BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
Charity Registration Number: 1204640
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 29 OCTOBER 2025
REPORTING ACCOUNTANTS:
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONOON E14SA
TEL.. 020 7790 6111
Page 10112

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
FOR THEYEAR ENDED 29 OCTOBER 2025
CONTENTS
Pages
Infonnation of financial Slalemenls
Report ol the Executive Committee
Statement of responsibilities ol the Committee..
Independent Examine¢s Report
Iroome and Expenditure Accounts
Staièménl ol A55ets and Liabilities
10
Notes to the Accounts
11-12.
Page2of12

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
FOR THE YEAR ENDEO 29 OCTOBER 2025
ADDRESS
25 NEW ROAD
LONDON
E1 1HE
BANKER
NATWEST
INDEPENOENT EXAMINER
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONDON E14SA
TEL.. 020 7790 6111
Charivs Trustees..
Mohammed Manjurus Samad Chowdhijry
Badiuz Zaman
Shatnsur Rahman
Habibur Rahfflan
Akbar Hussain
Md Moynul Hoque
Samirn Ahmed
Md Faruk Uddin
Gulzar Hussain
Muhith Uddin
Shebab Uddin
Page30112

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
REPORT OF THE EXECUTIVE COMMITTEE
FOR THE YEAR ENDED 29 OCTOBER 2025
The Iruslees present their report and financial statements for the year ended 29 October
2025.
'rhe Triislees have adopted the prov55ions of the Statcnient of Recommended Practice {SORPI
AccouiitinrT aiid Reporting by Chai-ilics issued in 2005 in preparing the annLial report
aRd Iiiiaiicial stalemei)ts of the Cliarily.
Legal Statiis:
Charity-. Registered with the Cliarity Commission, Charity Numbei-: 1204640
Objects, Principal Activitics and Organisation of the Charily
The Charity's objeci is the adv<l1)ceii)ent of ediieation aiid sports and rclicf of poverty and sickness in
iii the UK dnd BanTrladesh. in particiilai" bul noi Lxclibively by tlie makino of grants.
Organisation:
A Management Committee, the members ol which are the trustees mana9e5 the affairs of the charity
The Management Committee manages the business ol the charity including the paying of all expenses
Trustees:
Triistees, who are all members of ihe executive committec, and who served duTing the yel£ r are
Set out on pabye 3.
Thc Ii'ustc¢s are ele¢ted ai the AnnLial Geiieral Mecting. for menibership of the Execiitive Coininittee
and Krv¢ iintil the end of tlie next Annual General Meeting. Ivhere Iliey can staiid for re- electioii
as ffleinbeis of the new Execiitive Committee.
Trustees responsibilities in relkltion to the financial statements
The commitlee or Trustees are required by charilgs law to prepare financial siateinents for each finaiicial year
which uive a triie and fair vie1¥ of il)e financi21 activilies of tl)e ¢harity and of its financial position at
the eiid of tliat yedi.. In preparing those tiiiancial stat¢in¢i)ts ihe Trustee5 are required to=
The Trustees are responsible lor preparing the Trustees Annual Report and
FInanc￿al Statements in accordance with applicable law anc5 ￿gUlationS and
United Kingdom Accounting Standards (United Kingdorn Generally Accepted
Accounting Practice). The law applicable to charitie5 In England and Wales
requires the Trustees to prepare Financial Statements Iof each financial year
which give a true and fair view of the stale of affairs of Ihe charity and ol the
Incoming resources and application of resources of the charity for that period.
In preparing these Financial Statements, the Trustees are required to".
Select 5Ultable accounting policies and then appty them consistently.,
Observe the n)ethods and prinuples in the Charities SORP",
Make judgements and accounting estimates that are feasonable and prudent..
Prepare the Financial Slatefflenls orl the g£xng conTrrn basis unless it is inappropriate
to presume that the charity will continue in operation
Page4 of 12

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
REPORT OF THE EXECUTIVE CoMMI￿EE
FOR THE YEAR ENDED 29 OCTOBER 2025
The Trustees are responsible lor keeping proper acwunling records that disclose with reasonable accuracy
at any time the financial position ol the charity and enable them lo ensure that the Financial Slatemenls
comply with Ime Charities Act 2011.
The Charity (Accourils and Reports) Regulations 2008 and the provisions ol the Iiust deed They ale a150
iesponsible foi 581eguarding the a5SEls of the charity and hefice for taking reasonable steps Iof the prevention
and detecbon ol fraud and other irregularitie5
VOLUNTEERS-
The Trustees wish to ￿0rd their app￿ciatIon on behalf of the Charity and cornmunily for ihe volunteers who.
assist in ihe smooth runnino ol the Charity and are critical in helping to keeps Ihe running costs down
RISK REVIEW..
The Trustees have conducted their own review of the major risks lo which the Charity Is exposeits and steps
have been initiated to minimise the identified risks. All functions of the Ghaiity are subjected to periodic review
resulting in a process of ongoing irnprovement.
All 5t8ff and volunteers are trained and have all the required stalulory and regulatory clearances required.
SERIOUS INCIDENTS AND EXCEPTIONS:
The Tmstees are plezsed io noie. that there were no inident5 which gave rise to the need lor the Trustees
lo lodge a Serious Incideni Report with the Chanty Commission. Furthermoie, there were no Exceptions
recorded and which gave rise to the need lor the Trustees lo record on the Charity'5 ExGeptions' Register.
RELATED PARTY TRANSACTIONS..
During the year IhÈ Charity under the control of Tfuslee5 and Managernent Committee members as Iisied above.
This report, which has been prepared in accordance wth the special provisions ol Part 15 01 the
Companies Act 2006 applicable lo small companies.
No members ol the Th3nagement committee rece￿Ved any remuneration during the year.
No trustee or other person related to the charity had any personal Interest In any contract or
tiansaction entered into by the charity during the year.
Reserve Policy
It is the policy ol the charity that unrestncted fund5, which have not been designated for a specific use,
should be maintained at a level equivalent to Its expenditure. The Trustees cons1der that
iesetve5 at this level will ensure that. in the event of a significant drop in funding. They will be able to
continue the charilV5 cufFenl activities while consideration is given to ways in which aiJdilional funds may
be raised. The Centre will actively work to achieve this level ol reserves.
INDEPENOENT EXAMINER
According 10 the provisions of the Chaiilies Act 2008 and updated 2011. the Comrnittee has agreed that 8nd
audit is not requi￿￿ lor this financial year. However due lo provision5 of the saffle act an independent examlner
is required and AM Accountancy Services appointed as external Accountant or Independent Exarniner.
Page5of 12

Transaction and financial p05ltion
The Slaternenl ol Financial Aclivib"es shows net deficit for the year of 27,629 and our accumulated
luncfs stand al £211,794 in loial
AM Accountancy Services camed out an independent examinaty'on of the accounts include(S in the reFN)rt
This report. which ha5 been prepared in accordance with the Statement ol Recommended Pracb.
ISORPI Accounting and Reporting by Charities issued in 2005.
Approved by the trustees and sign8d on its behalf by
This report was approved by the Executive Committee on and signed on their behalf.
Mohammed Mafijurus Samad Chowdhury
(Trustee I Chair Person)
Dale.
Page6of 12

A¢countsnts' Report
To the Trustees of
BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
FOR THE YEAR ENDED 29 OCTOBER 2025
We ￿port on the accounts lor the year ended 29 October 2025 sel out on pages 8 10 12 which have
been prepared under the histoiic81 o05t convenlion and the accounling policies set out in note 1
to th8 financi31 stalement5
Respective Re5POE]sibilities of Tru5tee5 and Accountant5
As described on page 5 th¢ trust¢cs are rcsponsible for the preparation of the financial
statements. aiid they ¢onsider that the trust is exempt from an audit. It is our responsibility
to carry out procedur¢s designed lo eiiable us to report our opinion to you.
Basis of Opinion
We conducted ourwork in accordance with the Statetnent of Standards for Reporting Accountants,
and SD our pr￿edureS consisted ol comparing the accounts with the accounting records kept by fhe
charity, and making such limited enquiries ol the trustees and officers as we considered necessary
for th& purpose of this repotL These procedures provide only the assurance expressed in our opinion.
Opinion
In our opinion..
lal The accounts are in agreement with the accounting records kept by the charity under the
requirements of the Slaiement of Recommended PraCtI￿- Accounting and Reporting by Charits"es,"
Ibl Having regard only to. and on the basis ol, the inlormatson contained In those accounts..
111 The account5 have been drawn up in a manner consistent with the accounting requirements specified
the Statement ol Recommended PraCtI￿- Accounting and Reporting by Charib'es. and
121 The charity 5alislied the conditiOll5 for the exernpts.on Irorn an audit of the accounts for the year
specified in the Charities Act.
131 This unaudited Account we hav6 prèpar8d in accordancè with the figure, information and explanation
we have received from the management ol the current comrnittee.
AMAC
OUNTANCY SE
43 BEN JONSON ROAD
LONDON E14SA
VICES
AM AC'C()iINT,iYC'I' %r.iivicr.
4 i Hl-.N J( IfN%I IN 11Q)AI)
LC)NVIIX1 L I .ISA
TCL.- oiu 771Ju (Il I I
FAX.. O?0 77IIO %O)J
Page 7 of 12

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
Statement of Financial Activities Ilncome & Expense Statement
FOR THE YEAR ENDED 29 OCTOBER 2025
2025
Total
2024
Total
Notes
Unrestricted
Reslricled
Incoming Resources
Voluntary income..
Online Donations
l Other General Donation5
14,056
12,112
14.056
12,112
13,26S
84.201
Total Ineomln Resourcès
26.168
26.168
97,466
Resources Expended
Direct Charitable Expenditure
Events and Activities
Prinling, Pc>slage. Stationery & Advertisement
Telephone, lax and photocopies
TV. Mèdia & Advèrtising
IT I Website
Books and Materials
Refreshment5
Wages and Volunteer expensgs
Donats"ons to Charities
8,891
8.891
8,674
476
2.760
24,006
24,006
15,646
Direct ch8rit8ble ex
endilure
32,897
32,897
27.558
Management & Administratlon Expenses..
Ac¢ountan¢y
Travel and promotion
Bank charges
Insurance
Equipment expenses
Molor expenses
Depreciation
Legal Costs
900
900
900
960
Mana
ement & Acsrninistration Ex
enses".
900
900
1.860
Yotsl Resources Ex
ended
33,797
33.797
29,416
Net Incoming Resource5 1
(resources expeniledl
-7,629
-7,629
68,050
Net Movement funds for the
period..
-7,629
-7,629
68.050
Total Funds 8rought forward
219.423
219,423
151.373
Balance at 29 Oct 2025
211,794
211,794
219,423
Page8of 12

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
Summary Income and Expenditure Account
FOR THE YEAR ENDED 29 OCTOBER 2025
2025
Notes
Incotne
Total expenditure
Nel Surplu5 (Deficill for the fingn¢ial year
26,168
33,797
-7,629
There weie no Tecogn15ed gains other than those Included In Ihe Incune and Expenditure Account loi
current year.
Pag¢ gof12

BEANI BAZAR UPO ZSLLA PROGOTHI EDUCATION TRUST UK
Statement of Assets & Liabilities18alance Sheet)
As at 29 Oct 2025
2025
NOTE
Current Assets
Cash at Bank & in Hand
212.694
212.694
Current Liabilities
Amount falling due to one year
AGcruals
900
NET CURRENT ASSETS I ILIABILITIESI
211,794
TOTAL ASSETS LESS CURRENT LIABILITIES
211.794
FUNDS: Brought Forwar(I
219,423
Excesslloeficitl of income over expenditure
7,629
Total Funds
211.794
The financial stslpments were approved by the Execubye Comrnittee and signed on their behalf."
Mohammed Maniurus Samad Chowdhury
(Trustee I Chair Peisonl
Date..
The Notes on pages 10 to 12 form part of the financial statement5.
Page 10of 12

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
FOR THE YEAR ENDED 29 OCTOBER 2025
NOTES TO THE ACCOUNTS
I. ACCOVNTING POLICIES
a. 8a5is of Accounting
Basis ol accounting The Financial Statement5 have been prepared under the hislofical cost convention.
as modified by the revaluation ol certain fixed assets and inve5tment5 measured at market value.
The Financial Statements have been prepared In accoidanTr with the Financial Reporting Standard for
Smaller Entities leffeclive January 20151. and the requirements of Accounting and Reportin9 by Charities_.
Statement ol Recommended PractiTr applicable lo charities preparing their accounts in accordanTr
the Financial Reporting Standard for Smaller Entities lelleclive January 20151 ISORP 20151.
b. Grants
Revenue grants are credited to the Income and Expenditure aGcounl on a receivable basis.
c. Donations
Donation are recorded on a receipt basis.
d. Incomlng Resources
Voluntary income and donations are ￿ncluded in incoming resources when they are receivable.
ex￿p1 when Ihe donors specify that they must be used in future accounting periods or donors,
conditions have not Deen lullilled, then the income Is deferred. Thè incorne from fundraising ventures
Is shown gross. with the associated costs included in fundraising costs.
e. Resources Expended
Resources expended afe incSuded In the Statement ol Financial Activib'es on accrLJals basis.
Indusive of any VAT that cannot be recovered.
Expe.ndilure that is uirectly altribulable to specific acts'vilies has been included in Ihese cost
tegories. Where costs are allnbutable to more than one activity, they have been apportioned
across tt)e cost categones on a basis con515tent with the use of those resources.
f. Going Concem Basis
The financ4al staternents have been prepared on the going coll￿rn basi5, as in the opinion ol the
trustees. there are no issues arising which would suggest any other basis 85 being rnore
appropriat8.
g. Administratlon Costs
Administration expenditure includes all éxp&ndilure aol directly related lo the charitable acD"vity.
h. Taxation
As a charity. they are exetnpt from lax on incoffle and gains falling wthin
seciion 505 01 thè Taxes Act 1988 or s256 of the Taxatson of Chargeable Gains Act 1992 to the
extent that these are applie(J to its charitable objects. No tax charge5 have ansen in the Chanty.
l. Depreclatlon:
Depreciatyon is calculated so as to write off the cost ol an asset, less its estimated residual value. over
the useful economic lifo of that asset as follows".
Fixture. Fitting and Equipment..
15 % on Reducing Balance method
Page 11 0112

BEANI BAZAR UPO ZILLA PROGOTHI EDUCATION TRUST UK
FOR THE YEAR ENDED 29 OCTOBER 2025
NOTES TO THE ACCOUNTS
Net Surplus of the Financial Year
The excess of expenditure over Income is stated after charging.
2025
Accountants, remuneration
Depreciation
900
Creditors and Acruals
Accountancy
9(M)
9(X)
Fundslcapital
2025
Bfwd Blance
219,423
219,423
Excessl (Deficit) ol Income over Expenditure during the year
-7.629
Balance at 29 Oct 2025
211.794
Page 12of 12