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2024-03-31-accounts

The Jinnah Foundation Trustees, report forthe year ended 31 March 2024 The trust¢es present th¢ir report for the year ended 31 March 2024. OWECTtVES Af4D ACTIVITIES FOR THE PUBLIC BENEFIT The trustees havc given due regard to the Charity Commisgion's guidance on public benefit when reviewing the aims and objectives and in planniiig the future activities of the charity. The aim of The Jinnah Foundation is to r¢lieve financial hardship amongst the poor, refugees, victim.8 of natural disasters other people in need by means of, but not exclusively, making grantg for providing or paying for items, equipment, services and facilities, inrluding the provision of food, clothing and accommodation for the benefit of the said persons. PLANS FOR THE FL"I'URE The charity i5 committed to raise money for TheJinnah Foundation, so that the &ctivities can start functioning adequately. With ir] the next few months the charity will be workiiig on a project to refurbish and upgrade a junior girls school for disadvantage girls. STRUCTURE. GOVERNANCE AND MANAGEMEP4T TRUS'fEES Saleem Akhtar, Sairish Nisa Hussain and Yaseen Mohammed scrved as trustees duringthe y¢ar. Apart from the first charity trustees. every trustee must be appointed by a resolution passed at a properly convened meeting of the charity trustees. Any new trustees would rcceive training from an existing trustee about the charity and thcir rcsponsibilities as a trustee &nd would receive a copy of the Charity Commission's guide for new trustees. "CC3 The EsseTJtial Trustee: What You Need to Know Ongoing training pwvided as required. The t'.rnstees ar¢ aware of thcir legaj duties and comply with the Charity Governance STATEMENf OF TRUSTEES, RESPONSIBILITtF.S The Truste¢s are responsible for preparing the Truste￿, Annual ReFM)rt and the financial statrments in accordance with applicable law and United Kingdom Accounting Standards (United Klngdom Generally Accepted Accounting Prdcli¢e}.

The Jinnah Foundation Trnstees, r¢port for the year 31 March..2024 The law applicabl¢ to charitie8.in P.ngland and Wales rqtjires the Irusiees to prepare financial statements for each financial year wliich give a true and fair vi¢w of the state of affairs of the Charity and of its income and expenditure for that period. In preparing those fiRancial statements, the Trustees are requTred to.. select suitable accounting wlicies and then apply them nsistently- observ¢ the methods and principles in the Charities SORP. mak¢ judgements atKi estimates thatare re&wTwble and pNdenL state whether applicable accounting stsndards have becn followed subject to any Jnaterial departures disclosed and explained in the financial staiements. The T￿Ste¢S are responsible for keeping proper accounting r¢¢4)rds which disclose with reasonable aLLuracy at any time the financial position ofth¢ Charity and ettable them tv ensure that the financial stattThents comply with the Charity Act 201 I, the Charity (A¢rouT]ts and Reports) Regulations and the provisions of the tnjst deed. They are algo tt8t)onsible for Safegu￿dIng th¢ Charity assets and hence for thking reasonable 5tcps for the prev¢ntion and det¢rtion of fraud and other irregularities. This rep rt was approved by theTrustees on .and signed on itsbchalf by. Mr. SaleeFAklrtar Trustee

CHARITY COMMISSION FOR ENILAND AND WALES Receipts and payments accounts CC16a For the period from To Section A Receipts and payments Unrestricted funds Restricted funds Endowment funds Total funds Last year to the nearest to the noartst t to thB r￿areSt£ te the nearnst£ 10 IhÈ nearest£ A1 Rèceipts 0110312024 1510312024 1810312024 2110312024 380 1.1)4 10 1,045 10 1,140 Sub total(Gross income for AR) 2,555 2,555 A2 Asset and investment 5alo¥, (see table). Sub total 2,555 2,555 A3Pa ments Bank Charges 15 Sub total 15 A4 Asset and Investment urchases, see table Sub total 15 Ngt of rèceipts/(payments) A5 Transfers betwefjn funds A6 Cash funds last year end Cash funds this year end 2.540 2,540 2,YO CCXX R1 accounts ISSI 0610212025

Section B Statement of assets and liabilities at the end of the period Unrestricted funds to Trearest£ Restrlcte(J funds to nearest£ Endowment funds to nearèst£ Gategoi i Details B1 Cash funds Bank Balarf$ 2,540 Total cash funds laurfj¢bafwwM￿h ro¢¥pts paymerrt6 Unre¥trictsd fund3 Restrlcted funds to ngawt £ En(lowment lund$ to nearest£ Deiai15 te n8ar•st £ Fund to which asset belon Cost loptionall Current v8lue onal Deta51s Fund townlch rri Current valug onal Details asS&t belo C05t loptlonall B4 Assets rgtaingd for the Charity's own use Fund to which relatès Amount dué anal When due lanal D&tsil¥ B5 Liabilities Svjned by one or tsvo Irustees on beham of all the trustees Signatwe Print Name Date ol proval Sal88rn Akhtsr 2410112025 GCXX R2 a￿ount8 ISSI 0810212025