RECISTERED COMPAf*Y I*LIMBER: 1208243 (Engtalld and IV8le8)
REGISTERED CIL4RITY NUMBER: 1208243
Re rt ofthe Tru5tee5 and
Unaudited Fitiallcial Sratements for Ibe Period l4 Ma
for
Altruistie Relief
2024to31 Ma
2025
M.F Khan & Co
375 Coventy Rowj
S￿￿ Eleath
Birmingham
West Midland5
BIOOSW

Contents of the Financial Statemenis
for the Period 14 Ma
20241031 Ma
2025
Report of the TDJstee5
Statement of Financial Activities
Balance Sheet
Notes to tb¢ FIJ￿I¢la1 Ststem¢nts
Det&iled Statement of Finatieial Aetivities

stic Relief
rt of the Trnstees
for tbe Period 14 Ma
2024 to 31 Ma 2ff25
The trustees WILO are aLs0 director5 of tbe clwity for the puT￿se) of th¢ Companies Act 2006. present their report with
the finallcial statements of tbe charity for the period 14 May 2024 to 31 May 2025. The trustees have adopted the
provisions of the Statement of R¢¢ornrn¢nded Prdctice (SORP) 'Accounting #lld Repotting by Charities, issued in March
2005.
INCORPORATION
The charitable cotnpatty w8S itiCOTporatcd on 14 May 2024.
REI FERENCE AND ADMLNISTRATIVE DETAIN
Registered CoM￿nY llllmber
1208243 (England and Wales)
Reglstered Charlty number
1208243
RegTrstered offjce
Trnstees
M Suleman
S lknl&q
S Fatima
- tppointcd 14.5.24
- appoill￿d 17.10.24
- appointed 17.10.24
Comp4ny Secretary
STRUCTURE, GOVERNANCE MANAGEMENT
Governing document
The charity is cDntrolled by its governing di)cuMe￿, a deed of tnrt and constitut&s a li￿lted Co￿Pany, limited by
guardntee, as defined by the Companies Act 2006.
RislK man4gement
The trustees have a duty to identify attd review the risks to whi¢h the ch￿lty is exposed and to ensure appropritite
controls are in place to providE re450th1¢ assurance against fraud and error.
Approved b order of the board of trustees on 26 January 2026 and signed OD its behalf by:
Msul
Page I

AtLNistic Relief
Ststement of Financial Athiyities
for the Period 14 Ma
2024to31 Ma
2025
Unr¢stricted
fund
otes
LNCOMING RESOLRCES
Incoming resources from generated fuDds
Voluiiary income
7,137
RESOURCES EXPELYDED
Costs ofgen¢rating fullds
Costs of g¢nerating voluntary income
6,717
ET U¥ICOMING RESOURCES
420
TOTAL FUNDS CARRIED FORWARD
420
The notes forffj part of these fit)an¢ial statements
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Altruistic Relief
Balance Sheet
At31 Ma
2025
UDrestri¢ted
fimd
Notes
CURREPa ASSETS
Cash at baT]k
420
NET CURRENT A&SETS
420
TOTAL ASSETS LESS CURRENT
LIABILITIES
420
NET ASSETS
420
FUNDS
Unrestricted fund5
420
TOTAL FUThI)S
420
The charitable company is entitledto exemption from audit UDder Section 477 of the Cowies Act 2006 forthe period
ended 31 May 2025.
The member3 have not required the company to obtain On audit of its financial statements for the period ended
31 May 2025 in accordonce with Section 476 of the Cotnpanies Act 2006.
The trustees a¢knowledge theiT r¢sponsibtlities for
(a)
ensuring that the charitable company k¢ep5 accounting r￿ that c¢)mply with Section5 386 and 387 of the
Compat)ies Act 2006 alld
preparing financial statetnents which give a trne and fair view of the state of effairs of the charitable eompatty 8S
at the end of each fillaTEcial year and of its Surp]￿￿ or d¢fj¢ii for each financial year in ￿cOrdan￿ with the
requirements of Sections 394 and 395 and which orhernise compl> with the requirements of the COM4)a￿leS Act
2006 relating to financial siatejnellts: so fir as applicable to the chaTitsble COD]pany.
(b)
These financial statements have iwn prepared ID ac¢ordance vrith the special provisions of Part 15 of the c￿llpanieS
Act 2006 relatillg to cbaritable srnalE companies and with the Financial Reporting St8Ddard ftrr Stnaller ￿ltitieS
(effeclive Jaiwary 2015).
The fintfftcial statements were approved by the Board of TnL8tees on 26 January 2026 and were signed on its beh￿f by..
Msul
The notes form part of these riD￿l¢la1 statements
Page 3

Altruistic Relief
Not¢$ lo the FIt￿icial Siaternen
for the Period 14 Ma
2024 to 3 l M 2025
ACCOUNTING POLICIES
Accountlng Convention
The financial statements haTre been pr¢pared under the histori¢al ¢ost convelltioJL alld in accordance Thith the
Financial Reporting Standard for Smaller Entities l¢ffective April ?008), the Companies Act 2006 and the
requirements of the Statelnent of Recommended Praclice. Accounti￿[[ and Reporting by Ctharities.
Incoming resourc
All incomillg Tesources are included on ttLe Ststemcnt of Fi]Jancial Acuvities the Charity is legally entitled
to the income alld the amouut rall be quantified with reasonabl¢ accuracy.
Resources expended
Expenditure is 2ccounted for on an accnuls basis and has been cla85ified under beadirjgs that aggregate all cost
related to the category. Where costs cat)not be directlv atir&buted to particular headings they hav¢ been allocated
to adivities on abasis consistent with the use of resowces.
Taxatlo
The charity is exety fri)￿ wporation tax on its cbaritable activtties.
Fund accollnting
Unrestrithd fiwds catt be used in accordance with th¢ chaTitable objectives at the dis¢r¢tion of the trustses.
Reslrictsd fun(k Cl£ n only be used for particular restrictrd PWTM)ses within th¢ objects of the charity. R¢stri¢tions
arise when 6p¢cifi¢d by tbe donor or when fimds are raised for particular restricted puryoses.
Further explanalion of the natur¢ alld purEKise of each fund r5 included in the notss to tbe fitwicial statements.
TRUSTEES, RKMUNERATtor4 AM) BENEFITS
There were no ts1￿, rernwDeration or other benefrts for th¢ period ended 31 May 2025.
Trustees, expense5
There were no tnisi¢es' expenses paid for the period ended 31 May 2025.
MOVE.MEiYT IN FUTr4DS
N¢t movement
in funds
At 31.5.25
Lnrestrlcted funds
General fvnd
420
420
TOTAL FUNDS
420
420
Net movement in included inthe aErt)ve are a5 follows..
JJ)¢oming
resources
Resources Movemetrt An
expended
fimds
UDlWtrict¢d funds
General fimd
7.137
(6,717)
420
TOTAL FU.NDS
7,137
16,717)
420
P￿¢4

Altruistic Relief
Detailed Ststement of Fiijancial Activities
for the Period 14 Ma
2024to31 Ma
2025
INCOMING RKSOURCES
Voluntary incotlle
Donations
7,137
Total Incomittg resollrces
7,137
RESOURCES EXPENDED
Costs of generating voluutAry iTrcomt
Telephone
Postage and gtationery
Motor expeDS¢S
Professional fee5
Donations paid
45
55
1,067
500
5,050
6,717
Tot81 resources eJpended
6,717
Net illcom¢
420
This page di)es not forni part oEthe stabjtory fiD8ncial statements
Page 5