Charbty Registratlon Number: 1203062 Green Meadows Trustees Report and Accounts For the Year Ended 31 March 2024 AccouMfApirs Mohammed Ran8zeb, 8.A, AFA R & W Accountants 89 Priory Road Peterborou8h PE3 9EE
Green Meadows Charlty Number 1203062 The trustees present thelr report with the accounts for the year ended 31 March 2024 Refvrence and admlnlstratlon detolb.. Legal Charlty nome.. Green Meadows Operatln8 address 203 Park Road Peterborou8h PEI 2UH Telephone number: Emall address: 07951891411 sa eermohammed hotmail.co.uk Indlvldual trust asatr I date: Sageer Mohammed Zaheer Latlf Toqeer Tufall Mohammed Haq Nawaz Zulfiqar All Abdul Azlz Al-Paneell The charlty's relatlonshlps wfth related partl Bankers Natwest Accountants R & W Accountants, 89 Prlory Road. Peterborou8h, PE3 9EE Senlor Accountant Mohammed Waheed B.A ATT legul Strurture of the Charlty.. The charltyls governed by it's 8overnln8 docurnent whlch Is dated 15th May 2025 The Charlty reqlstrotlon.. The charfty Is reglstered wlth tharitles commlsslon England & Wales Trustee Selertlon Methods: Apart from the first charlty trustees. every trustee must be appoinied for a term of four years by a resolution passed at properly convened meetlng of the charlty trustees The objects of the assodatl¢n are set out In the tharfvs constltutlon: Al To promote the Islamic rell8ion by malntaining land for the purpose of the burlal of Muslims accordln8 to the principales of Islamic sharla law as Interpreted by the ahle sunnah wal jamaa'ah Actlvltles and the publlc benefft: The trustee are satlsfied that In order to advance the charity's purpose the charity has accumulated fund5 for furtherance of It's object's. The charity Is progessing In tems of identifieire the land for the burial and in processess of 8aing planning pennission forni the local authorlty.
Athlevements and perfomwnce beneffted the wlder sodety.. The trustees are satisfied that the charity is movlng fOard towards achavleving it's objects The Charlty's finandal posltlon as at 31 Juty 2024 2024 Net Income or Loss -106,558 81F Unrestrlcted Revenue Funds Designated Flxed Asset Funds Glft Aid Received -106558 Total Funds -106558 Flnandal revlew ol the posftlon at 31 March 2024 The trustees are aware that In order to a¢hleve It's objectlves there has to be contlnuous fund ralsin8 Poll¢les on reserves The reseries are held In charity's bank a¢¢ount Avallablllty and adequacy of assets of eath of the funds The board of trustees are fvlly avre of the need to ralse funds to fulfil It's obll8atlons.
Statement of Trustees, Respon5ibllltles: a) The charlty's trustees are responsible for the preparatlon of the accounts In accordance with the terms of the Charities act 2011 and the Chartties (Accounts and reports) Regulations 2008. Notwithstandlng the expliclt requirement In the extant statutory regulations, the charities (accounts and Reports) Regulations 2008, to prepare the financlal statements In accordance wlth the SORP 2005, in vlew of the fart that the SORP 2005 has been wlthdrawn, the trustees determSned to Interpret this responslbillty as requlring them to follow current best practlce and prepare the accounts accordance to the FRS 102 SORP {Statement of recommended Practice for Accounting and Reportlng by the Charities) 2015 (as amended bythe bulletln issued In February 20161 to prepare the accounts In accordance with Unlted Klngdom Generally Accepted Accountln8 Practlce {Unlted Kln8dom Ac¢ountln8 Standards and applicable law). b) Slgned on behalf of the Board of Trustees Turstee Name Toqeer Tufall Slgnature Trustee Approved by the Board: 0111012025
Green Meod Num Inde endent Examiner's re ort to the trustees We report on the accounts forthe year ended: 31 March 2024 set out on pages 4 to 6 R8sprAlbllltlu and bas18 of rnport As the charlty's trustees. you are responslble for the preparation of the accounts In accordance wlth the requirements of the Charities Act 20111.the Acri. I report In respect of my examlnation of the Tn$ accounts carrled out under sectloTh 145 of the 2011 Act and In carrylng out my examlnatlon, I have followed all the appllcable Dlrectlons 8lven bv the Charlty Commlsslon under settion 145{S)Ibl of the Act. Independent •xamlners staternent I have completed ry examlnation. I confirm that no material matters have come to my attents'on In connection Imth Ihe examinats'on which give8 me cause to belleve that in, any material respect.. t accounting record8 ware nol kept in accordanc• Imth sectlon 130 of the Chartii98 Act,. or th• accounts did not accord with the ac711 rOd8. or the accounts did not comply with the applicable requirements conceming the form arKI content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts gr a 'true and fairf view whlch is not a matter consldered as part of an Irnt examlnation. I have no COnm3 and have come across no other matter8 In connection wtth the examination to which attention should be drnwn in this report in order to enable a prop understanding of the accounts to be reached. Mohammed Ran8zeb, B.& AFA R & W Accountants 89 Priory Road Peterborou8h PE3 9EE Approved by Independent examiner OVIO/2025
Green Meadows Charlty Number 1203062 Statement of Financial 8alns or loss Funds Funds Total Funds 2024 2024 2024 2024 INCOMING RESOURCES Income & Endowmentsfvm.. Donatlons & Legacies Investment income Total Income 87.727 87727 87,727 87,727 RESOURCES EXPENDED Accountancy Fees Charltable activities 193985 193985 Chorltable acdvlties 194285 193985 Net lnc0nfvr the yeor -106,558 -106.258 Total Funds brouqhtfonvord Totalfvnds carrledfvrward -106,558 -106,258
Green Meadows Charlty Number Balance Sheet as at 31 May 2024 03062 Notes Notes 2024 Flxed Assets Intangible assets Current Assets Debtors Cash at bank and in hand 99,351 99.351 Cfedltors Due within one year Net Current Assets 92,811 Total A55ets less current Ilabilities Liabilities 92,811 Creditors: Amounts fallin8 Due after more than one year 199,369 Total Assets Less Liabilities -106,558 Charlty Funds Unrestrlcted funds B/F Periodic Gain (Loss) Ristricted Funds -106,558 -106,558 Toqeer Tufall Trustee Approved by the Board: l October 2025
Gmn Meadow$ Charity Number 1203062 Notes to the accounts Accountln Polld The accounts have been prepared under the h15torical cost convention, and in accordance wlth the financlal reportlng standard 102, (effective Istjaunuary 2016) and FRS 102 SORP (Statement of recommended Practi for accounting and reporting by Charitles) 2015 (as amended by the bulletin issued in February 20161 published the the charities commission January 2016. and as modified by the revaluatlon of frAed assets in accordance with the Ststement of Recommended Practlce"Accounting and Reportlng by Charltles" ISORP 2(X)51, and wr<h the Financlal Reportin8 Standard for Smaller Entities {effectlve AprfS 2LN)8) and with the Charltles Art 1993. Income All Income Is accounted for as recelved by the tharlty. Resources expended Resources expended are Induded on an accruals basls. 2024 Creditors amount fallln8 due wlthln one year Other credltors 6540 6540 Credltor5 amount falllng due after one year Bank Mortgage Other Members Loans 199,369 199369 Incomes & Expendlture account summa Surplus after tax for the year -106.258 ed& deslqnote fvnds In 2024 In 2024 -106.S58 -106S58 Restrlcted funds -106558 -106558