DARUL ULOOM CHANDBHARANG FOUNDATION
Charity Registration Number: 1199746
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2025
REPORTING ACCOUNTANTS..
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONDON E14SA
TEL 020 7790 6111
Page 1 of12

DARUL ULOOM CHANDBHARANG FOUNDATION
FOR THE YEAR ENDED 31 JULY 2025
CONTENTS
Page5
InfoimatioD ol Iinaneial Statements
Report ol the Executive Committee
Stslernent ol responsibilities oflhe Committee".
Inclependent Examiner's Report
In¢ome and Expenditure Accounts
Staletnent of Assets and Liatsilitias
10
Notes to the A¢Gounts
11-12.
Page20112

DARUL ULOOM CHANDBHARANG FOUNDATION
FOR THE YEAR ENDED 31 JULY 2025
ADDRESS
82 Richrnond Road
Ilford
London
IG11 1JZ
BANKER
Lloyds Bank
INDEPENDENT EXAMINER
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONOON E14SA
TEL 020 7790 6111
Charlty's Trustees:
Muharnmed Nazitn Uddin
Moh8rnmed Ruhul Ahmed
Md Bodrul Alom
Pa9e 3 0112

DARUL ULoof¥l CHANDBHARANG FOUNDATION
REPORT OF THE EXECUTIVE COMMITTEE
FOR THE YEAR ENDED 31 JULY 2025
The trustees present their report and financial slalemenls for the year ended 31 July
2025.
Tlie TTllStee5 have adopted Ihe provisions of tl)e Statement of Re¢ominendtd Praclice (SORP)
Accoiiiiting aiid Reporting by Cliarilies issued in 2005 in preparii)g the aniiual report
aiid liiiancial statei)ients of the Charity.
Legal Statu5:
Cliarity: Registered witli the Cliai'ity Commission, Charity Number.. 1199746
Objeets, Principal Activities and Org¢inisation of the Charity
The Cliaril) s object is the advaTicement of edLication and relicf of poverty and sickiiess iii
Biingladcsli, in partlCLilar but not exclisively by the illakiiiu of k?ranls.
Organisation:
A Management Committee. the members of which are the *rustees manage5 the affairs ol thè charity
The M3nagement Committee Manages the business ol the ch2rity including the paying of all expenses
Trustees:
T'riistees, wlio &'e all Ineinbers of ihe execiitive coinmittee. and who seTvcd dLiring tl)e year are
Set our on page i.
The trustees are elected at tlie Annual Geiiernl Meeting. for membeiship of tlie E.xecutive Coininittee
and seive until ilie eiid of rhe iiexl Anniial Gcneral Meeting, wli¢re tliey can staiid for re- ¢lection
as iiieiiibers of ihe nei¥ ExecLltive Committee.
Trustee5 responsibilities in relAtion to the financial statements
Tl)e committee or Trusiecs are Tcquired by charity's law to prepa￿ fiiiaiicial slatetneiits for each finaiicial year
which give a Iriie and fair view ofthe financial activities of the cliarity and of it5 financial p051tioii al
the end of thai year. In preparintr thoge fiiiancial staleiiient5 tlie Trustee5 arc required 10-
The Trustees are responsible for preparing the Trustees Annual Réport and the
Finanaal Statements in accordance with applicable law and regulations and
United Kingdom Accounting Standards (United Kingdom Generally Accepted
Accounting Praclicel. The law applicable to charities in England and Wale5
require5 the Tiustees to prepare Financial Statements for each Iinancial year
which give a true and fair view of the 51ale of affair5 of the charity and ol the
incoming resources and application of resources of the charity for that period.
In preparing these Finanoal Statements. the Trustges are required to".
Select suitable accounling policies and then apply them consislenuy..
Observe the methods and principles in the Charities SORP.,
Make judgefflents and accounb.ng e5tirnales that ale reasonable and prudent.,
Prepare the Financial Statements on the gtsing concern basis unless it is Inappropiiaie
lo presurne that the charity will continue in 0￿ratIon
Page4 of 12

DARUL ULOOM CHANDBHARANG FOUNDATION
REPORT OF THE EXECUTIVE COMMITTEE
FOR THE YEAR ENDED 31 JULY 2025
The Trustees are responsible lor keeping proper accounting records that cjisclose with ieasonable aGcuracy
at any bme the financizl position ol the charity and enable them to ensure that the Financial Statements
comply with the Charities Act 2011.
The Charity IAccounls and Reports) Regulations 2008 and the provisions ol the tIU5t deed. They are also
rESponsible lor safeguarding the assets of the charity and hence for taking reasonable steps loi the prevention
and detection ol fraud and other irregularities
VOLUNTEERS:
The Trustees wish to record Iheii appreciation on behalf of the Charity and community for the volunteers who.
assist in the smooth running ol the Charity and arè critical in helping to keeps the running costs down
RISK REVIEW..
The Trustees have conducted their own review ol the major risks lo which the Charity 15 exposecl and steps
have been Initiated to minimise the Identilied risk5. All functions ol the Charity ale subjected to periodic review
resulting in a process ol onooing improvement
All staff and volunteers are trained and havè all the required statutory and regulatory clearances required.
SERIOUS INCIDENTS AND EXCEPTIONS:
The Trustees are ple8sèd to note. that there wère no incidents which gave rise lo the need for the TrLJslees
to lodge a Serious Incident Report with the Charity Commission. Furthermore. Ihere were no Exceptions
recorded and which gave iise to the need for the Trustee5 to record on the Charity's Exceptions. Register.
RELATED PARTY TRANSACTIONS:
Ouring the year the Charty was under the control ofTruslees and Management CorTNniliee membprs as li51ed above.
This report. which has been prepared in accordance with the special prowsions of Part 15 of the
Companies Act 2CX)S applicable lo small companies.
No metnbers of the management committee re￿iVed any remuneration dunng the year.
No trustee or other person ielaled to the charity had any peisonal interest in any contract or
Iransaction entered into by the charity during the year.
Reserve Policy
It is the policy of the charity that unrestricted funds. which have not been designated for a specific use,
should be maintained al a level equivalent to Its expenditure. The Trustees consider that
serves al this level will ensure that, in the event of a significant drop in funding. They will be able to
continue the charity's current activities while consideration is given to Ways In which addits'onal funds may
be raised. The Centre wll actively work to achieve ihis level of reseNes.
INDEPENDENT EXAMINER
According to the provision5 of the Charities Act 2008 and updated 2011. the Cornmittee ha5 agreed that and
audit Is not required for this financial year. However due to provisions of the same act an independent examiner
is required and AM Accountancy Services appointed as external Accountant 01 Independent Examinei.
Page S of 12

Trans4?Ction And financial position
The Statement ol Financial Activities shows net surplus for the year of £10,362 and our accumulated
lunds stand at £25,635 in total.
AM Accountancy se￿ices carried oul an independent examination of the accounts induded in the report.
This report, which has been prepareo in accordance with the Statement of Recommended Practicè
ISORPI Accounting and Reporting by Charities issued In 2005.
Approved by the trustees and signed on Its behall by
This feport wa5 approved by the Executive Cofflrnittee on and signed on their behalf.
Muhammed Nazim Uddin
ITiusteel
Dale".
Page60112

Accountants, Report
To the Trustees of
DARUL ULOOM CHANDBHARANG FOUNDATION
FOR THE YEAR ENDED 31 JULY 2025
We report on the accounts lor the year ended 31 JLJIY 2025 set out on pages 8 to 12 which have
been Pfepared under the historical cost convention and the 8ccountirwJ p￿1¢￿e5 set out in note 1
to the financial slatefflents.
Ilespeetive Responsibilities of Trustees and Aceountants
As described on page 5 the triistees ar¢ rc5poiisible for tlit preparation of tlie fiiiancial
stateiiients, dnd iliey ¢onsidei' tliat ihe trust is exeinpt from an aLidit. It is our iesponsibility
to carry out pi'ocedures designed to enable u5 to report our opinion to you.
Basis of Opinion
Wè conducted our work in accordance wrth the Statement ol Standards for Reportin9 Accountants,
and so tsur procedures consisted of comparing the accounts wllth the accounting records kept by the
charity, and making such limited enquiries ol the trustees and officers as we considered necessary
for the purpose ol this report These pitscedures provide only the assurance expressed in Our opinion.
Opinion
In our opinion-.
lal The account5 are in agreement with the accountlng records kept by the charity undei the
requirements of the Statement of Recommended Practice- Accounting and Reporting by Gharities,.
Ibl Having ragard only to, and on the basis ol, the Information contained in those accounts..
111 The a￿UnIS have been drawn up in a manner consistent with the accounb.ng iequiiernents specified
the Statement of Recommended Pr8Ctice- Accounb"ng and Reporting by Charities, and
121 The chaiity sa1131ied the condition5 for the exetnption from an audit tsf the accounts for the year
specified in the Chaiilies Act.
{31 This unaudited Account we have prepared in accordance with the figure, information 8nd explanation
we have recèiveJ from the management ol the current committee.
AM ACCOUNTANCY SE
43 BEN JONSON ROAD
LONDON E14SA
ICES
AM ACC()I,'NT,IINI'I" %1." III'IC'T.-.S
LONI)()N L I .151
Dale..
Page 70112

DARUL ULOOM CHANDBHARANG FOUNDATION
Statement of Financial Activities Ilncome & Expense Statement)
FOR THE YEAR ENDED 31 JULY 2025
2025
Total
2024
Notes
Un￿StriGIed
Reslrictod
Incoming Resources
Volynlary Income..
HMRC Gift Aid
l Other General Donations
27,736
27.736
23,537
Total Incomtn
Resource5
27.736
27.736
23.537
Resources Expended
Direct Charitable ExpendTrture
Overseas projects
Printing, Postage. Stationery & Advertisement
Telephone, lax and photocopies
Rent, Rates and sewice charges
IT I Website
Bcy)ks and Materials
Refreshment5
Cleaning
Wages and Volunteer expenses
Events and acb'vities (Projeci Costs)
16,480
165
16.480
23,300
317
130
130
450
Dired charitable ex
enditure
16,775
16.775
24,Cf 7
Management & Administratlon Expenses..
Accountancy
Travel and promotion
Bank charges
Insurance
Equipment expenses
Motor expenses
Depreciation
Sundry
Re
airs
Mana
ernenl & Adminislialion Ex
400
199
400
199
400
105
n5es'
599
599
505
Total Resources Ex
endèd
17.374
24.572
Net Incoming Resources I
Iresources expendedl
10,362
10,362
.1,03S
Net Movement funds for the
period..
10,362
10,3S2
-1,035
Total Funds Brought forward
15,273
15,273
16.308
Balance at 31 Jul 2025
25,635
2S,635
15,273
Page 8 of 12

DARUL ULOOM CHANDBHARANG FOUNDATION
Summary Income and Expenditure Account
FOR THE YEAR ENDED 31 JULY 2025
202S
Notes
Income
Total expenditu
Nel Suip1us IDeficill lor the linancial year
27.736
17,374
10,362
There weie no recognised gains other than those included in the Income and Expenditure Account lor
current year.
Page9of12

DARUL ULOOIIA CHANDBHARANG FOUNDATION
Statement of Assets & Liabilities l Balance Sheet)
As at 31 July 2025
2025
NOTE
Current Assets
Cash al Bank & in Hand
26,035
26.035
Current Liabilitles
Atnount falling due to one year
Accruals
400
NET CURRENT ASSETS I ILIABILITIESI
25,635
TOTAL ASSETS LESS CURRENT UABILITIES
25.635
FUNDS.. 8rought Fo￿ard
15.273
ExTrssllDelieitl ol Incorne over expenditure
10,362
Total Funds
25,835
The financial statemen15 were approved by the Executive Committee an(t signed on their behalf"
Muh8mmed Nazim Ud(Sin
(trustÉel
Date..
The Note5 on pages 10 10 12 form part of the linanaal statetnents.
Page 100112

DARUL ULOOM CHANDBHARANG FOUNDATION
FOR THE YEAR ENDED 31 JULY 2025
NOTES TO THE ACCOUNTS
1. ACCOUNTING POLICIES
a. Ba515 of Accounting
8asis of accounting The Financ1al Statements have been prepared under the historical Cost convention.
a5 modih'ed by the revaluation of certain fixed assets and investments measured at rnarket value.
The Financial Statements have been prepared in accordance with the Finaricial Reporting Standzid for
Smaller Enlitses leffective J3nuary 20151, and the ieouirements of Accounting and Reporting by Charib"es.
Statement of Recommended Piactice applicable to charitie5 preparing their accounts in accordan￿ with
the Financi81 Reporting Siandard ft)I Srnaller Entits'es leffeciive January 201SI ISORP 20151.
b. Grants
Revenue grants ara trediled to the Income and Expenditure 8ccount on a ￿Trivable ba51S.
Donations
Donation are recorded on a ￿Tript basis.
d. Incoming Resources
Voluntary income and donations are included In ineoming resour￿$ when they are receivable.
except when the donor5 specify that they musl be used in future a￿OUntIng periods or donors,
Conditions have not been luifilled. then the Income is deferred The income from fundraising ventures
Is shown or055. With the associated costs Included in fundraising costs.
e. Resources Expended
Resour￿$ expended are included In the Statement of Financial Activitie5 on accruals basis,
indusive ol any VAT that Cannot be recovered.
Expenditure ihat is directly attributable to specific activities has been included in these cost
categories. Where costs are attnbutable to more than one activity, they have been apportioned
acros5 the cost categories on a basis consistent with the use of those resources.
f. Going Concern Bas19
The financial statements have been piepared on the going concèm basis. as in the opinion of the
trustee5. theie are no issues arising which would Suggest any oltter basis as being more
appropriate.
g. Administration Costs
Admini51ralion expenditure Includes all expenditure not directly related io the chaiitable activity.
h. Taxation
As a charity. they are exernpt from lax on income and gain5 falling within
section 505 ol the Taxes Act 1988 or $256 of the Taxation ol Chargeable Gains Act 1992 to the
extent thai Ihese are applied to its charitable objects No lax charges have arisen in the Charity.
l. Depreciation=
Depreciation is calculaled so as lo write off the cost of an asset. less ils estimated residual value, over
the usefLJI ecr)nornic life ol that as5el as follows..
Fixture, Fitting and Equipfflent".
15 on Reducing Balan￿ rnethod
Page11 of12

DARUL ULOOM CHANDBHARANG FOUNDATION
FOR THE YEAR ENDED 31 JULY 2025
NOTES TO THE ACCOUNTS
Net Surplus of the Financlal Year
The excess of expenditure over income is slatec5 atter charging.
2025
Accountants, remunèialion
DeP￿￿8110n
400
Creditors and Acrual$
AcGount8ncy
400
400
Fundslcapital
202S
Balance at 31 July 2024
15,273
Balance at 31 July 2024
15,273
Excès81 (Deficit) of Income over Expenditure
10,362
Balance at 31 July 2025
25,635
Page 12of12