Registered Charily number-
290479
HUJJAT-UL-ISLAM
Annual Report and Flnancial Statements
For the Year Ended
31 March 2024

HUJJAT-UL-15LAM
Contents
Pag•
Reference and Administiative Detsils
Trustees. Report & Staigmant of responsibiliti8$
2104
Independenl Examiner Fieport
Statement of Financial Activilies
Balance Sheet
Nole5 to the Anr¢ual Accounts
8t010

HUJJAT-UL-ISLAM
Reference and Administrative Details
Trustees
M Abdus Sattar
Foyzul Islam
Tauseef-ur Rehman
Abdus Salam
Abul Khayer Islam
Exocutivo Committ•9
M Atiqur Rahman
PresTrdent
Redwan Ahmed
Vice President
Faruque Ahammead Secretary
Ali Asghar Sheriff
Assistant Secretary
Mubin Miah
Treasurèr
Moor Miah
Assistant Treasurer
Principal Offl¢¢
28 Florence Sireet
Hitchin
Hertfordshire
SG51QZ
Charlty Reglstratlon Number
29M79
Bankèrs
N8twesl Bank
12 High Street
Hitchin
Harts
SG5 1YY
Independant Examlner
HA Accounlanls
26 Leagrave Road
Luton
Beds
LU4 8HZ

HUJJAT-UL-ISLAM
The report of the trustees for the year ended
31 March 2024
The trustees p￿sent their annual repNt and accojnts for thè ￿ar er￿ed 31 March 2024.
Oble¢tlve$ and Activities.
Charitsble Oblectiv$s.
The Charills obiective5 are set by its govwing d(￿m￿tt. a deed of trust adopted 01
January 1984.
rns and Objectives
The objectives of the Trust sel by the goveffling docJJment is to farylitate the religN)us.
Spritul and educational needs of Ihe Muslim uxnrnunity within Hitthin and Letchworth.
Objectives for the y•ar.
During this year the Charity sought lo".
-Further improve awar8ness ol it's 8￿$t&ne￿. faul1￿ and s9r¥i￿ offered.
-To continually enhance the facilit18s provided.
-To develop and enhan￿ Ihe relwjious & educati￿#1 curriculurn.
Public beneflt statement
The Trustees confirm Ihat they have complied wth the requ1￿m￿nIS of section 17 of the
Cbarilies Act 2011 lo have due ward lo Ihe public benefrt published by the Charity
Comrnission for Englènd & Wales.
Use of volLEnteers
The eharily uses the 5erviTrs of volunteers IT¥ a number of w3yS',
To assist in raising the profile of the cttarity.
To assisi wilh maintaining Ihè records of the charity.
To ass15t with the developmen¢ of the charity.
To mainlain the buildings.
Achievements and Perfomian¢e
-Th& Charity continued to provide service and laolth"8s for the Kluslim CL¥nmunity.
Financial Review
During the year the chariws incone was £69.51612023.' £48,970) and after expeNdilvre of
£62,77512023= £43,4161 the carry forward roserves stOCMJ al £224.72112023- £217.9801.
Reserves policy
The Trustees have resofv8d to eslablish over the ne¥t few years reserve5 to provide fof
lulure aclivilies. and to provide funding for Ihe expected 8xpenditure for ￿e1ve months
ahead.
Current reserves a￿ adequale based on our kn￿edge arbd experience.
Prfnelp31 funding source
The prinapal Income was generated from donalions ihcxjgh the public in aC￿rdan(% wth
the objectives of the charity. The pnn¢ipal expenditure related to Ihe provisions of prayer
facilities and childrens Islamic e(Jucat￿.
Plans for futurn pèriods
The Charity will also continuè ènh8n¢e buihying facility in delivering the aims and objeclives
of the Trust.

HUJJAT-UL-ISLAM
The report of the twstees for the year end•d
31 March 2024
StNcture. Governance and Managemfrnt
Nature of the Governing Document5
The Charity is an unincorporated organisation and govemed by its goveming dcoJmeni- th&
constitution adoptod 01 January 1984. EIMJibility for membership ol the charity. and
membership of the board of tnJstee5 15 set out in goveming do¢ument. There are no
resirictions In the on the operation of the charity or on its investment wjwers. other than
those Imposed by general charity law.
R•¢ruitment and appoiniment of n•w trust8e¥
New Trustees a￿ appoinied by invitatiorh based upon specific fequirements
and the skill set need8d by the charity to help advanc8 the charitable objectives.
Induction and traFning of trustees.
We have at the moment no poli¢y or procedure for the training ol Iruslees. other
than the do's and don'ts" publicab.on provided by the charrty.
Organi5alional structure and management.
Trbstees meet on a six monthly basis to discuss 8fKt plan objectives and
1mplemenlalion thereof. Maiters of general concem are rais*1 wrth all membèrs.
Day to day management and respon51bility fix implementing ￿￿1¢leS is carrièd out by
the exècutive committee who meet on a regular basis.
Related parties
Oth8r than the Trustees and those persons connected with them there are no
individuals who are related oarties. Details ol IrarTr5actK)ns with related parties ara
shown in ltte noiès to the accounls. This includes rernunerat￿ and expenses pa
to Trustees.
Rlsk Management
The Irust88s a¢kno￿6￿ge their ￿spOnSibl11t1es for estab1￿hlng a risk management system
and satisfield that appropriate system5 and procedures are under development and
continue to keep the strategic. Lxjsiness and operational risk under review wilh vsew to
intr(Klucing, where necessary. additional procedures to mitigate Ih85e risks.

HUJJAT4JL4SLAM
The report of the trustè•s for thè y•ar ended
31 March 2024
Statement of Truste•s' Responslbllltles
The Chanties Acts ￿qUITe the Board 0fTw$t￿ to preparo IinwhLaal S&lwnents l(¥
each financial year ivhich giv8 a Irue 3nd fail ol the sl*e ol allairs of ihe
harily as at the end of Ihe finaftEial year and ol Ihe 5vrplus or defKil ol Ihe charily
In yrep2ring thos8 financial staten)enls the Board k% I￿vI￿ Lo
- select SUrtab18 31xounbng polKies and lh￿ appty Ih8m con5islenily.
observe the melhods and pnnciples in Ihe Cliarilies SORP
- make judgements and ests"males thai are re85L￿ab1e and prudenl- and
- prepare the financtal stalem8nis on Ihe g(xn9 concern basis unless it is
inappropyiate lo presume that Ihe charity w¢M continue in bussness
- state whether ap￿1¢able aco)unting standards ano slatemellts ol
re¢ommervJed prathce have been fdknw&J. subject to any matedal
departures disc105ed and eX￿aine(l in the finaocial statements
The Trustees are aLso respwsble for mairstaining ad8quaie aco)unling ￿CordS
which disdose wth reason8bte accuracy at afty Ihe financial posit$￿ of Ihe
charity al￿ which are suffKient lo show and explain Ihe charitys transacti￿S 8nd
enable them to ensure that the fjnanual statements comFAy wilh regulat￿5 maje
under the Chanbes Act.
They arè asso resFM)n5ibi8 lor safeguarding th8 assets of Ihè charity and hence f
laking reasoaable steps for the Preventi￿ and detera￿ of frnud and other
Irregularilies.
Thls report was approved by the boaryl of trustees on 08 January 202$
OIA
Redhw3n Ahmed
Vi¢¢ President

Independent Examiners Report on the Accounts
Report to the trusteeslmembers of.
HUJJATiIL4SLAAI
On accounts for the year ended-
31 March 2024
Charity no..
290479
Sel OLrt on pages..
6t010
I report to the trustees on my examination of the accounts of the above charity
for the year ended 31st March 2024.
Responsibilites and basis of report
As the charitys trustees. you are responsible for the preparation of the accounts
in accordance with the requirements of the Charities Act 2011 1.the Act").
I report in respect of my examination of the Trust's accounts carried out under
section 145 of the 2011 Act and in carfwng out my examination, I have followed
a15 the applicable Directions given by Ihe Charty Commission under section
145151{bl of the Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come
to my attention in connection with the examination 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 Acl". 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 the Charities (Accounts and Reports
regulations 2008 other than any requirement that the accounts give a 'true and fair, vie
which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with
HA Accountants
26 Leagrave Road
Luton
Beds
LU4 8HZ
Name..
MAHa
ue, Bs¢, MBA, FFA
08 January 2025

HUJJAT-UL4SLAM
Statement of Flna*elal Actlvltles
For the Year End8d
31 March 2024
Last Y&ar
Totsl
Fun4J$
Unrèstricted
funds
Not08
Total Fund6
2024
2023
Incom8 and Endownmonts from
69516
69.516
44.125
Grants
4.845
Total Incomlng resources
69.516
69.516
48.970
RESOURCÉS EXPENDED
CO￿ oleharftabl* ac￿￿11*1
82.055
62.055
42.696
720
720
720
Total rosoLtr¢e$ ¢xpgndod
62.775
62,775
43,416
Net movement in funds
Total fund$ brought forward
Total funds carried fonv8rd
6.741
6.741
5,554
217.980
217,YBQ
112.426
224,721
224.7Z1
217.980
The nd mDvpmpnl In futÈd5 referred to above Is Ihe ￿ iTh)JmiDg rescwces as defifea the siai£mènt d Recomff*naed Prathc£ loi ol
A(Eountln9 4nd Reporting i53ved by the Charity ComrniSSKW Icrf Ewtsnd & IS re￿￿clIe0 10 loiai funds as irt Ihe BÈlAntè
Sheei on pag4 7 as requiièa ty tr*
l actlvlUe$ derfv8 from COniSnuSng oparatk*nt5
The notes on pages 8 to 10 forn an Inlegral part ol thes• a¢counis

HUJJAT-UL4SLAM
BALANCE SHEET
As at 31 March 2024
2024
2023
Notes
The assets and liabilltlos of the cl￿rtty=
Fixed Assets
Tangible assets
Tot•A fixed assets
1Q2.485
102,485
102,485
Currgnt Assets
Cash at bank and in hand
123.135
123.135
118,041
118,041
Creditors.. arnounts falling due
wittiin C￿e year
899
Net Current Assèts
Total assets less current IlabillV85
122 236
224.721
115495
217,980
Total Nèt A$5ets
224,721
217.980
The funds of the ¢harfty:
Unrostrlcied Income funds
224.721
217,980
Total ¢haTity fijnds
224,721
217,980
Approved by the Iioard of twstse5 on 08 January 202S
Redhwan Ahmed
Vl¢8 Pr•$id¢nt
Th• note5 on pa9es 8 to 10 forni an Integrat part of these accounts.

HUJJAT.UL4SLAM
Noies io the AccountB
For tho Yèar Endèd
31 Marth 2024
1 Accountino poli￿88
Slalomenl of complian
These accounts have been p￿pared in acurdarKe AccoJDtity and Reoortiry ty Chanbes.
S￿leIneni of Recommenoed Prac¢Ke apF4uble 10 ch￿$ preparY¥ xcounts ￿ acurdan
wth the Financial ReporrirvJ StaThJwd applcable ID the UK RepuLIK Ir￿a￿ IFRS 1021
leffeciive 1 Janwry 2015F Ichamies SORP IFAS 10211. Finwvi* RetKybrrfJ St￿￿3rd
In Ihe UK and FlopubiK of IFRS 1021 and the Char￿￿ kt2011.
Basls olpreparaiio
The Chanty rnfjets defirlll￿ of wbbc bene￿1 entsty FRS 102. Assets Ik*bikbos
initially recognisBd al tran5xDrm ￿Le unks5 Oiher*)se In thé rèlèvani
2CCOunling policy nol95
E¥•mption from preparfng a ¢45h Ilow stst4ffl•rt
The Chaniy opted to earfy athipt Bvllwin 1 pthished 2 Febrw 2016 ￿ l￿fore nci induded a
ash flow statement in ￿ese pGcounLs
Going conNm
Thd trustèÈ$ wnsKler th& Ih8re ¥e 8iKw¢ Ih t￿3 aw
golfig ￿nCe￿
Tr8r4itlon ro FR5 102
In prEparins the accounts, ihe twsiees have apptyv¥ the ￿¢4)jn￿￿9
'eqdired c. FRS 10Z and ChaDbes SORP FRS 102 a ￿$l￿ten￿nI ￿ LYy7yratfve ilerf6 was rwirgd.
140 wlolernentJ are wu1￿￿ as a ￿￿11 ofthe to FRS 102
In¢¢me ethdowfflents
V&unwi Incoffle 1￿c￿￿1Th9 dofiatyonÈ. grft5. I89aoes ￿ grants that (Xxe fundry ry are ol
gonerai naiure whén Qhanty Thas wtiyementto probablè trwt thF Inrorne
Will be ￿ceiVed tho amr￿￿t￿9Th b¢ 5uffK4enl reh*dty.
Going conc¢m
Donabon5 Snd ￿90cleS are feowised M a rÈcewatA8 r￿p1•S and thè
can bÈ reliably tnaasw8d.
Volufitserhwlp
The Val￿ of any vduni*y rBcwved Is is de5uthd in the
trustegs. annuBI r9￿.
EXPENDITURE AND LiABILmES
Llab115ty Re¢ognltlon
L￿bilItieS arfj ￿OgnISed wheie IE Is nmye likety Ilve r6 a W or CUsStruCM Ot￿9¥1
commiiting the (*)arity to pay resc￿￿￿ the can bb mfrasL¥*1
8SDnable rertainty.
Governance ¢osts
Include cosis of Ihe pr•P**I￿ and éxan¥nabw d siaiUW ￿￿¥•}ts. ot trusio& m￿￿r￿J5
c051 ofany kgal adwC• to tru*805 w￿VrAn￿￿or mait*t5.
Fixqd a¥Bel
i ￿￿1b18 fixed aosem are rf Ihey te L4ed for mtye one yea ats s￿E￿¢
co$t less &eLwerJatw Ilemsol *ss Ihart I1(￿}arE ni)I wtalised.
A re9L48r2nnu•l oflhe Ik£Hhots*ota5set
TaxBikn
The Chètstyi$*xwnpIl￿ cOwa￿Tr tax on its CharilaN9 *bYth5.
Funds $¢v(￿r￿ policy
The ¢hsnty m3intsins a gen￿￿ Lbiie&rid>J fvnd rEwe5eDts are 6xKwr¥JaWe al ihe
disctEtion ol Ik* bwstees in furthernnee oi¥eds & th&£hffj. Such rnaybe In ¢xder to
finpnc¢ bDlh kn￿1ng carl￿1 ar￿ iny05t￿TrI. RestrKied [￿d5 can ￿lY parricLlar
puwes Ihe (hth.

HUJJAT-UL-ISLAM
Neles to the Accounts
For the Year Ended
31 Ma￿h 2024
2 Incornlng resources
2024
2023
Income Recelvod
Gener81 Donations
Grants
Ghiioren Tu￿.On
69.516
44.125
4,845
48.970
69.516
3 Resourcès expend8d
Charitable 8ctlvit188'.
STaff Cosi
2024
2023
27.￿5
27.9)5
22.606
22.806
Promlse5 C05t
Vlaie. Raiès
L￿￿1 & Heal
Insurance
Cleaning
Repai[5 & Maitenance
658
10.737
1.030
656
4,743
1.524
187
12 835
19.945
14.823
27.248
Admlnlstrative ¢xpens8s
S181Jonary & Printing
SutscnpiiDns & TrainiThJ
TeleFthwe
110
35
Other&
Danalion5
SubsisienGe
4,315
2.228
6.541
45
62,055
42.696
Governance costs-
Accountancyl Internal Examinèr
720
720
4 Staff Costs and Emolument8
2024
2023
Gross sala1￿5
Emoloyels Pen5K)nS
27.9)5
27.￿>5
22.606
P4tsrnbgrs of full tlme employe•s or lull tWM•4uivJknIs
2024
2023
Erv)ag8d on thant2Ng ac4tv
Adminislration
Th&re were nofees or<thrrBmuneraucfft trU51ees
There wwe no emKAO*B5 *ittTemc4um£nt$ in exce55 of£fA).IXX>w

HUJJAT-UL-ISLAM
Notes to the Aeeounts
For the Year Ended
31 March 2024
5 Tangible fixed assots
Fr8•hold
Property
Improvments
to Proparty
Total
Asset cost, valuatlon or revalued amount
Al 01 April 2022
Additions
Al 31 March 2023
18.0
B4.485
102.485
18.0(x)
84.485
102,485
Accum451ated dèpr*¢iation and impairment provisions
At 01 April 2022
Ch3rge for the year
At 31 March 2023
Net book valu•
Al 31 March 2022
18.OlX)
84.485
102.485
At 31 Mar¢h 2023
18.O¢X)
84.485
102.485
AJI assels a￿ used for charflable purpose5.
6 Creditors.. amounts falling due within one yaar
2024
2023
Trade ¢reditors
899
899
2.546
2.$46
7 Analysls of thg N•t Movement in Funds
2024
2023
Net movement in funds from Statemenl of Financk81 AcltMts"es
6.741
5.554
Nel movement In funds avallable for future a¢tlvl¢les
6.741
5.554
B Net As58ts by fitnd
Unreslrl¢ted
fund5
R85tricted
fun(ls
Totsl Funds
2024
Total Funds
2023
Tangible Flxed Asset$
Current Assets
102.485
123.135
18991
102.485
123.135
18991
102.485
118.041
12.5481
Current Liabilili
224.721
224.721
217.980
9 Rel3t8d Party Tran$a¢tlons
No fee or expenses were pai¢J to truslees (K persons connected with them
10