Charity Registration Number .' 285397
INTERNATIONAL MUSLIM MOVEMENT
TRusfEES' REPORT
AND
FINANCIAL sfATEMENTS
FOR THE YEAR ENDED
31 MARCH 2025

INTERNATIONAL MUSLIM MOVEMENT
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2025
Truste•s
SYED ABDUL QADIR IILANI
Karamat Hussain
ZLtlfiqar Ahmed Shakoor
MUNSHI KHAN
HAII LIAQAT ALI
CharSty Number
285397
R•glstered Office
12 East Avenue
Waltham5tow
London
E17 9NG
Ind•p•nd•nt Ey•mln•r
ACCOUNTINfj LINKS IUKI LIMITEO
326 Lincoln Road
PeterborougH
PEI 2ND

INTERNATIONAL MUSLIM MOVEMENT
CONTENT5
FOR THE YEAR ENDED 31 MARCH 2025
Trustees, Report
Independent Examiner's Report
Receipts and Payments
St)temen¢ of Assets and Ll8bilitles
Notes to the Finan£lal Statements

INTERNATIONAL MUSLIM MOVEMENT
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The trustees present their annual report arKI financial statements for the yeav ended 31 March 2025.
The trustees p￿sent their annual report and financial statements fof the year ended 31 March 2025.
The fi'nancial statements have been prepared In accordance with the accounting policies set out in note I to the
financial Statements and comply with the charity's trust deed. the Charities Act 2011 and "Accounting and Reportlng
by Charities. Statement of Recommended Practice aP￿Icable to charities preparing their aCCOLtnts in accordance with
the Financial Reporting srandafo applicable in the LIK and Republic of Ireland IFAS 1021- las amended for accounting
periods commencing from I january 20161
Objectives and actlvities
The charity's objects are the establishment and support of a school to teach the Islamic faith and further the
knowledge of Urdu. Arabic. Per5ièn and English languages. The policies adopted in furtherance of these objects are to
run and maintain a school and there has been no change in these during the year.
The trusrees have pald due ￿gard to gu¢dance issued by the Charily Comrnission In deciding wha= actlvltles the
tharity Should underrake The charity continues the promotion and teaching of Muslim culture from the building in the
London Borough of Walthom Forest which was purchosed by the chanty and converted into a religious school •nd
mosque.
Financial revlew
The attached flnancial ststement5 show that the charity has rnaintai￿d $3t45f)ctory income Jnd reserve5 during
the year.
During the year, the sihool reconstructed its ablution area. with the a5SOCtated expenditures ￿cOrded under the
charity's running costs. The trustees are conndent that Ihe5e enhancements will provide improved facilitie5 for both
students and Muslim visitors attending prayers.
It Is the policy of the charity to maintain throughout the year its
unrestricte(J funds at a level which covers Its on90ing chantable and administration expenditure.
rhe trustee5 believe that by maintaining rese￿e5 at turrent levels there are sufficient resources In èvent of adverse
conditions, however. rhey re9ularly review risks that may be faceo by the charity.
strutture. gJv*rnance and mana9ement
The chbrity was established by a charit•ble trust deed on 14 August 1982. The charity's objert$ are the establishment
and support of a xhool to teach the IY•mlc faith and fvrther the knowledge of Ur(lu. Afabic. Perslan and Engllsh
languages.
The trustee5 who served durin9 the year were.
H LAII
S A Q lilani
K Hussain
M Khan
Z A Shakoor
The trusttes, report wa5 approved by the Board of Trustees.
M Khan
Trustee
Dated.. 28 January 2026
This report was approved by the trustees and signed ￿ its behalf by".
MUNSHI KHAN
TRUSTEE
Date .' 28 January 2026

INTERNATIONAL MUSLIM MOVEMEprr
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Independent Examiner's Report to the Trustees of International Muslim Movement
I report to ttte Charity Trustees on my examination of the accounts of the charity for the year ended 31 March 2025
which consists of the statement of financial activities.balance sheet and the related nDte5
Responslbllltles and b•sls of report
As the charity s trustee5 you are responsible for the preparation of the accounis in accordance with the reqU1￿MentS
of the Charities Act 2011 I'the Act'i
I report in ￿spect of my examination of the clTranty's accounts carried otrt tjnder section 145 91 the Act •nd in
carrying out my examination I have followed all the applicable Directions given by the Charity Comm15S19n under
section 14515llbl of the Art.
Indep•nd•nt Examln•r's St•t•ment
The charity's gross Income does nor exceed £250.000 and l am qualified to undertake the examination by being
qualified member of ACCA
I have completed my exarnination I confirni that no material matters hove come to my attention in connection *ith
the examination (other than that disclosed below ') which gives me cause ro believe that in. any material respect".
the accounting record5 were not kept in accorilance with section 130 of the Charlties Act.. or
the accounts dif1 not accord with the accounting ￿(Old$.. or
the accounts did not comply with the opplicable reqLtirements conceming the fom and content of accounts set out
in the Charities IAccounts and Reports) Regulètions 2008 other than any requirement that the accounts give J 'tru*
and fair, view which is not a matter considered as part of an indtpendent examination.
I have no concerns and have come across no other marrers in connection with the examination to whlch attention
should b• drawn in this report in order tts enable a proper understanding of the accounts to be reacheil.
Name.. c￿udhry Shahb•z AU
for and on behalf of ACCOUNTING LINKS IUKI LIMITED
Date.. 28 J•nu*ry 2026

INTERNATIONAL MUSLIM MOVEMENT
RECEIPTS AND PAYMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Categorles
Unr•strtct*d funds
Total ffund5
Last year
Re¢•lpts
Donation and gifts
42.198.16
42,198.16
68.217.00
Events
123.492 851
123.492.851
Sub total
18.705.31
18.705.31
68.217.00
Total recelpts
18.705.31
18.705.31
68.217.00
Payments
Depreciarion Charge for
the Year . Fixtures &
Flttings
Wages and salarles
795.00
795 00
993.00
18.000.00
18.000.00
8ank chargès
740 00
740.00
730.00
Wages and salarles
18,000.00
Charity running cost
46,175.00
46.175 00
51.964.99
Accountants fees
211.56
211 56
Sub total
65.921.56
65.921.56
71.687.99
Tot•1 P•ym•nts
15,921.56
65.921.56
71.fj87.99
Net of recelptsllpaymentsl
147.216.251
147.216.251
13.470.991
Cash fL5nds last year end
¢4gh funds th1$ y••r
end
911,191.01
911.191.01
914.662.00
863.974.76
863.974.76
911.191.01

INTERNATIONAL MUSLIM MOVEMEKr
STATEMENT OF ASSETS AND LIABILITIES
FOR THE YEAR ENDED 31 MARCH 2025
Categorles
D•talls
Unrestrlct•d fur•d5
R•strlcted funds
Cash funds
Cash at bank and In hand
95.928.70
Total Cash Furbds
95.928.70
Detalls
Fund to whlch •ssrt
bèlongs
Cost loptlon•ll
A55et5 retalned for the
<harlty's own use
Freehold Land & Buildlngs Unrestmcted FuThJs
776.361.00
Fixtures & Fittings
Unrestricted Funds
27.383.00
Tot•1
803.744.00
Fund to whkh •sg•t
belong5
Co*t {optlon•ll
Ll•blllt1•5
Wages and ylJrie5
payable
Unrestrtcted Funds
780.00
Other credltws
Unre5tflcted Funds
2.487.94
Othèr creditors
Unr*strirted Funds
8.012 00
Tot•1
11.279.94
For the year ended 31 March 2025 the company was èntitled to exémF*ion from audlt undér 5ertlon 477 of the
Companies Act 2006 relaring io small companies
The members have not required the company to obtotn an audit of its accounts for the year in question In accordance
with section 476.
The trustees acknowledge their responsibilities for complying with the regLOrements of the Companies Act 2006 with
respect to accounting records and the preparation ol accounts.
These accounts have been p￿pared and delivered in accordanct with the provisions applitable to cgmpanies 5ubjett
to the small companies regime.
The financial statements were approved by the Board on 28 january 2026 ant1 signed on Its behalf by.
MUNSHI KHAN
TRUSTEE
Date . 28 lan￿ry 1016

INTERNATIONAL MUSLIM MOVEMENT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
l. Accounting Pollcles
The principal accountlng pollcles èdopted by the Charity, whith Is a public beneflt entity. in the Pre￿ratIon of the
accounts are as follows
1.1 Basls of preparatlon
These accounts have been prepared under the histofical cost convention. as modified by the Incluslon of charitable
properties and fixed asset investments and investment propertTre5 at valuètion.
These accounts have been prepared in accorfance with "Accounting and Reporting by Charities.. Statement of
Recommended Practice applicable to charities p￿parIrlg their accounts In accordance with the Financial Aeporting
Standard applicable in the UK and Republic of Ireland IFRS 1021- leffective I lanu47ry 20191 IChoritie5 SORP IFRS
10211. rhe Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Charities Act
2011,
These accounts are presented in pounds sterling and rounded to the nearest pound.
1.2 Going concern
The Trustees have prepared financial projections. taking into consideration the current econom1£ condltlons and
have. at the time of approving these accounts. a reasonable expectation that the charity has adequate resource5 to
contlnue In operatlonal eyistence lor the foreseeable future. Thus they continue to adopt the going concem basls of
accounting in preparing the accounts.
2. Income from Donatlons and Legacies
An•ly*l•
Unr••trlct•d funds
Total fvnds 2025
Tot•1 fund$ 2024
Donatlon and gifts
42 198 16
42 198 16
68.217 00
Total
42.198.16
42.198.16
68.217.00
3. Income from Other Tradlng Actlvltles
Analy*ls
UTrreStrkt￿ fvnds
Total funds 2015
events
123.492.851
123,492.851
Tot•1
123.492.851
123.492.851
4. Expendlture on Charltable Actlvltles
Analysls
Vnr•strlct•d fi•nds
Tot•1 funds 2025
Total funds 2024
8•nk chary¢s
Wage5 and salaries
Charlty running cost
Total
740.00
740 00
730.00
18.000.00
46,175.00
46.175.00
51,964.99
46.915.00
46.915.00
70.694.99
Support Costs
9.211.56
9.211.56
56.126.50
56.126.50
70.694.99

S. Support Costs
Trital funds 2025
Analy$ls
Support Costs
Wages and salaries
Gov¢mance Costs
18.000.00
Accountants fees
211.56
18.211.56
6. Other Expenditure
Unrestrlcted funds
Total fund$ 1025
Total funds 2014
Analysls
Depreciation Charge for the Year-
Fixtures & Fittings
795.00
795 00
993.00
Total
795.00
795.00
993.00
7. Tanglble Flxed Assets
Fr¢•hold Land &
Bulldlngs
Flxtures &
Flttlngs
7.1 Cost or valuatloD
Af oi April 2024
776.361.00
27.383.00
Additions
Disposals
Révaluations
Transfers
At 31 March 2025
776.361.00
27.383,00
7.2 D•pre¢l•tlon *nd Imp•lrm•nt*
Atol April 2024
23,410.00
Charge for the year
795.00
Disposals
Revaluatlons
Transfers
At 31 March 2025
24,205.00
7.3 Net book value
At ol April 2024
776.361.00
3.973.00
At 31 March 2025
776.361.00
3.178.00
8. Cash at bank and In hand
Total furKIs 2025
Total funds 2024
Cash at bank and in hand
95.928.70
141.570.01
Total
95.928.70
14L570.01

9. Creditors: Amounts falling due within one year
Total fund5 2025
Total funds 2024
Wages an(J salaries paYa￿e
other creditors
780 00
8.012 00
8,012 00
Total
8,792.00
8,QlZ.00
10. Creditors: Amounts falling due after one year
Totsl funds 2025
Other creditor5
2.487.94
Total
2.487.94
11. Charlty funds
11.1 Detalls of materlal funds held and movements durlng the CURRENT reportlng perlod
Fund
Fund
balances
balances
brought
carrled
forw•nl
fornTard
Galns and
Pund n•m•s
Incom•
Expendltur•
Tr•n*fer*
Unrestrkt•d
funds
911.404.01
18,705.31
65,92156
864.187.76
Unrestrkt•d
G•n¢ral Funds
11.2 Detalls of materlal funds held and movements durlng the PREVIOUS reportln9
perlod
918,646.01
918.646.01
Fund
b•lances
br•uyht
ft>rw•rd
Fund
b•lanc•s
c•rrhd
fon¥•rd
G•ln5 and
10ss•s
Fund nam•*
Incom•
Exp•ndltur•
Transf•r*
Unrnstrkt•d
funds
Unrestrlcted
General Funds
922.117.00
68.217.00
71.687.99
918.646.01