Charlty regisrrdtion number.. 1197956
DAR AL-ISLAM CENTRE
TRUSTEES, REPORT AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUARY 2025

Dar Al-Islam Centre
Contents
Pago
Truste&, Report
Independent Examiner's Report
ststement of Financlal Attivltyes
Comparative StatemeAt of Financial Attivtties
Statement of Financial Posltlon
Note5 to the Finandal Statements
10-16
The followlng pages do not form part of the ststutory atcounts..
Oetailed Statement of Financial Attivities
17

Dar Al-Islam Centre
Trustees. Report For The Year Ended 28 February 2025
The twstees present their report and the financ*al statements for the year ended 28 February 2025.
ObJoctlv•s and Actlvities
Alms and ObSettive$
The cent￿ s charitable objects, as stated in its constitution, are:
To advance the ￿1[910￿ of Islam tn accordan￿ with the tenets of the Shia Ithna-Ashari faith through worship, relioious
education, and community support.
To advance educatlon, partlcularly Islamic teachings. through classes, lettures, and related programmes.
In shaping the Centres athvSties for the year. the tnJstees have had regartj to the Cbarity Comrnission's guidance on public
benefit.
Publlc Benefit
Dar Al-151am Centre provides clear and demonstrable public benefit through a wide range of rejigious, edycational, social,
and community-focused services that are accessible to people of all ages and backgrounds. These indude..
• Regular rellgious servlces such as Friday pRyers, supplicatlons, and major Islamlc commemoratlons, ell offered openly to
the community withtsut charge.
Educational Prog￿MMeS delSvered through the Quran School, Dar Academy dasses, rellglous lectures, and strurtured
leamlng for new Musllms p￿parIng for the Shahada.
Pastoral guldance and accessible religTOUS advice through the Ask the SchO￿r online platform, enabling individuals to seek
confidential spiritual support from any location.
Llfe-cyde religious services including Nikah ceremonies, marr(age preparatlon and counselling, mèrrlage document
confirmation, Ghusl for the deceased, and support for bereavement.
Programmes that promote soaal coheslon and personal wellbeing, suth as Mummy an¢J Mei youth football, klckboxing
sesslons, women's falth groups, community gathering5, and accessible events for dlsabled Indlvlduals.
Support for new Musllms Irevertsl through dedlcated coffee momings, mentoring, and integratlon support that foste
belonging and spiritual stability.
Provision of Pdcilitles and resources. including a communlty-accessible library and venue hire for approprtate educatlonal
and cultural purposes.
Inclusive interfaith and outreach activitles, such as the Ramadan '8rSng Your Non-muslim Frlend- iftar. whlch enhances
community understanding and dialogue.
By offering these wide-ranging Servi￿S, many of which are free or heavily subsldised, Dar Al-Islam Centre ensures that
spimtual guidance, educatlon, communlty SUPPOrt, and pastoftl Ca￿ are available to the public regardless of financial
means. These artivities advance the charity's purposes and deliver clear, identifiable benefit to the wider community
The tru5tee5 conflrm that they have complied with the requirements of Sectlon 17 of the Charities Act 2011 to have due
regard to the Charity Commi55i0n's guidance on publlc benefit.
Achievements Performance
Main Achievemettts
During the reporting year, Dar Ai-lslarn Centre cOn￿nUed to grow as a vibrant and trusted hub for worshlp, educatlon,
community support, and personal developETient. The Centre delivered a broad programme of religlous, educational, and
social aeiivities that furthe￿￿ its charitable alms and strengthened its service to the community.
RelTglou9 & Spiri￿al Services
The Centre malntained a full calendar of sp￿ritUal 8ttlvlties th3t supported rellglous prattlce and nurtured falth..
Weekly Frlday prayers and regular congregational worship.
Introduction of Dua Kumail gatherings every Thursday evening from October 2024.
Prograrnmes throughout the 151amic calendar year, including Ramadan Irtars, the Interfalth"8rlng Your Non-muslim
Frlend- iftar. Eid prayers, Muharram malalis, and commemontion5 of the blrths and deaths of the AhlulBayt lal.
Availability of Schola￿ for religious guidanTr, pastoral support, and communlty leadership across all rnalor events.
..CONTINUED
Page I

Dar Al-Islam Centre
Trustees, Report (continued)
For The Year Ended 28 February 2025
Main Achiev*mènts- rontlnued
These services deepened spiritual engagement and stren9thened collectlve rellglous Identity.
Educatlon & Rtligiou$ Guidance
Education remained cethl to the Centre s mission..
The Quran School provided structu￿￿ learning for both adults and children.
Dar Academy offered Tslamic studies cl8$5e5 and educational programmes throughout the year.
The Reverts Network provided mentrirlng, coffee mornings, and foundaLitsnal guidance to new Muslims.
The Centre oversaw imporcant rellgiou5 rites Induding Nikah cerernonles, marriage dowment confirmatlons, Ghusl for the
deceased, and Shahada declarations.
The Ask the Scholar online service allowed cornmunlty members to submlt ques￿onS and recelve tlmely religlous
guidance, increasing acttssibility for those unable to attend in person.
The library and book-lending services continued to support Islamlc learnSng and research.
These activities advanced religlous understandlng and ensured the cornmunity had contlnuous access to trusted splrltual
support.
Community, Family & Soclal Support
The Centre provlded a wekoming envsrontnent that supported familles. youth, and Individuals:
The Centre hosted weddings, famlly mllestones, and celebratory gatherings.
The wee￿Y Mummy and Me programtne offered a supportive space for mothers and toddlers.
Women's dlscusslon clrcles for those in their 20$ promoted personal reflection, faith learnlng, and emotlonal wellbelng.
Boys, football sessions encouraged teamwork. friendshlp, and healthy recreatS9n.
The cent￿ organised Oarmatch, a dignified, faith-based matchmaking event for slngle Indivlduals.
Dedicateij community events enSU￿tt disabled indlvlduals We￿ in¢lvded and supported.
These programmes strengthened social cohesion and supported the wellbeing of families and Indivlduals.
Health & Wellbelng
To promote phys4cal and mental wellbeing=
Men's kickboxing sessions were introduced twite week]y frorn January 2025, offering exerclse, disclpllne, and posltive
routlnes wlthln an Islamlc eDvironmenr.
Spirltual Development Beyond the Centre,
• In October 2024, Dar Al-lslam Centre organised and guided an Umrah trfp, providing attendees with spiritual enrichment,
communal worship. and deeper engagement with thelr faith.
Facllltles, Digital AC￿55 & OUt￿aCh,
The Centre continued to provide venue hire for apprLTrpriate communityi cultttral, ènd edu￿tiOnal activities.
Online platForms IInstragTrm. Youtube, websltel and cllgital comrnunication allowed the publlc to access event
Information. book services and obtain religious guidance.
• The Centre maintalned a welcomlng envlronment for both Muslims and non-muslims, reflected In Its programrnlng and
community ethos.
Summary of Impaet
Across the year, D¥r Al-lslam Centre s advltles-
Strengthened spiritual and religious understsnding
Supported famllles and Individuals at key life rnornents
Fostered rornmunity cohesion. inclusion, and wellbeing
Provided education and guldance through diverse programm
Offeod accesslble support to new Muslims
Promored physlcal, ernotional, arntS social wellbeing
Together, these achievements demonstrate the Centre s contlnued growth and Its me3ningful contributitsn to the
communlty.
FTnandal Ravlew
Page 2

Dar Al-Islam Centre
Trustees, Report (continued)
For The Year Ended 28 February 2025
Flnan¢lal Posltlon
The charity's total Income for the year was £295,045, primarily from corfimunlty donations and programme fees. Total
expenditure was £253,809, dlrected towards delIVe￿n9 rellgious serviees, community programmes, venue rnalntenan￿,
and charitable acbvilies.
The trustees consSder the financial positlon sat15fartory und continue to monltor Income and expendlture closely to ensure
lono-term sustalnability.
During the independent examination for these accounts, It was identified that a freehold property acquired on 7th Ortober
2022 had not been correctly recognlsed in the previous financi31 starements. Thls error has been corrected by restating the
prior period comparatives.
Reserves Pollcy
Dar Al-ldam Centre aims to hold sufficient unrestrfcted reserve5 to cover three months of CO￿ operatlng cost5, ensuring
stability in the event of financial flurtuatlons.
At year end. reserves stood at £1,648,357, of which £137,973 were ynrestrlrted.
Golng cOn￿rn
The trustee5 have fio reason to believe the charity will not contlnue to operate for the foreseeable future.
Plans for PU￿re Perlods
Over the coming year, the trustees aim to:
Expand educational programmes for adults and children.
¥ Develop further youth activities to support mental, emolional, and spirttual wellbeing.
• Improve facilities and accessibility for dlsabled users through the installation of a Ilft.
Explore options for additlonal community support services such as counselling, welfare support, and interfaith
engagement.
These plans are aligned with the charlty's aims to advan￿ relSglon, educatlon, and community £ohesion.
StruÉtuM Govétnance and Management
fjoverning D￿Ument
Dar Al-Islam Centre 15 a Charitable Incorporated Organisation ICIOI. The charlty is governed by its constitution, which
oudines its objects and Sets out the process for trustee appointment, decision-makingi and charitable operatioFIS.
fj0Vernan￿ and Management:
The trustees are responsible for the strateglt dirèctian and overall management of the tharlty. Day-to-day attivltles are
carried out by the Director and staff tearn Itotal 41, volunteers and cornmunity membery under trustee oversight.
Trustee Selectlon Methtjds
Trustees a￿ appointed In accordance with the CIO collstitution. New tru5tee5 are selected bèsecj on skllls, experience, and
commltment to the chaHty's aims. An Inductlon process ensures trustees Ltnderstand thelr legal duties and the operatlonal
Strutture of the ceftt￿.
Rlsk Management:
Trustees revlew key ￿Sk$ annually and take steps to mltlgate them. Primary risks rdate to..
Health and safety durlng events ènd religious gatherings
Financial 5UStainability and reliance oft community donations
Safeguardlng of children and vulnerdble adults
Reputation of the ￿nt
Pollcies and procedures lover 40 policies) are In place for safeguardlng, dats protectlon, fln?nclol Controls, speaker amongst
other things.
Page 3

Dar Al-lslam Centre
Trustees. Report (continued)
For The Year Ended 28 February 2025
Reference and AdmiThistrativ8 Datails
Yru$tee$
Mr Mousa Baraka - Chair
Mr Abother Al-Sar4j - Treasurer
Mr Hussain Al-Najafl Trustee
Mrs Sara Hussain - Trustee (resigned 0810912025)
Charlty Number
1197956
Prlndpal Addre
61 Anson Road
London
NW2 3UY
Indepandent Examirkor
Atul Shama
The GKP Partnership
Viglen House
Alperton Lane
London
HAO IHD
A¢countsnts
Nova Accountants
Page 4

Dar Al-Islam Centre
Trustees. Report {¢ontlnued)
For The Year Ended 28 February 2025
statom¢nt of Trust••s' R¢spwwlbllltle*
The tfustees are responslble for prwring the Trustees, Report and the ffnandal statements In accordan￿ wlth appllcable law
and Vnltsd Klngdom Attounung Stsndards (United Klngdom Generalty Accepted Accounting Pract1￿}.
Th• Liw appllo14e to charltSes In Englèrtd and Walas reouires the trustees to prepare flnanclal staternents for each financial
year whlch glve a true and fair vlew of the state of affairs of the charfty and of the Incomlng resources and applIC￿On of
rexlurces of the tharfty for that perfod. In preptyrlng the finandol st)tamert5 the trustee5 aré requlred io:
select suitable ac£ountlr9 policies 8nd then apply them ￿n5FStentlV.
obseNe the methods and prlnclples in tho Charity SORP;
• make jtsdoments and attountirsg estSmates that are reasonable and pwden¥ a4)d
prepare ttke flThancial statements on the golng concern basls unless ft ts Injpprgpriats to presume that the wlll
conttnue in business.
The tnjstees are r05pgnslble fgr keeplng adequate accountlng records whleh *JlsclosE wlth reasonable a¢rU￿LY at ￿n￿me the
ftnandal posltlon ofthe tharfty and trs enable them to eBsurt that the accounts comply wlth the Ch8r£tles Act 2011, the
Char5ty (Accounts and Reports) Regulatlons 2008 and the provisions of the trust deed. They are also responslbl¢ for
safeguardlng the assets of the chailty and heno for taklrvJ reasonoble steps forthe preven￿On and detertton of ftaud and
other Ir￿ularities.
The trustees are responslble for the malrtenanee and Integrity of the corpornts and Ilnanctal Informatton Included on the
charlty's web51te. Leglsl*lon In the United Klngdom govemlng preparatlon and dlssernlrtatlon of flnandal 6tsternents may
dlffer from leglslatyon In other jutfsdlcUon5.
The trustees, rep)rt wa5 approved by the board of trustee$ and signed on Its behalf by:
Mr Mouso earnka
410212026
Page 5

Dar Al-lslam Centre
Independent Examiner's Report to the Trustees of Dar Al-I$lam Centre
For The Year Ended 28 February 2025
I report to the trustees on my examination of the accounts of Dar Al-lslam Centre (the Trust) for the year ended 28 February
2025.
Respoft*lbllltles and Basls of Report
As the charlty trustees of the Trust you are re5ponslble for the preparation Df the accounts in accordance with the
requirements of the Charitles Act 2011 1.the Act"l.
I report In respect of my exarnination of the Trust's accounts carried out under section 145 of the 2011 Act and in carrying
out my examinatlon. I have followed the applicable Directions given by the Charity Commlssion under sectitsn 14515)Ib) of
the Art.
Independent Examinees Ststement
Slnce the Trust s gross income exceeded £250,000 your examiner must be a Member of a body listed ir? section 145 of the
2011 Art. I confimi that T am qual￿e& to undertake the examination because l am a mernber of The Enstytttte of Chartered
Accountants in England and Wales, which Is one of the Ilsted bodies.
I have completed my examination. I conflmi that, apart from the matters referTed to In nore$ 10 and 19 of the financial
staternent5, no material matters have come to my attention in connectlon with the examinatlon giving me cause to believe
that in any materlal respect-.
l. accounting records were not kept in respect of the Trust a5 required by sectlon 130 of the Act; or
2. the actounts do not accord with those records- or
3. the acEounts do not comply with the applicable requirements concerning the forrn and contents of accounts set ¢ut in
the Charities (Accounts and Keportsl Regulations 2008 other than any requirement that the accour*ts ilve a 'true and
falr view, which is noi a matter considered as part of an independent examination.
I have no concerns and have come across no Other rnatters in connection with the examination to which attentlon should be
drawn in this report In order to enable a proper understanding of the accounts to be reached.
Atul Sharma
0410212026
Viglen House
Alperton Lane
London
HAO IHD
Page 6

Dar Al-lslam Centre
statement of Financial Activities
For The Year Ended 28 February 2025
2025
2024
Unrestrlcted R•5trirted
funds
funds
Totsl
funds
Totsl
funds
Notes
INCOME AND ENDOWMENTS FROM:
Donatlons and legaaes
Char4rable actlvltles
Other
216,763
216.763
156,892
14,305
99,688
78.282
78,282
295,045
295,045
270,885
EXPENDITiIRE ON:
RalsSng funds
1253,8091
1253,8091 1241,420)
NET INCOME
41,236
41,236
29,465
NET MOVEMENT IN FU14DS
RECONCILIATION OF FUNDS:
Total funds tjrought forward
41,236
41,236
29,465
96,737 1,510,384 1,607,121 1,577,656
137,973 1.510,384 1,648,357 1,607,121
TOTAL FU14DS ￿RRIED FORWARD
15
The notes on pages 10 to 15 form part of these financial statements.
Page 7

Dar Al-lslam Centre
Comparative Statement of Financial Activities
For The Year Ended 28 February 2025
2024
unrestrl¢ted Refjtrlrtéd
tunds
funds
Totsl
funds
Notes
INCOME AND ENDOWMENTS FROM:
DonaLions and legacies
Chantable attivities
Other
156,892
14,305
99,688
L56,892
14,305
99,688
270,885
270,885
EXPENDrnIRE ON:
Raislng funds
1241,4201
(241,4201
NET INCOME
29,465
29,465
NET MOVEMENT IN FUNDS
RECONCIUATION OF FUNDS:
Total funds brought forward
29,465
29,465
67,272 1,510.384 1,577,656
TOTAL FUNDS CARRIED FORWARD
15
96,737 1,510,384 1,607,121
The notes on pages 10 to 15 fomi part of these flnancial statements.
Page 8

Dar Al-lslam Centre
statement of Financial Position
As At 28 February 2025
2025
2024
Unrestrirted Restrlrted
fund$
funds
Total
lunds
Total
funds
Notes
Trngible Assets (Restated for 2024)
io
30,277 1,510,384 1,540,661 1,523,551
30,277 1,510,384 I,￿0,661 1,523,551
CURRENT ASSETS
Debiors
Cash at bank and in hand
12
7,643
80,344
117,022
L17,022
117,022
117,022
87,987
Creditors: Amounts Falling Due Within One Ye•r
13
19.3261
(9.3261
14,4171
NET CURRENT ASSETS (LIABILITIES)
107,696
107,696
83,570
TOTAL ASSETS LESS CURRENT LIABILITIES
137,973 1,510,384 1.648,357 1,607,121
NET ASSETS
137,973 1,510,384 1,648,357 1,607,121
FUNDS OF THE CHARTrY
Restrfcted Funds
Unrestricted Funds
1,510,384 1,SIO,384
137.973
96,737
TOTAL FUNDS
15
1,648,357 1,607,121
On behalf of the board
Mr Abother Al-sarél
Trustee
0410212026
Thè note5 on pages 10 to 15 forrn part of these ffnancial statements.
Page 9

Dar Al-lslam Centre
Notes to the Financial Statements
For The Year Ended 28 February 2025
l. General Informatlon
Dar Al-lslam Centre Is a charltable incorpooted organiSa￿On registered with the Charlty Commtsslon, w{ste￿d tharity
number 1197956. The princlpal address is 61 Anson Road, London, NW2 3VY.
2. Accounting Poli¢4es
2.1. Basls of Preparatlon of Flnattclal Ststements
The financial statemenrs have been prepared In accordance wlth the Charities SORP IFRS 1021 'Accountlng and
Reportlno by Charities.. Statement of Recommended Practice applicable to charities p￿parfng thelr accounts in
accordance with the Financial Reporting Standard applicable In the UK and Republlc of Ireland IFRS 1021 (effective I
January 2019). Financial Reporting Standard 102 The Financial Reporting Standard applicable In the UK and Republlc
of Ireland" and the Charities Act 2011.
The charity ss a Public Benefit Entity ès defined by FRS 102.
2.2. Furtd Accountino
UnreSt￿cted fvnds can be used In accordanc2 with the charftable objectives at the discretion of the tru5t2es.
Deslgnated funds comprlse unrestrtcted funds that hove been set aslde by the trustèes for a specific purpose.
Restrlrted funds are to be used for speciflc purposes as laid down by the donor.
Further explanation of the nature arid purpose of each fund is included in the ntstes to the financial statements.
2.3. Intomin9 Resources
Recognition of Income
Income is included in the Statement of Financial Activities ISOFAI when the charity becomes entitled to. and virtually
certain to re￿1Ve, the income and the amount of the income cèn be measured with sufficient reliability.
Income with related expenditure
Whert income has related expenditure the income and related expendlture is reported gross in the SOFA.
Donations and legacies
Voluntary income ￿c￿1Ved by way of grants, donations and gifts Is Included in the the SOFA when receivable and only
when the Charity has unconditlDnal entitlement to the income.
Tax reclaims on donations and gift5
Income from tax reclalms is Included in the SOFA at the same tlme as the gift/dDnatlon to which it relates.
Donated Servi￿S and facilities
These are only included In Income Iwlth an equivalent amount in expenditure) where the benefit to the Charity is
reasonably quantlftable, rneasurable and materlal.
Volunteer help
The value of any volunteer help recelved Is not Included la the accounts.
Invesbrent tncome
Thi5 15 includeLI in the accounts when receivable.
Gains/{losses} on ￿Valuation of flxed assets
Thls Includes any galn or loss resulting from revaluiry investments to matl(et vèlue at the end of the year.
Galnslllossesl on Investment asset5
Thls Includes any galn or loss on the sale of Investments.
2.4. Donated Goods and Servlces
I donated goods, facilities and services received are recognlsed withln Incomlng resources and expendlture at an
estimate of the value to the Chènty.
Page 10

Dar Al-Islam Centre
Notes to the Financial Statements (continued)
For The Year Ended 28 February 2025
2.5. Resources Expended
Recognltlon of expendSture
Expenditure is recognlsed on an accruals basls. Expendlture Includes any VAT which cannot be lully reeovered, and is
reported as part of the expenditure to whlch 5t relates.
Expendllure on ralslng fund5
These comprise the costs asso(iated with attrdciing voluntsry Income, fundralsing trading costs and Trnvestment
management costs.
Expenditure on charitsble attivities
These comprise the costs incurred by the Charity In the delivery or Its acllvlties and servlces in the furtherance of its
objett5, includlng the making of grants and governance costs.
GTrnts payable
All grdnt expenditure Is accounted for on an artual pald ba515 plus an accrual for grants that have been approved by
the trustees at the Ènd of the year but not yet paid.
Governance costs
These indude those costs associated with meeling the constitt5tional and statLltory reoulrements of the Charity,
including any audivindependent examination fee5, costs linkect to the strategic management of the Charity, together
with £ share of
other administration costs.
Other expendlture
These are support costs not allocated to a parucular activity.
2.6. Tanglble Flxed A#set$ and Depreciation
Tangible ftxed assets a￿ measured at cost less accumulated depreciatlon and any accumulated impalment losses.
Depredation Is provided at rates calculated to write off the cost of the fixed assets, less Lheir estlmated resldual value,
over thelr experted usefvl lives on the following bases..
Freehold
Plant & Machlnery
Fixtures & Fittings
nla
10 Year
5 Year
2.7. Cash and Cash Equlvalents
Cash and cash eouivalents are basic financial assets and include cash In hand and deposlts held at call with bank5,
other short-term highly liouid investments that mature in no more than three months from the date of acquisition and
are readily convertlble to a known amount of cash with insignificant risk of chanoe in value, and bank overdrdfts.
2.8. Foreign Currencies
Monetary asset5 and liabilities denominated In aJrrencTes other thèn the funttlonal currency of the charlty are
translated at the rates of exchange prevailing at the end of the reporting p8riod.
Transattlon5 in currencie5 Qther than the functional currency of the charity are recorded at the rate of exchange on the
date that the tfftnsaction occvrred.
All exchange differences are are taken into account in arrivlng at net income1expenditu￿.
2.9. Taxation
The charity TS exempt from tsx as all Its Income is charltable and applied for charitable purposes.
2.10. Le?sed assets
whe￿ the charlty enters into a lease which entalls taking substantlally all the rlsks and reward5 of ownetship of an
asset, the lease is treated os a flnance lease.
Leases whlch do not tTrnsfer substantially all the risks and rewards of ownershlp to chartty are clzsslfled as operatlng
leases.
Assets held under finance leases are Initially reccgnlsed as assets of the thartty at thelr falr value at the Inception of
the lease or If lower, at the present value of the minlmun lease payments. The corresponding liablllty to the lessor Is
induded in the balance sheet date as a flnan￿ lease obllgation. Leèse payments are apportloned between finance
expenses and ￿ductIon of the lease obligation so as Lo
achieve o Constant rate of interest on the remaining balance of the liability- Financ£ expenses are recognised
immediately, UFFless they are d1￿C￿lY attributable to quallfying assets, in which case they are capitslised in accordancè
with the charity's policy on borrowing costs.
Assets held under finance leases are depreciated In the same way as owned assets.
Operating lease payments are recognised as an expense on è straight-1Sne basis over the lease term. In the evefit that
lease ￿n￿ntIveS are received to enter into operating leases. such incentives are recognlsed as a liability. The aggregate
benefit of Incentives Is recogn15ed as a reductlon of rental eKpense on a stralght-line basts.
Page 11

Dar Al-Islam Centre
Notes to the Financial Statements (continued)
For The Year Ended 28 February 2025
2.11. Penslon costs
The charlty opeTrtes a defined contrtbution plan for Its employees. A deflned contributiori plan Is a pension plan under
whlch the cornpany pays flxed contThbutions into a separate entity. Once the contributions have been paSd the company
has no further payments obllgations. The contributions are recognised as expenses when they fBII due. Amounts not
paid are shown in accruals in the balance sheet. The assets of the plan are held separately from the company In
independently admtni5tered funds
3. Income from Donations ond Legacies
2025
2024
Unfestrlrted Unrestricted
funds
funds
Donatlons and gifts-
Donations and legaaes
Gift aid
Donated goods, facilities and services=
Funerals
182,208
27,055
133,954
22,938
7,500
216,763
156,892
4. Other Income
2025
Unr•strlcted Unrestrlcted
funds
funds
2024
ental and other Income from property
78,282
99,688
5. Net Incomel(Expendlture)
The net Income Is ststed after ch?rglng/(crediting)'.
2025
2024
Depreciatlon of tsngible fyxed assets - owned
4,023
6. Analysis of ExpeAdSturè
2025
A¢tl¥ltle$
undertaken
dlrectly
Support
¢osts
(see note 7)
Total
Raising funds
4,023
249,786
253,809
2024
Support
¢¢sts
(see note 71
Raislng funds
241,420
Page 12

Dar Al-Islam Centre
Notes to the Ftnancial Statements (continued)
For The Year Ended 28 February 2025
7. Support Costs
2025
Ralslng
funds
Employee costs
Premises expenses
General admlnlstrallon
130,179
51,545
68,062
249.786
2024
Raising
funds
Employee CDSts
Premises expenses
General admlnistratlon
110,887
73,207
57,326
241,420
8. Staff Costs
Staff costs were as follows..
2025
2024
Wages and salarles
Social securlty costs
other pension costs
115,766
11,193
2,939
95,722
8,835
2,156
129,898
106,713
No employees ￿e1Ved employee benefits (excluding employer pension costs) for the reportlng period of more than £60,000.
9. Average Number of Employees
Average number of employees durlng the year was: 4 (2024.. 3)
ID. Tanglble Assets (R•Stated for 2024)
Land &
Property
Freehold
Plant &
Mo¢hlttery
Fixtures &
Fitting¥
Total
Cost
As at l Marth 2024
Additions
1,511,194
12,357
19,402
1.523,551
21,133
1,731
As at 28 February 2025
1,511,194
31,759
1.73L
1,544,684
..CONTINUED
Page 13

Dar Al-lslam Centre
Notes to the Financial Statements (continued)
For The Year Ended 28 February 2025
Depreclatlon
As at l March 2024
Provided during the period
As at 28 February 2025
3,792
231
4,023
3,792
231
4,023
Net Book Value
As at 28 February 2025
1,511,194
27,967
1,500
1,540.661
As at l Merch 2024
1,511,194
12,357
1,523,551
Comparative figtsres of 2024 for freehold pft)perty have been restated to reflecL the recognition of a building, valued at
£1,510.384. received from a predecessor charity in 2023. Further details are providetl in Note 19.
12. Debtors
2025
2024
Due wlthln one year
Other debrors
7,643
13. Cmdltors: Amounts Falllttg Due Wlthln One Year
2025
2024
other credltors
Taxation and sooal security
Accruals and deferred income
1,830
4.996
2,500
1,615
2,802
9,326
4,417
14. Pension Commitments
The charity operates a defined contribution pension scheme. The assets of the stheme are held separately frorn those of the
charlty in an independently administered fund.
During the year the charge to the Sta￿ment of fin3ntial activltles in respect of deflned contribution schemes was £2,939
{2024: £2,156).
At the statement of financial position date contsibutlons of ENIL were £fue to the fund ènd are Induded In credltor5.
15. Movement In Funds
Asat28
February
2025
A5atl
March 2024
Income
Expenditure
Unrestricted luDd$
General..
General unrestricted fund
RèstrScted lund$
Restritted
96.737
295,045
1253,8091
137,973
1,510,384
1,510,384
Total funds
1,607,L21
295,045
1253,8091
1,648,357
Page 14

Dar Al-Islam Centre
Notes to the Financial Statements (continued)
For The Year En<Jed 28 February 2025
As3t29
February
2024
Asatl
March 2023
Income
Exp¢ndltur•
Unrestrlcted funds
General:
General unrestricted fund
Restrlrted funds
Restricted
67,272
270,885
(241,4201
96.737
1.510,384
1,510,384
Total funds
1,577.656
270,885
(241,4201
1.607.121
16. Transactions with Trustees
None of the trustees re￿iVed any remuneration or any other benefits from an employn7ent wlth the charity or a related entity
during the turrent or p￿vIOuS year.
No trustee expenses have been IncunEd.
17. Related Party Dlsclosures
In the prlor year. Mousa Baraka and his father served as Trustee5 of the Foundation. In addition, Abother Al-saraj and Mousa
Baraka were Trustees of both the Foundation (the Companyl and the Centre ICIOI-
These relatlonshlps gave rise to a potential conflict of interest in fftla￿on to the transfer of assets between ttte Foundation and
the Centre, whlch occurred ITr the year eTrded 2023. To mitigate this, Abother Al-saroj and Mousa Baraka recused themselves
fmm all decision-making relatlng to the transartion for both entities.
The transactlon was considered and approved by the remaining Trustees, with the recusals formally documÈnted In the
minutes of the respective meetings. ND Trustee received ariy personal benefit from the transaction.
Ig. Prior Period Adjustment
Description of the error
During the independent e¥aminatlon, it was identth.ed that a freehold property acqulred on 7th October 2022 had nol been
correcdy recognised in the financial statemenrs. Thi5 error has been corretted by restatlng the prlor period comparatlves.
ImpaLt of the error
The following table summarlses the adjustments made to the comparatlve figures for the year ended 28 February 2023 and
29 February 2024
Balance Sheet extrart for the year ended 28 February 2023
Prevlously reported
adjustment
restated
Fixed Assets
13,169
1,510,384
1,523,551
Accumulated )epreciatlon
Net Assets
13,169
1.510,384
1.523.551
Retalned Earnin95
67,272
1,510,384
L,577,656
.CONTINUED
Page 15

Dar Al-lslam Centre
Notes to the Financial Statements (continued)
For The Year Ended 28 February 2025
Balan￿ Sheet ethct for the year ended 29 February 2024
Prevlously reported
adjustment
restated
Flxed Assets
13,169
1.510,384
1,523,551
Accumulated Depreciatlon
Net Assets
13,169
1,510,384
1,510,384
1,523,551
Retained Earnings
96.737
1.607.121
Impact on Income and Expenditure
As there Is no depreciation on the asset there is no impact on net income.
Paye 16

Dar Al-lslam Centre
Detailed Statement of Financial Activities
For The Year Ended 28 February 2025
2025
2024
Total
funds
Total
funds
INCOME AND ENDOWMENTS FROM..
Donatlons and legacles
Donatlons and legacles
Glft aid
Funerals
182,208
27,055
7.500
133.954
22,938
216,763
156,892
Other
Rental and Dther income from property
78,282
99,688
78,282
99,688
295,045
270,885
EXPENDZTURE ON:
Ralslng funds
Depreclation ol plant and machinery
Depreciation of fixtures and fitlings
Wages and salarles
Employers Nl
Employers penslons deflned contributions scheme
Travel and subsistence expenses
Reni
Rates
ght and heat
Repalrs and maintenatKe
Cleanlng
C05t OF W65hroom
Computer software costs
Insuran
Food products
Printing, postage and stationery
Umra Trip
Advertising and marketlng costs
Volunteer expenses
Telecornrnunications
Audit fees
A¢¢ountsn¢y fees
Professlonal fees
Subscriptions
Bank charges
other office costs
Sundry expenses
(3,7921
(2311
{115,7661
{11,1931
{2,9391
(2811
(6531
195,722)
(8,8351
{2,156)
{4,1741
(618)
112,257)
124,710)
11,445)
134,177)
11,535)
14,122)
114,703)
123)
18,4861
11,212)
{23,477}
123,555)
{3,860)
{2,512)
{4,493)
113,1761
1341
{4,794)
{2,7911
15,767)
12,2551
12.5001
13,9001
114.3831
11,8871
13,8711
111.2771
16971
1201
17,4601
12.0331
1571
15,5701
15,8301
(253,8091
1241,4201
(253,809)
1241,420)
INCOME
41,236
29,465
Page 17