ZAKIGANJ ASSOCIATION UK
Charity Registration Number . 1211181
Company Registration Number . 13572060
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
REPORT114G ACCOUNTANTS..
AM ACCOUNTANCY SERVICES
43 BEN JONSON ROAD
LONDON E1 4SA
TEL." 020 7790 6111
Page1 of12

ZAKIGANJ ASSOCIATION, UK
FOR THE YEAR ENDED 31 AUGUST 2025
CONTENTS
Pages
Informalion of financial Slalements
RepDrt ol Ihe ExÈculNe Committee
Slalemenl of responsibililie5 01 the Committee-.
Ind8pendenl Examiftels Report
Income and Expenditur¢ Accwnts
Slalemenl of Asseis an￿ Lisbilib-es
70
Trk)les lo the Accounts
Page 2 0112

ZAKIGANJ ASSOCIATION UK
FOR THE YEAR ENDED 31 AUGUST 2025
MANAGEMENTCOMMITTE&
CHAIR PERSON
Shahadai Hussain Chowdhury
GENERAL SECRETARY
Abul Hussain
TREASURÉR
Kazi Maulan2 Imdadul Haque
ADDRESS
25 Austin Court
Florence Roa
London E6 1DU
BANKER
NDEPENDENT EXAMINER
AM ACCOUNTANCY SERVICES
43 BENJONSON ROAD
LONDON E1 tlSA
TEL." 020 7790 8111
Chafl
'5 Trustees
Sbahadat Hussain Chowdhury
Kazi Mau1afia Imdadul Haque
Md Kamrul Islam
Pa9e30112

ZAKIGANJ ASSOCIATION UK
REPORT OF THE EXECUTIVE COMM1TtEE
FOR THE YEAR ENDED 31 AUGUST 2025
The truslees present their ￿port and financ￿al statements lor the year ended 31 August 2025_
The Tiiislees have adopted tlic provisions ofilie Slfiienienl of Recominended P1'actice (SORPI
Acrouiilin8 aiid Rcporliiig by Chaiilies i5sii¢d in 200) iii piepariiig ilie annual rep011
Lctral Stati15:
Chai'ily.. Ilegislered with tl)e Charity Commission .' l?11181
Conipany.. Liniitcd by gliarantee: coiiipany iiutnber= 13572060
Directors and theii. inlei'esls..
The followiiig Served as dii'eclois of tlie wiiipany dLlI'iiig the year-.
Slialiadal Hussaiii Cliowdliury
Kazi Maulaiia Imdadul Haque
GLilain Moiiiija Ll)owdliiiry
Sherwan14iissaiii Chowdliury
Abiil Flussaiii
Objects. Pritteipal Activities arEd Orgdnisthtion of thc Chai'ity
The Charily is consrilulcd as a company IiFniied by guarantee, and is tl)erefore governed
by a meinoraiiduni and articles olassociaiion.
ANO
The Charity's object5 are to".
Prowding, promoting and as51$1ing in the provision od education 8nd training including
supp.'efflentary education in Bangladesh an(5 south Asian Countrie5.
The Relief ol financial need and 5vifering among victims of natural or Other kinds ol
d15351er in Bangladesh by such m&ans a5 Ihe IFu$lee5 shall detemine, for per50n5
affeded.
To work lor Ihe eradication of poverty and provide beller education through inlernatii)nal
assiled programmes
Pa9e 4 0112

ZAKIGANJ ASSOCIATION, UK
REPORT OF fHE EXEcufivE COMMITTEE
FOR THE YEAR EPIDED 31 AUGUST 2025
Org8nis4ltion:
A Management Committee, Ihe Membe￿ ofwhich are both direclors and IIU5tees manage5 the affairs
of the cornpÈny and charily.
The Management Committee manages the busine55 of the company and eharity including the payirtg
of all expenses.
Directors And sh#rtholding
Tl)e directors do not have any S￿lareS in Ihe ¢ompany. the compafty being liiniied by guarantec.
Tl)ere w&% a change in rhe directorship of the tompany durino Ihe year under consideralio
Trustees:
Trusiees. who are all inembers of the cxecuitve ¢otn5niltee. and who seived duiing Ihe year are
set out on paoe 3.
The trustee5 are elected at Ilie Annual General Meeting. for niembetship of Ihe Execuiive Cotnmittee
and serve until the end of the next Annual Geiieral MeeliRg. wheic Il)ey can stand for re. Election
a5 Inembers ofthe new Execviive Coinmitlee.
Directors, l Trustees responsibilities in relation to the financisl Statenicnts
The directors are r¢quir¢d by COLnpany law to prBparE financial siatetneiits for each financial yeaT
wliich give a true and fair view of Ilie financial aciivilie5 of tlie charity and of lis financial position al
the end of that year. Iii prcparing thosc financial siaieirtenis ihc directors are T¢guired to-
The Tru51ee5 are responsiLqe lor preparing the Trusiees Annual Rep)rt and Ihe
Financydl Stalemenls in accordancp Wilh apklicable law arhd regulations and United
Kingdom Accovniipg Standards (Uniled Kingdom Generally Accepted Accounling
Praclrel- The law applicable lo charities in Eng13nd and Wales requires the
Trustees 10 wepare Financial Statements for each financial year which give a true
lair view ol the slale ol arrairs of thè charity and of the intoming resources and
applitstson ol resources of th8 ch3r*iy for Ih31 periLNJ. In preparing these Finan¢1
Slaièments. Ihe Trustees are TrqUI￿d to..
Select sulta￿e accotsnling poliues and then apply Ihem con5151enlty"
Qbsewe the method5 2nd principle5 in the ChatiliÈs SORP.,
ake iud9emenls and accounliDg eslimaies that are rea50nablE and pwdent..
Prepare the Fnanei81 Stslernenls on the going concefn basis unless it is in8ppropriaie
lo presume that ihe tharity will continue in opeiaiion
The Directors l Trustees are responsible lor keepiTrJ proper accwnling records Ihai discthe wilh ￿asonab￿ accuracy
al any lime the financial position ol Ihe Charity and enable Ihetn lo eThsure Ihat Ihe Financial Slalemenls
complywlh Ihe Charilies Aci 2011_
The Charily IAccounis and RÈport51 ReyJ181K)ns 2rMI8 and Ihe provisions ol Ihe trust deed They afe a150
responsible for safeguar(Smg Ihe as5e15 of the charity hence lor laking reasonable sieps loi ￿e prevenlion
and dele¢lion of fraud 2nd 0lhÈi Ifregularilies
VOLUNTEERS:
The Trustees wish to re¢ord Iheir app￿￿allon trn beh811 of Ihe Charily and ¢ornmunily It￿ Ihe volunteers whtr.
as$isl in Ihe smooth ofthe Charity and are cribral helping to keep5 the ruming c0515 down
Page50112

. RISK REVIÉW..
Thc Trustees have ¢onducied Iheir own review of Ihe maior iisks lo which the Chaiily is exposed and steps
have been inilla18d lo minimise the Ideniifie¢J Tisks Ml lunclions of the Charity ar2 Subjected lo periodic review
rosulling in a protes& ol on90ing improvement
All slafl and volunteers are irèined and h8ve all Ilie wuired slalulory and le9￿al￿￿ clearan¢es ¢equired.
SERIOU5 INCIDENTS AND EXCEPTIONS..
The Tmslees are pleased to npie, Ihal there were no incidents vthlth gave rise lo Ihe need forthe Trustees
lo lod9e 2 Serious Inudent Reporf with the Ch8rity Commission. Furthermore. IhÈrÈ were no Exceplions
recorded and which 9ave rise lo the need lor khe Tiustees to record on the Chariiis Exceptl￿s. Regisier.
RELATED PARf( TRANSACTIONS..
Ouriny Ihe yearihe Charly was under Ihe ¢onirol tyl Tru51ee$ and Managemenl CoTnrn&leemembe($ a$ ltsied abDV?.
This report, which hag been wepared in accordance wth ihe speoal provisions ol Part 15 01 ihe
Companies Acl 2006 applicable lo small companies.
INDEPENDENT EXAMINER
According lo Ihe wovisions of the Charities Act 1993. the Committee ha5 agreed ihal and atsdil is nol fequirÉd for
this financigl year. However due lo provision5 01 Ihe same acl an independent examiner is required and AM
ACC(￿niancY SeNce5 appoinled as exlemal Aecounianl or Intsependeni Examiner.
Tronsaction and Fin#neial Position
The Slalefnenl ol Finanri81 Actiwlies shows fiet surplus for the year of £19,725 and our accumuLated
funds stand ai £21.017 in lotal.
AM Accountancy Setvice5 carried out an independent examlnaiion of the accounts induded in the reporL
repo¢ which hd5 been ptspared in accoidafi￿ wilh IhE Slaternenl of Recornmpnded Practice
ISORPI Accouniing 8nd Reporting by Charitie5 IS5ueé in 2￿5.
Approved by ihe trustees and Signed on its behalf by
TNS report Wa5 approved by the Executive Commitiee ￿ and suned on their behall.
Shahadal Hus5ain Chowdhury
Ichar person)
Dale"
Kazi Maulana Imdadul Haque
ITreasurerl
Date.. W?
Paoe 6 Df 12

Accountants, Roport
I'o the Trustees of
ZAKIGANJ ASSOCIATION, UK
FOR THE YEAR ENDED 31 AUGUST 2025
We reporf on ihe accounts for the year ended 31 A￿9￿1 ?025 set out on pages 8 to 12 whi¢h have
been prepared under Ihe historical cost convention and the accounting poliues sel oul in note 1
lo Ihe financial $￿teMentS.
Respective Responsibilitie5 of Trusltes and Accounlallts
As dcscribed on page S Ihe trusie¢s are responsible for ihe preparation ot Ihe financial
statemcnls. and they consider that Ilie IrLi81 is exempt from an audit. It ts our ie5ponsibility
lo carry out procedures designed lo enable us lo report our opinion to you.
Si5 0( Opinion
We conducled our work In accordance with the Slalemenl of Standards for Reporting Aceountanls,
and so our procedures consisied ol comparing the accounts wbth the accounting records kept by the
charity, making such limited en4uiries ol the Iruslees atTrd o*ficer5 35 we considered necessary
ror Ihe purpose ol this report These procedures wowde t)nly Ihe assurance expresseij in our opinion.
Opinion
In our opinion..
lal The accounts are in agreernenl with the accounling ie¢or(Ss kept by the charity under the
requirem￿1$ of Ihe Stslement ol Recommended Practi￿-AccountIftg and Reporting by Chariiies..
Ibl Having r￿arc1 only 10. and on Ihe basi5 01, the inlomiaiion contained In Ihose accountS.'
111 The accounts have been draNvn up ifi a manner consisieni wlh the accounting requirtments spear￿d
the Slatemenl DI Recommended Prathice- Acccunling and Re[￿1￿9 by Cb3111ies. an
121 The chatTly satisfied the conditions lor the exemption from an audii of the accounts lor the year
specified in Ihe Charities Act
131 This unaudited Accountwe have prepared in accordance the figure. infoKfftalion 8nd explanalion
wè have received from management ol Iho tUr￿0t comrnittee.
AM ACCOUNTAIN C), sfRiiicr
13&X' JUIVSUhl I<OAI)
LONI)ON I--I -.ISA
TEL.. O?Q 7790 6111
rAx.. 020 7790 80i3
AM ACCOUNTANCY SE
43 BENJONSON RO
LONOON E14SA
ICES
D81e'.
Page7 of12

ZAKIGANJ ASSOCIATION UK
Statement of Financial Activities Ilncome & Expense Statement)
FOR THE YEAR ENDED 31 AUGUST 2025
2025
Total
2024
Total
Notes
Unrestricted
Restricted
Incomlng Resourcès
Nomination lee received
Memebership fees
Donation
Grant
3.120
2.856
9.650
4,010
16,267
4,010
16,267
20.OOJ
20.000
Total Incomin
Resources
20.277
20.000
40.277
15.62S
Resources Expended
Direct Chaiitable Expenditure
Expenses for Gifts
TVI MedialDocumenlaryl Profflot'on
Bangladesh Projects
Events & Aclivilies. Meetings, Hall Hire. Coach IProject Costs)
1.298
4,350
5,918
6,868
1.298
4,350
5.918
6,868
1,185
2,500
7,653
Dir8Ct charilable ex
endilure
18,432
18.432
11.338
Management & Admlnistratlon Expenses=
Accountancy
Legal and Professional
Election Expenses
IT Expenses
pps
500
1,000
500
i.ooo
180
851
241
400
620
620
Mana
ement & Administration Expenses..
2.120
2.120
1,672
Total Resources Ex
ended
20.552
20.552
13.010
Net Incoming Resou￿￿$ I
(resources expended)
-275
20.000
19,725
2.616
Net Movement funds for the
period..
-275
20.000
19.725
2,616
Totsl Funds Brought forward
1.292
1.292
-1.324
8alance at 31 Au
ust 2025
1,017
20,000
21,017
1,292
Page 80112

ZAKIGANJ ASSOCIATION. UK
Summary Income and Expenditure Account
FOR THE YEAR ENDED 31 AUGUST 2025
2025
Noles
Income
rolal Èxpenditure
Nel Surplus IDefi¢ill lor ihe financial year
40.277
20.552
19.725
There weiE no recognised gains other than Ih05e included in the Income and Expendilvre Account lor
cwrentyear.
Page9of12

ZAKIGANJ ASSOCIATION UK
Statement of Assets & Liabilities l Balance Sheeti
As al 31 August 2025
2025
NOTE
Ftxed As5eis
FiKluie. Fittsngs Equipmen15
Fièeliold PropÈrty
Current Assets
Cash at Bank & in Hand
21,910
21,910
Currèni Liabilities
Amount falling due to one year
A¢¢rua15
QU￿ Ha53na I Interest Free Ltsanl
893
893
NET CURRENT ASSETS I ILIABILITIESI
21.017
Amount falling Lsue rn0￿ than one year
TOTAL ASSETS LESS CURRENT LIABILinES
21.017
FUNOS.- 8rought Forward
1,292
ExceS￿l0efKll) of income over expenditure
19,725
Total Fullds
21.017
The financial siaiemenls were approved by Ihe Exe¢ulive Committee and signed on their behalf..
Shahadal Hu$sain ChowLfhury
(Chair peisonl
Abul Hussaifj
IGeneral Secretary)
Kazi Maulana Imdadul Haque
(Treasurerl
Oaiv.
Dale=
Dale.
The Notes on pages 1010 12 form part of the finanual stalemÈnl$.
Page10of12

Z4KIGANJ ASSOCIATION, UK
FOR THE YEAR ENDED 31 AUGLIST 2025
NOTES TO THE ACCOUNTS
1. ACCOUNTING POLICIES
Basls of Accounting
8asis of accounting The Finanaal Slaiemenls have been prepared under the historical cost D)nvÈntion.
a5 mo(hfie(J by the rev8luaiK)n ol cert&n fL¥ed a$5ets and investments Tneasured al market valu2.
The Finan¢iol Sialemenls have been prepared in accordance w41h ihe Financial Reporting Standard for
Smaller Eniilie5 lemeclive January 20151, and the requiretnents of Accounti￿g and Reporting ty Charities..
siatefflenl of Recommended Praclice Èpplicable to charitie5 preparing their accoun15 in accordance wilh
the Financial Reporting Standard lor Smaller Eniilies lelfective January 20151 ISORP 20151-
b. Grants
Revenue gfanls are credied 10 Ihe Income and Exp8ndilure a¢¢ount on a re￿nIable basi5
Donations
Donation are recorded on a ieceipl basis.
d. Ineoming Resources
Voluntary income and donations are In¢luded In Incorniry re50LYces Ythen they ale receivable.
excepl when the donors specify thal they must be used ￿ future accounb.ng periods or donors,
ondilions have nol been fulfilled. then tre incorne 15 deferred. The in¢ome from fundraising ventures
is shown 9ross. ￿￿th Ihe assoaaled c0515 included in fundraising tosis.
Resources Expended
Resources expended are Inclu￿ in the Siatementol Financial Aclivsbe5 m accwals basis.
inclu5tve of any VAT Ihal caMOI be recovered.
Expenditure that s diredly attribulable lo specific activities has beÈn included in these cosi
C31egoiies. Vvhere cosls are allribuiable 1¢ more Ihan one activity. they have been apportioned
across the cost calegortes on a basis consi51enl wlh the use ol Ihosa re50urce5.
f. Going Concern 8asls
The financial 5tstemen15 have been prepared on the g<ing concern basis. as in Ihe opinior¢ ol Ihe
Irbvlees. there ale no sssues arising Ythich would su9Je51 any olher basis as bein9 more
appiopriale.
g. Adminlstration C0515
Adminisvaiion expendilure InC￿jde5 all expendrture noi diiecdy related lo Ihe char4taNe aclrvily.
. Depreciaiion..
D¢preoaiicn 15 calculated $0 35 to Write off the cosi ol an asset. less Ils estimated residual value. over
Ihe useful economic life ol that asset as lollow5-.
Fixlure. Fitting and Equipment
10 % on Reducing Balance meihod
Page 110112

et Surplus of the FiThanc¢al Year
The exoss of expenttilure Dver Income is slated after charging..
2025
AccouDlants' iemuneralion
Dewsciaknon
soo
Creditors and Acruals
Account8ncy
Other Creditor
213
680
Balance al 31 Au9USt 2024
1,292
Balance at 31 November 2024
1.292
Ex¢essl (Deficill ol Income over Expenditure
19,725
Balance at 31 Augvst 2025
21.017
Page 12 of 12