COMPANY REGISTRATION NUMBER: CE029365
CHARITY REGISTRATION NUMBER: 1199236
MISSION SALAAM
Company Limited by Guarantee
Unaudited Financial Statements
30 June 2023
K B M UK LIMITED
Chartered Certrfied Accountants
1 Concord Business Centre
Concord Road
London
UK
W3 OTJ

MISSION SALAAM
Company Limited by Guarantee
Financial Statements
Period from 9 June 2022 to 30 June 2023
Page
Trustees, annual report (incorporating the directorfs report)
Independent examinerfs report to the trustees
Statement of financial activtties (incIL￿ing income and
expenditure account)
Statement of financial posrtion
Notes to the financial statements

MISSION SALAAM
Company Limited by Guarantee
Trustee8' Annual Report Ilncorporating the Director's Report)
Period from 9 June 2022 to 30 June 2023
The trustees, who are al￿ the diredors for the purposes of company law, present their report and the
unaudited financlal statements of the charity for the pefiod end￿1 30 June 2023.
Referenco afid administrative detai18
Registared charfty name
MISSION SAL4AM
Charity regislration number
1199236
Company r9gistration number CE029365
Prlncipal office and regl8tered 113 Chestsr Avenue
office
Luton
LU4 gSQ
England
The trustees
Mr M Ehsanullah
PAr A Majid
Mr H Shaukat
{Appointed 9 June 20221
(Appointed 9 June 20221
{Appointed 20 June 2023)
Independent examlner
KBM UK Limrted
1 Concord Business Centre
Concord Road
London
UK
W3 OTJ
Struclure. governanc• and manag8ment
Mi55i0n Salaam is charitable inwrpovated otganisalKm. incorporated on 09 June 2022.
Board of Trustee8
The board ol trustees is reSp￿￿Ible to ensure that drarity objethves are achseved and ch8rrtable
aclivitses are carried out in support of set objectives. They also monrtor overall perfornance of charty
management and to ensure chanty re50ur¢es are applied effectively.
Management Responsibilities
The Annual Report and Financkgl sta￿MentS8re prepared acc(Kding to the relevant lawand regulab'ons
and approved by the Trustees.
The truslees marlages and keep ac(xiunting r￿rds. the records disclose our financial pO￿tIon with
rtsasona￿e accuracy at any time and enabk trustees to ensure that the fina¥Troal 5taiements comply
with the the charity Commission Statement of recornff￿dat￿n Pract￿￿ {SORP) 2015.

MISSION SALAAM
Company Limlted by Guarantee
Trustees. Annual Report (Incorporating the Directorfs Report) (eontlnued)
Pgriod from 9 June 2022 to 30 June 2023
Objectives and activities
The main obiecth.ves of the charity are..
- The advancement of the Islam￿ Tel￿10n for the pulyic benefit worklwide by pruviding scholarships for
children and ad0￿$¢ents under the age of 18 to receive supplementary faith educabon.
- The reliefof wverty in Pakistan and Uganda by the provisK)n of￿$$ible public dean water supplie5.
- The reliel and assistance of Feople In any part of the workl. in parbcular Pakistsn and Uganda. who
are the victims of war or natural disaster. trouble. or catastrophe by the supply of food to such persons.
The relief of financial hardship of p￿pIe in the United Kingdorn who are employed and homeless.
induding those using shelters for the homeless, by the provision of emefgency food.
Achievements and perlorniance
Throughout this reporb'ng period, Mission Salaam has remain9￿ dedi(zted to our core mission of
provKling humanitanan aid to comrnunilies in need. We are proud to share the lollowing
accomplsshmenls..
Olstributed Clean Drinking Water for IDP Families in Yemen:
Despite the challenges posed by conflid aThJ instats'lity. Mission Salaam successfully distributed clean
drinking water to intemally displaced faMil￿S in Yemen. This 1nilikn.ve aimed to alleviate the burden of
acces￿ng safe water for vuln￿able powlatDns in the region.
Installed 28 Hand Purnps Across Sindh Province of Pakistan:
Recognizing the crrtKal need for ￿S&t￿e water sources. Mission Salaam installed 28 nand pumps
across various communibes in Sindh province. Pakistan. These instsllations have significantly imsxoved
access lo clean water for local residents. contnbubng to enhanced health and well-bein9.
Distrlbuted Food to 30 Famllles for Ramadan Suhoor and Iftar:
A5 part of our commilment to supporting communib.es during the holy month of Ramadan. MisS￿n
Salaam provided fcM)d assistance to 30 families. ensunng they could observe Suhoor and Iftar w￿h
dignity and wrthout hardship. This insbats.ve aimed to fostera sense of soiFdarity and compassion arrK>ng
beneficiaries.
Startod ConslNction of 2 Mosques In Azad Kashmlr.
In collaboration with local partners and donor5. Mission Salaam inib.ated the construction of tsvo
mosques in Azad Kashmir. These mosques will serve as ￿a¢eS of worship and community gathering,
provKling spiritual solace and supp)rt to residents of the region.
These achievem8nts would not have been r#)ssible Trthout tho dgdication and support of Our team.
partners, and doJH>f5. As we continue our efforts to setve humanrty. we remain committed to
transparency. accountability. and the effi¢ient stewardship of re￿)urCeS.

**MISSION SALAAM** 

## **Company Limited by Guarantee** 

**Trustees' Annual Report (Incorporating the Director's Report)** _**(continued)**_ 

## **Period from 9 June 2022 to 30 June 2023** 

## **Financial review** 

The Charity's activities during the year are described below: 

Total collection from donations and grants from various sources was £30,501 out of which £7,438 was unrestricted and £23,063 restricted in nature. 

The unrestricted and restricted expenditures were £4,966 and £7,675 respectively during the financial year. 

## **Small company provisions** 

This report has been prepared in accordance with the provisions applicable to companies entitled to the small companies exemption. 

The trustees' annual report was approved on 8 May 2024 and signed on behalf of the board of trustees by: 


Mr M Ehsanullah Trustee 

**3** 



MISSION SALAAM
Company Limited by Guarantee
Independent Examinerfs Report lo the Trustees of MISSION SALAAM
Period from 9 June 2022 to 30 June 2023
I report lo the trustees on my examinatlon ofthe financial statements of MISSION SALAAM I the charity,)
for the period end￿1 30 June 2023.
Responslblllties and basis of report
As the trustees of the company {and also ils directors for the purposes of company lawl you are
responsible for the preparation of the finar￿181 statements in accordance wth the requirements of the
Companies Act 2006 I'lhe 20[￿ Act).
Having salisfied myself that the accounts of the company are nol required lo be aLJdileé under Part 16
of the 2006 Act and are eligible for independenl examination, I report in respect of my examination of
the charity's accounts as carried out under section 145 of the Charities Act 2011 I'lhe 2011 Acl'l. In
carrying out my examination I have followed the DIrec￿nS given by the Charity Commission under
section 14515Kb) of the 2011 Act.
Independent examlner's statemenl
I have completed my examination. I corfirm that no matters have come to my attention in connection
wl(h the examination giving me cause lo bdieve-
accounting records were not kept in respect of the charity as required by section 386 of the
2006 Aoa,. or
the financial ststemenls do rK)t alxord wlh those recr￿ds.. or
the financial statements do not comply wlh the accounting requirements of sectDn 396 of the
2006 Acl other than any requirement that the a¢xounts gNe a 'true and fairf view which is not
a matter considered as part of an iTrJependent examination,. or
the financial stalemenls have not been prepared in accordance with methods an
principles of the Statement of Recommended Practice for accounting and reporbng by
charities applicable lo ch8rrties preparing their accounts in accordance wth Ihe Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
I have no ￿nCernS and have come a(xos5 fm) Other matters in tt￿nection with the examination to which
allenlion should be drawn in Ihis report in order to enab￿ a prop￿ understanding of the accounts to be
reached.
KBM UK Limited
Independenl Examiner
1 Concord Business Centre
Concord Road
London
UK
W3 OTJ

MISSION SALAAM
Company Limited by Guarantee
Statement of Financial Actlvities
(Including income and expenditure account)
Period from 9 June 2022 to 30 June 2023
Period from g Jun 22 to JO Jun 23
Unrestn'cted
Restricte
funds
funds Totsl funds
Income and endowrnents
Donations and legacses
Total incoma
7,438
23.063
30,501
7.438
23,063
30,501
Expenditure
Ex￿ndItUre on raising funds.
Cost5 of Taising donations
Expenditure on charitable actsvities
Totsl expenditure
870
4.096
870
11,771
7,675
7,675
12.641
Net Income and net movement in funds
2.472
15.388
17,860
Reconclliatlon of funds
Tolal funds brought foryrard
Total funds caffied forwayrl
2,472
15.388
17,860
The ststement of financial acb"vil"es includes all gains and losses recognised in the year.
All income and expenditure derive fr￿ conts"nuing acts"vitses.
The notes on p4go$ 8 to 12 fomi part af these Ilnanclal statements.

MISSION SALAAM
Company Limited by Guarantee
Statement of Financial Position
30 June 2023
30 Jun 23
CuTraiit 0ss8ts
Cash at bank and in hand
18,260
Credltors: amounts falllng due wlthin one y￿r
Net current assets
12
400
17,860
Total assets less current liabililies
17.860
Nel assets
17.860
Funds of the charity
R8Stricted fvnds
Unrestricted fvnds
15,388
2,472
Totsl charlty funds
13
17.860
For the perth ending 30 June 2023 the charty was entiled to exempti'on from audit under section 477
of the Companies Act 2006 relating to small ￿mPan*s.
Directors, responsibilities..
The members have nol requiraj Ixjmpany to obtain an audrt of its financial stslements for the
pericxl in question in acCOrdar￿ with sectK)n 476"
The directors acknowledge their responsibilits.es for comptying with the requirements of the Aetwrth
resFtct to accounkn.ng records and the preparat￿￿ of financial statements.
These financial statements have been prepaied in aco)rdance with the provisions applirable to
ompanies subject lo the small companies. regime.
The statement of financial position
continues on the following page.
The note5 on paggs 8 to 12 forni part 0fth￿ financlal slatemgnts.

## **MISSION SALAAM** 

## **Company Limited by Guarantee** 

## **Statement of Financial Position** _**(continued)**_ 

## **30 June 2023** 

These financial statements were approved by the board of trustees and authorised for issue on 8 May 24, and are signed on behalf of the board by: 


**Mr M** Ehsanullah Trustee 

**The notes on pages 8 to 12 form part of these financial statements.** 

**7** 



MISSION SALAAM
Company Limited by Guarantee
Notes to the Financial Statements
Period from 9 June 2022 to 30 June 2023
General inf0m￿tiOn
The charrty is a public benefit entty and a private company lirniled by guarantee, reyistered i
England and Wales and a registefed charity in England and w￿es. The address of the registered
office is 113 Chester Avenue. Luton. LU4 9SQ. England
statement of compliance
These financial statements have been prepar&Y In Compliance wtth FRS 102, 'The Financial
Reporting Standard applicable in the UK and the Republic of Irelanrf, the Statement of
Recommended Practice applicable to charib.es preparing their acrA)unts in accor(lance with the
Financial Reporb"ng Standard appl￿ble in me UK and Republic of Ireland (FRS 1021 (Chariti"es
SORP IFRS 102)) and the COmpan￿S Act 2006.
Accounting policlBs
Basls of prwlaration
The financial statements have been prepared on the historical cost basis, as modified by the
revaluation of ￿rtain finanoal assets and liabilib.es and investrnent propertJ"e5 measured at fair
value through income or expendrture.
The fifta￿tal statements are prepaied in Sterli￿￿, which the fUnCt￿n81 currency of the enbty.
Going concern
There are no material ￿r￿rtaInlieS afKJut the chanws abilty to ￿nb.nUe.
Judgements and key Sources of 8stlmatlon uncertainty
The preparabon of the financial slalements requires management lo make judgements. estimates
and assumpb.ons that affect the amourrts ￿pOrted. These estimates and judgements are
continually reviewed and are based on expettence and other factors, Including expectations of
fulure events that a￿ believed lo be reasonable under the arcumstances.
Fund ac¢ounting
Unrestn'cted funds are available for use at disCret￿n of the truslees to fvrther any of the
charity's puffjK)se5.
DeS￿nated funds are unrestrK*ed funds eamiarked by the trustees for parbcuiar future Pfoject c
commitrnent.
Restn"cled funds are sU￿.ected to reslrictions on their expendthjre dedared by the donor or through
the temis of an appeal. and fall into one of sub-classes." restricled income funds or endowment
funds.

MISSION SALAAM
Company Limited by Guarantee
Notes to the Financial Ststements (corfniKdJ
Period from 9 June 2022 to 30 June 2023
Accountlng pollcl&s
Incoming vesources
All incoming resources are included in the statement of financiai activit￿S when enlitlemenl has
passed to the charity", it is probab￿ thal the economic benefits associated with the transaction will
flow to the charity and the amount can be reliabty measured. The following specific policies are
applied to particular categories of ino)me".
income from donatTrons or gfants is recDgnised when there is evidence of entrtlement to the
gift, receipt is probable and its amount can te measured rdiably.
gacy income is reco3ni8ed when receipt is Probab￿ and entitlement is established
incxjme from donated goots ts measur8J al the fair value of the goods unless this is
ImpraciTrcal to Measu￿ reliably. in which case the value is derived fr￿? the cost to the donor
or the estimated resale valLbe. Donateo tacilit*s and are recognised in the accounts
when received rf the value can be reliably measur&J. No amounts a￿ included for the
¢ontnbution of generdl vdunteer5.
Income from contr* for the 5LIPPty of servi(*5 is r￿jnIsed with the delivery of the
nlracted service. This clwilied as unrestricted ￿ndS unless there ¢s a contractual
requiremenl for Tt to te spent on a partiC￿lar puw and re￿rned if unspent. in which case
It may be regarded as restricted.
Resources ex￿nded
Expenditure is recJJgnLsed on an accruals basis as a liability is incurred. Expenditltre includes any
VAT which cannot be fully re(rnr￿J, and ￿ Classi￿ under headings of the statement of financial
activiti'es to which it reiates."
expenditure on raising funds includes the costs of all fvndraising activities, events. non-
chaTltable trading ackn"￿tieS. and the sale of donated goods.
expenditure on charitable ath"vrties indudes all costs incurred ty a clarity in undertakiThJ
tivities that further its charitable aims for the benefit of ts benef￿lar1eS, including those
support costs and costs relating to the govemarsce of the charity apporty.oned to chafflable
actNitses.
other expenditure includes all expenditure thal is neitherrelated to raising funds forthe tharity
nor part of its eXrEndilU￿ on charitable &tivittes.
All costs afe allocated to expendthjre c*egorE5 refiecting the use of the resou￿. Direct costs
attn'butable to a single activty are althated dFrecUy to that ath"vty. Shared costs are apportioned
b8fvJeoD thè they ¢ontrbbute to on a roasonable, iustffjable and consis*8nt b28iS.
Financial instrumonts
A financial asset or a f￿anCIal liability is recognised only when the charity becomes a party to the
contractual provision5 of the instrument

MISSION SALAAM
Company Limited by Guarantee
Notes to the Financial Statements (convn￿￿j
Period from 9 June 2022 to 30 June 2023
Accounling policies {conUnL
Financial instTum•nts {¢0￿1￿U￿}
Bas￿ financial instruments are inttsally recognLsed at the amount recwvable or payable including
any retated trans*ion costs.
Current assets and current liabilibes are SLsb5equently measur8J at the cash orother constderation
exFeCted lo be paid or fecerved and not discounted.
Debt instruments are sUbseqUen￿Y measured at aMa￿"sed cost.
Where investrnents in shares are pub[￿lY traded or their frair wdlue can otherwise be measured
reliably, the investment ts subsequenuy measured at fair value wth changes in fair value
reco9nised in income and expenditure Al other such investsnents are subsequendy measured at
GOSt less impaim*nt
Other financial instruments. including derNabves, a￿ in￿?1￿ recognised at fair value, unles5
payment for an assel is deferred beyond nomial business terTns Ix financed at a rate of interest
that is not a market fate, in which czse the asset is measured al the Present value of the future
payments dI￿Unted at a market rate of interest for a similar debt instrumenL
otherfinancial instruments are subsequently measured at fair value, with any changes recognised
in the statement ol financial activikn"es. wrth the exception of IEdging instruments in a designated
hedging relats"onship.
Financial a55ets that are measured at cost or amortised cost are revithved for objective evideT
of irnpaimient at the end of each repoTts'ng date. If Ih8re is objecttve evidence of irnpaimien( an
impaimient loss is recr>3nised under the appropri*e heading in the statement of financial activfties
in which the Inrt￿ gain was recc¥Jnised.
For all equity instruments regardle55 of srgnificance. and other financial assets that 2rE individually
gnificanL these are assessed Indiwdually for impairment. Other financial assets are eilher
aswsed indtvidualty grouFed on the basss of similar credit rL8k tharacteristics.
Any reve￿1$ of impainnenl are recognised immediately, lo the extent that the reversal does not
TEsuIt in a carrying amount of the fi￿anCIal asset that exceeds what Ihe caTryiro amount would
have be&n had the irnpairnent nol previously teen recc¥Jnised.
Llmited by guaranlee
The chaty is Chantable IncorFK)fdted Organisation limfted by guaontee and has no share caprtal.
The liability of each memtr*r in the event of winding tjp is Iwnrted to £1.
Donatlons and legacles
unrestn.cted
Funds
ReS￿ted Total Funds
Funds
2023
Donations
Donations r￿1ved
7,438
23,063
30.501
10

MISSION SALAAM
Company Limlted by Guarantee
Notes to the Financial Ststements (¢onWnu
Period from 9 June 2022 to 30 June 2023
Costs of ralslng donations
Unreslricted Total Funds
Funds
2023
Costs of raiyng donations and legacies
870
870
Expendlturn on charilabl? actlvltlo8 by fund type
unrestn.cted Restricted Total Funds
Funds
Funds
2023
Chantab6e *ivrtres
Support costs
7.675
7,675
4,096
4,096
7,675
11,771
Expenditure on charitable aclt¥itio5 by activity type
Acbvities
undertaken
directy Supp)rt costs
Total funds
2023
Charitsble aclivrties
Govemance costs
7,675
7,675
4,096
4,096
4,096
7,675
11,771
Independent examinatlon fee5
Period from
9Jun22to
30 Jun 23
Fees payable to the independent examiner for..
Independent examination of the financi* statements
Other financial services
100
300
400
10. Staff costs
The average head count of employees during thè pÈriDd v￿S Nil
No empl¢)yee rWRIY￿ empbyee LEneffts of more than £60.(￿0 during the year12022.' Nill.
11

MISSION SALAAM
Company Limited by Guarantee
Note8 to the Financial Statements Icontinuedj
Period from 9 June 2022 to 30 June 2023
11. Twstee remunerdtlDn and expense5
No remunerab.on or other tenefits from employment with the charity or a ￿lated entity were
received by the trustees.
11 crnd1to￿. amounts falling dtse wfthSn one year
30 Jun 23
Acuuals and deferred income
400
13. Analysls ol charAtable funds
Unrestrlthd fund8
At
Inccffle ExFenditure 30 June 2023
9 June 2022
Gener81 funds
7,438
14,966)
2,472
Restsietgd funds
At
Income Expenditu￿ 30 June 2023
9 June 2022
Restricted Fund- Watsr
Restrrted Fund- Mosque
ReslTtcted Fund- Ftsjd
Totsl
6,818
14.145
2.100
(2,285}
15.3901
4.533
8.755
2.100
15.388
23.063
(7,6751
1& Analysis of net assets betweon ￿n￿¥
Unfestricted
Funds
Reslricted Total Funds
Funds
2023
Current *sets
Creditors1&8S than 1 year
Net assets
2,872
1400)
2.472
15.388
18,260
{400)
17,860
15,388
12