REGISTERED CO.MPAP4Y NUMBER: SC302470 (Scotlandl
REGISTERED CHARITY NUMBER: SC037471
Report of the Trustees and
Unaudited Financial Statements for the Year Ended 31 Mareh 2026
ror
AmanAt Edueailonal Trusi
(a company limited by Buararttee. noi havll￿ a sh￿C capitsl and incorporated in Scotland)

Amgnat Educational Trust
CoTEtents of the Financial Statements
for the Year Ended 31 f*larch 2026
Page
Report of the Trust¢e$
Independent Examinerfs ReEKTrrt
Staiement of Financial Activities
Balance Sheet
Notes to the Financial Statements
5t06
Detailed Siatement of Financial Aciiviues

Am#nat Educational Trust
Report of the Tru51ee8
ror the Year Lnded 31 Mareh 2026
The trustees who are also director8 of the chariry for ihe purposes of the Companies Act 2(H)6, present their report with
the financial siaremenis of the Charity for the year ended 31 March 2026. The trustees have adopted the provisions of
Accounting and Reporting by Chariiies.. Siatemeni of Recommended Prnciice applicable 10 ¢haiities preparing their
accounts in a¢¢ordance with the Finantial Reponing s￿ndard applieable in the UK and Republic of Ireland {FRS 1021
leffeclive l January 2015).
REFERENCE AND ADillIiYISTIL4TIVE DETAILS
Registered Company number
SC302470 Iscotland)
Registered ChArlty number
SC37471
Registered offlee
43 Blackhill Gardens
Glasgow
G23 SNE
Trustees
S Khan
F Khan
G Khan
F Khan
AZKhan
R Khan
Key ￿l￿nItement Personnel
Irfan Bashir Buti Ilntemational A&sociaie
Dir¢¢iorl
Comp4ny Seeretary
F Khan
Independent examiner
Fiona Ramsay MAAT
14 Newton Plac¢
Glasgow
G3 7PY
Page I

Amanat Educational Trust
Report ol the Trustees
for the Year Ended 31 Trlareb 2026
STRUCTURE. GOVERNANCE Af4D I¥IANAGEMENT
Governing document
The charily ib conirolled by its governing document. a deed of t￿￿ and constitutes a limit¢d company. limited by
guarantee, as defined by the Companies Act 2(X)6.
0￿ECTIVEs AP4D ACTVITIES
Amartat Educaiional Trust's remit is io provide education.
ACHIEVEMENT AND PERFORMANCE
The charity provided funds of £16.788 (2025 £16.471) used to finance edu¢alional costs.
FINANCIAL REVIEW
Rtserves policy
The Board aims to retsin adequate reserves to Cover a minimum of 3 months of wre opernting costs. As at the 31 March
2026 the charity reiained £6.53412025 £7,476) of unrestricted ruerves.
TRUSTEES RESPONSIBILITIES Ir4 RELATION TO THE FINANCIAL STATEMENTS
Law applicable io chariiies in Scotland requires TrUS￿¢S to prepare financial $thtem¢nts for each fman¢ial year. Under
Ihgt law the Irusiee8 have ¢lected to prepare the fmancial sthtements in ac￿rdanCe with Uniied Kingdom Generally
A¢¢¢pled Accounting Pr￿11¢¢ Iurtiied Kingdom Accounting Standards and applicoble law.) The fin8ncial statemenis are
Tequired by law to 8ive a Irue and fair view of the sthte of affairs of the chariry and of the surplus or defi¢ii of the charity
for that p¢riod.
In preparing these flnancial stalemertis. Ihe Ttwitts are required to..
select suitable accouniing poli¢ies and ihen apply them consistenily.
make judgements and estimat¢s that tre reasonable and prudent.
stale whether applicable accounting standards and S￿leMentS of recommended p￿11¢¢ have been followed, subject io
any departures disclosed and explained in the financial statements: and
prepare the financial sthtements ott the Boing Concern b￿15 Uttle￿ it is inappropriate ¢0 presume that the ¢harEty will
continu¢ in operation.
The tru.%tee8 are responsible for keepirt8 proper accounting words which disclose with reasonable accuracy at Jny time
the finon¢ial position of the chority and which enable them to ensure that the finan¢ial staiements comply with the
Charities and TruS￿e InYes¢menl IS¢otlandl Aci 2(H)5 and the Charities Accounts IScotlAnd) re8ulaiions 2006. The
trustees are also responsible for safeguarding the of the ctwity and hence for taking r¢asonable slep5 for th¢
prevention and detection of fraud and other irre8ulariiies.
Approved by order of the txjard of trustees on 23 Jun¢ 2026 and Signed on its behalf by:
Farrah Khan
Trnsiee
Page I

Independent Examiner's Report to the Trustees of
Amanat EducAtion#l Trust
Independent ei*￿IDer'S report to the trustee5 of AmaD2t Educatitsllal Trust ('Ihe Company,)
I report to the charity trusiees on my examination of the accounts olihe Company for the year ended 31 March 2026.
Respective respoThsibilitse$ of trustees and examiner
The charity's Ituslees are responsible for the preparation of the accounts. in accordance with the tettns of the Chariiies and
Trustee Investment (Seoilandl Aci 2005 and the Cbarities Accounts (Scotlandl Regulations 2006. The charity's INsiees
¢onsider thai the audit requiremeni of Regulation 101 I Ila) w (¢1 of the Ac¢ounLS Regulations does not apply. It is my
responblbilily to examine the accountsas required under Secuon 441 I Ilcl of the Aci and io state whether pani¢ularmattet%
have cotne lo my aiteniion.
BHsi5 01 the l￿dePendent examiner's report
My exatninatton was carried oui in accordatlce with Regulauon I l of the Charities Accounts (Scoilandl Regulations 2006.
An examination includes a review of the aceouniing Tecords kept by the chariiy and a comparison of the accounts.
presented with those records. It also includes¢onsideraiion ofany unusual iiems ordi&closures in th¢ accounis and seeking
explanations from you as Irusttts concerning any such matiers. The pr￿edureS undertaken do not provide all Ihe evidenc¢
Ihat would b¢ required in an audit. and conwueaily I do noi express an audit opinion on the vi¢w given by the aceounts.
Independent examiner's stAtement
In Lonn¢clion wilh my exatninaiion. I have ideniified that Trnstee travel expertses in the currenc year were high relative
to income, bui confimj that no matter has come io my aiieniion..
which gives me reasonable cause to believe that. in any material respect. the requirements
to keep accounting records in accordance with Seclion 441 I Ila) of the 2(M)5 Act and Re8ulation 4 of the
2006 Aceounls Regulaiions.. and
10 prepare a¢counis which accord with the a¢¢ounling records and to comply with RegulA¢ion 8 of the
2006 Ac¢ount$ Regulations
have not been met: or
12)
io which, in my opinion, aiteniion should be drawn io enable a pn)per understandirt8 of th¢ ￿Counts to be
reached.
Fiona Ramsay MAAT
14 Newton Place
Glasgow
G3 7PY
Date.. 23 June 2026
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ArR#nat Educational Trust
Statement of Financial ACti￿tieS
for the Year Ended 31 Trlar¢h 2026
2026
2025
Unrestricted Total funds
fund
Notes
INCOMI E AP4D ENI DOIVMENTS FRO￿1
Donations and legacies
15.212
16.788
Total
15,212
16,788
EXPENDITURE ON
CharltAble aeilvltleg
Provision of eduLiition
NET INCOMEI{EXPENDITURE)
{1951
{9421
RECONCILIATION OF FUNDS
Total funds brougb¢ forward
6.534
7.476
TOTAL FUNDS CARRIED FORWARD
CONTILNUING OPERATIONS
All income and exwdiwre have aris¢n from continuÉnB aciiviiies.
The notes (omi p￿1 of these fman¢ial sthiements
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Aman#t EdueAtional Trust
Balance Sheet
At.31 fvlarch 2026
2026
2025
U[￿¢StriCted Total fvnds
fund
Notes
CLRRENT ASSETS
Cash al bar
6.903
7,074
NET CURRENT ASSETS
6,903
7.074
CURREP4T LIABILITIES
Accrued char¥es
TOTAL ASSETS LESS CURREIYT
LIABILITIES
564
540
6.339
6,534
NET ASSETS
6.534
FUNDS
UnrL%lricted funds
TOTAL FUPIDS
6.339
The charitable company is ¢nlitled io exempiion from audi¢ under Section 477 of the Companies Ac¢ 2006 for t]ie year
ndcd 31 March 2026.
The members have not reqUi￿d the chariiable comparty to obtain an audii of financial statements for the year ended
31 March 2024 in accordance with Seciion 476 of the Companies Aci 2(H)6.
The trustees acknowledge iheir responsibilities for
la)
en>uring Ilial Ihe ihariiable company keeps accouniing records that Cotnply with Sections 386 and 387 of the
Cotnpanie.s Ac¢ 2006 and
preparing flnancial staiements which give ¥ true and fair view of the state of 3ffJirs of rhe charitable comparty as
at Ihe end of each financial year al￿ of its Surplus or defLciI for each finan¢ial year in accordance with the
requiremen¢s of Sections 394 and 395 and which othenvise comply with the requirements of the Companies A¢t
2006 rela¢ing io financial statements, so far as applicable to the charithble company.
Ibl
These financial statements have be¢n prepared in accordance with the Sp￿taL provisions of Part 15 0(the Cornpanies Act
2006 relating to small charitabl¢ companies.
The financial $latetn¢nts were approved by the Board of Trustees on 23 June 2026 and were Slgned on lis behalf by..
Farrah Khan
Trustee
The notes fonn parr of these financial statements
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Amanat Educational Trust
Notes to the Financial StatemeTht5
for the Yeor Ended 31 ￿laTch 2026
ACCOUNTING POLICIES
Basis of preparing the fillaDcial 5t#ttment$
The financial staiemenls of the charitable cotnpany. which is a public benefi( eDiity under FRS 102, have been
prepared in accordance with the Charities SORP (FRS 102) 'Ac¢ouTJling and Reporting by Charities.. Statement
of Recommended Prdctice applicable to charities preparing their accounts in accordance with the Financial
Reponing Standard applicable tn the UK and Republic ofireland IFRS 1021 leffeciive l JaDuary 20151,, Financial
Reporting Standard 10? The Financial Reporting Sthndard applicable in the UK and Republic of Ireland, and the
Companies Act 2006. Th¢ financial statements have been prepared under the hisrorical cosl wnvention.
Income
All income is rccogni%d in th¢ Statement of Financial ActlVLties once the chariry has entitlement to the funds, it
ib probable tha¢ the income will ￿ r¢¢eIV￿ and the amount can be measured reliably.
Expenditure
Liabilities are r￿QgniSed as ¢KP¢Dditurc ¥s soort as there is a legal or consrrucrive obligation ¢ommitting the
chariiy ro that expenditure, li 1$ probable that a transfer of economic benefits will be required in settlement and
Ihe amouni of the obliga¢ion can b¢ measured reliably. Expenditure LS accounted for on an accruals basi.s and has
been cla&8ified under headings thai aggregate all cost related to the category. Where coqts cannot be direcily
atiribuled to panicular headings they h4v¢ been allocated ￿ aciivities on a basis consisreni with the use of
re.%ources.
Taxatlon
The charity is exempt from corporation tax ￿ its ¢haritable aetLVItLes.
Fund accountlng
Unres¢ric¢ed funds can be used in ￿cOrdance with the ckntable objectives ai the discretion of the tNsitts.
Resiricied funds can only be used for particular r¢strieied purposes withirt the objects of the charity. Restriciions
arise when specified by the donor or when funds rnis¢d for particular restricted purposes.
Further explanation of the nature and purpos¢ of e￿h fijnd is irteluded in the rt0￿s io the financial sralements.
TRUSTEES, REMUNEIL4TION AND BENEFITS
There were no iNsw' remuneraiion or other benefits for the year ¢n¢J¢d 31 March 2026 nor for the year ended
31 March 2025.
Trustees, expenses
2020
2025
Travel- Mr A Z
COiVIPABATIVES FOR THE STATEMENT OF FINAf4CIAL ACTIVITIES
Unrestricted
fund
INCOME AND ENDOWMEP4TS FROM
Donatiolls and legacies
Tol81
16,788
EXPEf4DITURE ON
Charitable &ctiiritie5
Prol'ision of edu¢aiion
17,730
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Amanat Educ#tion#l Trust
Notes to the Financial St#tetllent5- Continued
for the Year Ended 31 Trlarch 2024
COINIPARATIVES FOR THE STATETrIENT OF FINANCIAL AcfiviTIES- continued
Unrestricted
fund
Total
17.730
r4ET lP4COMEIIEXPENDITURE}
{9421
RECONCILJATION OF FUNDS
Total funds broughi forward
7.476
TOTAL Tr L'NDS CARRIED FORWARD
6,534
MOVEMETr4T IN FUNDS
Net movernent
iti fun¢ts
Ai 114125
Ai 3113126
Unrestricted funds
General fund
6,534
11951
6,339
TOTAL FUNDS
1951
N¢1 movemenl in funds, included in the alx)v¢ are ￿ follows..
Incoming
resources
Resources
expended
Mov¢meni in
funds
Unrestrlcted funds
General fund
15,212
(15,4071
(1951
TOTAL FUNDS
15.407)
RELATED PARTY DISCLOSURES
No trustees received travel expen￿ during the year.
VOLUNTEERS
The charity beneflts from the coniribuiion made by volunteers who give of their lime willin8ly. Their contribution
is valutd and varied and much olthe activity would be unable to ¢oniinue illl wcte not for the conllniiment shown.
Page 6

Amanat Educational Trust
Detailed Statemellt of Ftnancial Activitie5
for th¢ Year Ended JI illarch 2026
2026
2025
INCOME AND ENDOWIMENTS
DonatTron5 aDd l¢gacie5
Donations
15,212
16,788
Total Incomlng resources
15.212
16.788
EXPEf4DITURE
Charltable actlvltles
Educatiotvdl cti&ts
14.843
17.157
Suppori costs
l¥lana8ement
Trustees, expenses
Sundri¢s
343
GovernAnee eosts
Accountancy and le8al f¢¢8
564
540
Total resources expended
15.407
17,730
Net Itxpendltureylneome
This page doe5 tiot fotm p*t of the stamtory fmancial sthremen
Page 7