REGisfERED CHARITr. 1202734
AL SAFINA FOUNDATION
REPORT OF THE TRusfEES AND UNAUDITED FINANaAL STATEMENTS
FOR THE PERIOD
17 APRIL 2023 TO 16 APRIL 2024

REFERENCE AND ADMINISTRATIVE D￿AlLs
The trustees. present their reportwith the finan(ial st*ements of the tharrty for the peritid 17th April 2023 to
16th April 2024.
INCORPORATION
The CIO FouThJation was incorporated on 17 April 2023.
1202734
Re8istered Offlce
128 Common Road,
Kensworth
LU6 3RG
Trustees
Mr Muharnmad ltyas
Mr Aahdam Sultan
-appointed 08.12.23
- appointed 07.12.23
- apFM)inted 07.12.23
- appointed 16.09.23
Trustee
Mrs Natasha Ferdtnand
Mr Hari$ 5habbir
Trustee
Trustee
Independent Examlner
Quba Accountsncy LTD
14 MayneAvenue
Luton,
Bedfordshire,
LU4 9LS

The Board of Trustees sets ourfubjre aims and priorities f￿sIng on stiategic planning and governance and
also evaluates our performano and Progress in our work to alleviate poverty and suffering.
The Board of Trustees appraises the Senior Management Team and rAn make appointments to it as well as
dismissals. The Board of Trustees also make sure that we satisfy the regulatory requirernents on us as a charity
and works with keystskèholders.
Recruftlng and AppointFngTrustees
All our trustees are volunteer. chosen be(JLTrsethey all have the dT¥erse range of skills. knowledge and
experien￿ that we need to resFKJnd to the thallenges of today. Stakeholdets and partner5 may nominate
trustees and somdlTnes we will make a personal approach to poterrtial candidats&
Governln8 dwment
Al Safina Foundation refers tothe charity ino)rporated organisation with a govèming document known as CIO
constitution by foundation ori￿nallY incorporated on 17 April. 2023.
Respon&bilities of Trustee5
The annual report and finanaal statements are preparal accorfinEto the relevant law ar￿ approved by the
trustees.
The trustees keep adequate accounting records and the¥show and explain our transactions. The records also
disclose ourfinancial position with reasonable accuracy at any time and enable trustees to ensure that the
financial staternents cornplywith Charity Commission Statement of Recommended Practice ISORPI 2015.
Grant Making Poll(ies
We provide grants to projects rf the request meets our tharttab]e objectives and uiteria. Project grant making
15 managed according to a designated prcKess, which is documented in our Operattonal Risk-management
Framework. We aim to treat all grant applications professionalfy. equally and fairly. We make the final decision
as to eligibility to receive a gr3nt, at our disuetion.
Public Benefft
We develop strategic ptans to make certain that we provide mayimum pU￿1C benth and achieve our strategic
objechves, which fall under purposes defined by the Charity Art 21Th.

PROVISION OFFOOD. cioniiNG ANDofHER ts5ENTIALifEhtsTO MEEfAUSIC STANDARD C
UVING.
In pa￿$￿ and Bareladesh we dknknrted Iipto ￿foOd packs I￿*fOod tothose who have a pla
tol1* Ixrt need food supplle5 thi% th￿uded Yiee. flour. OIL teaba84 and %E8etsbk5.
d¥ldren as tlyère n*yewlnerèblL We been fo•on vlllaBes and small to44￿5 in hklstrth
and Ba*deslL We bulltasotYe* ofdean drinkfr* Wdterlrom wemsand Ydter pumps provldln8
dean wdler upto 72 famill4 we are kn the processof d&*Ww4 n
In Ban8la(*sh we K*rylde30 (*vAth I hot MÈ4 Th*lcontkn
No funth We In d￿r￿atthe kthttsheeL
The thnds•re kn surplvsty£I198 attt*
SI￿ on belMlfofihedMrtystru#ee&
7-1- 2oL4

CHARITY COMMISSION
FOR ENGLAND AND WALES .
Charity name
No lif any)
I ￿02734
CU6a
l Forthe
Peiiod start
dBte
Period end
To I date
17-Apr-23
Section A Receipts and payments
Unrestricted Restri￿ Endowmèrt Totsl funds
nds
Last year
Tothv
Toth•
To11
Tothe
Totha
nearest
A1 Receipts
6.476
12214
Sub total(Gross In¢orne for
ARI
6A76
11214
A2 As¥et and inveslm•nl
#fes. ts61•1.
Sub tolal
Total recelpts
A3 Payments
Charitabfe AciMti"es
6.476
11214
8.193

AdM￿lstraINe exwse
1.817
1.817
Sub total ,'
1113
7.903
10.016
IA4 Asset and investment
purchases, Isee tablèl
Sub total
T(tsl paymonts
Not of reeeiptsllpayments)
2.113
10.016
-1165
1198
A6 Cash funds last y•ar
I Cash fu￿1$ this y￿r end
4363
4165
1198
Section B Statement of assets and liabilitie5 at the end of the period
Categories
DetsÉls
Unrestricted R￿rirted Endowment
funds
funs
funds
Bl Cash futmts
' Qsh In hand & at Bank
-1165
Totsi Cash fvnds
4363
-2.165
(agree balances with r￿eipts and
payn7ents accountlsll
A8reement
Error
OK
DetaFIs
fund5
lunds
funds
To nearest £ To nearest £ To nearest £
assets

Fund5 to
whith
Detarls
Current Ydlue
{Optional}
(opti(￿1)
Fundsto
¥thith
Details
Current valuè
(Optionall
(Optional)
B4 Avets retajned for i
the ¢harWs own use
Fundsto
TAhith
liability
Details
Amount due
(Optional)
When due
{OpOonal)
B5 Liabilities
Signed by one or two
trustees on behalf of
all the trustees
Signature
PrFnt Name
Date of approval
Haris shabbir | 06 June, 2024