CHARrrY REGISTRATION NUMBER: 1197623
DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Unaudited Financial Statements
31 March 2025
SAK2020 LTD.
Chartered Certtfied Accountants
Broadway House
Broadway
Cardiff
CF24 1PU

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Financial Ststements
Year ended 31 March 2025
Page
Trustees, annual report
Independent examinerfs report to the trustees
Statement of financial activities (including income and
expenditure account)
Statement of financial position
Notes to the financial statements
The following pages do not fomi part of the financial statements
Detailed statement of financial activities
10
Notes to the detailed statement of financial activities

DAR US-SALAM CULTURAL CENTRE
ompany Limited by Guarantee
Trustees. Annual Report
Year ended 31 March 2025
Th8 trust8es present Ih8ir report and the unaurJit8d finanDal StateM￿ts ol the charity for the year
ended 31 March 2025.
RefEren¢e and admlnlstrative details
Registered charity name
DAR v￿ALAm CULTU￿ CENTRE
Charfty re9lstration number
1197623
Company r•glstratk*n number
Principal office and registered 26 Wdls street
offlce
Cardrfr
CF116DX
Th8 trustees
Mrs AHMEO
MrMALI
Mr M A AHMEO
A￿0untsnls
SAK2020 Ltd.
Chartwed Certified Ac£wntants
Broadway House
Broadway
Cardiff
CF24 1PU
Small company provi510115
This Teport has be&n PTepared in a¢xordance wlh the provisK)n$ 8rf1llcab￿ tr) cornpanies entitled to
thè small companies exempt'on.
trustees, annual ￿pOrt was approved C￿ ......... ....... ..............
of trustee5 by".
s*Jned on bghalf of the board
Mr S AHMED
Trustee
•ArMAU
Truslee
Mrm A AHMED
Truste8

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Independent Examiner's Report to the Trustees of Dar Us-salam Cultural
Centre
Year ended 31 March 2025
We report lo the trustees on our examination of ￿ financial stslemenls of Dar Us-salam Cultural
Centre I'lhe charity'} for the year ended 3151 March 2025.
Responsibilities and basls of report
As the charity's Iruslees you are lesponsib￿ for the preparat*)n of the aceounts. The charity's InJstees
consider an audit is not required for this year (under $4313) of the Chartties Act 1993 (the Acll.
11 is our responsibility to..
1. Examine the accounts lunder $43 (31 (a) of the 1993 A¢ti
2. Follow the procedures laid down in the General Dire¢lions given by the Charty Commissioners
under section 43 {71 Ibl of the Act, and 3. to state whether part￿ular malters have come to our
attention.
Having satisfied ourselves that the charity is not subject to audit under company law and is eligible for
indèpendent examination, it is our responsibilrty to..
' examine the accounts under section 145 of the 2011 Actr.
' to follow the procedures laid down in the general Directions given by the Chanty Commission under
section 1445llbl of the 2011 Acl. and
. to state whether particular matters have come to our attention.
Independent examlnerfs slatement
Vve have completed our eXaminat￿n. We confirm trtat no matters have come to our allenlion in
connection with the examination giving us Cause io believe..
accounting records were not kept in respect of the charity as required by section 386 of the
20C6 Actr, or
2. the financial statements do not accord with those record5", Dr
3. Ihe financial statements do not comply with the accounting requirements of section 3￿ of the
2006 Act other than any reqUirerr￿n1 that the accounts gwe a 'lrue and lair, view whi¢h is not a
matter considered as part of an independent examination." or
the financial statements have not been prepared in ac(x)rdance with the methods and
principles of the Sl*emenl of Recommended Practi￿ for accounting and reporting by
arilies applicable lo chartbes preparing their accounts in accordance with the Financial
Reporting StarKlard appliCa￿e in the UK and RepLEblic of Ireland IFRS 102).
We have no concems and have come across no other matt￿3 in connection with the examination lo
which attention should be drawn in this reFX)rt in order to enable a proper understrdnding of the
ounts to be reached.
SA
020 Ltd
Chartered Certified Accountanis
Broadway House
Broadway
Cardiff
CF24 1PU

DAR US-SALAM CULTURAL CENTRE
Company Llmited by Guarantee
ststement of Financial Activities
(including income and expenditure account)
Year ended 31 March 2025
2025
Unrestricted
funds Total funds Total funds
2024
Note
Income and endowments
Donations an￿l￿a¢le5
Total income
48,888
48,888
48,888
48.888
21,193
21,193
Expenditure
Expenditure on raising funds.
Costs of raising éonatKTrns and legac4es
Total expenditure
21.781
21,781
21.781
21.261
21.781
21,261
Net incomel{expenditure) and net movement in funds
27.107
27,107
1681
Reconciliation of funds
Total funds brought forward
Total funds carried fonvard
7,057
7.057
7,125
34.164
34.164
7.057
The statement of financial actwities indudes all gains and losses recognised in the yeaT_
l income and expendibjre derive from continuing actwilies_

DAR us￿ALAm CULTURAL CENTRE
Company Llmited by Guarantee
Statement of Flnanclal Position
31 Mar¢h 2025
2025
2024
Current assets
Cash al bank and in hand
34.464
7,357
Creditors: amounts falling due within one year
Net current assets
300
34,164
7,057
Total assots l•s$ ¢urr•nt Ilabilitiès
34,164
7,057
Net assèts
34.164
7,057
Funds of th• ¢harJty
Unrestricted fund5
34,164
7,057
Total charity funds
34.164
7,057
For the year ending 31 Marth 2025 the charity was entitjed to exetnption ftotn 3LKfit under secbon 477
of the Companies Act 2006 relabTrJ to small (*Jmpanies.
Dirèctors, responsibilil"es'.
The rnewnber5 have rwjt required the cL¥npany to otstain an audr( ol tts financial ststemenls for Ihe
year in question in accordance wlh seGlion 476..
The director5 acknowledge their responsi￿.7111es for ¢(Xnply￿g With Ihe ro4uirements of the Act
with respect to accounting record5 and Ihe preparaticn of financkql ststements.
Thes& financial statements ha￿ b88n prepared in accordan￿ wilh the provisions applicable lo
companies subjecl lo the small companies, regime.
These finanoal slallments were approved by the board of trLt51ees and authorised for issue on
. and are signed on behaifol the board ty.
Mrs AHMED
Twsle
MrMAU
Tw5tee
rMAAHMED
Trustee
The notes on pages 5 to 8 form part of theso finarttsal statemen

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Notes to the Flnancial Statements
Year ended 31 March 2025
statement of ¢ompliance
These financial statements have been prepared in compliance with FRS 102, 'The Financial
Reporting Standard applicable in the UK and the Republic of Ireland.. the St21ement of
Recommended Pr￿lIce applicable to chartties preparing their ac￿untS in accordance with the
Financial Reporting Standard apjicable in the UK and Republic of Ireland IFRS 1021 (Charities
SORP IFRS 102)) and the CoMpan￿S Act 20C6.
Accountlng policles
Basls of preparation
The financial slalemenls have been prepared on the hislorical c05t basis, as modified by the
revaluation of certain financral assets and liabilrties and investrnent properties measured al fair
value through income or expenditure.
The financial stalements are prepared in slerling. which is the fiJnctional currency of the entity.
Going concern
There are no material uncertainties about the chanty's ability lo continue.
Fund accounting
Unre$trirted funds are available for use at the discretion of the trustees to further any of the
charity's purFX)ses.
Designated funds are unrestricted ￿ndS earmarked by the trustees for particular fijture project or
commitment.
Restricied funds are subjected lo restrictions on their expenditure dedared by the donor or
through the terms of an appeal, and fall into (Me of tsvo sub-Gla5ses'. reslricled income fvnds or
endowment funds.

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Notes to the Financial Statemenls {¢ontinu*YJ
Year ended 31 March 2025
Accountlng pollcies f¢ontinuedJ
Incoming resouTce5
All incoming resources are included in the statement of financial activities when entitlement has
passed to the charity- tt is probable that the economic benefits associated wth the transaction
will tlow lo the charity and the amount can be reliably ￿SUre￿. The following specwFic policies
are applied to particular tsIeg¢￿e5 of income".
income from donations or grants is reccgnised when Ihere is evidence of entidement to the
91f( receipt is probable and its amount can be mea5ur&Y reliably.
legacy income is re¢ognised when receipt is Probab￿ a￿1 entitlement is established.
income from donated gts)ds is measured at the fair value of the wds unless this is
impractical to measure reliably, in which case ￿ value is derived from the cost to the donor
or the estimated resale value. Donated faulitie5 and ServI￿S are recognised in the
counts when re￿iVed if the value can be reliably measuied. No amounts are included for
the contribution of general volunteers.
income from contracts for the suppty of se1vi￿S is recognised wtth the delivery of the
conlfftcted setvice_ This is classffied as unrestricted fvnds unless there is a contractual
requirement for rt to be spent on a Part￿Ular purpose and returned if unspent, in which case
f( may be regarded as restricted.
Resources expended
Expenditure is recognised on an accruals basis as a liability is incurred. ExFendilure includes any
VAT which cannot be fully wovered. and is classtfied under headings of the statement of
financial aclivits.es to which il relates..
expendilure on raising fvjnds includes the costs of all fvndraising activities, events,
non<harilable trading acb"vities, and the sale of donated goods.
expendilure on charitable actNlties include5 all costs incurred by a charTrty in undertaking
activitie5 that ￿rther ils charitable aims f¢￿ Ihe benefit of its beneficiaries, including those
supwrt cosls and costs relabng to the govemance of the charity apportioned lo charitable
actiwties.
other expendilure includes all expenditure that is neither rekiled to raising funds for the
charity nor part of ils expenditure on tharitable activities.
AII c0515 are all￿ated lo expendtture ￿tegorIeS refiecting the use of the ￿tyJrCe. Direct costs
attributable to a single activity are all(K*ed direclly to that activity. Shared costs are apportioned
belween the activities they contribute to on a reasonable, justifiable and ￿nsIStent basis.
Limited by guarantee

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Notes to the Financial Statements (¢ontitt¢KdJ
Year ended 31 March 2025
Donation8 and legacies
Unrestricted Total Funds Unrestricted Total Funds
Funds
2025
Funds
2024
Donations
Donations
48.888
48.888
21.193
21.193
Costs of ralslng donatlons and lÈga¢ies
Unrestricted Total Funds Unrestricted Total Funds
Funds
2025
Funds
2024
Costs of raising donations and
legacies - Donations
21.781
21.781
21,261
21,261
Staff costs
The total staff costs and employee benefits for the repoTb"ng perijd are analysed as follows..
2025
2024
Wages and salaryas
9,360
9,360
The average head count of employees during the year was Nil {2024= Nill.
No ernployee received employee benefits of ￿re than £60.￿0 during the year (2024.. Nill.
Trustee r•muneration and expenses
C￿ditOrs. amounts falling due within one year
2025
2024
Accruals and deferred Income
300
300

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Notes to the Financial Ststements fconlintsed)
Year ended 31 March 2025
Anatysls of eharitable funds
Unrestricted funds
At
31 Mar¢h 20
25
1 April 2024
Income Expenditure
General fvnds
7,057
48.888
121.7811
34,164
At
31 March 20
24
1 April 2023
Income Expenditure
Genetal funds
7,125
21,193
(21,2611
7.057

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Management Infomiation
Year ended 31 March 2025
The following pages do not fonn part of the financial statements.

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Detailed Statement of Financial Activities
Year ended 31 March 2025
2025
2024
Income and endowments
Donatjons and legacie$
Donations
48,888
21,193
Total income
48.888
21,193
Expenditure
Costs of raising donations and legacieg
Wages and salaries
Rent
Rates & water
L￿h1 & heal
Telephone
Volunteer expense
Accountancy fee
9,360
8.400
268
2.057
395
1.000
301
9.360
8.400
2.936
261
300
21.781
21.261
Total expendlture
21,781
21,261
Net incomel{expendituR)
27,107
1681
10

DAR US-SALAM CULTURAL CENTRE
Company Limited by Guarantee
Notes to the Detailed Statement of Financial ActlvltAes
Year ended 31 March 2025
2025
2024
Costs of raisin9 donations and legacies
Costs of raising donations and legacles - Donations
Wages alld salarie5
Rerbt
Rates & water
Light & heat
Telephone
Volunteer expense
Accountsncy fee
9.36D
8,400
8.400
2,057
395
1,000
301
2,936
261
300
21.781
21,261
Costs of ralslng donatlons and legacies
21,781
21,261
11