Dwslgn Envelow ID.. L)209)EC￿72-451￿E8L￿I￿10F40o
REGISTERED CHARTfY NUMBER: 1201591
REPORT OF THE TrusfEES AND
FINANCIAL STATEMENVS FOR THE YEAR ENDED 31 MARCH 2025
FOR
Pte51ons & Jackxons Pth¢rship LLP
364 - 368 CranbnK)k Road
Essex
IG2 6HY

CONTENTS OF THE FIYANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Report of the Trystees
IDdepellde•t Eumi•er'J Reprt
St*tement of FimaDcial Acllvltlel
S¢a¢ement of Fl•#ty¢knl POSI￿
St•t¢ment of C•Jh Flo
10
Notm to th¢ Sts¢eme•t •( C￿h Flo
Notes to the FIL*nelAI Statememts
12 to 17
Detalled Sl*temeDt ofND•llcl•l Adivities
18

D[￿$¥n En¥JQPÈ ID." D20Kfc>C4T2454HE￿￿D1DF4DLu
BOUNTIFUL GIVING
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The trusttts present their rel￿ with the fmancial sthtements of the charTty for the y¢4r ended
31 March 2025. The truste¢s have adopted th¢ provi$ions of Accoulliing and Rep)rtln8 by Charities..
Ststem¢nl of Reconlln¢nd¢d Practice applicabl¢ to Charities preparing th¢ir accounts in accoTdance with the
Financial Reporting Standard applicable in th¢ UK I￿j Republic of Ir¢land (FRS 102) (effective l January
2019).
OWECTIVES AND ACTIVITIES
Our charitable purpwes
Bountiful Givin8'5 objects are to..
l. Relieve financial hardship among poor Fople and others in financial diifi¢ulty. for example by grants
towards food, basic necessiltes. school costs and m¢d]￿l treatment.
2. Advance the religion of Islam by helping to provtd¢ facilities for Islamic ¢du¢ation and worship, in line
wilh the Quvan and th¢ Sunnah as understood by th¢ Ahl al-Sut)nah wa'l-jama'ah school of thought.
The miin way we carry out these purpow 1$ by grant making atsd, where suitable. intere$i-fTee charitsble
loans (karz*ha5na) to support clwitable w(Kk. We may $upwi both organisations 4nd. in some case4
individuals in hardship.
Publ1¢ b¢nefit
Th¢ tru5tcc$ have had regard to the Charity Commission's 8uidan¢¢ on public benefrt (CC3) when plannin8
the yeavs work and making decisions. In simple t¢Tms. we ask two qu¢stions for every decision..
- Does this furth¢T our objectsg
15 Ihere a clear. reasonable benefii to public or a section ofthe public?
Wh¢r¢ this is not ¢ltsr. we do not proceed.
P4ge I

BOL,NTIFUL GIVING
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
FLNANCIAL REVIEW
FillAn¢ial Pojition
The year ¢nded 31 March 2025 is the charitys fwst y¢aT of si8nifie4nt activity.
- The charity mainly had iti¢ome from founder and supporter don#tions of £877.709 (2024: Nil).
- The expendithres are largely mad¢ up of charitable grants plus modest governan¢¢ and administration costs
of £83.746 (2024- Nil).
- The net result was a surplus of £793.963 for the ye4r ended 31st March 2025 {2024.. Nil)
- For th¢ y¢aT ¢nded 3 1st March 2025. Unrestricied funds ¢arried forward weTe £308.599 (2024.. Nil) and.
- Restricl¢d funds carried forward wer¢ £485.364 (2024: Nill
The eX￿t figures are set out in the attached fuwi¢i41 ststements. The tnjstees are satisfied that..
- all expenditure has been appli¢d in furtherance of th¢ chariws purp)ses: and
- the charity remains 4 going eon¢ern for at ]east twelve month5 from the date this reih)rt is apwoved.
The Charity has no tradin8 sub$idi4ries ￿￿1 does not cany out public fimdrnisin8 ¢•mpai8ns.
oundadoms atsd fl t
This was our f￿ o¢tive year. The previous wi(Nl (to 31 MArch 2024) r￿Orded no income and no
expendiluTC.
The trustees agreed that in this eorly stage ￿ would:
- put ￿S1¢ 8overnance and finan¢e aTr8nBements in place.
- test a simple 8rant-makin8 cycle with a small number of parlDers' and
- learn from those first grants before sealing up.
l-Bulldlng the ch*rity'$ fo•ndAtIoD•
During the ye4r the trust¢e8 foeuged on setting up the frameworks that any ￿s￿nsible 8rnTht-n￿ needs but
keeping them propJrtionAt¢ to our size. In w¢i¢ular, w¢..
ABreed a core set of w)Iici¢5 wv¢rin8 gr￿t￿in￿ due diligen￿. re5erv¢4 ¢onflicts of interesi
safeguarding, f￿ancial controls risk.
- Confimi¢d $imple approval rules for grants 4nd loans. with higher kve15 of sign￿ff for larger amounts.
- Agr¢¢d to use an online accountin8 pa¢k48¢ so that trust¢es can see clear finan¢i41 r¢wrts.
We 4180 8tw*ed to use a simpk risk regi￿￿ and a￿e¢d that key risks (such as complian￿. ￿r￿lardlti8 And
rinancial ¢ontrols) would be reviewed regularly at ix)ard lev¢l.
In thi5 f￿51 year. th¢ emphasis has been on testing these frnm¢W￿8 in practice. Tather than ¢r¢ating Complex
system5 on PaPET.
z-Grant-tt￿kI￿E in 2024n5- Ilr8t portt
A key 5t¢p this year wa5 to run a ￿11 want-m8kni8 cycle from end to end with a small group of pai1ner4 to
s¢e how our approach works in Teal life.
Over the ¢ourse of the f]nancial year. th¢ board ¢onsideTed scycrnl proposals supprt¢d by due diligence
reports (including checks on charitable status. governan￿, safe8uardin8 and financ¢s}.
The following grants and loan were approv>J:
Page 2

BOUNfiFUL GIVING
REPORT OF THE TRUSTEES
FOR THE YEAR EIYDED 31 MARCH 2025
Waterfall Projeet- grant for medical ¢oJts
- Amount: £5,650.
- Type of work: support with medi¢al treatment costs for people in finan¢i81 hardship.
- Why we supported it.. direetly relieves sickness and bardship for vwlnernble indiv1th￿l$.
M4d4ni Girlj Seknol- rr eqDipmemt
- Amount.. £26.000.
- Type of work.. IT equipxent to improve access to digital learning for gills in Is]ami¢ education.
- Why we SUP￿rted it: advances eduGqtion and makes l¢aming more ac¢es5ible.
Quwwat41 tjlam Soelety (QIS) Itlkaf
- Amounl.. £1.200.
- Type olwork.. stru¢iur¢4J iiikaf programme providin8 spiritual and educational a¢tivilie&
- Why we supported it: adv¥nr¢s the religion of Islam and supports spiri￿41 wcllbein&
I*y¢onstowe Muslim Communlty Cetttr¢- Io
Amoun¢.' £30,000 interesl-frne loan, r¢p4yable over six months.
- Type of work.. stren8th¢ning community services at a busy local masjid And ¢ommunty centre.
- Why we supported it: support$ a local hub for worJhip. education and wial supporL while keeping the
capital recyclable for futtEre charilable use.
>EArly Impet and karnlDE
Much of the impact will b¢ s¢¢n in 2025r26. Even so, a few earty points ar¢ ¢le4r:
Our first portfolio already spans poverty relief, mental beal¢ty educatio￿ spirituAI development And
community servi¢¢$. which refle¢ts ¢)ur objects.
- The mix of grant& Zakat hardship support and * charitsble 104n has lllowed us to test different tools and
see how th¢y work in practice.
- We have ¢est¢d our basic due diligence And m￿lIOriti8 4pproA¢h asked each lynd￿ paTth¢r for a short
impact updAte within al￿t six months of di8burs¢ment.
The truste¢5 will use this learning improve th¢ yant cycle fwther in the comin8 y¢•r.
Page 3

Otyw8wJn Envdw ID: D20￿C>C4724$468E￿lDF4DDC3
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
FINANCIAL REVtEw
Rex¢rYeJ policy
In this early stsge. the trustees have taken • $imple 4)proach to r¢S￿V¢s..
- Over time. w¢ expect to hold free reserves of arowid 3-6 months of planned grants and basic Nnning cos
once the l¢vel of re8ular activity is Clea￿T.
- In the first few years. reserves will naturally move up and down as we build our portfolio.
The board will review resetv¢s At least once a year akJngsi¢k the gTani pipeline and any l0rt8er-terni
¢ommitments.
At 31 March 2025. free r¢sery¢s w¢r¢ £308.599. The trusteu consider these Adequate 8iven current
mmilments and expected income.
Rejtricted and •nrt•tri¢l¢d funds
Funds are held in two simpl¢ categories..
- R¢$tri¢t¢d fund4 which are m3inty ¢at¢gori2e4J as the Zakat fiujd. as per the donorg inl¢ntions
- Unrestricted funds. whi¢h th¢ itu$t¢¢$ ¢an apply to any of the charitys objects.
The movement on these funds is shown in the notes to the fllwicial Statements.
Fi)TURF. P￿￿s
In th¢ nexl perlod the tn￿1￿￿ plan ¢0:
- Keep testin8 and simplifyiD8 our grAnl-makin8 framew￿ so it r¢mains robust but pn¢ti¢al for a Sm￿1
charity.
- Monitor the first yet of 8rants and the charitsbl¢ loan. capturin8 short impacl reports and lessons l¢arned.
Build a slightly broader portfolio of Brants across poverty reli¢f. h¢o1th and wellbeing. educaiion and
faith-based pro8ramrn￿ while keeping risk at a level wc can manag¢.
- Strengthcn internal capacity through iTU$tee trainin8 (for example, on Mfegu•rdiJ)8 ond risk) and better u
of the aexountin8 and Teporting tools w¢ bavt Adopted.
Th¢ board's overall appToach rernains cautious and *eady.' learning from experie￿e. stayin8 close to our
objects. and avoiding over•stre¢ch.
Pag¢ 4

DoArnl]n En￿lOp0 ID." (f2Q90EG>G472454HE8MWILf40DC8
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STRucfuRE, GOVERNANCE AND MANAGEME
Govenhlng dotum¢n¢
Bounti￿1 Giving is a Charitable Incorporated Organisation (CIO) governed by its CODStitution. as r¢gistcr¢d
wilh th¢ Charity Conunission on 16th January 2023 as defmed by Charity Aci 2011.
The trustees are responsible for the overall directiorn and oversight of th¢ ¢h8rity. ]n pra￿1¢¢..
- The Meets as needed to consider grant pmposals, review fmances 8nd discuss risk.
- Trustees are ￿p￿ill1¢d under the i¢mis of th¢ Constitution and bring experienc¢ from finance. community
work and charity governance.
- New trnstees rec¢ive an infoTmaI induction and access to key wlicies and past minutes.
D8y-tO-d¥y activity 1$ carried out by the trustees themsefv4 Supprt￿l by ¢x¢¢rno1 profusional as
required.
The Charity Commission's re8iSter notes that Bouniiful Givin8 h&$ put in pla¢¢ 4 number of basic policies
(for example. on risk monagemenl finan¢ial Controls, res¢rv¢s. safeguardin8 and trustee expense5). These
arc kept under review and will be refthed as the charity VOWS.
REFEREI¥CE AND ADMIN￿RATIVE DETAIiS
Reglstered ChArlty uumber
1201591
PrilltlpAI AddreJJ
3rd Floor
86-90 Poul Stre¢t
London
EC2A 4NE
Tru8teeJ
Zubair Ismgil Seth - Chair
Munira Ismail Mussi Chand
Mohmed Tahir M(x)sa Tal8ti
lidependent ExamlDer
Anwer Patel BA (Hons), FCA. BFP
Prestons & Jacksons Partnership LLP
364 - 368 Cranbrwk Ri)4d
Ilford
Essex
IG2 6HY
Page 5

BOUNTIFUL GIVING
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STATEMENT OF TRusfEES' RESPONSIBILrrJis
The thjstees are resp)nsbi 1¢ for preparing the truste¢s' annual report and the financial ststements in
Cord￿¢¢ with aFplicable law and Unit¢a Kingdom Accounting St4nd4rds.
Charity law requires the trustees to weparc fjnancial ststements for each fina￿la1 yw which give a true and
fair vi¢w of the stste of affairs of the chaTity and of its Income and expenditure for that period. In preparin8
the financial statement% the trustees musi:
select Suitable a￿o￿ntIng policies and apply them consisi¢nily'
- observe the methods and PTinciples of the applicable Charilies SORP.
- make judgements Hnd ¢￿imateS that are reQ￿nable and pTud¢DI'
siale whether appli¢FJbl¢ a¢¢ounting standards have been follow¢d subject to any material departures
diseloged and explained in the finonciJl statements" and
- pr¢pare the financial statements on th¢ goinw)ncern basis unless it 1$ iMppTopriat¢ lo presume that the
ch4rity will continue its activilies.
The trU￿e¢S 4r¢ r¢sFKynsible for keeping proper ac¢ouDling records that disclos< with rewnable accurncy at
any time, th¢ fmancial posiiion of the charity and ¢n4ble ihem to ensure that the financial statements wmply
with charily law. They are also responsible for saf¢8uardin8 the a&sets of the charity and iaking r¢a$onabl¢
steps for the p￿ventIon and detection of fraud and oiher irregularities.
2&Q1r2026
Approved by order of the board of tru￿e£S on ........................................ .... and signed on its behalf by..
Tru81¢¢ Zubair Seth
Page 6

DO￿￿n Emvew ID.. D2090EC>C4724S4UE8￿AOI0F4DoCa
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTELS OF
BOUNTIFUL GIVING
IDdep¢nd¢nt examiner's report to the truttees of Bountifid Giving
I report ￿ th¢ ¢harity trustees un my examination of the accounts olBouDtiful Giving (the Tn￿1) for the year
ended 31 March 2025.
ResponJibili¢ies aDd basis of ttport
As th¢ charity truslees ofthe TThst you are res￿)nsible for the preparation of the accounts ID accordance with
the requirements of the Chariiies Act 2011 Cthe A¢¢).
I report in respect of my examinAtion of the Trus¢s 4¢COUnts ¢4rried out under Section 145 of the A¢t and in
carryin8 Out my examinaiion I hav¢ follow¢d #ll ¥ppli¢tibl¢ Dir¢¢tions giv¢n by th¢ Charity Commission
under Section 145(5Mb) of th¢ Act.
IndtpendeDt eixmlner's 8t*tement
Since your charitys gross income exceeded £250.0(M] your examiner must be a member of a listed body. J
¢an confm that l am qualified to undertake the examination because l am a member of the Institute of
Chhrter¢d A¢¢ounlants in England and Wal¢& which is one of th¢ listed bodies.
I haye ¢ompl¢tcd my examinalion. J confinn that no malerial m8llers have come to my attention in
conncction with the examination givin8 me cause to believe that in any material respe<t:
accounting records were not kept in respect of the T￿￿t as required by Section 130 of the Act: or
the accounts do not accord with those records. or
the accounts do not comply with the applicable requirements eoncerninB the fom and eonlertt of
a￿UnIS $¢t out in th¢ Ch8riii¢$ {A¢¢ounts and R¢port$) R¢gu141ion$ 2008 oth¢r than any r¢quir¢ment
that th¢ accounts give a ITue and fair view which is nol a matter wn5idew¢d as part of an independent
¢x4min#lion.
I have no eon¢¢ms #nd h•v¢ ¢ome across no other matleTs in conne¢iion with the examination to which
attention should be drawn in thi5 repcrt in order to enable a proper undeTStandin8 of the accounts to be
reached.
Anw¢r Patel BA (Hon5). FC& BFP
Pr¢ston5 & Jacksons Partnership LLP
364 - 368 Cranbrook Ro
Ilford
Essex
IG2 6HY
Dale:
Page 7

BOUThFUL GIVING
STATEMENT OF FINANCIAL ACTtvrriES
FOR THE YEAR ENDED 31 MARCH 2025
Pericrfl
1611123
Year Ended
3113125
Total
funds
3113124
Total
fimds
Unrestricted Restrlcted
Notes
INCOME AND KNDoWME￿s FROM
Don41ions and legacies
386ffj95
491,014
877,709
EXPENDITURE ON
Charit4ble 4¢tivili
Charitable A¢rivilies
Support Cost
52200
25896
57.850
25,896
Total
78m6
83,746
NET INCOME
308S99
793,963
RECONCILIATION OF FUNDS
Total (undy brou8hi forward
TOTAL FUNDS CARRIED FORWARD
308J99
793,963
The notes forn) prt of these financial statements
Page 8

STATEMENT OF FINA]YCIAL POSITION
31 MARCH 2025
31J.25
31.3.24
Debtors: amounts falling due within on¢
year
Cash at bank
798263
CREDITORS
Amounis fa]lin8 due within one year
(4JOD)
NET CURRENT ASSETS
793963
TOTAL ASSETS LE&S CiJRR
LL4BILITIES
793963
NET ASSETS
793963
FUNDS
Unrestricted fvnds
Restricted funds
308J99
485J64
TOTAL FUNDS
793J63
The financial statements w¢ro aPPToved by th¢ Board of Trustees and authorised for issue on
.1919.1rApag............................ and were siwKd on its behalf by..
Trusttt '. Zubair Seth
The notes forni part of these financial sLknents
Page 9

BOUNTIFUL GIVING
STATKMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 .MARCH 2025
Period
1611123
Year Ejbded
31r3ns
3113r24
Cuh flows from operating ¥ctlvltles
Cash g¢n¢rat¢d fron) operations
768263
Net ¢tsh provided by operatin8 activities
768263
Change In easb and Cash eqwiv*l¢Ats
In the reportlnz period
Cash #nd eA8h equivalcllts at tht
beginjbillg of tb¢ reportiDg pcriod
768263
CA8h and ¢aJh ¢quiv*l¢ots at tht emd
of ¢he reportimz period
768363
The notes fomi part of these financial stateM￿ts
Page 10

Ooujskjn En¥thw ID.. D2flJOECK472454ME8ik99ND1LF4tJDGt
BOUNTIFUL GIVING
NOTES TO THE STATEMENT OF CASH FLOWS
FOR THE YKAR EI¥DED 31 MARCH 2025
RECONCILIATION OF INCOME TO CASH FLOW FROM OPERATING
ACTIVITIES
Period
1611123
Yur Epded
3113llS
3113124
Net Income for the reporting period per the Sthtement of
Financial Aclivititt)
Adju$¢ments for:
Increase in debtors
Increase in creditors
793963
{30,IN)O)
Net casb pn>vided by operalK•nS
768363
ANALYSIS OF CHANGES IN NET FUNDS
At 114124 Cash flow At 31tsn5
Net cash
Cash at bank
768363
76836J
768363
768,263
TotAI
768363
768,263
The notes forni part of these financial statements
Pagell

BOUNTAFUL GlVllYC
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
AccoiJNfiNG POLICIES
Bosss ofpreparing tb¢ finantkni ststements
The fuwicial statements of the charity. which is a public benefit enlty under FRS 102. have been
prepar¢d in 8ccordance with the ChaTities SORP IFRS 102) 'A¢¢ounting and Reporting by Charitie$:
State]n¢nt of RecoD)mended Practice applicable to charities preparing th¢iT accounts in accordance
with the Financial Reporting Standth 4pplicable in the UK and R¢public of Ireland (FRS 102)
(effective l January 2019),. Financial Re[￿lA8 Standard 102 lThe Fina￿1#1 Reporting Standard
applicable in th¢ UK and Kepublic of Irelsnd, th¢ Charities Aci 2011. The fthancial statements
have been prepared und¢r th¢ hislorical cost convention.
All income is r¢cognised in the Stst¢m¢nt of Financial Adivities on¢¢ the charity has entitlement to
the fund& il is probable that the income will be ￿¢7Ved and the amount Can be m¢asured reliably.
Expendfitllr¢
Liabililies are r¢cognised as expenditur¢ as soon as ther¢ is a 1¢841 or conslTUCtive obligation
committing the charity to that expendiiure. il is probable that a transf¢r of ¢¢onomic ben¢fils will bo
required in s¢ttlement and the amount of th¢ obligation Gin be me4sur¢d r¢liably. Expenditure is
accounted for on accruals basis aDd has been classified under headin8$ th•1 aggregate all ¢0gt
related to the ¢4t¢gory. Where costs cannoi be directly attribukd to particular h¢8dinBS they have
been Allocated to a¢iiviti¢$ on a basis consistent with th¢ ofresources.
Grants offered subjeci io conditions which have been met at the year end dat¢ 4r¢ not¢d as
commitm¢nt bul not accrned as ¢xp¢nditur¢.
Tax&tlo
The charily 1$ ¢x¢mpt from tax OD its Ch￿1¢*ble a¢iivities.
Fund accounting
Unre5trictd funds can be used in a¢¢ordan¢¢ with the ¢harit*ble obje¢tiv¢$ at the discretion of the
trust¢¢$.
Restricted fund$ onty be used for particular restricted PUTposes within the objectg of th¢ charity.
Restrictions 4r18¢ when specified by the donor iy when funds are raised for particular resiricted
purpos¢5.
Further explanation of the nature and purFx)se of ¢ach fimd is included ID the not¢s to the fmancial
Otements.
D¢bttyrJ
Basic finan¢i41 asset4 includin8 trade and other debtor& aT¢ initi*lly T¢¢ogniseA at transaclion price.
unless the amngement constitutes a fmancing transaction. where the transaction is measured at the
present valu¢ of the fuiure receipts discounted al a market rate of interest. Such assets are
subsequentlye4rried at amortised c051 using the effective interest method. l¢ss 1mpairni￿t.
tncluded in debtOTS is i ¢once&8ionary interest fr¢e104n giveD to another charity whi¢h is due within
one year.
Crediton
Pag¢ 12
continue(L..

BOUNTIFUL GIVING
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOiJThNG POLICILS- CODtinued
Basic fmancials liabiliiie4 in¢ludiDg trade and oth¢T ¢reditor4 loons from third parties loans from
related parties. are initially re¢oguis¢d at transaction pri¢e. yin1￿S the a￿D¥ement coJ]sititutes a
fmancing transactio￿ where th¢ debt instrument is measured ai the present value of the future
payments discounted at a mark¢1 rnte of interest. Such i1￿Ments are subsequently caTri¢d 81
amortised Cost Using the effective interest method. less any pa￿e￿L
Related Party Note
The charity disclow re]at¢d party tr4L%actions in the not¢5 to the fJn•ncial statements.
CoDeeBthn•ry IoAn8
Concessionary loans are ini¢rest free loans re¢¢ived from the Community or given to other charities.
These are accounted for as du¢ or r¢ceivable within one year.
DONATIONS AND LEGACIES
Period
1611123
to
3113Q4
Yur Ended
3113n5
Donations
%n,709
Analysed aj fDIIow*:
YeAr Ended
Perlod
1611n3
to31f3r24
3113r25
Lillah
386th93
491JJ14
Total
877,709
Page 13
continued...

i)ouwn En¥eknPt Itk. D2￿c￿4724Sq4-8E￿S4D1DF4O￿8
BOITYTIFUL GIVING
NOTLS TO TEtE FINANCIAL STATEMENfs- ¢ontinu¢d
FOR THE YEAR ENDED 31 MARCH 2025
funding of
activities
(see note
4)
sUp￿rt
costs (see
Dote 5)
Totals
Charitable Activit1¢5
Support Cost
57050
57,L
25,W96
25396
57050
25196
83.746
GRAI¥TS PAYABLE
Period
1611f23
Year End¢d
3113n5
3113Q4
Cl14rit•bl¢ A¢fivtties
S7050
Thc total 8rants pid to instilutiong during th¢ year was as
follows:
Period
1611123
Y￿r Ended
3113ll5
3113124
Waterfall Charity
Quwwat-ul-lslam
K.E.Y Charitable Trusl
Madani Girls School
5,650
1200
25,1)00
26.1)00
57050
The total 8fAnts paid to institutions in lern)s of PrOj￿ts during the year was as follow8:
Year
Ende￿1￿￿ Period1611f2
5 3 to3113n4
M¢di¢al
Education
R¢ligious
WY4ter
7,650
26,IMNI
121)0
25,IMIO
57050
Page 14
continu¢d...

BOUNTIFUL GIVING
NOTES TO TIIE FINANCIAL ￿ATEmENTs - tontinued
FOR THE YEAR LYDED 31 MARCH 2025
GRANTS PAYABLE- coDtix•ed
SUPPORT COSTS
Managanent Finance
costs
Totals
Support Cost
323
21
25550
25896
TRUSTEES, RKMUNERATIOY4 AND BEI¥EFATS
There were no In￿te¢s, r¢mut)erntion or other bM)¢fits foT the year ended 31 Mar¢h 2025 nor for the
period ¢nded 31 March 2024.
Trnsteej, expenses
Ther¢ were no trysttts, eX￿5¢S paid for the y¢ar etthd 31 March 2025 nor for the peri¢)J ¢nded
31 March 2024.
DEBTORS: AMOUNTS FALLING DUE wmiiN ONE YEAR
31JaS
31.3.24
Other d¢btors
30,OiKI
In¢luded in debtors is • ¢onces$ion•ry interest free loan given to #nother chaTity which is due within
one year.
CREDITORS: AMOUNTS FALLING DUE wfnllN ONE YEAR
31J.25
31.3.24
Trad¢ credilors
A¢crued expenses
4JIKI
Page J5
continued...

BOUIYTIFUL GtVlNG
NOTES TO THE FJNLNCIAL ￿ATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
ANALYSIS OF I¥ET ASSETS BETWEEN FUNDS
31J25
Total
funds
31.3.24
Total
fimds
Unrestricted Restricted
Current Lwts
Current liabilities
312199
(4JOO)
485J64
798263
(4JOO)
308JJ9 485J64
793J63
10. MOVEMENT IN FUNDS
Net
movement
in funds
At
3113r25
Ai 114124
Unrestrlcted fundj
G¢neral fund
308J99
3085
Rejtrieted fundi
Re$trict¢d fund
485J64
485J64
TOTAL FUNDS
793.963
793,963
N¢1 mov¢ment ID funds, included in the ilmfft are as follow$:
Incoming Resources Movement
resour￿$ CXpe￿jed in funds
Unrestricted fuwlj
General fund
3￿695
17&096) 30&599
Rutrfctsd fllnds
R¢stricted fund
491,014
(5ffi50)
485?64
TOTAL FUNDS
877,709
(83,746)
793,963
RwtAet¢d fund•
Thes¢ fimds have been don&ted for specific PUTFWS and ￿¢ Testricted to Zakaal projects only.
Page 16
CODtinue(L..

otsJ8*n Ettvolow 10." 0209)ECSC4T2454MEWSW1DF4fMK8
BOUNTIFUL GIVING
NOTKS TO THE FINANCIAL ￿ATEmENTS- eontiDued
FOR THE YLiR E￿DED 31 MI ARCH 2025
I I. RELATED PARTY DISCLOSURES
The charity rxeived dwation$ of £877.709 (2024: Nil) fr(ffi trustees during the year ended 31 sl
March 2025.
12. KEY MANAGEMENT PERSONNKL
The Key Mana8emeni P¢rsoDnel is ciynsidered io be the boArd of tTUSt¢es.
Page 17

DoM&n Env*Pè ID.. rr2090Ec>c4ll454¢8E￿￿70FI0t
BOUNTIFUL GIVING
DETAILED STATEMENT OF FINANCIAL AcfJvJTILS
FOR THE YEAR ENDED 31 MARCH 2025
Period
1611123
Yur End¢d
3113125
3113124
DollatiODS wnd l¢g4cie•
Donations
877,709
Total imcominz re•omr¢e•
877.709
Cbarilable aetiviti
Donation
57J50
Support eosts
M4n4g¢meDt
Website Cost
325
Fln#n¢¢
Bank char8es
21
Covern*th¢e costs
Independent examination
Con8ulthn¢y ftts
23.7511
25J50
Total resources expend
83,746
N¢¢ In¢om¢
793863
This page does not forn] parl of the statutory fin￿￿la1 ststements
Page 18