MINHA FOUNDATION
Charity Registration Number: 1200760
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30JUNE 2025
PREPARED AND APPROVED BY THE TRUSTEES OF THE CHARITY:
MINHA FOUNDATION
Page l of 12

MINHA FOUNDATION
FOR THE YEAR ENDED 30JUNE 2025
Pages
Information of Nnancial"Statements'.
Report of the Executive Committee .
6-7
Incom#and ExpwditureAxcounts.'
Statement of Assets and Liabilities .
io
Notes to the Acoounts -
ii.
Page 2 of 12

MINHA FOUNDATION
FOR THE YEAR ENDED 30 JUNE 202S
MANAGEMENTCOMMIThEE
CHAIR PERSON
Mr Mahfuzur Rahman
ADDRESS
3 Johns Place
London
EI 2HE
DIRECTOR
Mr Mahfuzur Rahman
Charl￿S Trustees:
Mr Mahfuzur Rahman
Mr Saleh Iqbal
Mr Mostafa Bayzid Al-sadi
Page 3 of 12

MINHA FOUNDATION
REPORT OF THE EXECUTIVE COMMirrEE
FOR THE YEAR ENDED 30 JUNE 2025
The trustees present their report and financial statements for the year ended 30 June
2025. The Trustees have adopted the provisions of the Charities SORP IFRS 1021 accounting
and Reportin8 by Charities issued in 2￿5 in preparing the annual report and financial
statements of the Charity.
Legal Status:
Charity= Registered with the Charity Commission, Charity Number: 1200760
Objects. Principal Activities and Organisation of the Charity
The Charity was established with a view to Promoting the benefit of Bangladeshi
people resident in the UK or Bangladesh by:
al The relief of financial hardship and relief of sickness and preservation of health
among people residing in Bangladesh
bl The relief of povertythroughout the world and the provision of support with
education
Page 4 of 12

MINHA FOUNDATION
REPORT OF THE EXECUTIVE cOMMI￿EE
FOR THE YEAR ENDED 30 JUNE 2025
(￿￿1$•t￿On.
A ￿￿N￿geMertc0mMIttee. the members of which are the tru5tee5 manages the affairs ofthe charity. The ManaBtment
Committee mana8es the buslness of the chafity includingthe payinB ¢rf¥n expenses
Trustees:
Tmstees, who are all members of the exe¢LTrtNe tommittee. and who seThed durlngthe yearare set 0￿0￿ page 3.
The tru5tee5 Ire eletted ai Annual General Meetln& lor membershlp ofthe EXeC￿1ve CommSttee and se¥we until the
emd ol the General Meetin& where they can Star￿ for T￿e￿rtIOn os member5 ofthe new Executwe
Commiltee.
The committee OT Trv5tee5 are required by charit(s law to preparefinancial statements for eachfinantial yearwhi¢h
true and fair view of the financiol actbvitie5 of the charity and of its financial position ?t the end of that year. In preparinE
those financlal staternent5 the Trustees are requ¢red to-
The Trustets arè responsible for preparlng the TrusteesAnnual Report and the Flnancial Ststements in actordan¢e
wtth appllcable law and regulations and Unlted Kingdom Accountin8 Standards (United KSn8dorn Ger¥ela1￿ Accepted
count￿￿ P*3rt4Eel. Thelw appliC*&t•charit￿ iH.Englaed.aAd.Wo19S WWiF8S t.keTFYSte8s to pFepxfvnaRCh
ststements for each financial year which ￿ve è true bTrd fairview of the state of affairs of the rharity and of the ¢ncomln8
r•wur£86 and app￿CatIOn ol r•sOur￿91.tk$£ka￿Ify forthat pgr40d. In PF•parlw tIwwFiRa￿l￿ Stat•maM4
are required to..
-Sdert su*table accounting poli¢ie5 and then appty thern conystentty,.
-observe the methods and PTlnclples In the Charitie5 SORP.,
4lakn jud8om*ntsand atcoufitiwestimatesthatare reasonable and prudert:
Prepare ihe Flnanclal Statementson the goln8 corKerft ba545 unless It is inaFvoprfète
to presume that the charitywill continue in operation.
TheTrvstees are responsible for keepinE proper a¢countiTrE records that disc105e with w50nable accuracy ot any tirne the
fiNancwl PQFAt49n of tho charity and eriabl* th*m ts MWtÈthai the Fi#ancial Stai*mellts compl¥ with th• Ch¥ritiqsAtt
2011.
.)0 I,
The Charlty IAccour*t5 and Reports) Regulat￿n5 2008and the provisionsof the trust deed. They ère also responslble for
s•fe8uardin8 the assetsof the £hartty and hentsfoc iaklTrg leasona￿e steps forthe we¥ention and detection of fraud and
other ifre8ularities
TheTryst¢es wish to their appreciaiiorl on.bohalf otthe thal1tyandwm￿n1￿f￿rthÈhY￿unteÉikW￿O awst in the
srnooth runni￿ of the Chority and are critit81 in hÈlpin8 to keeps runft1￿ tostsdDwTr.
RISK REVIEW:
TheT¥ustÈes h¥vÈ ¢ondurted theirown r￿leW otthe Ma1￿ rfj5ks to which the thanty 1$ exwsed ar*d tteps have beeft
inrtiated to minimise the Identified risks. All function5 of the Charity are 5ubjerted lo periodic review resulting in a process
of ongoing ImprovemeTrt. All stsftand volunteer5 are trained and have all the Tequired ststutory and reg￿13t0ry clearances
requlred.
Pa8e 5 of 12

MINHA FOUNDATION
REPORT OF THE EXECUTIVE COmMf￿EE
FOR ThE PERIOD ENDEO 30 JUNE 2025
TheTrustees are pleased to note thtttherewefe rtts 1fte1d￿ whieh gave risetothe needtorthe
Trustee5 to lodge a Serious Incident Report with the Charity Commission. Furthermore, there were
no exceptions recorded that required entry in the Charitys Exceptions Register.
RELATED PARTY TRANSAcfioNS:
During the period the Charity was under the control of Trustees and Management Commtttee
members as listed above. Thls report has been prepared in accordance with the provisions
applicable to small entities.
No members of the management committee recelved any remuneration during the period.".
No trustee or related party had any personal interest in any contract or transaction entered into by
the Charity.
RESERVE POUCY
It IS the policy of the Charity that unrestricted funds, which have not been designated for a specific
use, should be maintained at a level sufficient to meet its expendr(ure.
The Trustees conslder that maintaining reserves at this level will ensure that, In the event of a
r¢durtion in incom4 the Charity wlll be able to contlnue its activlties while alternative funding i
5ec¥Jred.
Audlt and Independent Examlnatlon:
Under the provisions of the Charities Act 2011, the charity is not required to have a full audit for this
fjnancial y•ar. The finantial statemants ha¥0 b•8r¥ andw.o¥ed b¥tho trust4es based c
the charity's accounting records.
TRANSAcfioN AND FINANCIAL POSITION
The Statement of Financial Activities shows a net deficit of £863.03 for the period.The Charivs
accumulated funds stand at £3,625.97 as at 30 June 2025.The fiftantial statements have been
prepared based on the records maintained by the Charity and in accordance with applicable
accounting principles.
APPROVED BY ThE TRUSTEES AND SIGNED ON tr5 BEHALF BY
Thi5 report was approved by the Executive CommFttee andsigned on their behalf.
Mr Mahfuzur Rahman
hairman)
ate.. 161 Q412QZ6
Pa8e 6 of 12

MINHA FOUNDATION
TRUSTEES, STATEMENT AND DECLARATION
FOR THE PERIOD ENDED 30 JUNE 2025
RESPON%BIUTIES OFTAUSTEES
The Trustees are responsible for preparin8 the fjnancial statsmentsandensurinB that proper
accountin8 records are maintsined for the Charity. The Trustees are also responsible for
53feguardlng the assets of the Charity and for taking reasonable steps for the prevention and
detection of fraud and other irregularities.
BASIS OF PREPARATION
The financial statements have been prepared based on the records maintalned by the Charity
and in accordance with applicable accounting principles for small charities. The accounts have been
prepared on a receipts and payments basis, refledin8 the actual Intome received and payments
made durin8 the period.
STATEMENT BY TRUSTEES
In the opinion of the Trustees..
-The financial statements fairly refiect the income and expenditure of the Charity for the period
ended 30June 2025.
-The attounts are consistent with the financial rKords maintained by the Charity-
-The Charlty meets the criteria for exemption from audlt. and therefore no audlt
or independent examination has beeft ¢trriedout.
TRUSTEES, DECLARATION
T.be Tru%teesconfirm thatthese financial ststemonts baye tseern preparedI￿od0n the infnr.matton.
available to them and are approved for Issue.
APPROVAL
Approved by the Trustees and signed on their behalf by..
Mr thhfuzur
ahman
Ichairnian)
Dat& 2&10412Q26
Page 7 of 12

MINHA FOUNDATION
Statement of Financial Activities Ilncome &amp: Expense Statementl
FOR THE YEAR ENDED 30 JtINE 21Y25
A¢Fyll+R8 ResouFces Des£FiPtioi¥:
UnrestFided (Él
Restl￿ted¢£I
Total IE
General Donations&aM￿. Contributions 5d(L{￿l
Resources Expended
Direct Charitable Expenditure
Projects for Poor &amp; Needv
1,101.30
1.101.30
Other Support Costs
221.CK)
221.00
B. Management &amp,' Administration
Bank Char8es
57.50
57.50
Reconciliation Adjustment
23.23
23.23
Totsl Admin Expenses
80.73
8Q.73'
Summèrr
Net (Defiut) for the Year
(863.031
18fi3.03)
Funds Brought Forward
4.489.(M)
4.489.IhJ
Page 8 of 12

MINMA FOUNDATION
Summary Income and Expenditure Account
Por the Year Ended 30June 2025
2025
Notes
Income
540.C
Total Expenditure
11,403.031
Net Surplus / (Deficit) for the financial year
There were no recogni5ed gains other than those included in the Income and Expendlture Account
for the current year.
Page 9of 12

MINHA FOUNDATIQN
Statement of Assets &amp- Liabilities (Balance Sheet)
As at 30June 2025
2G25
Current Assets
Cash at Bank &amp: in Hand
3,625.97
3,625.97
Current Llabilities
Amount falling due within one year Accruals
NET CURRENT Assgrsi ILIABILITIÉSI
3,625.97
TQTAL ASSET&LESS CURRENT LIABILITIES
FUNDS:
Brou8ht Foryiard
4.489.00
Excess / (Deficit) of income over expenditure
1863.031
rotal Fund5
T.he financial statements werg approved by Executi¥e Committeèand signed OR t.h￿T behalf..
Ichairperson)
Date.. 2610412026
Page Ioof 12

MINHA FOUNDATION
For the Year Ended 30 June 2025
NOTES TOTriEACCOUNTS
I. AC£OVNT1116 POLICIES
The Fiftancéal Statements have been prtpared ufider the historkal cost convefitbn.
The ￿nancIal Staternert5 have beert P￿Pared In accordance with the Financial
Reporting Standard for Smaller Enir(les (FR5 1021 and the requirements tsf the
aritiesStatemÈnt ol Recommended PractKe ISORPI.
6r•rttr
Revenue 8rantsare credited to the lrfome •fid Exwndrturekcovnton a receivable
Doh•itty
Donatlons are recorded on a receipt basis.
d. Inromlnu R¢sourtès
recewable, exceptwhen donors spectfy that they Must be used in ftrture a¢¢ountln8
pÈrk)ds 0¢ when £ondftlons have not been fulfilled, in wh4th tast the Ir￿ome Is
defefred. Income15 Shown y055. With ass¢¢kted costs Included tn fundralslng orsupport
Costs.
ResoL4rw eVA￿are IKludedln the Statefflent of fvnancial AttNibes ofvaA
tyccruals basis, incltssNe of any VAT which cannot be recovered. Exptndilure dlrectty art¥ibthable to specrfic activities is
allocated to those cost cate8orie5. Where cost5 relatÈto more than one attfvity. theyare apportioned on a reasonable and
consisteni basi
f. GolnKCryKern P•5
The financlal statements have been wepared OTh a 8oifi8 ¢lYltwn bxos. The trustees conslderthai there are no material
A¢wialAtles affectlngthe charitV5 abilityto ¢(**iAue +)pÈratlr
Admln55tratkn Corts.. Admini#ration ¢0￿ include expenditure not direcdy felèted to Charits￿e artivitles.
h. Tamatlon
The cha￿ty Is exempt from tax on income and goins fallinB Within the relÈvant le8isla16on, to the extent that theseare
apph.ad to its charitabJe-purpo￿. No tW£hfjr￿ ha¥8.3ri*) in the Per￿.
I FIMdA55ets.. The Chority had no fixed assets dufingthe period. kcordin8ly, depreciation has been charged.
Page 11 of 12

MINHA FOUNDATION
For the Year Ended 30 June 2025
NOTES TQTHE ACCOLINTS
2. Creditors andAttwal$
XP25
crual&
3. Net Surplus I IDeficitl of the Financial Year
The excess of expenditure over income is stated after charging:
Administration I support costs
80.73
4k F4ll￿1 Capital
Bajance at 3D kne 2024
4.489.(Ll
Excess l LDeficitl for year
L863.031.
Balance at 30 June 2025
Page 12 of 12