The Bestway Foundulion
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
Foi. Ihe
eai, ended30 June 2021
Charity No. 297178

The Bestway Foundation
CONTENTS
PAg
Lcga] aiid adiiiilliStr&tive infoiillation
Trustee5' RepoTt
Repoit of the It)dependent Bxamioer
Slateinetit of Fillancial Aclivities
B&laiice Sheet
Noles to lh¢ Accouiils
8-13

The Bestway Foundation
LEGAL AND ADMINISTRATIVE INFORMATION
TRUSTEES
Sir Mohamnjed Ajiwai. Peive4 OBE HPk {Chnirmaii}
Lord Zaineer Mohaimmed Choudrey, CBE, Sl Pk
Mohammcd Younus Sheikh
Dawood I,e￿¢z. BA (Honsl. FRSA. MA OXON, Soltcitor
Rizwan Peiwez, ACA
Th¢ Hoi)ouiable Haider Zaineer Cliou(STty. MA{Hons} Cathtab, ACA (app)inted 29 June 20211
SECRE'fARY
Mohammed Youllus Shcilth
PRINCIPAL OFFICE
Bestw&y Foundation
Abbey Road
Park Royal
London
NWIO 7BW
INDEPENDENT £XAMINER
Nicola Wakefield
MazaiE LLP
Tower Brldge House
St Kailiariiie's Wgly
London, LIW IDD
United Kingdgl
BANKKRS
HSBC Bank plc
Apex IioLise
Reading
RGI IAX
SOLICITORS
Kermat] & Co LLP
7 Savoy Court
Strand
London
W(2R OER
Page I

The Bestway Foundation
TRUS'I'EES, RF.PORT
for the year ended 30 Julie 2021
The Tiustees of The Bestway Foiindatiott pitsenl their anniial repait aiid accouiils for the yeai. cnded 30 Julie 2021
aiid confirm Ilial they cojnply with the i'e4uiiEments of the Charities Acl 2011, the charitable dced of coven&nt
and tlie ChllTlties StateTnent of Re¢oinmended Pt'actEcc applicable to charities pyepai'iiig Ilieir accouiits in
awordaiicc with ilie FiiianGial Reporting Standaid Ipplicable iii tlie UK and Republsc of IIEland {FRS 102)
(BffBCtive l Januaiy 2019).
ORGANISATION
The cljai'ity is goveimed by the cl)Rl'itable deed of ¢ov¢iiant dated 20 July 1987 and a siipplEIMental deed and deed
of V¢ll'iatioii dated 30 June 1992. Tbe charity IS TEgistered in th¢ UK and ils registi?tion No. is 297178. The truste
oF13estway Foundatioii are listed on Page l.
The Ii'i15t¢65 li&ve overall respcTrllsibility foi. the day-to-day illanagem¢nl attd contiyjl of ihe cli&i'ily. All IhE ￿￿￿tteS
ale dircctoi's alld shai'ehold¢rs of Beslway Group Limited, the parent cotnpany of Bestway Cash & Cai'ry Liiniled.
Tl)e powerof appoinliiig iiew and additional t￿St¢C$ and r¢appointment of i.etna1n￿8 ti'uslees isV¢5ted iii Bestway
Group I,imited. The trustees meet OJlC¢ eV¢Ty month to ￿VieW the obj¢ctivts and th¢ activitbes of thc cli￿"itY.
RECRUITMENT AND INDUCTION OF TrUSTEES
?e'l'rllst Deed provides for a minimuin of 3 trustees, to a maxiJniiiK of 9 trustees.
TRUSTEES. RESPONSIBILITros rN RELATION TO THE fTNANCIAL STATEMENTS
The chaiily trustees Irsponsible for preparing a trustees, annual rcport and financial stat¢ments ill accordanee
willi applicable law and UtLit¢d Icingdom A¢coui)tlll8 Standards (United Klngdom Generdlly Accepted
Accountin8 Practice).
Law applicable to chaifties ill Engla2id & Wales reqiiTIE% the charity Iru8tcc% to prcparc financial stateineiils foi.
eaGli yeai. which give a aiid fair vicw of thc st&lc of affairs of the charity atad of die illcoinillg resource5 and
application of ITsources, includin¥ the ineotne and expejidi￿Te. En piepli'ing tlie fiiiancial statements, the trustees
are i'equsred to..
s¢le¢t suitable accoulltillk policie5 and tlieii apply IhetS] LOliSlStcntly',
obsetve the methods pi'inciples in the ChaTitie5 SORP.
make judgeinents and estiTnates that are reasunublc and piudent.,
state whetbei. applicable UK accounting5tandairfs have beeii followed, subjectto any material depar￿reS
disclosed aiid explained in the fillaDcial 5tateTnenl5',
prepare the finan¢ial statements 011 the goin8 conee17% basis uiiless it ￿S iiiappiopriate to presume that the
Gbarity will fDnlinue in business.
The Irustecs are respoiisible for kecping propcr aG¢ounting Ircords that disclose with reasonabl¢ acciiracy at auy
tim¢ th¢ financial positioti of the Ch￿￿ty and to eIiabl¢ th¢m to ensure tbat the fsJ]ancial stateiiient5 coniply with
the Cliarities Act 2011. They are also responsible for safeguaidittg the assets of the chai'ity and heiire takiTh8
reasonable steps for the piyventioii and detection of fiBud and other irregulai'ilias.
The ti'ustees &iE IY5ponsibl¢ for th¢ maint¢nan¢e and integrity of tlie coipoiatt and finan¢ial infoiThation included
on tI￿e charity's website. Legislation in the United Kingdom 8overJiing the prepaifjlioii and dissenjination of
rinancial stateiijellts may differ from legislation in otlier jurisdidÉoiis.
Poge 2

The Bestway Foundation
TRUSTEE8' REPORT
fot. tlie yeai. ended 30 Jui)c 2021
OPERATING PRtNCtPLES AND OBIECTtVES
The cliarity oper&tes for tlie pEiblic benefit througli Ilie achievemejil of ils objectives, being;
l. The advaiiceinenl of education foi. the public btiiefit iIi both the UnÉtEd Kingdoni and overseas by
providiiig assistance by iyay ofgvanls, endowmeiits. s¢holaiships. loans oi'oiherwise asthe Trustees sliall
in their ab501iit6 disci'etioil d¢Gid¢, to s¢hoolchildTen and students, who air of Indian, Pakistani,
Bai)8ladeslii, or Si'i Lankan origin.
2. Tlie relief of sickn￿$ Aiid the PlTservatioii Alld PTK)te¢lion of h¢#lth foj. th¢ bcllefit of the public in botli
the Uiiited Kingdnm and tvei'seas witl) particular refereiic¢ to India Pakistan, Ilangladesh aiid STI Lanka
by way of gi'ants or endowineiits to existÈIig hosPItals. clinics or rnedical research establishnients, by
building oi. eiidowing new hospitals oi. clinics oi. iti siicli ofher tnatJJ]er as the triistees shall IEI tlieir
discretion decide,
The Tru.%tees have taken accoiint of the iiiforinalion coiilaiiied in the Charily Comillission's genei?I guÈdaiice on
piiblic b¢ii¢f2t when r¢viewEng tlic objcctivcs and in plannsng thc future activEties of the cliarity.
GRANTS POLICY
The two Inajoi. recipiettts of the grai)ts are UK Jnd Foi'eign Charities. both Kgistered and non-lrgistcjrd. and
aradernic instibJtion5. H¢5tway I'oundatioi) aWA￿S g￿lltS lo those Ghayities, which aTe engaged in activEties that
endoise tbe FouttdatKon's objectives. The majority of the 8rants are made on an aiinual basis.
DO￿atIonS on behalf of stvdeiits are iisually Enade dire¢t to academi¢ institutioiis. The payments made to studellls
are made keq)ing in Jnind Ilie iijdividual's fajnily circumslantes and are in line with the obj¢¢tive$ of the Charity.
In the y¢ar ¢nded 30 June 2021. 14estway foiinrfatioii awailled grai)15 to a total value of £351,315 (2020-
£401.985). Details of gi'ants a￿￿1]ed during the yEar are given iEJ Notc 5 to the accounts.
FINANCIAL REVtBW AND TNVESTMEbrr POLICY
The incoming resourccs comprise income fiDJn various ii)Yestments and oth¢r donations.
During the year, Beslway Foiindation awarded 6 gr&nÉs to instiÉutiOllS and 21 grant5 aAd doiiatioThs to iTrdividu&ls.
Funds for the chaTlty aTe held in a variety of iThvcstmellt instrnments, con)prÈsin8 UK equities and fjxed ineome
s¢curitics. Thc Ii'ustees consider the incoine reqiiiirment5, the risk pix>fIle and the investmtiit manager's view of
the maTket prospects in the medium teTtll. The strate8y is iEviewed by the Trustees with the investment managers
aiinually.
RESERVES POLICY
Bestway Fouttd#tion's fiJnd5 of £5,473.485 Hre all unr6strEcted aTrd thcrefore yepre￿ntthc charity's fir6 reseives.
It is etlVisag¢d by the Irustecs lo build up siiffEcienl reserves by investing sold shaiEs in fixed deposit accoullt, so
that donations are made of tlie annuities received fyon) the investmejit of tJi¢ said Yeserve5. Mie tiiist£*s irgul2¥ly
revÉew the level of the reserve8.
Poge 3

The Bestway Foundation
TRIJSTEE8' REPORT
for the year ended 30 Juiic 2021
RISK MANAGEMENT
The ti￿Stee$ of Bestway Foundalion have given the ¢oiisideration lo the major iisks. AppiDpriate procedui'es al'e
¢stablished in Ol￿er to manage and mitigate those risks.
PERFORMANCE REVIEW & OUFLOOK
Dllring the period under I'eview the Bestway Foundation continued to pixTrvide assistance to loc&1 atEd intemation&l
cliai'ities. Various sttidents both froin the UK and abroad were provided gJ2ntslscholarshipslbursaries to assistance
thtm with tlieii. education.
The Beslway Fouikdation iii the futuiy seeks to deepen its relatioiisliips with various UK based chai'ities sucli a5
Bi'iti%h Asian Tiust. CriTnesloppers, Duke of Edinburgh's Awards etc. a]id BTltish Univei'sities such as UniveJ3ities
of Bradford, Oxfoi'd. and Kellt.
GOING CONCERN
The Ti'ustees l)ave consideird tbe iinpact of Covid-19 outbreak and considerth&t it does not have a inaterial impact
on the Fouiidatioll due to level of Cash reserves i*inimal annual fixed cost base.
PUBLIC BENEFIT
The Trustees Contiiiue to keep the Charity Cotnmission's gllidance on public benefit undei. Yeview when
oonsidering its futui'e actEviti6S.
tNDEPENDENT EXAMINE,R'S
A resolution to appoint Mazars LLP will be put to the trustees at the artnual general TneetitLg.
BY ORDER OF TI.IE TRUSTEES
Rizwan Pei'vez
Tn]st6e
Poge 4

Nicola Wakefield (Mar 28, 2022 12:18 GMT+1) 

Mar 28, 2022 



The Bestway Foundation
STATEMBN'I. OF fiNANCIAL ACTIVITIES
foi. tlie
eai ended 30 Jiine 2Q21
2021
Unyestrteted Desigrtatrd
Fund$
Fuiids
2020
Total
Total
Income and endowments from:
DoJ)atios)s and legacies
Inveslmeiils
5,110
44,053
5,000
44,1153
lfilJ,504
77,598
Tolnl iiicon]e
49,053
49,0
238,102
xpcnditui'e on;
Chaiilable a¢liviti¢s
353,935
353,935
412,417
Total experjditure
3S3.935
353,93S
412,417
Net (oxpenditiii'eyit]rotne befoi'e net
g#insl(losses) inv¢stmeDts
(304182)
{304,882) (174JI8)
Transfei's between funds
Net expenditslie %nd net movement in
fund5
1304,882)
(304082) (174.315)
Reconciliation of fund$
Total funds brought foiward
5.778,367
5,778,367
5,952,682
Total funds ¢aiTied forwaix4
JJ
5,473,485
S,473.485
4,778,367
Th6 stat¢mrnt of finanoial activities includes all gains and losses recognised iti the ye&i'.
All inrofflc and ¢xp¢nditui'e deTive fi￿1￿ contintjing actiVElies.
Page 6

The Bestway Foundation
BALANCE SHEET
as at 30 Jiine 2021
Note
2021
2020
Cui'rent ass¢tS
D6btoi's
Cas]1 at baDk hand
17,975
5,458,510
39,039
5,749,328
Liabilities
CIEditors falling due within one year
(3,000)
(10,000)
Nct ciirreEIt as$ets
5,473.485
5,778,367
Net assets
5,473,485
5,778,367
TOT AL FUNDS
JJ
5,473,485
5,778,367
Approved and authoi'ised foj. by the Board of Trustees or% zfmarch 2022 and signied on its behalf by
Rizwan Pervez
Trustee
Tlie tLOtes on pages 8 to 13 fo)In pait of these ac¢oui)ts.
Puge 7

The Bestway Foundation
NOTES TO TFiE ACCOUNTS
for tlie
ear ended 30 Julie 2021
ACCOUNTING POI.ICIES
GENERAL INFORMATION
The addiESS of the cliarity's pi'inGipal place of b115iness is The Bcslway Foundatioii, Abbey Road, London,
NW107BW.
BASIS OF PREPARATION
Tlie fiiian¢ial statements arc pfepaiEd under ihe l)islorical cost convejitloll 115 niodified by tlie inclusion of
investments at valuation and in aecordancc with applicable United Kingdoin a¢¢ounting stand8rds. Thc
financial statements have been prepared in accordatttt iviili tlie Statem¢￿t of R¢¢ominended Pi?clice'.
ALcoiinliii£ and Repoiiing tiy CliarÉtie5 prcpaNng their accoullts iii accordaiice with tlie finaiicial Rcpoiting
Stand*L'd applicable in the UK and Repiiblic of Irelaiid (fRS 102) effective l January 2019.
Bcstway Foiirtdation ineels the definition of a public benefst ¢ntity uiider FRS 102. As5et5 and liabilities
air iiiitially Ircognised at hi5toii¢al tost or ti'ansaction value unless otlierwise stated in th¢ ieleyaiit
accounting policy.
Thesc fJnwi¢ial stateinenls arE pirpared ill sterling whicli isth¢ fuii¢tional currency of15ie charity. Monelary
amoiints in thES¢ finaiicial statemeiits are iDunded to the nearest whole £1, except wIie￿ otherwise
GOTNG CONCERN
No material uiicertainties that may cast sigtjificant doubt about tlie ability of the ¢J]&i'Lty lo continuc as a
going concein liave beeli ideiitified by the trus¢ees', thcrefoYE the a¢counts have beet] prepared on a going
Concern basis.
As of 30 June 2021 the charity lias nel c￿rrent asscts of £5,473,485 (2020.. £5.778.3671. At tht tiffte of
appiDving tlie fJnanLidl stateinents und in considtratioii of thc r¢c¢nt evetiÉ8 sui'rouTiding Covid-19, the
Ti'ustees liave a reasoiiable ¢xpeGlation that tlic Foiindation has adequate resuiircpts lo coi)tinii¢ in
operdtional existcnce for at Icasl twclve inoÈJtlis the IEate of the ssgFiiin¥ Ilit audit report due to existing
l¢vel of ca511 tE4Ci'VL3 and th¢ fact that Ilie annual fixed cosls of (he Foiind#tion are minimal. Thus, the
TrustCCS COlltinu¢ lo adopt the going concern babi5 uf accounting iii prepariii£ the fi*ai)cial Statements.
INCONrfING RESOURCFS
C%bh donations, gifts and legacies aTE incliided in full in the Siatetn¢nt of Fin&J¢ial Activitjcs when it is
receivabl¢ and air 56patxt¢ly allocated betweej) JEstriGted and unreslYi¢ted funds where appropriate.
tNVESTfvIBNT INCOME
lii¢ome from inv¢slmeiits is accounted fo&. in the period in whith the ¢liai'ity is entiiled to receipt.
RESOURCES EXPENDED
Expenditute is included 011 an accruals basis.
Support costs compri56 COSt$ for the of the charity itself as an oi'ganisation.
GRANTS PA YABLE
G13nls payable are ¢hargcd in th¢ y¢aT whell the offer is conveyed to the recipient cxcept in those case5
wkn¢re tlie offer 15 Condition￿, siich gl'aiits being r6eognised as expenditilre wlien the ¢onditions atta¢hirg
air fulfilled. GTants offeiEd subject to ¢onditiolls whÉch have not b¢eiJ met at the year-end are tioted as a
coinmilmetjt, but ￿0t a¢¥rved as expenditure.
GOVERNANCE COSTS
GoYernathc¢ Costs comprise all ¢0sts involvsiig the public aG¢oiii)tabilÈty of the chaiity aiid ils ¢ornpliance
with regul&tion and good practice. These cost5 air made of statutory audit and iiidepclldent cxamination
only.
VESTMBNTS
rixed asset investments, i'epK5ellting quoted se¢iirilies held for Irsale, air stated al closing mid-market
value at the balance sheet date. Any gaitEs or105ses on revalualson arc taken to th¢ Statement of Financial
Page 8

The Bestway Foundation
NOTES TO TFIE ACCOUNTS
foi. the
eai. ended 30 Jun¢ 2021
Activities.
REALISED AND UNRBALISED GAINS AND LOSSES
All ga1115 and losses #ie lakeii to the Statemeat of fiiiaticial Activities as they arise. Rcalised Bains and
losses 01￿ investments are ¢al¢iElatcd as t$￿¢ diffeiriice betweei) SHles pioceeds and opeiiing fail. value
{puirhase date if latei'l. Unreèlised 8&jlls and losses ait ￿le[lIated as ihe ditferenG¢ betwe￿1 the fair value
al the yeai. elld and opeiiisig fau. value IpuT¢has¢ date if later). Realised and uni'ealised gaitis and losses arc
iiol separated iii tlie Statement of Finaiicial Aciivitics.
rtNANCIAL INSTRUMEWFS
The Chai'ity ortly hL2S financial asscts and finaftcial liabilifics of R kind that iiialify a5 ba51¢ financÈal
iiistriiineiits. Basi¢ f*nallcial instriijneiits ai'¢ initsally recognised at ti'ansaction va141e and siibsequciitly
tnea5ured at tlieir SBttleinent value wiih the ¢x¢eptioti of listed inveglments whiGh ar¢ subse9iiently
¢a5urea #t fair value.
DEBTORS
TrAde and otherdebtols atr Te¢ognised at the srttl¢iiient amount due. Pr¢pa￿￿entS are valued atth¢ amount
prepaid.
CASH AT BANK
c.ash at ballk iii¢ludes ca511 and short teTm hi%lJly liquid investtnents with a short n)aturity of six months
oi. less tlie date of a¢9￿lS711uA or openiiig of the deposit oi. siiiiilai- accouiil.
CREDJTORS
CIEditt>is are recogni5Ed wli¢iE thB charity tias a present obligation resulting fvom a past Bv¢iit that will
prob&bly result ill Ilic traiisfer of fund5 tt> a thii'd PLtrly dnd the aÈnount dÈie to Settle Ihc obligation Ca￿ be
measured or estiinated Irliably. Credhtor5 aT¥ iJoJ'ill￿1y iycognised at th¢ir scttlcment ainount.
FUND ACCOUrnG
Funds. held by tb¢ ¢l)arity are unrestricted gaieral funds-these are fiiiids wljich can be us¢d I￿ acGordance
with the char￿table obj¢¢ts 8t tlie dis¢retiot] of tlic ti'ustees.
D¢signated funds &ir donations which th¢ doiioi. has specified are to be solely used for particulai. aiEas of
the charity's work or for specific projects being und¢rtak¢n by the ¢harity.
Page g

The Bestway Foundation
NOTES 1.0 TI-IE ACCOUNTS (coiitinucd)
foi- th
eai. ¢iided 30 June 2021
INCOML FROM DONATIONS
2021
2020
Donatioiis aiid legacies
160504
IllconiE froin donations was £5,00012020.. £160,504) of which £5.00012020.. £26,000) wa5 unrestricte(5
aiid £Nil12020.. £134,504) was desigjiated.
INVESTMENT INCOME
2021
2020
teKtst- UK fixed iiilEIEsI secui'ities
44,053
77,598
44,053
77,598
Ill￿1￿e from Ènv¢stmenÉs wa5 £44,053 (2020.. £77,598) all of which is unrestricted.
ANALYSJS OF &XPENDITURB ON CHARITABLE ACTIVIT￿£
2021
2020
Grants payabl¢ (Note S)
SuppDI1 COSt8 (Note 6)
Bank charges
351,315
2,600
20
351.935
401,985
10.432
412,417
ExpendituiE oll ¢havitable activities was £353,935 (2020.. £412,417).
Poge 10

The Bestway Foundation
NOTF.S TO THE ACCOUNTS (continued)
foi. tlie
eai. ended 30 June 2021
GRANfs PAYABLE
2021
2020
The amoiint payable in tlie year CDmpi'ises'.
Registered UK clJai'iti¢s
Forcigtk charities alld iiidividuals
82,000
269.315
217.569
184,416
355,315
401,985
The nuinber of Inade to individllals was 21 (2020.. 29).
GRANTS PAY ABLE TO tNSTITUTIONS
2021
2020
Brit15h Asian Trusl
Ci'imestopper5
DukB tsf Edinbiirgh Awards
lliames Flospice
Savc the Children-Royal Ascot Ch&rÈty
Doi?casts1' Flood Goods Doiiatioii
Si¢kle CEII suoicty
QueL"ll Elizab¢lh's Foundation for Disabled people
Dream Chassiig-%aliite the NHS
Silver 8tai' Diabetes
Ella Foundation
The Driiik Trust
Conccrn foi. Mcdical Health
30,000
40.000
15,000
20,000
100,ouo
7,069
500
500
2,000
2,500
40.000
15.000
20,000
2,000
1,000
4,000
S2,000
217,569
The nuInb￿. of grants made to instilutions was 6 (2020.. 10).
ANALYSIS OF SUPPORT COSTS
2021
2020
Indep￿IdeNt exatninatioii fee
Audit lee
2.600
10,432
TRUSTEES EMOLUMENTS AND KEY NfANAGEMENT PERSONNEL
The Gliari(y consid¢i's sts key m&nagem¢nt pei'sonncl to be its tiijstees. No iriislees IrEeived emoluments
or reitnbursetnent of expenses for the year ended 30 June 2021 (2020.. Nil).
DuYin8 the year theJE were ix) employees of the founiEatson. In 2020 there were no employees.
Page 11

The Bestway Foundation
NO'fES TO THE ACCOUNTS (contllllied)
Foi. the
eai. ended 30 Jliiie 2021
DEBTORS
2021
2020
Other debtors
17,975
39,039
CRBDITORS- aniounis fallin8 due withiji onc year
2021
2020
Ac¢Tuals
3,000
i 0,000
10
FINANCIAL INSTRUMBNTS
2021
2020
ptNANCJAL ASSErs'.
In5ti'uineiits tnEasuird ai fair value IhrougS1 piDfit or loss
Debt iETrStrui￿t1llS iiieasuyed at ainort15ed cost
17,975
39,039
Total
17,975
39,039
PNANCIAL LIABILITIES..
Measui'ed at aJnort15ed cost
3.000
10,000
FUNDS
Balance
Balance at
30 Julle
2021
l July
2020
Incoming Expetkded
Resources
Resourc¢s
Gains on
I rallsfers ￿1vestme1}IS
Uiiresti'icted
Desigllat¢d
5,778,367
49,053
1353,9351
5,473.485
5,778.367
49,053 (353.9351
5.473,485
Page J2

The Bestway Foundation
NOTES TO TFIE ACCOUNTS (continiied)
foi- tlie
eai. cnded 30 June 2021
12 RELATED PARTY TRANSAcfIoNS
I'h¢ Foiindatloll's IElated parties, tlic iialure of the relationship and tlie amouiit of tipnsactioiis with
thein diii'llig t￿¢ year wei'e as follows..
RelotedpaF'ty
RelatlOll5hip Nature of irnnsaction
Amount
Bestway GIDup Limtted
Cliai'itable donatiotl
to the Foiiiidation
£5,000
(2020- £26.0001
B¢slw*y Gr0￿p Limited
In¢oiiie from Ascot
Ev¢nt
SNil
{2a20'. £134.504)
Crime51opp¢rs Trust
Graiits paid lo tlie
charity
£40,IK>O
(2020.. £40.000)
British Asian I'rust
Gi?nts paid to the
cha¥ity
£Nil
{2020-. £30,000)
Tolol ozilJlaHding iviih RelalÉd Pui'rfies as afyeui. end..
2021
2020
Beshv2y Group Li￿lted
26,000
Crim¢stoppers Trust
Bri115h Asian Trust
NoiiiJE ofiel&ÉEOltship
l All the ti'usiees ai'c directors and shareholdetE of Bestway GI￿Up Litnited.
2 Lord Zameer Mohammed Choiidrey is a T¥iistee of Criniestoppers TTilSt and ¢he Cl)air of tbE UK
Advisory CouTi¢iI of Brilish Asian Ti'iist.
Page 13