Charity Registration Number.. 280440
MASJID-E-ALI (A.S)
Report and Accounts
31 December 2024

MASJID-E-ALI I￿S)
R¥port and accounts for the yéar ended 31 Decernbor 2024
Contents
Pa9•
Charlty Information
Trustees, Annual Report
stztement ol trustees, respon51bi1Stle$
Ind¢pendent A¢¢ountanl'5 R¥port
Funds St•lemonts.'_
Slalemenl ol Financial Aclivili•s
Stalemenl of Financial ￿￿'￿ti&$- Prior Year statement
Movèm•nls in lunds
Incorne and Expenditurg •ccounl
10
Balane• sh••t
No¢e• lo th• a¢coun¢•
12

MASJIDE-ALI {ASI
Trustees. Annual Report for the year ended 31 December 2024
Thg T￿￿te95 present their Repl￿1 arKI lor tho ￿rarthj 31 D8C6mb8r 2024.
Reference and administrative details
Th¢ ¢harity name.
The legal namo of Ihe ¢h¥￿ty ls.'- MASJID-E-ALI IA.SI
Th• ch&rlty'$ 4roas operatlon •nd UK chaAlabl• r•gls¢rntlon.
The charity 15 re9k4lered in Er*knd & Wakn *ilh Ihe ChorityC¢JmmL*skn In England & Wal0$ I¢¢EWI
¢harity nurnber 280440
L•qal ¥tru¢tur• of thv charlty
Tho Chariiy is ¢gnslilui8d as • tharity •si&bh'sh•d undfjf a Ch8rity ¢wmisslon sthema.The governlng
¢Jucumenl of the charily is Ihe speci￿ Scheme e5tabli5hing Ihe tharity aulh0ri5ed by Ihe Charity Commi$$5on
in England & Wales ICCEWI.
There are no re8lriclions in the govemSng documents b)0 of Iho Ch￿ty0r on It5 In¥e8trn8nt
powers other than Ihose lrnposed by Charity Law.
Th8 Tru&t8es 8re',
Syed RahBI Gllanl
Syed Zaheer Abba$
Hasan Kazmi
S*y)ryd Saghar Abbas
Syed Farhal Abb85
Mu5htaq Shah
Abid Shah
Pro*dont
VIGtr President
Tr6asur¥r
Vice Treasurer
Vice General Secretsry
General Secrelary
Inlomialion Secretary

MASJID.E-ALI IA.SI
Trustees. Annual Report lor the year ended 31 December 2024
The prlnclpal op•ratlng addrnss. telephon• rtumbèr of the charity ar•-.
2.32 Beehw0￿ Road
Lulon 8edford5hire.
LU4 8R8
Phone." 078 3325 0207
The Trustoe• In offle• on the dato th• r¢portwa¥ approv•d w•rn:.
Hasan Kazmi. Trea$uror
Syed Zaheer Abba5. Vice Pr8sh#anl
Th• followln9 p•r*ons ¥•Th•d as Tru¥¢M¥ duvlng lh• y•ar •nd•d 31 D•¢•mb•r 2024:.
The Irusle85 who s¢rvod 8$ 8 trusi88 in the reportsng pèric￿ as Sh￿ abovo, and thore ￿re no
changes during the year. or in the wriod bet**en the >wrerKJ and tho approval of the accoun1$.
Ob5octs and activltles ol th• charlty
The purposes of the Charlty as s•t out In It$ governlng document.
To provide rel￿10￿$ educabon lo muslim chiklren #nd prepare islamoc $ch￿ar$, facilitate
celebralion ol islamic ￿1￿lOv$ and Gullural events. as51St and promote organisalions established
with similar otyjèctiv6s, visit sick at home and in hosprtals and vi51t prison8rs, provide wedding and
funeral Services, gènefally promote islamic laith and valuas and promote relKJious tolerance and
harmony.
Thfj m•ln achlevements and perfornian¢e of th• charlty durlng the year.
In the Iruslees opinim ¢harity pèrformed satislactority to •cJ16ovè its obh8ctives.
Fundralslng •ctivltles durlng the year.
The charity relies on gf8nl aid from th* doI￿rS identified in the Bccounl$. whose support Is
valuad. Thara have been no olher fundraisino activities.
Flnanclal r•vl•w
The charlty's flnanclal posliion at the end of the year ended 31 Decgmber 2024
The financial position of the charity al 31 December 2024 and wmparativas for the prior period, as
more fully delailed in the orcounts. can b• summarised as lollow5'.-
2024
2023
Net incom•
13S.437
101.597
Unreslricted Revenue Funds availabi• lor Ihe
general purposes of Ihe ¢harity
2.688.
2.553.366
Total Funds
2,688,K
2.553.366

MAsJlD￿-ALI IAS}
Trustees. Annual Report for the year ended 31 December 2024
Financial review ol the position at the reporting date. 31 DKember 2024 .
The Iruslees consider the financial perfQrrnar￿e by the chanty during the year to has b••n
Satisfactory.
Avallablllty and adequacy ol assets of each of the funds
The board of Iruslee5 15 58lisfied that th• charivs assels in each lurKI aro available and adequate
to lullil its oblvJalions in respect of each lund.
Detalls of The Indopend•nl Examingr
New Trendz Limited
Certified Public Accout)tant
59 Soulh End Road
Rainham
Greatèr London
United KSn9dom
RM137XP
Statement of Trust80s' R•spon5ibilltl••
The ¢h#ritY$ truslèas are r•sponsible for the preparation of th• 8¢counts In accordance with the
t¢rrns of thè Charities Act 2011 and the Charilies IAcwun¢s ond Raportsl R8gulations 2008.
Noiwithslanding Iha axplicil wuir8ment in Ihe extanl statutory r¢gulalion$,th• Charities (Accounts
and Report51 Re9ulalion$ 2008, to pr•par• the financial statemenls in accord8n¢e with the SORP
2005. in view ol the laGI thal the SORP 200S has b8•n withdrawn. Ihe Truslees delerminad lo
interpret this responsibilily 83 requirin9 them lo lolbw cuirènl b8St practice and prepare th$
accounts according to Ihe FRS 102 SORP 1Stai¢m*nt ol Racommended Practice lor Accounlin9
and Reporting by Charities) 2015. las amended by Ihe Bulletin i$$u¢d in February 20161, (The
SORPI,
In particular. charity law requires Ihe Tnjstees. il Ihey prewrtr #C￿nts on On axrual$ ba$l$, lo
prèpare financial statements lor each financial year whith gi￿ a Iwè and lair vigw of th• stat• of
aftairs ol th6 charity as at the end of the financial year and ol Ihtr surplus or Lleficit ol th¥ ¢h3rity. In
preparing those financi￿ statements the Trustees a￿ required to :_
- lo pr8parè th• accounls in accordance wilh Unlted Klngdom Generalty Accepted
Accounting Praclica Iuniled Kingdom Accounling Slandards and applicable lawl.
select suitable accounting policies and apply them consistently,.
mak8 judgements and 8slimates U)at arè rtsasonablè and prudanl.,
prepare the linancial slalements on the goin9 concem baws unle53 il is inappropriate
to presume that the charity will continue in business..
slate whether appl*cable accounting Standards afKt statements ol
recommended practice have been fc4lowed. subjecl lo any material
dgpartures disdoseil and explained in thg finantral 51alements-
The law requires thal the twslees must nol approve the accounts unless they are salisfied that
they give a true and lair view of the stsle of affai￿ of the charity and of the surplus or dèficil of tho
charity lor the year.

MASJSD-E-ALI {AS)
Trustees, Annual Report for the year ended 31 December 2024
The Trustees are also responsible for maintaining adequate accountiThJ re¢ords whi¢h disclosè
with reasonable accuracy al 8￿Y ts.me the financial position ol the charity and which are sufficlent
to show and explain Ihe chariV5 transactions and enable them to ensure that the linanual
5tsternents comply with regulation5 made under the Charities Act 2011. They are also responsible
for safeguarding Ihè assets ol Ihe charity and h8nce for taking reasona￿8 steps for the pr9vention
and delection ol fraud and othèr irregulariiies.
The Tru$le8s are Iso respffi$I￿t for Ihe ¢onlents of th8 Tru$le8s' report. and Ihe stalulory re8ponsibility of
the Indtrptndenl Examiner ITh r¢laiion to Iho Truswe$' report Is Iimiied to gxamining Ihe report and ensuring
Ihal , on the lace of rewt. ther• are no rnatori￿ ¥Kon$isterKw wlh the fywres dwlos8d in th8 Iinanrdal
siatemen15
Thi$ wport was Mpproved by Ih? board olllUStee5 on 30 OGiob¢r 2025.
Syed Rahat Gilani
Tru51ee

MASJID-E-ALI (ASI
Report of th• Independent Accountant to the Tru$t•os of th• charity on the accounts for thè yaar
ended 31 December 2024
We r8POrt on the finanual sts¢em6nls of hAASJIDE-ALI IA.Sl Ifx the Jtar ended 31 Decernber 2024. as sal out on
page5 6 to 19, whKh eomprise the Slalemeni of Finan081 Activities. the In¢L¥ne and Expenditur8 Account. the
Balance Sheet. the Cash Flow Stateffleni and the related r%)1os lo Ihe finarrial 51alernenls. including a $urnmary of
significant accounting polici8s. In wr opinion. the acCl￿pan￿r￿j finanual sia¢ements or th8 charity are Prepared, in
all material respects, in accoidance with chanty law applKaNe ￿thI.￿ Ihe jurisdiction of England & Wale$ and tho
accounts have been prepared in accordance FRS 102 SORP ISla¢em8nt of R8cornrnend8d Pra¢li¢8 for
Accounting and Reporling by char5t1￿) 2015. las amended by lh8 Bu1￿￿ issued in Fabntary 20161. (rho SORPI.
published by Charity Commissi¢Jn in England & Wales ICCEWI . elfective January 2016, undor th8 historical
cost convonlion, and in accordance %Mth Ihe accounting polic*85 Sat out C￿ pa99 12, which tramowork con$tstules thè
appli¢ab18 Uniled Kingdom Generally Accepted Accounling Prxtic4.
Rfrsp*¢llvé fesponslbllltles ol th• truste•s' •nd th• •¢countsnt
As de$¢ribed cn pa9* 3. you, Ihe ¢hariV5 TN$tees are rgswitlo forthè k¥eparath)n of lh8 a¢eount¥.
The Tru$i8es con6idgr thai the audit fequirgmoni of sec￿¢￿ 144111 ol ¢he Charities Act 2011 (the Acll dve5 not
apply, and thal there is no reoulremen¢ in th? Govoming Oocunwt fcrf thè conduclin9 of an auL11t. Th8 Trusts8$ a150
con$ider the charity lo be exempt from Iho requirerrwt to bo Sublact lo Ind¢p8ndent Éxarnina140n.
¢￿r iesponsibility 18 to prepa¥6 accounts upon th8 baw$ d Ihe lif￿￿"¢)n su￿10￿ ¢0 u$, vAthout wnductlng any
loimal 5cruliny.
N• •tatom•nt of oplnlon
We h¥v* not carr￿ oul any audlt prO¢•dLw￿ ar￿ hav? relied Up￿ Inlom)abon supplied to us by thg Trustees, and
the informaikn Supplied by tha Tru51e¢$ In tho COU￿ of the •xomination IJ nol subio¢tsd to audil tests or ?nquiri•s.
8nd con$•quenlly we do nol express an aydst or olher assurnn¢* on Ihe 9Nen by lh¢ accDunls.
Naw Trondz Limiled- Independent Accountsnl
Ceriified Public Accountanl
59 South End Road
Rainham
Greater London
RM13 7XP
This report was signed on 30 O¢lober 2025

MASJID-E-ALI IAS) - Statement of Flnancial Activities for the year ended 31 December
2024
Statement of Financial Activities for the year ended 31 December 2024
Prlor Y••r
TotJl Fund•
SORP
Curr•nty•ar
ilnmtrlGt•41
Fund•
Curr•nt y•
R•*trf¢l4d
Fund
Cuff•nl y•
Tolal F¥nd•
2024
2Q24
2024
2923
Incomo & Endowm•nls from-
DonalK)ng & Legacl08
Invtrslmenls
Al
291.(￿5
125.478
291.065
125.478
323,395
S6,654
Total In¢om•
416,S43
410,54J
380.049
Exp•s)dllur• on..
charit0￿8 aclivi11o$
B2
281.106
281,108
278.4S2
Total oxpendiiur•
281.106
281.106
278,452
N•t Incom• lor th• y••r
135.437
135,437
101,59T
Not Incom• •fter tr•nsfers
135.437
13S,437
101.S97
N•t mov•m•rtt In lund•
135.437
135.437
101.597
R•¢onclllatlon ol funds...
Total funds brough¢ lorward
2.553.3e6
2.553.386
2,451,767
Total furtdi corrl•d forw•rd
2,688.803
2.688,803
2.553,364
The'SORP Ref IndI￿le¢ #bove is the classthGolion ol Income $•1 out In Ihe lormal SORP documents. A$
required by paiagraph 4.60 01 th¢ SORP. the bruJgM I0￿3vd and carTisd fward lunds above have been agfeed
10 Ihe Balance Sheet.
A s8parale Slaltmenl of Total Recowmsed G*ns and Lossos is not requir•d 88 this 51#1em8nt i￿ude8 all
ieGognis¢¢J gain5 and losse$.
All lh* pdor year tr8nsacli¢)ns were unrestricted rtems. and no ￿rth01 wtysis is required
All a¢tivities derivè liom continulng 0￿ratIonS
Thg not•s atto¢h8d on pag•s 12 to 19 lomi Jn Int•gral part of thes• accounts.

MASJID-E-ALI IA.Sl - Statement of Financial Actlvitles for the year ended 31 December
2024
Prlor Y•ar
Prkn Y••r
Total Fund•
soRp
Rel
R•strfded
Fund•
Fyhds
2D23
2023
2023
Income from..
Donation$ & L8gacle8
Investrnents
A1
323.395
56.654
323.395
$6,654
Totsl Incom•
380.049
380.049
Expondlluro on:
Charilatle act*viti#$
82
278.452
278.452
Total expvndiiur•
278,452
278,452
N•t Ineome lor lh• y•4r
101,597
101.$97
N•t Incom• aft•r tran•fpr¥
101.597
101.597
N•t movement In fund•
101.597
101,597
R•¢on¢lll•tlon of fund•'..
Total funds brought lorward
2.451.767
1451,787
Total funds ¢•irl•d lor*ard
2,5S3,364
2.553.364
All aGtlvltl•s derlv• from conllnulng op•ratlon•

MASJID-E-ALI IA.Sl - Statement of Financial Actlvlties for Ihg year ended 31 December
2024
MASJID-E-ALI IAS) - Resources applled in the year ended 31 Dgcamber 2024 towards
flxed assets for Charity use:.
2024
2023
Funds generated in the year as detailed in the SOFA
Resourctrs applied on functi￿al fixed asset$
135.437
167.2851
101.597
186.5821
N8t rosources avallablg to fund charitabl• a¢tlvltb•s
68,152
15,018
The notes attach•d on pages 12 to 19 fom an It)tsgf•l part of th•s• ac¢ount8.

MASJID-E-ALI IAS) . Statement of Financial Activitles for the year ended 31 De¢ember
2024
Movements in revenug and capital funds for the year ended 31 December 2024
Revènue accumulated funds
Unr••trlc¢ed Restrld•d
Fund
Funds
2024
2024
Total
Fund$
2024
L•s1 y•ar
Total Fund¥
2023
cumullqted funds brought Iwiard
2,553.3fj6
2,553,366
2.451.767
RtCO9nis8d gains and10530$ bofore transfers
135.437
135.437
101,597
2.688,803
2.688,803
1553,364
Cloxlng r•v•nu• funds
2,688.803
2,688.80J
2.553,364
Summary of funds
Unrosirfd•d Restrlct•d
and
Funds
0•519Dat•d lunds
2Q24
Tol•1
Fyndl
List Y•thr
T•l41 Funds
2024
2(124
2023
Revenue 8Kurnulatsd lunds
2,688,803
2.888,803
2,553,3e4
Th• not•s attachgd on pa99$ 12 10 19 lorn) an Int•gral p•rt of th•$• accounts.

MASJID-E-ALI IAS) . Statement of Financial Activities for the year ended 31 December
2024
MASJID-E-ALI IAS)
Incorne and Expenditure Account for the year ended 31 Docgmber 2024 as required by
the Companies Act 2006
2024
2023
In￿m9 Ircrfn operabor
291.065
323.395
Inveslmenl inc(￿0 and ￿leTes1
Incom& from InveslThnts. ollw IhoTr inlerest rocoivab
Interest receivable
125,291
187
$8,434
220
Gro¥¥ In¢tsm• In th• y•ar b•for• •X¢•ptlon￿ It•m¥
410.543
380.049
Gross In¢omo In th• yg•r In¢ludlng excep¢ion•l It8m*
416,543
380,049
Expendltur•
Charitable ¢xpendilure. •xCI￿ling d¢preciaticffj and gm￿15811jfi
Depraciaiion and arno￿$81￿n
Intere51 payabl•
Realised losses on di$pgW$ of social in¥•siftwnl8 wogrammo rela¢•d
226,450
18.526
36,130
241,632
15,247
21.573
Total 8xpgnditur• In th• y¥ar
281,1Q6
279.452
N•t Incom• bgfor• ¢•x In th• fIna￿l•l y••r
135,437
101,597
Tax on suWu$ en or¢knary acti¥lUg$
Not Incom• •ft•r tax In lh• fln•n¢l•l y¢ar
135,437
101.597
Rètaln•d surplu¥ for the financlal y••r
135,437
101.597
l a¢livits"os dèrive from continuing opaiations
In accordance wilh lh¢ prowsions of Ihe Ci*npar#es Acl 20C6. Iho h¢adi￿$ and subheadings uged In Ihe lfieome
an4 Expendllure aectyjnt tsve begn adap¢od to refl0￿ th¢ Spec￿ nabJr• ol the ¢h¥Ws activilwd.
The not•s attached on pag•s 12 10 19 form an int•gral part of Ihese accounts.
10

MASJID-EALI IASI- Balance Sheet a5 at 31 D￿eMber 2024
SORP
Not? Ref
2024
2023
Fixed a3s&ts
Tangible assets
2,815.021
2.766.262
Currtnt a8801¥
Deblor$
ash al bank ynd in hand
8 B2
3.240
91.417
740
132,568
Total eurrent a¥¥•ts
94.657
133,308
CieditrJT5.' Jmounls f•lllng due wlthln
one year
9 C1
92.346
38.217
N¥1 ¢urr*nt aas•ts
187.003
169.525
Tolal •ss¢ts 18s5 cvff•ntll•blllllos
3.002.024
2,93S,787
Credilor$". amounts lalliry after mor•
than one yeyr
10 C2
1313,2181
1382,4211
Th• total not J¥•trt8 of thg ¢h•rlty
2.688.808
2,553.366
Th• total not a¥i•ts Of th• charity •r• fund￿ by lh• fund* ol th• ¢harlty. a• follow•:.
Rfr*tilGI?d fund$
Urtrn*trlct•d Fund•
unr0sin¢￿d Rovenu• Fund$
13 D3
2.688.
2,553,366
D¢$lgnated Fundi
Total charlty lund•
2.688.806
2,553.366
The'SORP Ref indicaied above Is lh¢ das$thcafr"on of Balance Shoel I￿￿$ as sal out irt Ihe lonnal SORP
documents. As requifed by paragraph 4.60 01 the SQRP. ihe brow)hl fmvard and ¢4m8d foThrJrd lund8 above
h#ve b¢en agreed IO lh• SOFA..
The Trustees ocknowledg? their ré$ponsibilib65 for ¢omFty"ng requirements Ot tharty legi￿#11￿￿ ¥Alh
rospacl ￿ accounting fecords and thè preparalion of a¢o)unts.
The charily is subject kn Ind¢p¢ndeni Exarninabon under tharity ￿l$lati￿. and th• r¢portof the Ind•p¢nd8nl
Examiner 15 on page 5.
The Trustee5 we satisfiéd Ihat. allhough th8 c*arity 1$ nDt regislered wder Ihè Companie5 A¢ts, if itw*re so
rtrg151e￿d. It WOUK be eligible to prepare amnls In acCorda￿e with th8 proviw)$ in Pwi 15 01 lh¢ Companies
Act 2006. applicable io companiès subjtrcl lo Ihe 5rnall compan￿5 regime.
Syed Zaho*r Abbas
Truslèe
Approved by the thxrd ol trustees OTr 30 Cttober 2025
Th* Notes attached QD p•geJ 12 tg 19 form an Inte9r¥l port of theso accounts.

MASJID-E-ALI I￿S)
Notes to thè Accounts for the y•ar ended 31 December 2024
1 Accountlng poli¢i¢$
Policips relating io Ih•pmdu¢don of th• occounls.
B•sis of pr•p8ratlon and 4¢¢ounting Cort￿￿110￿
The principal accountin9 poli¢*s are 5umffjansed belLW. Tr 8£cwntry prkni h•¥e be￿ cth$l$tenty
thiotyhout the yaar thepreee¢4ty ￿.
Rlsks and firtur• asiumpiions
Th8 ch8rlty is a benefil 8nlSty.
Poll¢les relatlng to cat¢gorles olln¢orne •nd In¢ome r¢¢ognltlon.
Nalur• ol In¢om•
VolunL8Fy ￿CoM0 li rowved byway oldonaiw 4 Fithy *TrJ &gr￿p thJwik)ns. •nd ts) Includqd k)
full in the Statemoniol FinancolActsvrtigs when re¢eivttabl*.
1n¢orne, whelhei from exchèn90 or non exchartge Iransadion$, is rwnwd ￿ th• 8l•t•mqnl ol finanual acii¥itsiis
ISOFAI on a re¢6iv¥ble ba511. when a I￿￿￿)n fx othw ovenl 1•su￿ ￿ •Th the th•riV5 a5sé1s or a
duciion in rts liltrdliiies ond onlyY4h¢n thfr ¢haiityh•¥ il thnd m•8sw•Y
Income subJo¢l 10 l•rms and b• mat b•fry• th• dwltyi8 entsl•d its ￿ r080urw Is nol
ioeogn15¢d until the ¢rffidibans h•v• b¢en m81.
AU incom* is •¢countod for gTO$S. bg1ry• d*thxbr*J 4wry rd•iod 19•• ty¢01ts.
M•rnb•rnhSp •ubB¢rlptlon•
Th8 kncom• any assoGk?ted Grfl Aid or 0th8r lax iefyjnd frrrfn • mamtw8hy tsy1￿ charity In Iho
nature ¢1 a gift, ia 8ecounled for ￿ Ihfr s•me basra 85 J dOnaiKII.
Th• incwio Ir¢Jm a rn8mb•rs￿P SL*8¢rioion wiv•d by th• ch¥ity*lw•th• tho nghl lo
¥•rviGeJ or b•n•fiis ￿ 16wgnl¥d ss In￿￿&tr￿Tr ¢hari*N• a￿￿1￿.
Poll¢l•s rel8tlng to ¢xpendltur• on goods •ndservl¢•s provld•d to th• eh•rlty.
R•tOgnSllon ol Ilablllli•• •nd •xp•Ddltur•
A liabilrty, and th$ mlaled exwnditW•. is re¢ogrtW vthon • W or construc￿ ¢JblWOn •Xtyts a8 a r•sull ol a past
event. and il 1$ more lik•ly Ihan Tr)1 ih81 a vansf•r benafils b• r•quw80 In setU•moThi, and IN•
4mwnt ol Ihtr ob1wa•￿Q￿ can be or ia1KgWyutTh81￿..
Liabil￿¢• arL4ing from lulwe lundiThJ ¢rmmiimeDts and ¢￿trU¢b¥* ¢*Awlh2M. porfmanc• re￿ gMtI.
whero th* timin9 OT Ihe amoLJnl ollhtr •xpendrtur8 ioqumo 10 seiu• th• oL4wJ*iw are uncért¥in. gi￿ nso10
WOVL8i(m In ihe 3ccouni$. ¥th1th $5 r6w*wed atlhe att￿nI1￿J ye* •nd. The i¥ kr(rea￿ 10 fgnbctony
irKreb￿ in Iiabililies. and is decreased by Ihe ULths*v)n of any k¥ovisAJi Within the pe￿J. •nd roversed rf any provisi
is no IoTyer r8qUir•d. Thesv movemonts ai* ch•ryed or ¢r8th1¢0 to r8$p8¢bv• fu￿ and 8cbv￿es ty which the
provisi￿ rdai8S.
localln9 ¢O•t• to actlviti••
Dite¢t ￿5¢S thal are Specfficaty rdatsd lo ana¢*￿ty￿e *caknJ 10 ih•t Sharnd ¢Jwecl costs and $UPPDrt ¢o$i¥
are &pF￿lane￿ boiwoen actith$.
Tho basis for apwtbnrn￿t. #p￿￿J. and lo IhB c¥ftsD8tms. Is:.
staffing- on ba$is of bme speni paTittd8r 8Gtsvity.
Staffin9- on a per capila b35is. bas60 tyi the nuM￿rat ol pwple omrw any p•rlfvA•r *cbyity.
Premlses r•l8t•d cost8- on ihe piowtitsI of Ikwarea ottup80 tyy a pa￿￿j￿ra¢￿vlty.
Non sp•¢lll¢ $upport C05ts-on the basis oftr* w3eof rnsCWC￿. nterrns ortvnetsken. w•cty used. requ8St
made or other ffwsu¥85
12

MASJID-E-ALI IAS)
Notes to the Accounts lor the year ended 31 December 2024
Volunteers
In accordancg *iih the SORP. arKI ￿ racc9￿t￿ffi olthe ¢JIr￿￿e¥ a mwtsryvak* w1trbul￿) from
volunteers. the eontyibuion ol wJlunlew$ 1$ not inchJd•dwih• th& charity.
However. the Irusiees value the swwif*•ni ffl*J• ofth• ¢*ty by unp8NI volunteèrs and this
Is described mora fully m Noieo.
Poli¢i•s r¢l•llng to assets. li•blliti•s andprovl$lons and Olh•rm•tt8rs.
T•nglble Ilx•d•i¥•ts
Tongibl¢ fmed asset$ are m¢3sLwed al theiT Ong1￿ Gost Y￿Ue. or s￿50q￿nI (ev￿8¢￿￿. or ildonal8d. 8$ described
8bow. Cost In¢knde$ all cosls eXper￿d in the assel Inlorf4 intentsj workirHJ condttiDD. 11 Ihwg 15
mlrthum ¥rnounl whth il•ms Jr• noi ￿￿￿1•d.
DeprKialwJn has been pmbjed tht thv Iclhywlrma r•t•% in (Xthr to write ￿ tho 888ets ￿th￿*￿p8t8d vdua over
Oslimaled useful lives.
Fre*hokl p￿rn￿•S
Aanl and machinary
mo￿1 vehi¢l•s
20 % RethKir¥J baLq
Debtor•
Deb￿15 are m••¥uMd althfri rgcv4•r•bh •1 8h8el d•tg.
Fund A¢¢ounlln9
Unf•slrkied lund• w• use al the ¢Jw•tion ofth• Iru¥tws ofllKy 9jnor￿ obj•c¢ww of charl
Llablllty lo taxatlon
The Tru$i••s consider ihai the ¢h8rity satLsfie5 Ihe i•J1s sel ¢>Jt In I Schedd• 6 of fv Fin8nc• Act 2010 for
UK towa11￿ tax purposrt. Ac¢¢vdiwly. Ihfr C**ty L8 pownu*ty exom￿ from In roswi of ncome or ¢èpit81
941Th5 received wllhin ul¢goiies ￿¥•fed by chap￿r 3 pan 11 of th• f•x Ad 2010 N Sxix)n 256 of
T4xatiw of Chargeable G•lns Act 1992. to the extent Ihal 8u¢h or gwns ar• •pF41ed Qxcthi￿Y on Ihe ¥ycrf
harrta￿a oty'teis Of￿ chwity and oth•rF4¥PQM.
J N•t surplus b•forg tthx In th• flnanclal y••r
2024
Z023
The n816urlu¥ belrye tsx *) Iho M•nd•l •ftw th¥rylr4:"
DtrpreeiEl￿n ol ownéd fthed a?8•t5
18.$26
15.247
4 Int•r•st payabl•
2024
2023
BBnk intértsi
36.130
21.573
S Staff cost¥ and •m¢lum•nts
Sal•ry costs
2024
2023
Gros￿ s￿ar*s Iru¥le•s Bnd keYmW89em￿1p¢r¥fftl
51.365
37,653
Total sal•rièi, w•9•• •nd r•l•ted cosis
51.365
37,$53
Neither the trustees nor any petSWJ ctri￿tOd %%ith Il*m h•ve tecty¥ed zrvr•mur￿a￿J7 frryn thfr Gharrty aT￿yT￿at0d
enlity. either in the current or wior year.
No ern￿oyeeS recewed 8rnrJuments lexdudiny pen9v￿ rxAtsI inaxce$5 01£60.(O) per rnm.
13

MASJID-E-ALI IAS)
Notes to the Accounts for thè yèar ended 31 December 2024
6 Remuneratlon and paymonts to Trust••s and person$ ¢onnecied with thom
No I￿Stee5 Of Pers￿$ C￿ne¢ted *lth Ihem rec¢Th¢d anyr•nur*8tKm frryn Ihe chty. LY any rd•teO entiiy.
7 Tanglble fixed a55ell
F&F&
Equlprn•rrt
Motor
V•hkl•s
Totsl
Buudlngs
Co8t
Al 1 January 2024
Additions
2.684.831
56.089
235.778
11.196
2.923.109
67.285
At 31 D•¢•mb•r 2024
2.740.920
241.974
2.990,394
D•pr•¢l•tlon
Al l January 2024
Ch8rq• fol lh• y•0r
154.347
18.526
156.847
18.526
At 31 QK•mb•r 2024
172,873
175,373
N•¢ book valu•
Al 31 08￿mbar 2024
2.740,930
74.101
2.615,021
At 31 D8c•mtw 2023
2,6U,IJ1
01.431
2.766,262
8 Oeblors
2024
2023
Olh•r doblors
3,240
740
9 Cr•dltor¥: amounts lalllng du¥ wlthln on• ￿•￿
2024
2023
Accruals
PAYE. NIC VAT ènd Olh8r
Olhei crediiors
7.000
155,0041
144,3421
7,000
122,87$1
120,J421
92,346
36.217
10 Credltorn.. amounts fallSng du• ¥ft•r on• y•*r
2024
202J
Bank and overdraft8
Oth•r u•ditors
255.340
57,8T2
214.4
97,933
313,218
382.421
11 In¢omo and Exp¢ndllure •¢¢oun¢ $umm•ry
2024
2023
At 1 J•rtuary 2024
Surplus after tax fot the ye
2.553.364
135.437
2,451.767
101.597
Al 31 DeGemb•r 2024
2,688,801
2,553,364
14

MASJID-E-ALI {AS)
Notos to the k¢ounts for thè year ended 31Decem￿r 2024
12 Partlculars of how partlcular lunds ar• repres*ntsd by ass•ts and liabllltl88
Ai 31 D•¢¢fflber 2024
Totsl
Funds
fvnd¥
Tangible Fixed AsS•1S
CurreDI Asseis
Cutrtrni Liabilibas
Lono Telm Liabliliol
2.815.021
94.657
92.346
1313.2181
3.11S,021
94,6S7
92,346
2.668,B06
2.68B,BO•
At 1 January 2024
Unn•lwlct•d Ih•lon*d R••trict•d
T￿1
Funds
Tangible Fixed Ass•ts
Currenl Ass811
2.766.262
133.
36.217
1382.4211
2,766.262
133,306
36,217
1382.4211
Lory T•rm Liatslib•¥
2.SS3.366
2.S53.3e6
13 Chan9• In total lunds ov•r th• yoar •• shown In NL)t• 12, •nal￿ad by Indlvldual lund•
Fundb ￿0¥gh¢ Mov•m•MITr
I￿11d Irom kn2024
Funds c•rrl•d
2QlS
fvnd4 In 2024
8•• Nol• 14 8•• 11rf• •
Unr•*iil¢i•d Ind d•slAn•￿ lund•.'.
unresIr￿ted Revenue Fundts
2.553.366
135.437
2,68B,O03
Total uThr•*irl¢i•d •nd d•#l91)•t•d funds
2.55J,368
135.437
2 688,8QJ
Tol•l ¢hirfly lund*
14 Analyils of movom•nts In funds ov•r the y•*r *• *h•wn In Nvt• 13
2,$53,368
135.437
2.688,803
Olh
G•lns &
LoAA•i
24
Exp•ndltur•
Mov•m••l
In lundB
3024
2024
2024
Unr•strl¢i•d ￿0￿•S19nal?d1VftdI...
UnreslrKtod Rwenuo Fund&
410.$43
P81.1061
1 JSN37
1s Tho purpo$•s for whlch th¢ fvnds as do¢ail•d In note 13 •rn hold by th• <h•rlty •r•'.-
Unr•#trt¢t•d •ndd•slgn¥t•dlunds.".
are hekl rn•et￿ IheobJth8$ ofthe tharity. and lo
ovKJè r•$ef￿$ fu fulure at¢MbeS. ￿d. 10 charty legL*iaiw. •r
Iree froyn 811 resthu1￿ on tt*ifu80.
Unr8SthCte# Revenue Funds
16 Ultimate controlling party
charity is urwjer the Cfffitrc4 of its W memb
15

MASJID-E-ALI IA.SI
Detailed analysls of incomè and expenditure tor thè yeaT end•d 31 Deumber 2024 as requir•d by the
SORP 2015
Thls analy515 Is ¢lasssified by ¢onventional nominal d•scriptlofts and not by a¢tlvlty.
17 Donatlons and L¢gacies
Curr•nt y•
Untystricl•d
Funds
Curr•nt y••r
RotrlGt•d
Fund•
Curr•n¢ y4ar
Tot•1 Fund•
Prlor Y•ar
Totsl Fund¥
2024
2024
2024
2023
Donatlons and 91ft5 from Indlvlduals
Small donats"on$ indivi(Jualty less than £1000
323.395
323.395
31 S.470
Total donallons and glft• frtyn Indl¥idu•ls
291,065
291,065
323.395
Total Donations and Legaclo8
A1
291,06S
291.065
323,395
18 Invfrstm•nt In¢om•
Curf•ht yaar
ilnr•strkt•d
Funds
2024
CLwr•nt y•
C¥rr•nt y•ar
Total Fund*
Prlor Y•ir
Total Fundi
Funt1s
2024
2024
2023
Bank Interest R8c6Svabl
Qlher Incom•
187
125,291
187
125.291
220
58,434
Total In¥oBtmgnt In¢orn•
125,474
125,47B
56,6M
19 Support costs for charltabl• actlvltlo
Cuff•nly•ar
Unr•strf¢t•d
F￿Thd
2024
Curr•nl yvr
R•i¢d¢t•d
Funds
2024
Cuty•nt y•ar
Totsl Fund¥
Tol•l Fund¥
2024
2023
Employee costs not Included In dirnct C05t$
Salaries- Administrative staff
Ttrmporary stall and recwitm8nl
5.600
45.765
5.600
45,765
7,655
29,998
Pr•mlses Expens•s
Rates and water Charges
Light heat and power
Cleaning and waste management
Premises repairs, renewals and maintenance
Properly insurance
4,1S1
31,693
4,151
31.693
2.648
29.763
6.371
16,363
39,435
502
17.102
5.773
29.763
6.371
Admlnlstrative ov•rh8ads
Telephone. fax and inlemel
ststiongry and printing
Motor ¥xpenses
Travelling
Software licences and expgnses
Sundry expenses
1.063
1.063
1.287
571
571
3,688
2.307
3.050
3.463
1,655
1,477
2.307
3.OYJ
16

MASJID-E.ALI IAS)
Detailed analy51$ of incom• and exp¢nditure for the ￿ar ended 31 December 2024 as requlred by th•
SORP 2015
Relegious functions and seminars
Equipment,repairs,expenses and maint&nance
Sports hall instructor
Donation
Funeral seryiees
60.099
1.457
60.099
1,457
97,739
3,460
3.975
216
7.049
23.312
23,312
Professlon•l f8es pald to advlsors other than th• audltor or ex•mlner
Accountan¢y fees other than examination or
3.500
audit lees
3.500
3,500
Flnanclal costs
Bank charges
Depreciation & Arnortisation in lotsl f(￿ the
Bonk interest payable
667
18.$26
36,130
983
15,247
21,573
18.526
36.130
Support ¢o$ts befor• rèallocatlon
281,106
281,106
278,4S2
Total $upport cost$
281,106
281,106
278,452
The ba518 cf allocation oltosls behveen acbwligs is dexnbed under accounting polKi8s
20 Total Charltabl• •xpendltur•
CurT•nl ￿•r
Unr•stwl¢t•d
Fund¥
CuN•nl)
RM¢rl¢t•d
Fund*
Curr•nt y••r
Tot•1 Fund•
2024
2024
2024
2023
Total support costs
82d
281.106
281,106
278.452
Total ¢haflt•bl• •xpondllur•
281.106
281.100
278.4S2
17

MASJID-E-ALI {ASI
Activity analysis of In¢om• and expendlture for thè for tho yèar •nded 31 Oecember 2024
This onalysis Is classsifi*d by activity and not by ¢onventioftal nomlnal descriptions.
21 Analy$is of Incomg by actlvlty
SOFA r•f
2024
2023
Actlvity
Summary of Total Income. includlng th• Items •lwv•
Donation$ S L8gacies
Invo$im8nl incomè
Al
291.065
125,479
323.395
56.654
Total Inrom• as shown In th• SOFA
416.544
380.049
Catogorles of Incorne
Ine<Nne Ircyn ?xchangtr tran$action5
416,544
380,049
22 Analysls of charltable exp¢ndltur• by a¢tl¥lty
Actlvlty
Dlroet
cosls
Support
costg
Grant
fundlng ol
#etlvltl•s
2024
Toi41
Tot•1
2Q24
2024
2024
2023
Prlmèrypurposg •nclllary Ir•dlrtgl
Empbyee costs n•1 in d*•cL
Premi$es expensés
Admini51rati￿ overheads
Proles$lonal fees
Fin8nei81 costs
R8legkrtJs fun¢iion$ and semlnarn
51,365
74.625
36,192
51,365
74.625
36,192
3,500
55,322
80.099
37,652
78.852
20,991
3.994
37,803
71.619
55.322
Totil Pilm•ry purpose •nd •n¢lllary
¢radlng1
281,103
281,103
250,911
Sumrnory ol ¢harltabl• ¢o*t• by
Olr8et
co¥t¥
Support
costs
Grant
funding ol
livit1•8
Total
Total
2024
2024
2024
2024
2023
Toial Prmary puw8e ¥nd Irading1
281.103
281,103
250.911
Total charll3bl¢ •xp8ndltur•
281.103
281,103
250,911
The ba$i$ of ￿1r￿allOn of Gosts betW88n xtiwioes ￿ d6sc*bed under ac¢wntiThJ ￿lueS
The br&akdo*n of thi5 expe￿itu￿ by type of5penth'rY4 lie I￿7￿1 d&ssffi¢atifml Is datwled in note 20
18

MASJID-E-ALI {AS)
Ac¢ivity analysls of Incom• and expèndlture for th• f￿ tho y•af ended 31 Decembèr 2024
Analysls of support and 9ov•manc• c95ts by charitabh actlvtlles
Go¥•rnance
Flnanco
Human
Other
R•sourc•s Overheads
Total
Activity
Pnmary purpose and ancill3ry I￿lIr¥jI
55,322
51,365
174.416
281,103
23 Analysls ol non charltabl• exp?ndltur• by actlvlty
Artlvity
Fundi&lslng a¢tlvltl•¥
Fundralslng Fundralslng
actlvltle$
2024
2023
Indlr•¢t fumdial8ln9 ¢os¢#:.
AJminlslr8tiw ￿tr￿e￿¢S
80,099
70,820
Tot•lnon eh•rll•bl• •%￿ndIt￿r•
2024
2023
Toil costs of Fundrolslng activil*s
60,099
70.820
T•i•l non ch•rl¢abl• •xpendl¢ur•
60.099
70,820
19