do¢vment)
TOTAL
oltru5tee
Ple8stylvodetalls olwtyr8mun•th wotr
employmefft bertoffts
Whwe an *Ygraiiapaymenth*$been made to a thth¢
provldean •xpl•n4Oon of thenatur•olthep•ym•
31

28.2 Tru8t8eB' •xpon8•#
Ilthe ¢hgfrIty hasp8ld tmsi••s exp•ns05 lor fvINlllJ)g thfylrdutlo5, det811s olsuch tronM¢rion$ 8houldbeprovld•dln thls
nom. Mlherfr•ieno trarts•¢tlorts to ¥0POrt plHse onrw'Tru•" In tha boxbelow. Ifthwoafe tr8rts•ctlonJ to r•port pl•¥8è
No iru•tw oxp•n•M h•v• Incurred (Tw• orFal•g1
TRUE
Typ? ofexpen•eA relmbut••d
Thls yo4r
Lastyoar
Travel
AcBomrnodaison
Olher Ipleaug Bpaclfyl..
TOTAL
PloaBQ pro¥ld• th• numb•r vf Iru•l•K rnlmbur4•d lor •xp•n*•• orwho
h•d •xp•n••• pllld by th• ¢h•rlty
28.3 Tran•actlonlal wlth r•l•tsd pirth•
PIw¥• 9lv¥ d•t•lis ofJny trnns•dion urtd•rt•*en tryforon b•hMoQ th• ¢h•rltyln whl¢h • f•l•t•dp4tyh•8 • miterlal
Int•r•8t IncluLllng whw• Aurtd# h•v•bvn helda8 •Qtntforrelatedp•rtl•s. ff Ih•rnar• rto such tr•ns•e*ons, pl8os• ènt•r
Iru•'ln th• b¢ixpmvld•d.
Th1• y••r
Thgro hllv• b••n no r•lat•d lrnn¥a¢tloni In tho rgponino pgrlod (Two or Faliql
TRUE
Amounli
wrltt•n oll
durlng
rTrportlng
•r4od
Plpm• ol Ihl truitq•
or r•lat¢d p•rty
Rgl•tlonehlp
to Chllrlty
D••crfpiion of th
tMn••cllonlsl
Bal•nc• ai
p•rfod •nd
Amovnt
Pro¥lBlon lor bad
d•bti al porfod Ind
In relatyon lo the tran$o¢tlon5 abov•, pl•os•prnvldp th•
gern?$amd¢ondltlons, In¢ludlng anysBcurty•ndthe Mrur•
olanypaym•nt(¢ortLrl(18rntlonl tobopmvIWln
Sllllemont.
For•ny rol•iedp•ty. plv$•pfovlthd•t•ll$ 018lly
gu•ranlees gfv•ft oir•celvoLI.
32

La•t y•8r
Th•rn h•v• bwn no rnl•thd party 1r4neoctlo￿• In th• r•portlng porlod ITru• or FAl••l
TRUE
Amounts
wrlllon ow
d¥rlng
rgportlng
porlod
Nim• of th• tru•t••
or r•lit•d party
R•l•iionshlp
to ¢h¥rlty
O••crlpUorb ￿ Iho
Amount
Bfyl•n¢• •1
p•rlod end
Provl$lon tor b•d
tl•b¢$ It PBrlod •nd
In rnl•iion M th• ts*nJactlon¥ •&ov•. plM8•provld• th•
i•mi$ •rtdcondltloft¥, Includln9 •ny 8ocurlty andlh• n•iur•
of•rtypaym•nt [conSId￿tiOn) to b•provld•Llln
¥•thm•ftL
F0r8nyrnl41￿p*rt￿, plws•pYovldi tre(•118 ofvny
NI￿n orrn¢glv•d.
33