Regl8tor&d Charlty Number 1197445 BE WITH ME REPORT OF THE TRUSTEES AND FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31 JANUARY 2023 Apex Associates LLP Accountants and Tax Consultants Apex Chambers 58-A Ilford Lane Ilford Essex IG12JY
BEWITH ME Report and account8 Contents Page Staielliejii of Trustees, re4)oiisibilities Accoyiitants. r¢port Statcmciit of Fiiiancial Aciivilies Iticoiiie and Expeiiditt]r¢ a¢wuiit Bal7¢¢ slieet Notes to th¢ a¢n Detailed Siatemertt ()f Fiiiaieial Activities 10
BE WITH ME Charlty Informatlon Trustees Mi.. Ali N£s0r Al Mi.. Moliaiiied Aslirxff Ansary Mrg. Sofia Abdillcilii Oillar Miss. Najivali Kassiiii Masoud Miss. Maiyaiii Nassoi'AIi Accountants Aft&b Alilliad Khwi Apex Assoctales LLP Accountants and TLK Consiiltartl% 58-A Ilfoi'd Lane Ilford Essex IGI 2JY Bankers BEll'Llays PIC tEicesiei' LE87 2BB Reglstered offlce McAllistci' G¥'ov¢ IGII OFS Regist8red eh8rlty number 1197445
BEWITH ME Thg report of Iho tru¥tg95 for th& period ended 31 January 2023 Introiluctlon The inFsiees preseill Ilieir final rert and a¢eoui115 lor petiod c1¢d 31 Jairy 2023. Tlie coiningyear.and lIrtI clkiriry5 a55ets ar adequaie 10 fulfil iisobligoiion5. Structure, Governance and Management Governing dotument The diariiy is eoiltrolled ty its governing dtsCttml1. È cn$llilioll ig & ChaYi18ble Incoj'ponied OrgE111iSation ICIOI Risk management The triLsl¢r5 hRvL' h duly lo ideDlify and tcvieiv Ihe lisks 10 llit ¢harily is tXPtsYcd alld io eiisure aypropriateeoiiirols&re 111 p18e¢ iopro%Yde rtasolble8ur3I¢ asainsi fraud al enDr. Ind8p8nd8nt Examinor Aft8b Ahmad KhBn FMAAT. Arr Apex Associates LLP Accountants 8n(S Tax Consuiianis SPA Iword Lane Ilford gssex IG12JY Statement of Tru8tee8' Respon$lbllltbe8 The Ch#riiie3 Aci Yequifex the Board ofTru3t¢e3 to prepare finantial 5tateirteilts foreueli firtgn¢ia] yFdt IlICh give a Itue Und fair vi¢w vf lh¢ s1 rjf otTairs of the ¢harity ai lh¢ end of ihe riiHnGial yearalld ofrtKsurplus QL defi¢iiofth¢¢hllrity. In weparing thos¢ fimncial 5tai¢MKnts die Bowd is required lo". niukejudgeinents and estliaS tliaiJrc reasonahlc and prudcnt. gnd irtq)propiiatekn PreSUn tliatiheclurity ivill continue in busilw. 5tat¢ 1vhetjr applicabl¢ accouniiiig sthivjards and stsienKiits of recommlded PfaLtice havE en follTrived. subieBI tQ3ny mteri41 deporiures di1sed and explain lihe fJnatKial stAinenis," T1 Trustees 8re also rewi1b1t lor mÈiiiiwning ade91¢ aeeounting rttords I¢11 disclose wilh reasonable awutR¢y 41 any tiine Ui¢ finalla1 sItiOn of Ui¢ ¢lwiiy and ivhicli are 5Utricient 5taleniEnts ¢oiiiply ividi r¢gulation5 under th¢ Char111¢5 kn1. They are also r¢5PDnsible r( safegrdIng1he a5%eis ofih¢ clioriiy and IwiK¢ for tuking rea50noble s*ps for Ihe pr¢vet3tion ar d¢tiOnar(laUd OlheriYro8&r1ties. The %Nsteesair 50 responsible forthe conients ofihe thLStees' repori, And tlie responsibility ofihe Independent Exaiiiuier ui relation to the true& report Is liniitcd to exan111)S die Rport Cnsuting that. oil the fuc¢ of the repuTL ihpre Inwn4i3t¢nrie¥ with ihe figures disclDsed In th2 financial slatcrncnts. This tewrt wasAppToved by Ihe board ofituslees 1411012023 All NaGsorAII h•lrman
BE WITH ME Independent Examinèr's Rèport to the tNstee$ of th8 charity Report of the Independent Examlnèr lo th8 trustees on the accounts of the Charlty for thè peylod ended 31 January 2023 l Tepoi'l on Ilic linaiicial siaieiiienis of Ilie Charily loi. Ihl kxi'iod uidcd 31 Jaiiuary 2023 ivliich liave been prepared in accol1¢e willi the Cliarilies A¢t 201 I aiid iviih tlie Fiiiaiicial Reporliiig %taiidard foi. %inaller Eiititi¢s IFRssf.I, cffeciive April 2008, adapted lo meel the needs ot uniiicoiporal¢d organi58tiOll5, as Inodili¢d by Ilie Statemcnt ot R¢comiiiended Practice foi. Accounling and Rcporling issucd by tlie cl7-1tY Coniiiiissioners foi. England & Walcs. cftective Apiil 2005 Js vISed ill June 2008. IT1 SORPI, linder Ilie hisloricol cust u)nvention and the acwunling i)oli¢i¢s. Rèspectlve responslbllltles of trustees and examlner A8 dcseribed, iiie Cliaritys IiwstCC5 arc r¢swnEibl¢ for tlie piEi&4rnlion of the fiiiancsal stsleinent%. The tru%lee% are ti£fied that Ilie #udil Tequiithntni of Scciioii 14411} of Ilie Cliai'itie% Act 2011 Iihe Acll doe8 Ilot apply. (hat a eollsequent4 Ihe trusices liavc clccled Il)at rlie fiiiancial srarenieiils be siibjecl to iiidepeiidenl eXMinatIO11. Having satl8fied Iny5elf tliat the charity is not subject to audit, and is ¢ligibl¢ for independ¢n¢ ¢xgniingtion, it is illy al cxamine tlie account% undei ection 145 ofiiie Acl. b) lo fulloiv Ilie proccdiiies laid doivn in rhe General Direct10115 given by the Charity Co)llliiiS510ll under sectioll 14515llbl of Ilie Act.. and: c) 10 sratc ivhet]icr PÉllliculai' matters liave coine to niy att¢nlioii. Basls of oplnlon and scope of work undertaken I cotiduclcd rny exwiiiiiatioii 111 littuTd1te with the Genei'tl Diitciioiis given by Ilie Charity Comniissioiiers foT Eiigland & Wales ii) relalioii lo the coiiductiiig of ali iiidepeiideiit examinatioii, referred to blIe. Ali iiidependciit eX11117a1iott iiicludes a I'eview of the accoujitiiig iecords kept by Ilie Charily and ol. Ihe aCCOUliliiig tysiejn employed by the Cliai'ity 2nd a coinparisoii of Ilie fuiancial slalemeiils preseiited ivitli Ih05e recoi'ds. It also incliides cotisidcratioii of wiy unusual iterns or digclogures iii the finaiicittl giaiernenlg . and seekiTig explanatioiis from you 2$ Ii'usiecs coiiceim1118 siicli tiJaiiei%. Tlie pur5¢ of Ilie ¢xamitiation is lo establisli as fai. as possible IlJal tlicic liave toei) iio b1Eaches of tlie Charities legislation and Iliai Ilie fthJncial SLaienieiiis comply iiriili Ilie SORP, on a test basis. of evidtncc ielev&ii to Ui¢ ainoutiis ]d dilOsuitS ui Ilie tu)l¢la] slalejnenls. The ptedlirtS underlaken do not piy)vide all tlie evidenc¢ that ivould be requiiEd in gn audit, and infonnation supplicd by t1 trustees in the course of I1 exaTninalion is not subjccied 10 atsdil ICSIS oi. enquiiies, coiiscqutntly I do rtoi &xpiess an audit opinion on the view gii'¢n hy tlie finaii¢ig1 stateiiient% and ill particula1'. 1 cxpress no opiiiion lo ivheihei Ihe finaiicial slalcllitnis give a iruc and fair viciv of Ilie affaii's of the charity. and my Teporl Is liiiiilcd to Ilie 1tt2llers set oui iii Ilic statcnicnt [low. I planned and kKiforiiied Iiiy &iwni11gtion so as ta s8lisfy mygelf Iliat the objectives ofihe in(kpendent examinatsoD are achieved aJLd iKforc finalising the rerx)it I obtain wrilten assuranees from Ihe trllslees of all ttialerial in2tters. Independent ExamIn•9 Statement, report and oplnlon In conneciion wilh Iny exanii114tion, iio iiiatter Ii&L% conie to my #ttention in eonnectioii ivith iiiy cxainination Ivhich gives me reasonable causc to bclieve Uiat in any iiiaterial r¢S¢t tlie requiiEni¢nts
(i)¢o keep accouiiting ircoi'ds iii aecoi'thce with section 130 of tlie Act. lil) to prePe fiiullicial statements whicli accord with the accountiiig iEcoids and coiiiply witli the actounlinE requirciiicnis ot'ihe Act and. liiillhal Uic fiiiancial statciikcnls bc prtwrd irt ac¢ordaiic¢ willi tlic Inetliods and principles scl out iii llje sknienienl of Recojmiiended PraitiLe- ALLouniirtg Repui1ing by CJJkllities have Dot b¢¢n mel oi. to i¥liich, in my opiiiion. attention should be drawn in niy rert in Ordei'to ejable a proper understanding of the awunts to be leached. Aftab Ahmad Khan FMAAT. A Apex Associates LLP Accountsnt5 and Tax Consult8n18 58-A Illord Lane Essex IG12JY Date '.
BE WITH ME statement of Financral ActivTrties For The Perlod Ended 31 January 2023 NoiE¥ 2023 Incoming resources Incoming rasourcas from generated fund8 Voluntary income Olhèr Incomlng Resourtes 35,092 Totsl incoming resour$ Cost8 of charitable activili8s Total resources experided Net income 11105sI resources before transfers ben funds 24.315 Total funds broughl forward Total Funds carried lOard
BE WITH ME statement of Flnanclal Aetlvltles For The Perlod Ended 31 January 2023 Income and ExpendItU Account For Thg Pgrlod Endod 31 January 2023 2023 Voluntary income 35,092 Olheropeiating income Cosi$ of Gh8rrtalAe actlvlues 110.7771 Gross surplusl Ilossl 24,315 Surplus I Ilossl on ordinary activities before lax 24,31S Surplus l Oossl for the financial year 24,815 Grft Payments Retained $urplu$ I Ilos$l ftsrthe flnancial yaar
BE WITH ME Balance Sheet as at 31 January 2023 Notss 2023 The a55eis ar liÈbililies of the charity Fixed assets Tangible assets Total fixed assÉls Current assets Debtors C85h at bBnk and in hand To181 current assets Amounts due within one year Net current assets 720 24 Total assets less current Ilabllthes 24,315 Nel assets induding penslon asset I liability The lund$ of the char&y Unreslricled income fullds Unrestricted revenue acCumuted funds 24.315 Total Funds The finanri81 statements were approved by the Board of Tru8lee8 on.. .1411.012Q23.. signed on its behalf by.. All Nassor All . Trust88 Mohamed Ashraff Ansary- Trustee
BE WITH ME NOTESTO THE Ac¢ouNTS FOR THE PERIOD ENDED 31 January 2023 Accounting polici88 Accounting convention The fIcial statenients are piypared 01) a going ¢oM¢¢ni basis. yiider the liisiorical cost nveIl0, attd iti llccordaiice with tlie Finaiicial Rcporling Standard f Sinall¢r F.Iiiiiies leffeciive Apiii 2008, Ilie Clidrilies Act 2011 aiid the requiremenis of lh¢ sialeiel of Recoiiiiiieiided Practice. AccoulllB &iid R¢portitiB by chl(leS. Incoming R8sourc88 All IiiLvming rty'sour¢¢s ar¢ iiicluded on the StsteiiieiitotFinwicial Aclivilics whcll the cbarity i¥1¢È811y elltiiled to die incon1¢ Hiid rhe Jiiiouni Can b¢ quantified witli reasoiiable accuiacy. Recognition of liabilities Liabiltties are re¢o8iiised oil Ui¢ accruals basis in accoirfauce ivith Jjomiat a¢¢owiiitt& wlliciples. niodified sqieTe Metessary in accord1¢¢ with Ib¢ euldle¢ gsv¢ii iii the SORP. Taxation As a r¢gisiered ¢h•i15,. Uie orgallisation is exejllpt frorti income and wrporaiioi) tax io the extent that its iijeoine atid gaiii% are applicable to cbaiitable PUFposes oiily. Funds strnetura pollcy The cliarity Inainthins & geneial UDTestrict¢d fulld i71cli r¢iirLSCnL% funds wljich are exi)endable al thc disLletioii af Ilie ttiisic¢8 in thrUJerwJce of Ili¢ objecis of th¢ charity. Sucb fvllds lliay be h¥ld irt ord¢r lo f1£t botb worknllg c8Pitai wid capital iiivesliiieiil. Restricled funds hav¢ provided 10 Ilie diarity for pariicular purposes. 8nd it is the policy of Ibe board of Irusr¢es to carefully I1l10r Ili¢ 8pplicaliuii of thosc fulld5 in accoth¢¢ iyiili the resirictiojjs p18ced up(xi A fixed asset fuiid is mainlaincd r¢pre8ellis the wriiieii dowij value of tw]gible fixed asstis, and is divided into a re51rirlEd fixed assLI fllnd representuig the w'itteii down vdue of Ib05c ass¢ls ¥ubjeci to tesiritlious, Ividi lh¥ beitig tsi a d¢$iÈiiai¢d fund represeji18 tbe ]ltten doiiryi valu¢ of IliosL ass¢t8 Iree olieslricliolls. The dethiled operation of diege furtds is descrId iujder the accoullting poliey, Capital graNts' TIKre is iio f71 policy oftransfer beThvttll fvijds or oli Ilie Allocation offuijds lo de518iiaied fuiid4 oilier tl]Sll that described above. Any other propsedtrallster betweeii tiin(Ls would be Considered OJJ the particularcircunislaDces. 2 Wlndlng up or dl8soILbtton of the charity If upoll wind8 up OT dissolution of Ilie Gliarity tliere rilli& any assets. Atler tlje satisfaciioii of all d¢bts and liabiliiies, Ili¢ ass¢is r¢pres¢iitrd by tlie accuniulated fund sbau be Iiai]5fcrr¢d lo sonic oiher charitsble body or bodie5 haviiig sTmilaT obje¢ts Iv lh¢ Cliarity. 2023 Revenue Tumover from ordinary activi118S 35.092
BE WITH ME NOTES TOTHE AceouNrs FOR THE PERIOD ENDED 31 JANUARY 2023 3 Staff Costs and Emoluments 2023 Gross SEilaries Thcrc iveic no fcES or other r¢iniin¢raiiort paid Ii) th¢ 1rUg¢S Therc iveie no eniployee5 Ivltli eimolumeiits iii excess of £60.000 per anniim 4 Trustees. Romunoratlon Neither the trustees norlliiy peTSOliS conne¢ted willi Ilithii liavc rettivcd iiiy [Iliner1110n, eiilier in the iircnl Y¢- Dr Ilie prior year. 5 Creditors- amounts falllng due wlthln one year 2023 A¢crtLed expenses 720 720 6 Unr88tricted revanuè a¢cumulated funds 2023 At I l January 2022 Houglil foi'ivArd Urjrulriclcd iivenu¢ / (loss) foi. Ilie fthancial year 24.315 At31 Jaiiuaiy 2023 24
BE WITH ME Schedule to the Statement of Financial Activities For The Period Ended 31 January 2023 Unrestrlctgd Funds 2023 Total Funds 2023 Incoming Resources Voluntary Income 35,092 35,092 Total Voluntary Income Other Incoming ResourcÈ8 Olheroperaling iTrcome Total Other Incoming Resourcss Total Incoming Resour¢es 35,092 Professional fees in 8UPPOrt of charitable aclivilie8 Donations Accountancy fees Olherprofessional fees 18.2071 17201 1.850 18,2071 17201 1,850 T¢lal Support Costs Net Income I Ilossl r8sourc8S 24.315
BeWithMe Charity Trustees’ Annual Report
Trustees Report for the year ending 31[st] Jan 2023
Charity Information
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Charity Name: Be With Me
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Registration Number: 1197445
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Address: 1 McAllister Grove, Barking, IG11 0FS.
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Trustee Names:
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ALI NASSOR ALI
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AHMED MASOUD SAID
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MOHAMED ASHRAFF ANSARY SOFIA ABDILLAHI OMAR NAJWAH KASSIM MASOUD
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MARYAM NASSOR ALI
Governance and Administration
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Structure:
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The charity trustees assume responsibility for the overall control and management of the charity. They volunteer their time and do not receive any form of remuneration or financial benefits for their roles as charity trustees. The trustees convene as a collective upon communication via phone calls, text, or WhatsApp messages, making collective decisions regarding the charity's operations.
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Recruitment of Trustees:
The appointment of new trustees follows a nomination from an existing trustee and requires a majority resolution passed during a properly convened trustee meeting to determine the term of the said trustee.
Activities and Objectives during the Reporting Period
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Activities:
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Financial Relief in Sri Lanka: Swift response to Sri Lanka's economic crisis, providing vital aid to alleviate its impact on vulnerable individuals and families.
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Udhiyya Qurbani in Sri Lanka: Facilitated sacrificial offerings to ensure disadvantaged community members' meaningful participation during this religious observance.
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Zanzibar Water Well Project: Successfully collaborated with AMC Trust to provide sustainable access to clean water in Zanzibar communities.
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Empowering Zanzibar Orphans: Organized tailored lunch events to enhance the wellbeing and sense of community for orphans in Zanzibar.
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Aid for Pakistan Flood Victims: Collaborated with the UK Islamic Mission to provide aid to flood victims in Pakistan, supporting their recovery and rebuilding process.
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Community Book Release Fundraiser for Zanzibar Orphans: Participated in a community event to raise funds for supporting orphans in Zanzibar.
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Weekly Friday Fundraising Drives (Jum’ah): Regular fundraising drives aligning with Jum’ah prayers to gather financial support for our charitable causes.
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Digital Fundraising Campaigns: Utilized social media and crowdfunding for targeted fundraising campaigns, engaging a broader audience for contributions.
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Objectives:
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Throughout the reporting period, our charity remained resolute in its commitment to alleviating financial hardship experienced by underprivileged communities, with a particular emphasis on impoverished individuals, orphans, widows, and other vulnerable groups. Our efforts were directed towards fulfilling these objectives through the implementation of a diverse array of projects and initiatives designed to uplift and enhance the well-being of those in need.
Achievements and Performance
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Achievements: Throughout the year, we responded promptly to critical situations, including economic crises, ensuring essential aid reached those in need. Our successful execution of vital projects, such as the water well initiative with AMC Trust, significantly improved community access to clean water. Tailored events for orphans furthered our commitment to enhancing their well-being and sense of belonging.
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Performance:
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Demonstrating resilience and commitment, our charity effectively translated objectives into impactful outcomes, addressing financial hardship and aiding vulnerable segments of society. Our agility in responding to crises underscored our dedication, and successful collaborations, like the water well project, showcased effective partnership for the greater good. Our overall performance reflects the substantial positive impact on the lives of the less privileged, reinforcing our steadfast commitment to our noble objectives.
Statement of Trustees’ Responsibilities
As charity trustees, we recognize our duty to prepare the annual report and financial statements in line with legal and accounting standards. This involves selecting appropriate accounting policies, ensuring consistency, and making prudent judgments. We are committed to compliance with relevant accounting standards and adopting a going concern basis. Additionally, we maintain accurate records and take preventive measures against fraud, ensuring adherence to Charity Regulations and our association’s constitution.
Approved by the members and signed on its behalf by:
……………………………………… Mohamed Ashraff Ansary (Trustee)
June 2023