REPORT OF THE TRUSTEFts AND
FINAP4CIAL sfATEMEN'fs FOR THE YLIR ENDED 31 MARCH 2022
1BA￿UR-RAHmAN TRUST
DTE Businw Advisers Li]nited
Chartered Accounlattts
SLitulory Auditors
The Exchange
5 Bank Street
Bury
BL9 ODN

lBA￿uR41AHNAN TRUST
CONTENTS OF THE FINANCIAL STATEMEFfrs
FOR THE YEAR ENDED 31 IWCH 2022
Page
Report of the Thisteeg
I to 8
Report of the Independent Audhor¥
sthtement of FlnADdAI Actlvltle5
12
Statement of Fln#nel*l Posldon
13
Statement of Cash nows
14
Notes to the St4tement of CAsh Trlowi
15
Note8 tsj the Flnanelal Ststsments
16 to 24

1B￿UR.KAHI￿ TRUST
REPORT OV THE TRUSTEE8
FOR THE YEI AR ENDED 31 MARCH 2022
Introduetlo
Th¢ twst was regtstertsl as 8 ¢haLity 24 May 1982 and it IS 8ov¢mcd by a trust deed dated 9 March 1982, am¢nded 14
Septeinber 2012.
OIUEcfIvES AND ACTIVITIES
Publle b¢nefit
The frust wa8 established for the benefit of the public in Mandwter. The timin objectives of the Tn]$t are..
To estsblish a mosquc to provide a place of worship for the Muslim population of Mallehester and surrounding
aregs
To &slablish education centrc to provide IslaTnic teachings to Children ￿ld adults.
'ro establish dii infoLThation and rescarch ￿ntr¢ for the study and diss¢mination of Muslim thou8ht.
To a5SiSt Mu81iins in arratigin8 marriage and fi]n¢rai ceremonies in aCCQTdan¢e with Islamic law and the land.
Gyantmaking
The trust¢es consider 8fdnt making an effeelive means of delivering aid USill¥ local choiities. Such cliarities liav¢
exp￿7¢￿ce. acc￿ to facilities. expcrtiw, staff and otber resou￿¢8 which will make them better placed to delivcr aid in a
ore effective nw]ller.
Examples of where aid has been delivered in this manner in¢lude, T8wwni afftcted areas, South Asian Earthquake areas
and other natural disaster arw as well as th¢)se areas whciE POVCrty exists. This h&% becn d¢livered via establis1￿1 and
r￿O￿lIs¢d eliarities such as, Muslim Hands, Isl&mic Relief and the World18laini¢ Mission Welfare TrusL
No swh grsnts hav¢ b¢¢n made during th¢ cu]Tent orprior year.
Voluntsry help And gifts in klnd
The Trustees are very gratefid to the usets of the mosque who give voluTht8ry do￿allonS to fillther the aims of the Trust.
All the money coll￿ted by the ￿t aris(¥ from the w¢ekly Gtsllection after Friday Jutlla Prdyer and collectioii o
special occasions swch as Ra]Dadan Eid. The Tn￿t is also helped by volunteerB who giv¢ their time on Fridays to
assist with collecting donations and help the admitii5trdtion wth general duti¢s like clc&ning and gettsng the mosque
rcady forthe FTiday prayers.
ActivitiCS
Th¢ a¢tivhtie8 of the Trn8t in¢lud¢'.
Pro￿dIng a pla¢¢ of wor¥hip for the five dtiily conwgational pray¢rs, weekly Friday Jum8 Prayw, Bid Prayer*
RamadAn Prayers and other Holypwiods.
Providing a suppleinentary schi>ol for the educ&tion of childtyn 8￿d athilt6 in Islamic Studies, Qurajiic Studies,
Arabic Iwiguage and Urdu language.
Carry out marriag¢, ￿lleral and ot]ier 5ervi¢e5 in aceordan¢¢ with Islatnic tr￿ltiOnS.
Providing a mi>rtuary wlicrt thc b￿lY orth¢ deceas¢d Can b¢ kept in aC￿rd￿ne& with fslarnic law.
Providing a ritual washing facility where the body of the deceased can be prepared for buri￿ in Aecordonce with
Islamic law,
Providing hclp gnd Advice for familics of thc deC¢a￿d.
Proyiding sporting and recreational activities for the young peoplewho use th¢ mosque.
Providing holiday play seheme8 for local childrcn.
Colle¢tin8 donations of foDd, elothiDg and money for¢hgTitable aets such as the Pakistan Eartliquake Appegl.
Collecting donation5 for llie upkeep and n￿nIng ofthe mosque ils activities.
Engendcring go(xi relationships with inembers of other faith Communities

IBAt￿UR-RAHmAN TRUST
REPORT OF THE TRUSTEEI S
FOR THE YEAK E￿,DED 31 MARCII 2022
ACEIIEVEMENT AND PERFOR￿cE
Probation Offi¢e Building
In Febrllary 2017 the frust secured the purchase of the leas¢hold for the adjacent building vacated by the Probation
Service. The frust was waiting for th¢ City Collnctl, whts omm the FreeholiL to agree to a t￿￿19e of use frotn Ptobatiojj
Scrriccs to Community and Eduutional selvices. before taking ]x)&session of the building. Th¢ change in the use was
agr¢ed and the actual completiott took place in Jun¢ 2018 widi the clwi8c in vse agreed by the coun¢il in April 2019.
The frusÉ has esthblished the Mallche8ter Muslim Collcge IMMC) in the Probation Office Buildi08. Th¢ aim of MMC is
to knin Ltnams who are resident in this eoiinty and have a good grasp of English. This is a Fiv¢ ycar course and
Suc￿sful s￿dentS will wduats as Imams and will be given the title Moulana (Male) and Alimah (Funaiel.
The Trust ts now wnning The Friendship and Wellbeing Group, progran)me every Th¢sday for Ladies and Wedne&d&y
for men. The Trust has Start¢d various cotnmunitybas¢d a¢liviti¢s for the local wmmunity.
The Trust hos allowed the NHS tQ Use the Man¢hestcr Muslim College building as a Vaccination Centre to administer
C¢)vid 19 vaccines.
Retot15truction of the Mosque Bulldlng
The main Mosque building lias beeli demolish¢d and work bu5 Started on building a new larger and more impressiv¢
building to Irplace it, thc con)plction ddte lias been revised. The delay in the project completion 18 primarily due to
changit)g of thc ¢Ontr￿tOr. All fiinctions of the Mosque are taking place in the Annex¢ biulding diwiiig th¢ puiod of
rpxonstrnction. The extemal $tru¢tur¢ of thc new Mosqu¢ is CLin)plete witii Dom¢ Imd Minarets. Tb¢ Trustees are in the
pxoeo&s of appointing contractors for the int¢rJwl work.
The building work on the new mosque h&8 pro8wsed and is near¢oinpletion. The new ￿l￿pletIon Il&te is May 2023.
Sisters Study Clrde at North MAn¢hestsr J4ml* LW*8Jld
l&t Sistet3 Study Circle (SSC) is brought about by the t￿ed for Structured activities for wom¢n and children in the lorAI
Muslim cominui)ity of Ch¢ethgrn Hill.
The SSC first stsrtod meeting in F¢bruary 2009 on a Saturd&y momEog in the North M￿lebester Jamia Masjid (NMJM)
and SlliC¢ then they have Continucd to gather weelily to..
- ensiire the well being of Muslim women and chilthn in th¢ wmmunity
- to iefresh knowledge and learn InoiE about our faidi
- to assist each other in developing se]f-¢onfidence and 5elf-respect
- to enable ca¢h other to deAI with issue5 faced by Musliin woine
- to shore eXPCTiences
- patrnting course held for lo￿7 parcnts.
The stl￿Y ¢ir¢l¢ $￿ts with the recitation of a ver8e from the Holy Qurdn and then Tnoves on to a short story Bimed at the
younger ¢hildreii. This is followed by a talk on a tt>pic of iiiterest by one of the sisters, and ai the end a]1 sisters are
iiivited to discuss, off¢r their opinions gnd questions. Th¢ pro￿¢ is ended by sisters joiniiig tO8ethcr to Jreit
Naslieel Dhikr and Saiaarn.
The SSC has a150 organised progr￿n￿¢s for tlie wider col￿nUnitY 8uch as annual Eid Milaad-un-Nabi IBirthday of th¢
Prophct Molwrnmad Pcace be upon hirn) progrdmtn¢5 and F.id parties which v¢ry sUL¢eSs￿l.
Anttually the Eid Milaad-un-N&bi programine is attended by over 71K> woineiL Natheeds Arc recited by children who
S￿dY at the Mosque's eveniDg sch(K)l and by the SSC sisters. Inspiring spceehes are gÈYen by invited guests &t)d food is
provided at th¢ ¢nd of the programEne.
SSC a]so hold fundraising Eid Parti48. All the money raised is (k)nated to the Mosque Redevelopment Project fund.

lBA￿UR.RA]L1IAN TRUST
RKPORT OF THE TRUSTEES
FOR THE YLIR ELNDED 31 MARCH 2022
The cvcnt includes a bouncy castle and gJm¢s wjd activities lor children and hot food and sna¢ks are available
throughout the d&y at the numerous food stalls. There are sta118, selling arts and crafts, jewGllery, shawls and Scarvets,
ba85 and shoes, books and CDS and much more. An alletiot) of donated items gcneroiisly provid¢d by local businesses
and individuals. is also held towards the end of the progMmtt*. The SSC r8i8ed Sevetal thou8&t¥J pounds for th¢ TTr￿l
dursng this financial year.
We hope to continuc with these events in forthcomiiig years as well as arrangiii8 events such as piellic-in-the-p8rk ond
day trips to I￿￿[ p18w of inierest suth Is seaside rcsorlB and amu$einent paTks. In addition lo holding Eid prayers ill the
Mosque, prayers were said in a local park (Heaton Park, Manchest¢rj.
Supplemen¢8ry School
Tlie Supplanew School has wwn froin stret)gth to Strength. We now have over 200 children who attend clAsses in
Islamic sludies, Quratsic sti￿leS and inodem foreign languag&8 sueh as Urdu and Arabic. They attend thc 8clioDI from
5.00pm lo 7.00pm eacb we¢kday. A new unifonn has be¢n u]tro(tuced to give the children a sens¢ of ￿ld¢ and
bclonging.
24 part time t¢a￿¢rS have been tRken on to teach the children. Rewlar training is provided lo the teachcrs by OUT Iman
and they have also attended safe-guarding trainsng provided by the LocaI Authoi'ity. Additionally the t￿￿¢15 a]so
attendedthe room managthknent training in theyw.
FINANCIAL REVIEW
riinandAI posltlon
Foi. the year ended 31 Match 2022 th¢ to¢al incomitsg resouTce5 amoullted to £991,115 (2021.. £741,36@. Of thi8 income
£990,570 was received by way of donations. with £444,55 classified as restricted fund% being donHred specifica]ly in
response to An appeal for the dcvelopincnt of the Mosque and ZakY4L The balance is unr¢stri¢td and und¢siw)ated. Other
itLCOmC relatcs to bank interest receivable which totallcd £545. Resources expended tolalled £498,IS4 compared to
£392,870 in 2021.
Net resources for Ibe year wer¢ £492,961 (2021.. £348,496}.
Reserves policy finAnthl pomcy:
1.hc trllslees have examined the need for free res¢rves i.e. those ultrestricted not illvested in tan￿ble assets, designated
for 5pc¢ific pu￿oSe5 or othenvise ￿MMitted. The Thustees consider tha¢ given die llature of th¢ ¢lwitys WO￿ its
cominitmenL thc Icvel of free reserYG8 shoiild be such as will enabl¢ th¢ charity to meet ils commitments for the
foreseeable futw'e.
Tlie statement of financial positiot) shows total reserves of £7,713,859. Of this, £2,574,088 15 T¢presented by unrestricted
fimds whi¢h is for dje support of the charity objectives.
Golng concern
After con5iderin8 tile role of Ibad-Ur-Rthllan within th¢ wider co]Dmutiity and risk managemenL the Tn]stees have
reasonable expectation that the trust ljave adequate Jtsources and cash flows to meet their speiidillg conllnitments ftsr the
fora8ee4bl¢ furt￿¢. w￿klY donatioiis COI)tinuc to ex¢e¢d ongoiTJg running costs of the Ch￿lty. AecordiJ]¥ly, th¢y
eotstinue to adopt the going concern ba8is of ac¢ountin8 in preparing the fJnatJ¢ial sthtements.

IBAl￿vR-RAHmAN TRUST
REPORT OF THE TRUSTEE8
FOR THE YEAR ENDED 31 K4RCH 2022
IIVTURE PLANS
The Trustees plaii to..
Continue to meet tho necds tsf the 8rowing Muslim cornlnunity by otTering services that are idelltsficd by the
comniuhity.
Review the manag¢ment 8tNcttwe of the Tnut to brttig in new expertise.
Create a link between the Annex Building and the main building to provide more spaee for larg¢r Congregati￿18
Build retail or office pr¢mis¢s oll lat￿ owned by the Trust. Rental ithcome from the premises will be a regular
50uire of income for the Tn]sL.
A scctsnd floor has been added to tlie Annex Building in pr¢poration for the Ic-developmcnt of the main Mosque
building. This has iticrea8¢d the capacity of tbi8 building to over 1.000 worshippers. Diuing th¢ reconsttuction
of the Mat￿ Mosque building, two con8regational prayets will be held oll Fridays.
The woA( started onbuildirtg a larger mosque in October 2015 ￿ld is expected to be ¢onwleted by Ntay 2023.
A llew college by the name of Manch¢8tcr Mu81im Colle8e has now bcen set up in ihe prolmlion buildit)g
purchased in Lh¢ year. The college will be providing a five ye&r coiusc for studeiit5 who wish to belome all
Ill￿ni. Th¢ a)Ilege remained open through this difficulttime, with many lessons taking place online.
STRUCTURfj c￿vERNANcE AND MANAGEMENT
GoveYnlllE doellm¢nt
The Ch￿tty is cthitrolled by its governing doBum¢n¢ a trust deed d&ted 9 Ma￿h 1982, a]nended on 14 Sept¢Dkner 2012.
Orggnlsatltsnal structure
The original Tn]st deed allows for a maximum of 5 tswtee8.
The powers and duti& of the Trust¢es are clearly outlined iti the trust deed. The T￿$t is based at North Man¢heykr
Jamia Mosque, 3 Wwdland8 Rd, Cheetham Ilill, Mallch¢sler, M8 9LF.
The TTUSt now ha8 3 th11 tirne employe¢s (Chief IinaTn, Trust Manager and an oifv adminis(rator/caretfjker), 3 part time
A5SiStalll lJnam8, 24 part lime teacher8 of lylamic Studi¢s, Arllbic and Urdu atjd I part tiine caretskerl¢leaner.
The Trust has 8¢t up a mana8¢ment cominittee of 31 members to h¢lp with Organi￿tiOnal t&8ks. Thi% inaDag¢ment
mitt¢c is divided into svb-comnjittees, namely..
Religiou8 Affai
FinaneeJAccounts
EducatiotblSport&lLeisure
Building maintenan¢e1S￿urity
Culturallfestivall¢atering
These $ub-¢tsminiltees have clearly defined roles alld re8p)n8ibilities And their activities are closely monitored by the
Trustces. Each Su￿OLn[￿lttee is headed by one otthe TNste¢s. D￿lsiOnS need to be ratifiLxl by thc Tr￿¥t￿.

I￿A￿UR-R￿llMAN TRUST
REPORT ofi THE TRUSTEES
FOR THE YEAR ENDED 31 LIqARCH 2022
Trusteey, r&¥ponsib511tles
The trn￿t deed requir¢s that the trustees keep proper books of avcount and r￿ordS showing all reeeipts and payEnents
and containing All such records as n)ay bc appropriate to the ruJ]ning of the trust. ]u additioffj trnSte￿ must..
Select suitable &c4ountitig poli¢ies and &pply them Consistently.
Makejudgnients alld estimates that are reasonablo and pwdent.
Follow applicable a¢countill8 ¥tandards disclosing any dispariti¢s in the accounts, and prepare the 8c¢ounts on a
going concern ba5i5 unless it 15 inappropriate to assume that the tnjst will continue tn opcrdte.
The trLStees bave also c¢miplied wrth their duti￿ under sxtion 4 of thtt Ch8rities Act 2011 regarding public b￿efit
requirenL¢Tht by dofintng the chariti&s' objective5 {Page ]} as for the public benefit Aud ¢n￿wIllg the activities undertaken
during th¢ year meet those objectives.
Recruitment Appolntment of Trn$lces
The existing tjustees are iesponsli le for the remiittnent of n¢w ttu8tees, knit ill so doing the irystees seek th¢ vi¢ws the
widcr community. lThe trustees b¢lieve this approach ensures that n¢w t￿Stee$ &re resplxled members of th¢ faith alld
local Comnlluijti￿ and eJ]sur¢s that g(￿￿ relation5 are fostered beNeen the Mo4ue th¢ people of th¢ local
¢ommunity served.
In selecting new trustees, the tn]stce8 seek to ideiitsfy people wlio regularly atiettd events and fijllctions argallised by th¢
LEwity and are willing lo volunteer to h¢lp in our broadcr cominunity work Poterttial knJste¢s are Ill￿ted to attend
trustees. meeting$ 4$ observers dnd are given more d¢tsils of the charity's aitn8 and adiviti¢s and, if 4gree, thcy are
then piDposed as new trugtees at tlie subsequent truste¢8' m¢¢ting. Thi5 process allows due co]￿ld¢￿tIO1) of the person's
eligibility, perso[￿1 competenc4 specialist kttowledge and skills.
l￿dUctIon and'fraining of Trustees
Followin8 appointmeni ftew twsteeB are introduced to their new ￿1¢ al￿ given ¢opi¢s of the Twst De￿ and advised of
th¢ policies alld prow(lures adopted by our charity. A n￿1)ber of publi¢81ions from the Chaiity Commission are also
provided, including th¢ guidance on charities and public benefit and on the advancement of reli8iOt) for tlie public
benefit. This engUt¢$ that new trustees are Aw8xe of th¢ Scope of their r￿PonSIbl11t1¢S under the Charities A¢L Initially
new trustees work with an exi8ting trustee assisring on particulgT aclivitits ai)d projects Tuli by the charity. After
8atisfaclory feedback from ¢xistiuK trustees, they ato then given the task of leading a particular activity or project,
reporting progres$ at tru5te6s' m¢etings.
Rlsk management
In line with th¢ requircment for trustees to undertake a risk &8sessment ex#¢ise and identify key ri8ks the tnLSt faces in
Bngland and Wal¢X, the tru8tecs have reviewed the measures in place, or needing to put in place, to d￿1 with thes¢ risks.
There a￿ three maill areas of ri8k that has b¢¢n identifled by the trust¢6s.
- GoYernall¢e and managEmmt
Operatio]Ml
- Reputational
G0Ven￿n￿ and managemcnt - this looks at the risks of the charity arisiiig from lack of dirc¢tion, at th¢ skills 8￿d
training of its mcmbers and Staff, and the good use of its r¢swrc¢s.
Th¢ powers duties of the trustees arc clearly set out in the tn]sl deed. The maDag¢Jnent cominitte¢ Memb￿ hclp
with tbe or8anis&tional tasks and their role and responsibilities are closely monitored by the tNstees. The ¢xt¢nsion of
the buildiiig to cater for funeral fa¢ilities and building of a ￿ park ar¢ one of many steps undertgkcn to reflect good use
Opcrnlional - thi5 looks at the risks in]ierent in the charity8 activiti%8 including thc process of collccting donations, the
unsllitAbility of buildings, poor n￿l￿tEnanCe, short4￿n￿ in the servi¢¢s provided. poor health and safety, lack of a
disasterttcovery policy etc.

IBAD.UR.RAHMAN TRusr
REPORT OF THE TRUSTEES
FOR THE AR EIYDED 31 MARCH 2022
Donatiotts ¢ollecled duriiig th¢ week are kept in a secuted 'safe' and banked promptly by design8tsd tNstee. A separate
rexord is madc for ally donallts￿8 collccted for a specifie purpose und n￿l￿tain¢dbY a designated tn)8tee.
Ther¢ are security olarms, fjre Alarnis Bnd a CCTV system in place within atid around the mosqiie to ensure maximum
safety and sKurity of tbe properry, pcrsonncl and congregation on a continuous basis.
Reputatiot)al - this looks at possible d￿age to the charity's r¢pulation thbt ¢an aTi%e from mis-us¢ of donated income,
recruitinent of noEL qualified Imaw or lecturers et¢.
Hawng R forn￿1 recruittnent process in place will ¢nsure tlmtquality of Smice is maintsined by the ch￿ltY.
Covld 19
The Covid 19 pandemic had a major impa¢t to thc work af the Trn5t. Due kn th¢ National lockdown tbe Mosque was
completely closed for a long period of time. This w&8 followed hy a period when conwgational prayers were not
mitted and worshippe15 coidd only come in for individual prnyers under strict ¢ot)ditions to prote¢t them against
Covid infectitsns. The IA>ckdownre5ulted in Abig re{l￿tion in the amount of dotjations rcc¢iv¢d by the TrusL
We were eventually able to open for congregational pray¢rs wilh Strict Covid 19 prevetstion pro¢￿ur¢S Such as. bookiTJg
in w()rshippcrs, 80cial di8tot)cing, hand sanitlSlll8, fa¢e mask5, bring own prayer mats and ablution from homc. These
r¢¥trictions meAnt that we could only accommodate around 250/0 of the worshippers that wtt would nonnally have for
Fi'iday praya3. Our Madrassah ¢lasseJ were also ¢lo%d for tnally months re5ullang in d)ildtEn mi&8ing their reltgious
lessons.
The Tn]st has helped the Iwat community with Covid 19 preventiL)n by allowing the NEIS to use our m￿1¢h¢ster
College Butldii)g as a Covid 19 vaccillation ¢entre. Thousands of pwple have received their vaccinations througli our
c¢ntr¢. We also train¢d volunteers to ￿￿'fOrM th¢ ritual of Isl&nic washing and shrouding of pcople who had passed
away duc to Covid 19. At on¢ px)int we were the oiily Mo4u¢ in ManLhester offering this important ￿lIgio￿ s￿1¢¢
and ￿¢¢iVed bodiLS fiDm all ovCrGre8tcrM￿cheSter.

lBA￿UR-RAHMAN TRUST
REPORT OF THE TRUSTE4 ES
FOR THE YEAR ENDED 31 MARCH 2022
REFERENCE APID ADMINISTRATIVE DETAILS
Reglstered Churlty numbor
512616
Prlnclp*l addw
North Mand)￿ter Jamia Mosq
ILbad-Ur-Rfjhinan Trust)
3 Woodlands Road
Cheetham Hill
Manchestcr
M891
rrustees
M Azmi
K Hu&%atii
l Hanif
CF Hassan
D Fozdar
Audltyrs
DTE Business Advisers Limikd
Chartered A¢¢ountants
Statutory Auditors
Thc F￿change
5 Bank Street
Bury
BL9 ODN
Bankers
United NationAI Bank Ltd
Unit 4, Cheetham Hill Shopping Center
40 Buiy old Road
Maiichester
M8 SEL
STATEMENT OF TRUSTEES, REI SPONSIBILITIES
Th¢ thjstees are irsponsible for preparing the Repoit of the T￿SteeS and the fin¥ncial statements in accordance with
appliLable law and UnitedKingdom Accowitlllg StandaTd5 (Unit¢d Kingdorn Qen¢railyAc¢epted Accounting Practice).
The law appIl￿ble tts clwaties in England Wales, the ￿arItieS Act 2011, Charity {Accoun(s alld Report¥l
Regulatioity 2008 a]Ml Ihe provisions of the tru8t deed requi￿8 the ttustee$ to prep8re financial statements for &icl)
financial year whibh Sive a twe fair view of the state of affaits of th¢ charity and of the incomin8 resources and
application of resources, llleluding the income expenditLJr¢. of the ¢knty for that pcnod IJJ prep￿Ing those
financial statements, the Irllstees are required to
Sel￿t suitable accounting policies and then apply t[￿11 ¢onsist¢ntly*
observe the ￿ethodS prirJciple8 in the Charity SORP,.
make judgements and eslimateb that arc reasonable and prudent.
srate whether appli¢able acwuntlllg Standards have bcct) followed, subject to any material departUTes disclosed and
cxplain¢d it) th¢ financial stalen)ents.
prepare the r]natt¢ial statements on the going concem bis]8 unless It is inappriTrpriate to PTesume that the cjwiiy will
Ontinue in business.

IBA[￿UR.R￿llMAN TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDFD 31 MARCH 2022
STATEMfi IYT OF TIIUSTCES, RESPONSIBILITIES- contlnued
Thc truste¢$ are ￿spOnsIble for ke¢pin8 proper acLounting records which disclose with reasonable &ccura¢y at ftlly time
the fitknncial position of th¢ charity and to enable th&n to ensure that the fillè￿￿Yal 8t8tements cotnply with the ch￿riti
Act 2011, the Charity {Account8 8nd Reports) R¢gulations 2<M)8 alld tb¢ provision5 of the lThst deed. They sre aiso
resw>nsible for safeguarding the assets of the ¢I￿rity ar￿ hence for ¢atuiig reasonable steps for tb¢ prev￿ltiOll alld
of fraud and other ]rre￿ll￿ritIeS.
AppL%>ved by orderof the Ix)ard of ttusteeg on.........7 Ap.ril 2023
. and signed on its behalfby..

REPORT OF THE INDEPENDENT AUDITOILS TO THE TRUSTEES OF
IBAINUR-RAHMAN TRUST
OplThlon
W¢ have audited the financial statanents of IbaikUr-Ralllnan Tnjst (the 'charity) for the year ended 31 March 2022
which comprise the Statement of Financial Activities, the Stat¢meJil of Financial Posili0￿ the Statement ofcash Flows
and notcs tt> thc financial sizlements, includirtg a summaiy of significant 8Lcuwiting policies. The financtal reporti118
framework that has bccn applied in their preparAtion is appltcable law and United Kingdom AccounliDk Standards
(United kn'E)8dom G¢ncr2lly Ac(W¢d Accounting PrA¢tice).
Ith Opillioll the fInE￿¢18[ Statements..
give 8 tru¢ and fair view of the state of the ¢h&ritys affairs a8 At 31 MaLrh 2022 and of its incoming resources and
application of re50urce8, for the year then ended.,
have been properly prepwed in accordance with Uniled Kingdom Generally Auepted Accoulltin¥ Pra¢(i¢e; and
have b¢¢n prepared Li) accordance witli the r¢qiiirements of the Ch￿itieS Act 2011.
BA$is for opinitsn
We wnducted our audit in ￿tO￿anCe with Intemational Standards on Auditing (UK) (ISA8 {UK)l and applicable law.
Our Tespon5ibi]itie8 wider those 8tandard8 are further dcscribcd in the Auditors, rosponsibilities foT tlic audit of the
fEnancia] statsm¢nts se¢tson of our report. We ar6 independent of the Charity in accordance with thc cthical rcquir¢ments
tliat are relevallt to oiw aiidit of th¢ fJnan¢ial staiements in the UK. including th¢ FRC'S Ethical Sto￿{￿rd, and wc have
fiiifilled our other ethieAI wponsibiliti¢s in accordance witb thes¢ requir¢m¢nts. We be]i¢ve tbat the audit ¢viden¢e we
have obtsined is sufficicnt aud appropriate to provide g basi5 for our opillion,
Cortelll$ioNs rel&ting to going coneern
In auditing the fixllt)ciaI statement8, we have ￿nclUded that the tru&tees' we of the going concen) basis of a(wuntin8 in
th¢preparation of the financial ststsments is appropLiak.
Based on the work we have porfonnelt we have not identified any material uncethties ￿l￿ting to events or ¢ondition8
that, individually or collectively, may cast Significani doubt on the charitys ability to conllnue as a going coneern for a
period of at least twelve months frott) when the f￿an¢lai stat¢menls ar¢ authorised for issue.
Our re8ponsibilities and the responsibilities of the ￿￿tee8 with r¢sp¢ct to going concern are described in the relevant
scctitsns of this rtport.
Other Informadu
The trnste¢s ar¢ reAponsibl¢ for the other informatloll. The other infonyation eompriscs Lhc infonnation included in the
Annual ReporL other Ihan the finall¢ial statements and our Repuit of the IlldcpendentAuditors thereon.
Our opinion tsn the fil￿nCIal siat¢m¢nts does not cover the otha. inf0m￿tIOn and, ex¢ept to the LKtent othmvis¢
explicitly stated in our rcport, we do T￿t ¢xpit55 any fonn of a$8uran¢e conclusion th¢r¢on.
Jn ¢i>nn￿lion wth ow audit of the financial $tatoments, our wsponsibility is to read the other inf0m￿tIOn and in doing
SO, Lull5ider whether thc other illfornmiion 18 materially incot]sistent with tli¢ financial statements OT our kllowledge
obtained in th¢ audit or othenlqse appears to be materially tnisstated. If wc idclltify such material inconsistencies or
apparent mV4t¢rial misstat¢tn¢nts, we are required to deta7nine whother this gives tisc to a material mi5Statement in the
fil1￿claI stat¢ments th¢Jnselves. If, basd on the work we have perforni&i we eonclude that there is a materi21
niisstatwn¢nt of this other Infomi&iO￿ we are required tt> reportthat r￿L W¢ h&ve nothitig to report in this regard.
Matters on whl¢h we #re required to report by exceptlon
We have nothing lo rqK>rt in ttsp¢ct of the following inatt¢r8 wh¢re the Charities (Account5 and R¢portsl Regulations
2008 rquires us to twrt to you if. in oiiropinion..
the inf0m￿tion given in the Report of the Twstees is inconsistent in Hny material reSP￿t with th¢ fin8tscial
statements,. or
sufficiellt awowiting records have not been kept. or
the filiancial statements are not agreement with the acci)uttting records and returns. or
we have nol received all the infomvation al￿ expknialions w¢ r￿uIre for our audiL

RKPORT OF THE INDEPENDENT AUDITORS TO THE TRUSThES OF
IlIAl￿UR-R￿HmAN TRUST
Responslbllltles of truste5
As txplaincd more fully iii the Statenieui of Trust¢es' Responsibilitics, the trLtstees are re8pon$ibls for the preparatii)n of
thc financial ststements which 8ive a twe and fair view, and for $uch intemal control as the trustees detem]ine is
necc&sary lo eJMble the pr6par41ion of financial ¥tatemenLN' that are free trom rnafrriai illisstatemenl whethcr due to fiaud
or error.
pr¢paring the fjnanciai stotemetjts. th¢ tNstscs are tesponsibl¢ for assessing the charitys ability to ¢L)Dtinue going
¢4)n¢ern, th'sclosillg, as applicable, rnat￿￿ ttlated to going concem and using the going conc¢rn basis of Awounting
unless the trustees eit]ier intend tsi liquidate the Chariry or to ¢e&8e operntions, or h&ve no re81isti¢ alternative but to do
so.
Our respon5ibilllle8 for the alldlt of the fittaDdal statements
We l?ave been appointed as auditors under Section 144 of the Charitie8 Act 2011 and report in aceordane¢ with tht Act
and ttlevallt regulations made or having effect ther¢und¢r.
Our objectives are to obiain r¢asonablc as8uratJ¢¢ about whether tile financial Slatemeiits as a whole are free from
Jnalerial mi55tatement, wliether duc to fraud or ern)r, and to issuc a Report i)f th¢ llldepend¢nl Aiulilors tbat includcs oiw
opinion. R¢asonable assut2ll¢e is a high level of Assurancc, bill is noi a gU￿ant¢C that an audit cot)du¢ted in accordance
with ISAS (UK) will always detect a material mi$ststemeDt when it ¢xists. MisstAtcments can arise from fraud or ¢rror
and &re ¢on$idered material Af, i1￿1ViduallY or in the a88regate, diey could re&80nably be ￿pttttd to itrfu¢nc£ tbe
economic decisi098 of usets taken on the basi5 of these finAncial stat¢ments.
The extent to which ourprwedure5 Capable of detecling irttgukniiies, inLludI￿ fraud 18 detailed bclow..
Inrgularities, including frAu( ar¢ instances of nOn￿li￿￿e with laws and Trgulation$. We design procedures in line
with oiir respoJJsibilities, outlined above, to d¢twt m&terial misstht¢M￿Its in respcct of I￿eSUl2r1ti￿ including frau¢l
The extend to which OUT pro¢edures ar¢ ￿pable of detectiug irregularities, including fiaud. is detsiled below.
AS part ofour planning proc￿.
We enquiRd of m8nagementthe syst¢ms and controls th¢ charity has in plaK the are4s of the fingncial
statements that Are ]nostly 8usceptibl¢ to the risk of irregLilarities and fiaud, and whether there any known,
Suspected or alleged fraud. The charity did not inforn) us of anyki)own, suspected oi. alleged Itaud.
We obtained an understanding of the leg￿ and regulatory ￿MeWo￿$ applicable to tlie charity. We determined
tliat the following were mostrelevant.. Chariiies SORP (FRS 102), Companies Act2006, Charities Act 2016, and
health aNI safely1￿]slatiott.
We considered tlie incentives and oppoitUDitie$ that exist in th¢ cijarity. illcludiug the extent of man8gement bi
which prescnta potenual foi. irregularities and fraud to beperp¢tuated. and tailored our risk assessment
aecordiD81y.
Using our knowledge of the ¢harity> together with the disCU&8iOt)s heldwith the charity at the planning stage, w¢
fomied A con¢lusion on the risk of misststement du¢ to irregulatitiu includit)g fixud and tsiloitd ourpTo¢edures
according to this risk a&5¢8smeni.
io

REPORT OF THE INDEPENDENT AUDITORS TO THE TRUSTEES OF
l￿A￿UR-RAHNAN TRUST
Th¢ key proc¢dures we und¢rtook to detect ArregularltlL* llleluding dmrlng the eourge of the aiidlt
Included:
Revicwing the financial statement di5closurcs and Ikterniining whether a￿U￿ting px)Iicies havebeen
appropriately applicd.
Reviewing and cliAlleJiging the assumptions and judgements used by inanagemcnt in their signifiwit ac¢ouDting
e8Eimates, in particular relatiot) to depreciation.
Assessing ihe exiei)t olcomp1ian￿, or la¢k of, with th¢ rdevant IAWS regulations.
Testin8 key incon)e lit)es for eviden￿ ofrnana8¢m¢nt bias.
Docun)e#ting and verifying ail Si￿]ficant r¢lgted party balanc¢s and ttansactiorjs.
Reviewing docurnenration Such as the trnstees minutes for discu￿10￿9 of itt8ularities inc]uding fraud.
Owing to the inherent limitstiotts of an audiL there is gn unavoidable risk that we mtty not have detected some material
i&statenient5 iti the financial statements even thouJ) we have properly plonned ond perfOnn￿ our audit in a￿Ordan
with auditing Standards. Th¢ primary ttspoiisibth'ty for th¢ pr¢v¢ntion and det￿¢10Th of irregulAriti44 al￿ frsud resrs with
the tru5tee5 of the entity.
A fvrlher description of our responsibiliti¢s for the audit of tlie financial state1￿C￿￿ 15 located on the FinAn¢ial REwrtin8
Council's website atwww.frc.org.uklauditotsresponsibilities. This desrription fomu part of R¢ptsrt of the Auditors.
A further description of our T¢SPOt)sibilitie5 for the audit of th¢ financigl stat¢ments is loeaied on the Finawial Rey)rting
Council's website at www.fr¢.org.vWauditorsres￿)nsibilitles. This d¢scription fonn8 part of our Report of tho
Indepethi Aiiditors.
Use of our report
I'his r¢port is made solely to thc charity's trLiStees, as a body, in ac¢ordaDce with Part 4 of the Charities (Accounts and
Repottsl Regul&tion5 2008. Our 3vdit work has b¢¢n utsdertakell so that we might state to til¢ charity's tTUSt¢es those
matters we &re required to state to thom in an auditors, report 8nd for tw other purpose. To the fi]Ilest extent p¢m)itl¢d by
law. we do llot accept or asBume re8ponsibility to onyone otheT than the Ch￿ity atMI the charit￿S ttustees as a I￿y, for
our audit worK for tbis TepoTL or for the opinions we have forme(L
J)1
DTE Busi1)￿ Advisexs Limitsd
Chartered Accountants
Siaiutory Audito
The Ex¢hange
5 Bfiijk Street
Bury
BL9 ODN
Date..
7 Ap.ril 2023

Al￿uR.RA1ImAN TRUST
STATEI MENT or FINANCJAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2022
2022
Total
lunds
2021
Unr¢$tricted Restrict¢d
fl￿d8
fjjnds
Notes
INCOME AND ENDOWMENTS FROM
Donatiot)8 and legacies
546,019
444,551
990,570
738.481
Investment income
$45
2,885
Tfrt*I
546.5
444,551
991,115
741 J66
EXPEif4DITtJRE Oh,
Charttable Aetivities
Wages
E%tablishment Costs
Donations
Education and Gu6$t stwkcrs
Governwic¢ costs
Depreoiation
179,142
99982
10,620
189,762
99.982
45,280
53W88
11919
IIIOJ23
151,120
89,954
522
48,990
6,417
95,867
45380
53J88
8,919
90J34
9,989
Total
432365
65,889
49&154
392,870
NET INCOME
Transfers beiween funds
114,299
(750,4￿)
378,662
750,487
492,961
348,496
14
Nel movement tr& luni]s
(636.188)
1,129,149
491961
348,496
RECOYI CILIATION OF Fuf4DS
Total funds brought forward
3210,276
4,010￿22
7,220,898
6,872,402
TOTAL FUNDS CARRIED FORWARD
2,57£088
5,139,771
7,713,859
7,220,898
The notes form p&rt of tli&se financial 8tat¢ments
12

IBAD-UR-RAHMAN TRUST
STATEMEI NT OF FIFIANCIAL POSITION
31 MARCH 2022
21122
Totsl
funds
2021
Totsl
Unrestricted
funds
R¢8tricted
Not
FIXED ASSETS
PIDp¢ity, plattt & equipment
2,276J85
5,117,610
7J93995
6,309.680
CURREIIT ASSETS
Debto
Cash atbank and in hand
12
13,503
342,274
13,503
364,435
14,118
949,609
22,161
355,777
22,161
377,938
963,727
CREDJTORS
Amow)t8 falling due within on¢ year
13
{58,074)
(5&074)
(52,509)
NET CURREN[ ASSETS
297,71)3
21161
319,864
911,218
TOTAL ASSETS L￿￿ CURRETrIT
LIABILITIES
2A74,088
5,139,77J
7,713,859
7220,898
NET A&SETS
2574,088
5,139,771
7,713,859
7,220,898
FUNDS
Unrestri¢tcd fi￿d$
RestLlCted fvllds
14
2,574,1188
5,139,771
3210,276
4,010.622
TOTAL FUNDS
7,713,859
7220,898
The fJrwi¢ial statements wer¢ approved by tho Board of Tru8tee8 and authorisgd for issue
..7..AprAI.2Q23............ and were signed on its behalf by..
K Hussairt- Tiustee
The notes forn) part of these financial siatemeijts
13

IBA1￿UR.R￿HmAN TRUST
,8TATFMENT OF C'ASH FU)WS
FOR THE YEAR KNDED 31 hL4RCH 2022
2022
2021
Not¢s
Cash flows frum op¢ratlng ￿tIVItIeS
Cash gcnaated from operations
598,919
448.589
Net cash provided by operating activitses
59V19
448,589
Co$h floiys from InYegtIng acti￿tieS
Pllrchasc of propeny, plant & equipment
Jnterest received
{A,184,638)
545
(1,811,600)
2,885
Net C8sh u5¢d in inv¢sting Rctivitiea
(1,184,093)
{1,808,715}
Change In £￿h and ￿$h equlvalents In
the reporllng perlod
Cash and eash equlv#lents at the
beginning of the reportlng pèriod
(585,174)
(1,360,126)
949,609
2,309,735
Cash and eash equ1v￿1ents 4t the end of
the roportlng perl(rfl
36WS
949,609
The notes fonn paTtof these finATLcial statement8
14

IBAT￿UR.tL4HmAN TRUST
NOTES TO THE STATEMENf OF CASH FLOWS
riOR THE YEAR ENDED 31 tvIARCH 2022
RECONCtLIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING ACTIVITIES
2022
2021
Net Incom¢ for tlie reportlng perlod18s per the StatementofFknandal
Aetii'ities)
Adlujtments for:
Depreciation Charges
Jnterest received
Decrease ill dcbtors
In¢Ths¢ in credators
492,961
348,496
IOOJ23
(545)
615
5,565
95,867
{2,885)
3,493
3,618
Net c4sh pro￿￿ed by oper*tio]t$
598,919
448,589
AIYALYSIS OF CHANGES IN NET FUNDS
At 1.4.21
Cgsh flow
At 31.322
r4et cash
Cash at bank and in hand
949,609
{58S174)
36{435
949,609
{585,174)
361435
Totsl
949,609
(585,174)
364,435
The note8 fonll partof these financial 8taten)ents
15

lBA1￿UR.RAHM￿N TRUST
NOTfi 8 TO THC fiINANCJAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
LEGAL STATUS
tbad-Ur-RAht)wi tntst 15 re8ulat¢d by Charity con)￿10￿ since r¢gistrdtion on 24 MAY 1982.
ACCOUNTING POLICIES
BA81# of pvep*ring the flnanelll ststements
Th¢ financial statements hav¢ been prepa￿1 in arxord8nce with Accounting and R¢￿tting by Charities..
sta￿l￿ent of Reconunended Practice applicable to charities preparing ¢heir aecount5 ID accordance with the
Financial Reporting Standard applicAble in the UK 4nd Republic of Ireland (FRS 102), second edition - OGtober
2019 (Charities SORP IFRS 102)), the Financial Rcpoiting Standard applicable in th¢ UK ￿ld Republic of
¢land (FRS 102) and the Companies ALt 2006 alld UK Generally Acceptcd A¢coiiiiting Practico.
Th¢ Trust￿$ have eOTJsider¢d the impact of the pand¢mi¢ on the trust and re￿gnIS¢ that tbe future Cannot be
predictedwith certainty. The Trust contiiiued to be SUp￿>rted throvghoul the IWkdOw￿.
After considering. the role of Ibad-Ur-Rahman within the Mrydcr eommunity (described on pages 14 of the
Truslee's report) and risk m8nagement, the ttusteos have ¥eo8ollable ¢xpcctation that the trust lias adequate
r¢sourc¢5 and cash flows to meet it's spending commitments for the foreseeable ￿l￿re.
Wc¢kly donations continue to exceed ongoingnwning costs of the ¢barity.
The believ¢ that the thjst manage the risk it face5 at these challenging t1￿¢5 alld therefore contillue ttTr
adopt the going concem basas of accountit)g in preparin8 these financial $taletyKnts.
come
Ail income is iKognisEd ill th¢ Ststement of Financial A¢tivitics one¢ the charity has cntitlement to th¢ fuiids, it
is probable fl￿t the income will be received and the amouttt can be measured reliably. In accordancc wit]i the
Chwities SORP IfRS102), the general volunteer time of volunteers is ttot reeognised as 1￿com¢ and can refer to
the trustee's annual rcJx)rt for more infort1￿illI about thier coiitribution.
Exp¢ndltllr¢
LiAbilitieA reco￿1$ed 88 expenditure soon as ther¢ is a legal or constrictive obligation committing thé
charily to tbht exp¢nditur¢, it is probable that a transfer of Ceollomic benefits will be requir￿ in settlement alld
the amount of the obligation can be measured rcliably. EXpcndI￿r¢ is accounted for oil an accrnals basis and has
be¢ii Glassified utLder h￿dingS that ab'¥regato all cost relAted to the ¢*¢gory. Wh¢re costs cannot be directly
attribuL¢d to P2rti¢uiar headitw they have been altocated to activities on a b&%is con$i8tent with the us¢ of
rc80ur¢es.
Property? plint & equlpment
Depreciation 18 provided at the following annual rateJ in order to write off e￿h asset over its estinuted useful
life.
Lat
Freehold property &
buildin8
Fixtures and fittings
1£&8ehold prop¢ty
- Not d¢pre¢iAted
- Straigbt line ov¢r25 ye8r8
- 25tl/o on Teducing balance
- Strdight line over 65 years
LXpendi￿r¢ on minor itetYLS of fJx(utts and fitti]w, which ￿e it)dividU￿Y inuywterial, ale ¢114rged to the
8tstcmellt of financial position whcn incurred.
Freehold propety is owned bythe 8nd it is used fordirect charitsbl¢purposc5.
The property eurretttly under constiwion will not be depreciatedwitil constrnction is complete.
16
¢otttinu￿...

IBAT￿uR.RAllM￿ TRUST
NOTES TO THE FINAIYCIAL STATEIMENTS- ¢oThtlnued
FOR THE YL4R ENDED 31 MARCH 2022
ACCOUNTING POLICIES- contlnued
Propertyi plant & equlpment
Tlie residual values, estittvdted useful liv&% and depreeiatioll method of property. plant and equipinent are
revt¢wed, and adjusted as appropriate, at each stitem¢nt of financial position dato. The effects of any revision
arc reco￿lised in the 8tat¢in¢nt of flnancial actiYiti48 when the ehaDge arises.
TaxAtlon
The c￿rIty is exeAw)t from tsx on its charitable activitie8.
Fund aectsunthix
UDrestri¢t¢d funds can IK used irt Bwordance with the charitsble objLxtives at the diSC￿li0￿ of th¢ tr￿te¢s.
Re8trieted fund8 Can only be used for particular restricted purpos¢s within tile objects of the charity. Restrictions
arise whcn 5pecLfied by the donor or when funds are raised for particular restricted pu￿￿}se$. In this case the
reserves T¢present tnonies held fortiie development of th¢ mosque and monies held for sp￿lf1¢ Charitable work.
Further explanation of the naturc al￿ pury)0sc of each fund is included in the notes to th¢ fJnan¢ial st4teTllents.
Pell￿0￿ eosts Attd other po81-retlrcmt]tt bthefits
The Charity operates a defined ￿ntribUTI￿1 pension sc1￿Me. Contributions payable to th¢ chftrity's p¢nsioll
srheme arc charged to the Statement of Finan¢ial Activities iti the peri<Ki to which they relate.
and cash equfvfilents
Cash 8Md cash equivaleiits include cash in hand, deposits held at call with bath and other short tem liquid
investtnents with original maturities of three month$ or I￿.
CR4tl¢al Ae¢ountlng esdma¢es And judgements
In the application of th¢ charity's acLoiintiiig policies, th¢ tru8tee8 ar¢ requiroj to make ¢stimates and judgern¢nts.
The estimat£8 are based on historicaL ¢xperi¢nces and other relevallt factor8. Actual results may differ from these
estiinates.
Thc e8timates are corttiiiually evaluat￿ Revisions to accounting estimates are ieco8Thised in the peLiod in which
the cstimate is revis￿1.
The estiinate8 gnd assumpttons which have a sigtiificant risk of causing a material adju$ttn¢nt to the carying
all￿u￿t ofass¢ts and liabiiities are out]ined b¢low.'-
11 E5timattil8 the useful economie life of pn ￿8¢1 and the antieipatcd rcsidual valuc in calculatit)g an appropriate
depr¢¢iation Charge.
2) R¢v1¢￿ing the v*luation of firehold land and ￿}lIding$ and detemiining whether the￿ are any Indi￿tOrS of
impaimi¢nt of the chority'5 tangible assets.
Governmenl grnnt Ineome
Grunt itKoine tbat becomes r￿l¥able under 'Prokction i)f Places of Worship S¢hmi¢' is r￿gnISed in in¢ome
in the period in which itbecoin¢s re¢eivable.
17
contitiued...

IBAD-UR.IL4HIIW TRIJST
NOTES TO THE VINANCIAL STATEMENTS- condnlled
IIOR THE YEAR ENDF.D 31 MARCH 2022
DONATIONS AND LEGACIES
2022
2021
I)onation5
Grant$
944404
4A166
644.203
94278
990,570
738,481
Grants weived, ittcluded ill the abovq are as follows..
2022
1021
Other grallt5
46,166
94,278
INVESTMENT INCOME
2f122
2021
De￿81t account intcr¢st
S45
2,885
CHAR￿ABLE ACTIvrriKs COSTS
Support
costs (SCC
note 6)
DirLxt
Costs
Totals
Wages
E6tablishTnentcosts
Donations
Education and Guest 8peakers
Govemancc costs
Depreciation
189,762
99,982
45380
53088
189,762
99.982
45,280
53088
8.919
IQOJ23
8919
tOOJ23
489335
8,919
498,154
SUPPORT COSTS
Governance
costs
Govcmthce costs
&919
18
contiiimed...

IBAD.UR.RAHMAN TRUST
NOTES TO THE FINANCIAL STATEMENTS- eontlnue41
FOR THE YEI AR ENDED 31 MARCH 2022
SiJPPORT COSTS- continued
2022
Audit fees
AC￿￿ntanCY services
1720
&J99
&919
AUDITORS. REhfUNERATION
During the year remuneration of £3,720 (2021.. £3,600) was paid to thc auditoi? of the ¢hATity.
TRUSI'LIKS, REMUNEIL4TION AND BXNEFITS
Qainaruz7Aman Azmi {Chicf Imam) was app)inted as ttitstee lli July 2009, Mr Azmi ts in the rweipt of a S￿ary
for Iiis positioi) as Cliief Imam. Dui'illg the year ended 31 March 2022 h¢ was paid a remuneration of £27,774
(2021.. £23.046}
Trustees, expoll$o#
There were no trustees, benefits or expenses for the year ended 31 March 2022. nor for the year ended 31 Mar¢h
2021.
STAFF COSTS
2022
2021
Wage8 ￿[￿1¢$
Social $￿urity costs
Otber pension wsts
185,186
3,411
,165
149,616
1,688
957
189,762
152,261
The averdge montiily nunther of ¢mployees duritig the YearW￿ 88 follows:
2022
31
2021
29
Admtllistsation and support
No ernployee8 ￿e1Ved ¢moluments ll) eXcth￿ of £60,(KM).
19
Continued...

IBAI￿UR.RAHmAN TRt7sr
NOTES TO THK FINANCIAL STATEMENTS- contlnued
FOR THE YEAR Ef4DED 31 MARCH 2022
io.
COMPARATIVES FOR THE STATEMENf OF FINANCIAL AcfiviTIES
Unwtrictcd
fimds
R¢5tricted
fimds
Total
fulld
INCOME AND KNDOWMENTS FROM
Donations and Icgacies
382,159
356,322
738,481
Inv￿lMent income
2,885
2,885
Total
385,044
356,322
741,366
EXPENDITURE ON
Charitable aelivitie5
Wages
Establi8hm¢rtt wt5
Donations
Educationand Guestspe4kc
Governan¢¢ ￿St5
Depreciaiion
151,120
89,9S4
522
48,990
6,417
85,878
151,120
89,954
522
48,990
6,417
95,867
9,989
Total
382,881
9,989
392,870
NET INCOM
TrAtt$ftrs behveen thnds
2,163
{228,1491
346J33
228,149
348,496
Net wov¢mcnt In fund$
{225,986)
574,482
348,496
RECONCILIATION OF FUNDS
Total fundg brought foNard
3,436262
3,436,140
6.872,402
TOTAL FUND8 CARRIED FORWARD
3210,276
4,010,622
7220,898
20
continued...

IBAI>UR.RAHMAN TRusr
NOTES TO TEIE FINANCIAL STATEMENTS- ¢ontlnMed
FOR THK YLAR ENDED 31 MARCH2022
ii.
PROPERTY, PLANT & EQUIPMENT
Freehold
lond And
builditi8S
under
constNction
F￿ehOld
land at]d
bwldings
Leasehold
landand
buildings
Fixtures
fittings
Tot918
COST
At l April 2021
Additions
4,000,660
1,143,148
2,442,410
401,697
73,520
41,490
918,287
1,184,638
At 31 March 2022
$143008
ZA42AIO
401,
115,010
8,IOV25
DEPRECIATION
At l April 2021
Charge foryear
527,857
87.976
12J60
Q180
68J90
6,167
60&607
IIIOJ23
At 31 March 2022
615833
1&540
74,557
71II930
IYET BOOK VALUK
At.11 March 2022
5,143008
1,826J77
383,157
40A53
7J93J95
At 31 March 2021
4,000.660
1,914,553
389,337
5,130
6,309,680
In¢luded in eost or valuation of land and buildings is freehold land of £449,000 (2021- £449,000) which is t)ot
dcpreciated.
The frcchold property is the J￿nIa Mosque, Woodlartds Road, Woodland Sttret, Cheethaln Hill. A valuation of
£2,030.000 was provided by Aspin and Company Chartcrcd Surveyors on 19 June 2013. This includes th¢ Jat
on which the red¢velo￿nCttt of the mosque 1$ currcntly oiigoin& with a value of £206,000. Th¢ balance of
£2,430.000 relates to the Ya]ue of the land and other b￿lIding8 not 8ubj¢ct ￿ redevelopment.
12.
BTORS: AMouf4TS FALLING DUE WITHIN ONE YEAR
2022
2021
Otherd¢biu
Pr¢payments and accrued incoin¢
12,000
1,5113
12,000
2,118
13J03
14,118
21
continued...

IBAWUR-RAHMAN TRUST
NOTES TO THE FtI4ANCIAL STATEMENTS- condllued
riOR THE YEAR E￿,DED 31 MARCH 21122
13.
CREDITOILS: AMOUNfs FALLING DUE WITHIN ONE YEAR
2022
2021
Accrned expe￿e8
5&074
52,509
14.
MOVEMENT IN FUNDS
Net
mov¢]n¢nt
in funds
TraD8f¢rs
betsveen
fiEnds
At
31.322
Atl.4.21
Unrestrlete41 funds
Geherdl fund
Revalwdtion res¢rve
1,743,694
146C582
114,299
(750A87}
1,107506
1,466582
3310,276
114,299
(750,487)
2,574,088
Restrlded fi￿d9
26,171
(4,010)
392,661
{9989)
22,161
Building development appeal
Building developffi6nl expend¢d
1392,661)
1,143,148
3.984,451
5,117,610
40111,622
378,662
750,487
5,139,771
TOTAL FUNDS
7,220W8
492961
7,713859
Net nknvement in funds, included in the above 08 follows..
Ineoming
resowce8
R&80UW
expended
Movemont
in funds
Unrestrlcted funds
Gcn¢ral fund
{432J65)
114,299
RestrIeted fuThd¥
Zakat
Pl&yscheme
Fwid rdising
Buildin¥ develiynentappeal
Building development expended
24.425
13JIMI
13J65
392,661
(28,435)
(13,500)
03,965)
14,010)
392,661
(9989)
19J891
44551
(6S889)
378,662
TOTAL FUNDS
991,115
(498,154)
491961
¢ontinued...

lBAt￿uR-RAHmAN TRUST
NOTES TO THE FINANCIAL 8TATEMENTS- eontinued
FOR THE YEARENDED 31 MRCH 2022
14.
MOVEMENT If+1 FUNDS- ¢oiitinued
Comparatlves formov¢m¢nt th funds
Net
MoveM￿lt
in fijnds
Transfers
betwc¢tk
funds
At
31.3.21
At 1.4.20
Unrestricted fund$
General fund
Revaluation res(YY¢
1,969,680
1,466.582
2,163
1228,149)
1,743,694
1,466,582
3,436,262
2,163
{228,149)
3210,276
Restrlcted fund$
Zakat
Building developnwit appeal
Building dcvelopment cxpended
16.061
1,237,239
2,182.840
10,110
346,212
(9,989)
26,171
{1,583,4511
1.811,600
3,984,451
3,436,140
346J33
228,149
4,010,622
TOTAL FUNDS
6.872,402
348,496
7,220,898
Compardtive net moy¢ment in fi￿dI includ¢d in the alx>v¢ ore as follows..
Incoming
r¢soutceB
Resour￿ Movement
expended
in funds
UnrestrIcted funds
General fund
385,1>44
(382,881)
2,163
Restrlcted funds
Zakat
Jjuilding developjnent appeal
Building thvelopm¢nt cxpend¢d
10,110
346,212
10,110
346,212
(9,989)
(9,989)
356,322
(9,989)
346,333
TOTAL FUNDS
741,3(
(392,8701
348,496
This r¢strietal fund comprises of monies specifically to be used for donations to other Charitie￿m￿draSaS
particularly to those in India ￿}d Pakislan.
Bulldlng deveiopmeiit appeal
This restricted fund comprises of all monies donated to the I￿$t specifically for the cojjslwction of tl* nwsque
buildin
BulldlDg development expend
Tliis r<¥tricted fund ¢on)prises of all th¢ monie8 that I￿ been spenton th¢ mosqiic developrnent.
continued...

JBAI>UR41AHMAN TRusr
NOTES TO THE FINANCIAL STATEMENfs- eontlnued
FOR THE YEARENDED 31 I￿ARCH 2022
14.
MOVEMENT IN FUNDS- condnued
Tran$fen betweell fvllds
Restrffieted Funds
A total of £392,661 was tttnsfeLTed from the Building Ikvelopjnent Appeal to the Building tkv¢lopment
Expended and £750,487 from G¢ner41 to BuildiE]8 Dev¢li)pui¢nt ExpeAded in respxt of the amount spertt ou
mosque development and ¢onsequentlyeapitalised.
15.
RELATED PARTY DISCLIKSURES
Di￿￿n¥ the period, there no relatd paty trun88¢tion& oth¢r than those already disclosed within Not¢ 8
I'rustee remuneration alld b¢n¢fits.
ULTIMATE CONTROLLING PARTY
The blwity is eorttrolled by the tswste&E in the office.
24