ISLAMIC CENTRE (CENTRAL LONDON)
REPORT AND FINANCIAL STATEMENTS
10 JULY 2025
Charity No. 274284

ISLAMIC CENTRE (CENTRAL LONDON)
REPORT AND FINANCIAL STATEMENTS
10 JULY 2025
ontents
LEGAL AND ADMINISTRATIVE INFORMATION
REPORT OF TRUSTEES
REPORT OF THE INDEPENDENT EXAMINER TO THE ISLAMIC CENTRE
(CENTRAL LONDON)
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
NOTES TO THE ACCOUNTS

Legal aii.d Admlnl.stratlve Information
Trustees
Mrs, r Arl,,
Mr, M Isiarn
Mr. A Ka71
Mr, H Zubalr
Priiicii)le offlLe
10 BerwicK )Ireec
Lolluoii
WIFOPH
inarity number
274284
Independent examiner
Fraz ivldll
Chartered Accountsni
Upper Floor Flat
156 Plashet Road
London
Bankers
Barclays Bank plc
27 Soho Square
London
WID 3QR
HSBC UK Bank PIC
26, College Road
Harrow
HAI IHG

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l)Iieii i)Ix).i)'Iiti(I Iii tlLI'()I'11,1111:o wlt li IIILI ¢lL(;()IiiilliiH i)()I ILle.g %(!( ()ul (111 l)ill_!e,5 9 t() 12 an
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Refe￿nCe aiid 41(Iniliilstratloii detnlls
These are set oiit 011 i)age 3.
Stnicture, governance and maiiagement
The charity is constituted linder a trust deed dated I l July 1977 and is a registered
charity number 274284.
The trustees who served during the year and since the year are set out on page 3.
Trustees are appointed by the existing trustees in a meeting and hold office until the
appointment is terminated by the trustees or by resignatiorA.
rhere were no custodian trustees.
Objectives and activities
The objects of the charity are for general charitable purposes, particularly for the care
and support of the Islamic community of persons residing or working in central Londop,
In planning aciiviiies ior the year, we have had regard to the Lharity Commission's
guidance on public benefit. Our main activity remains the organisation of daily prayers
and prayers on main Muslim festival days of the year. This provides a Centre for prayers
and worship for members of the Islamic community residing or working in central
London.
The premises used for daily prayers are a conversion of a small shop, with a very
narrow staircase. Unfortunately, we cannot accommodate women for prayers because,
due to limitstions in the size and layout of the building, we are unable to provide
separate facilities for both men and women in compliance with local laws and with
Sharia law. We keep this situation under review.
Perfornlance
During the year the trustees noted a gradual decline in donation collections at the
Centre compared with prior periods. In response, several operational measures were
introduced to improve accessibility for worshippers and to facilitate donations.
In April 2025 the Centre introduced an automatic credit and debit card donation facility
at the premises to allow visitors and attendees to contribute more easily. In addition,
certain operational adjustments were made to the day-to-day management ofthe
Centre. From September 2025 onwards these measures have led to a noticeable
improvement in donation collections, with weekly contributions increasing compared
with earlier months of the financial year.
The Centre also introduced a second Jumu'ah prayer on Fridays to accommodate the
number of worshippers attending the premises during the working week. This has

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IILml.%Q 111 t l)Ll Iiiiiiil)ei' ()r (l()Ii'il l()11.S I'LI(•LIIvLI(l (111 rl114y I I'l(lily pfc.IyLir.g,
Flnanclal ￿vIe￿
Tlie Lhai"ily 1% iii(lei)eiiileiit ()f any ()tlier Lliarltahle or p()lilical ()rganisatl()n and c()Ilec
its" fuii(Is eiitii.ely fi'()111 voluiitary doiiors, IoLal busine5se.s and resldents. 'fhe tru.stee.s
ai.lio acknowledge the valiicible Iielp of volunteers who assist in the cnllections from tlme
tn tiiiie.
The doiiations received aniouiited to £29,032 (2024 - £33,745), which includes
contributions from the trustees. Total expenditure was £41,803 (2024 - £38,673). Total
receivables were £913 (2024- £1,076). The charity had a decrease in funds for the year
ot £12,771 (2024- decrease of £4,928).
The trustees continue to monitor the financial position of the charity carefully. While
essential maintenance works are required at the premises, including replacement ot tne
prayer hall carpet and general refurbishment, the trustees have resolved to defer major
capital expenditure originally anticipated for the 2025/26 financial year. This decision
nas been taken to allow reserves to increase to a prudent level before undertaking
significant refurbishment works. The trustees will continue to review the timing of these
works as donation levels improve.
The charity has sutticient cash reserves to cover tne ongoing management and
administration costs for at least a period of 12 months from the reporting date.
Reserves policy
As the charity has no restricted or endowed funds it is the policy of the charity to
maintain unrestricted funds, which are the free reserves of the charity, at a minimum
level equating to two to three months unrestricted expenditure. This provides sufficient
cover for day-to-day management and administration costs of the charity. The charity
does not make any grants to any individuals or institutions.
Statement of Trustees responsibilities
The law applicable to charities in England and Wales requires the charity trustees to
prepare financial statements for each year, which give a true and fair view of the state of
affairs of the charity and of the incoming resources and application of resources of the
charity for that period. In preparing the financial statements, the trustees are required
to:
select suitable accounting policies and then apply them consistently;
observe the methods and principles in the Charities SORP;
make judgements and estimates that are reasonable and prudent;
state whether applicable accounting standards have been followed, subject to any
material departures disclosed and explained in the financial statements;
prepare the financial statements on the going concern basis unless it is inappropriate
to presume that the charity will continue in business.
The trustees are responsible for keeping proper accounting records that disclose with
reasonable accuracy at any time the financial position of the charity and to enable them
to ensure that the financial statements comply with the Charities Act 2011. They are also
responsible for safeguarding the assets of the charity and hence taking reasonable steps
for the prevention and detection of fraud and other irregularities.

, ne trustees tor the purposes ot charity law who served during the year and up to the
date of this report are set out on page 3.
Approved by the trustees on 9th April 2026 and signed on its behalf bw
Name:
Name: Humayun Zubair
Date:1810412026
Date: 18104r2026

Report of tlie Iiidepeiident Lqxanilner to Ilie Islamlc Centre
(Centrcil Loiidoii)
Tlie cliai'ity's ti'usteLJ5 111"e re%ii()Iisil)ILJ r()I' IIIL, l)I'eiiill'clt l()11 of tliL) (ILL()u nls, The charlty-.4
trustee5 coiisicILJI" tliat ali aii(li( 1.% n()t I'L)qiifirLJ(I f()I' tlil.% Vear uiider .gectlnn 144 ()f the
CliaritlLJS ALt 2011 (tlie Charlties Act) aiid that an indepeiident examiriatlon Is needed.
It i.s my responsibility to:
eianiiiie tlie accouiits under section 145 of the Charities Act,
to follow tlie procedures laid down in the general Directions given by the Charity
Conimission (under sectioii 145(5)(b) of the Charities Act), and
to state whether particular matters have coine to m! attention.
y examination was carried out iii accordance with general Directions given by the
Charity Commission. An examination includes a review of the accounting records kept
by the charity and a comparison of the accounts presented with those records. It also
includes consideration ot any unusual items or disclosures In the accounts, and seeking
explanations from the trustees concerning any such matters. The procedures
undertaken do not provide all the evidence that would be required in an audit, and
consequently no opinion is given as to whether the accounts present a 'true and fair,
view and the report is limited to those matters set out in the statement below.
In connection with my examination, no matter has come to my attention which gives me
cause to believe that in, any material respect:
the accounting records were not kept in accordance with section 130 of the
Charities Act; or
the accounts did not accord with the accounting records; or
the accounts did not comply with the applicable requirements concerning the
form and content of accounts set out in Charities (Accounts and Reports)
Regulations 2008 other than any requirement that the accounts give a 'true and
fairf view which is not a matter considered as part of an independent examination.
I h2vp cnmp 2ernff no other matters in connection with the examination to which
attention should be drawn in this report in order to enable a proper understanding of
the accounts to be reached.
oi/o5/2cX6.
Fraz Malik
Upper Floor Flat
156 Plashet Road
London

Statemeiit of Fliiaiicial AcLivlties
For the vear ended 10 lulv 2025
Notes
All
AK
Unrestricted Unrestricted
funds 2025
funds 2024
Income from:
Donations and legacies
29,032
33,745
Total
29,032
33,745
Expenditure on:
inaritable activities
(41,803)
(38,674)
Total
Net (loss)/profit
Transfers between funds
(12,771)
(4,929)
Net movement in funds
(12,771)
(4,929)
Reconciliation offvnds
Totsl funds brought forward
Tot￿ funds carried forward
428,738
415,967
433,667
428,738
The charity does not have any restricted or endowed funds.
The charity made no recognised gains or losses other than those reported in the
ststement of financial activities.

BalAiice Sliect
tls ai 10 Iiilv 2()25
Note
In Iiily 2()25 1 O July 2024
TinRiI)le assels
Totxl flxed assets
344 263
344,263
344 263
344,263
Intnt assets
Debtors and pitpaynients
Cash at bank
i otai current assets
913
70,791
71,7U4
1,076
83,399
t14,475
C￿ditors. aniounts falling due within
vile yedl
10
Net current assets
71,704
84,475
Total assets less current liabilities
415,967
428,738
Net assets
415,967
428,738
Funds ofthe charity
Unrestricted funds
Total funds
415,967
415,967
428,738
428,738
The charity does not have any restricted or endowed funds.
Approved by the trustees on 9th April 2026 and signed on their behalf by
Name:
Name: Humayun Zubair
Date: 1810412026
Date:
181042026

Notes to the ciccoiints
l. Prlncli)le accoiiiitliiR i)()IILle.I
a) B.Isls ot pM%i)ArAtloii aiid ns.sessiiieiit ul H()IiiH coiicerii
Tlie t111111Lial stilteiiic!Iil,s Ii'ivLI IILIQII I)I"Llll;Il"(i(111i acL()I"dc111Le wltli IIIL, Stiltement o,.
ReL()Iiiiiieii(le(I Pi'ac:tlce: AcLI)Illltliig c111(I Ilep()I"(I IILY l)y (;Iiarltle,s prL'parlnkJ thcjjr
aLXX)IIIIIS 111 'IC'I:I)IXI,111L•(J Wllll Ille 14lll¢lllLlcll l<CJI)(?I'iiiig siaiidard appiicanic) In tne u
111(l Ri'piiblic of Ii'elaiicl (I-IIS 102) I.SSUL)(l March 2018 and (he I;Inancial Reporting
St.211(1.Il￿ ay)i)IiLc1l)le Iii tIIL' Uiiitcd l<liigy(loin and Repiiblic of IrL,land (fRS 102) and
the Cliaritles Act 2011.
The financial stateiiients Iiave been prepared under the historic cost convention.
Tlie chai'ity constitutes a public benefit entity as defined by FRS 102.
The trustees consider that there are no material uncertainties about the charl￿S
ability to continue as a going concern.
b) Income resources
The charities income is derived form voluntary donations only. It does not have any
income from investment or endowment funds. Income is reported on a gross basis
in the Statement of Financial Activity (SOFA). IncominR resources from tax claims
on donations and gifts are included on the SOFA at the same time as the gift to
which thev relate.
c) Expenditure
Expenditure is included on an accruals basis. All expenses are incurred as
manaRement and administrative expenses, in keepin% with the objective of the
charity to run and manage the Islamic Centre (Central London). There are no othe-
expenses.
Liabilities are recognised as resources expended as soon as there is a legal or
constructive obligation committing the charity to expenditure.
d) Tangible fixed assets and depreciatson
Assets that can be used for more than one year and exceed a cost of £250 are
capitalised. They are valued at cost or a reasonable value of receipt. The charity
aoes not nave a policy or revaiuanon. uepreciauon Is not cnargea on rreenoia ian
and buildings. Depreciation is charged on fixtures and fittings, which are written off
on a straight-line basis over an estimated useful life of 5 years.
e) Financial instruments
The charity only has several basic financial instruments; cash, debtors and
creditors. Cash is measured at the amount of cash held. Debtors and creditors are
measured at the amount receivable or payable including any related transaction
costs.
Fund accounting
The charity has no restricted or endowment funds. Unrestricted funds compose
those funds, which the trustees are free to use in accordance with the charitable
obiects.

.'?come m)m aoiiauoiis ana Icqacies
-1 inconiiiio M>soiirces Iiiclude ent.Irelv of voluiitcllv (_I()11,1ll()Iis r()Ilccted throiighout
.e vear, l.hese att iIILliided Iii tlie Sul,'A wliLJII;
tlie Ltiaritv beLoiiies eiitlllcd lo tlie (l()iiatl()111)r .51mllar Income and anv
conditi011S c)r receli)t al'e Iiiel.
tlie ti"Iistee5 Iiave rLJLI'lve(I It ur til'e re'i.%()Ilclblv Lertaln thev wlll recelve It;
the ti'ustees are rea.soiial)ly cel'taln tlic1t tlie value can be reliably measured.
3. Expenditui
Expenditure on cliaritsble activities is composed of the followin(y:
2025
2024
28,828
23,609
4,630
7,581
5,377
5.248
2,967
2,236
Salaries and wages
LiohL heat and water
Insurance
Repairs, renewal and
TP.?intonanra
Professional charges
Total resources expended
41,802
38,674
Net incoming/(outgoing) resources is stated after charging the following:
2025
2024
Lxaminer's remuneration
Other fees paid to the
examiner
Trustees remuneraiion
4. Grants
Ine cnanry nas noi maae any grants 10 eiiner Insntuiions or Inaiwauais.
Employee costs
2025
26,469
904
1,455
2024
22,288
659
662
Gross wages and salaries
National insurance costs
Contribution to defined
contribution pension
Total stsff costs
28,828
23,609
Average number oi
employees in the year
There were no employees who received emoluments of more than £60,000 in this
year or the prior year.
6. Trustees and other related parties
Trustees were not reimbursed for any of their expenses in the year (2024- £Nil).
There were no related Dartv transactions in the vear that reauire disclosure. None
of the trustees have been paid any remuneration or received any other benefits
from emDlovment with the charitv or a related entitv.

Tangfible Ilxed o1sselS
rreeliol(I Illxlures & Total
Iliill(Ilngs
Illtllngs
Cost
C.()lil l)/f
Additi()i).*
ui%i)c)%al.s
LC)St c/f
344,2C).1
l U.()70
.4(?2,3.3:4
344,263
18,070
362,333
Freehold Flxtures & Total
Bulldings
Fittings
Accumulated deDreclation
alance b/t
Additions
Disposals
Balance c/f
ItJ,u/u
18,070
18,070
ittings
18,070
kluildin
Net book value
Brought forward
Larried torward
344,263
344,2b3
344,263
344,2bJ
Investment assets
I ne LIl<iriiy aoes noi nave any Invesimeni asseis L£UZ4 - tINIIJ.
Debtors and prepayments
2025
913
913
£U£4
I,O/b
1,076
Prepayments
Total debtors and prepayments
10. Creditors
2025
2024
Accruais
Total crediiors
11. Endowment and restricted funds
The charity does not have any endowment or restricted funds.
12. Movement ofmajor funds
The movement of income funds is set out in the SOFA. There are no other major
fiinAc
13. Other information
The charity does not have any material commitments not provided for in the
accounts (2024- £Nil).
The charity has not given any guarantees to third parties that could be called upon
at the year-end (2024- £Nil).
The charity has not granted any loans that are outstanding at the year-end and
secured anv of its assets (2024- £Nill.

',e charitv has n()t oranted anv loans that are outstandinE at the vear-end to an!
,.1Slltuiion or cnmDanv cnnnected with the charltv (2024. £Nil).
"he charitv did not m,Ike anv ex-cratla navments diiring the vear (2024- £Nil).
14. Ueclarattons
I'he ch1rity has no branches.
The trustees Iiave not chanRed the year end date or the lenRth ot the charitys
Iiiianciai year.
I he Charity does not have any designated tunds.
All the cnaritys operations are continuing operatsons and ttiere were no operations
aisconunuea or acquirea uuring Iiie yedr.
I'he charity had no assets at the 'Dalance sheet (late classitied as Inalienable or
nisioric.
A AIL LAiaA ILY iAai Ilo IntangiDie asseis.
one or'tne cnaritys runctional assets have been revalued during the year.
A lie iliai ity does not have any subsidiary companies.
I ne cnariry nas no maieriai Iixea assets, wnicn nave noi Deen capitaiizea ana
included on the balance sheeL