Minhaj Education Coatbridge
Scottish Charity No.SC051043
Annual Report and Financial Statement
Year Ended 30th June, 2024

Trustee's Annual Report
For the year ended 30th Juno, 2024.
The trustees have pleasure in presenting their report togetkEr with the financial
statements and the independent examinerfs report for the year ended 301h June, 2024.
Referonco and Admlnistradve Infomiatlon
Chartty Name.. Minhaj Education Coatbridge
Chanty No.: SC0511)43
Address: 59 Cherrybank Walk, AirdrFe, ML6 OLY
Bankers.. Royal Bank of Scotland Plc, 88 HKJh Street. Lanark. ML117ET
Current Trustees..
Structyre. Governance and Alanagement
Constitution
The charity is a Scottish charltable incorporated organization (a SCIO). It rs govemed
by rts constitution and the organisation was granted charitable status by OSCR on 14th
June 2021.
Appointment of trustees
The management commrttee, which normalty meets on monthty basis, as is also
responsible for control and supervision of day-to4lay operations of the organization.
The committee members are recruited from the membership and appointed at the
AGM according to the constttution. in the event of mid-term resignation. people can be
CC￿pted by the trustees and raffied at the next AGM. All committee meetings are
quorate.

Objgclives and Activilies
Charitable Purpose
he advan￿ment of education. the advancgment of religion. the provision of
recreational facilities. or the organisation of recreational activities, with the object of
improving the conditions of lrfe for the persons for whom the facilities or activiknes are
primarily intended, the promotion of religious or racial harmonV'
Minhaj Education Coatbridge continued with the activity of fund raising during the
period under review, the raised funds are utilised in many various charitable activities.
Charltable Purposes
The main activtties through ts year induded:
The provision children's faith study classes
Monthly youth gathering for cultural and religious activities.
Monthly faith 'mehfils' get together.
Aftar Activities during the month of Ramadhan.
AGtivitie¥ & Achievements
Our main adivities through the year induded fund raising and organising various
functions and events. Funds raised were used for the monthly gathering of youth for
cultural and religious activities, regular functions and events for faith talks on many
topics and the provision of breaking the fasts.
Financial Raviaw
The accounts have been prepared on a Re￿Ipts & Payments basis and in
accordance with the applicable Accounting Standards, Ststement of Recommended
Practi￿, Accounting Reporting by Chartties (SORP 2005) and applicable accounting
standards and the Charities Acts 1993.

Financial p•rformanco
Minhaj Education Coatbridge financial perfornance was successful for tha year under
review. as we did meet our goals in tellns of financial status as we planned. We
closed the year with a healthy financial Deficrt of £1,380.08 (with the total of £3,461.28
induding 2023 surplus) and our plan is to continue having a good budget and
fundraising strategy in pla￿.
The main areas of fund raising were." faith events, direct debits, can collection via k>cal
retail businesses and social media campaign.
Plans for future period8
The trustees intend to assess the major risks, in particular those related to the
operats.ons and finanrts, and recognise that there is a need to strengthen the
Financial Intemal Control systems up to the robust enough to mitigate all major risks.
The committee is now committed into ftrture activities, such as., increasing Minhaj
Education Coatbridge awareness through community events. INhilst other plans to
raise more furKls for th8 organization in order to deliver the good work that is started
and widen the ServI￿S to touch more people in tr£ communty.
Declaratlon
The trustees declare that they have approved report above on 2811112024, and
signed on their behalf by:

Independ•nt Examinetrs Report
For the year ended 30th June 2024.
I report on the financial accounts for the year ended 30th June 2024.
Slat•ment of Responsibilities of Trnstees & Indepgndent Examlner
The charity's trustees are responsible for the preparation of the accounts in
accordance with the tem5 of the Charities and Trustee5 Investment (ScollarKI) 2005
Act and the charit￿s Accounts (ScoUand) Regulations 2006. The charrty trustees
consider that the audit requirement of Regulation 10(1){d) of the Accounts Regulations
does not apply. It is my responsibilty to examine the accounts as required under
section 44<1) (c) of the 2005 Act and to state whether particular matters have come to
my attention.
Basis of Indepandént Examlnerfs Statement
My examination is carried out under the Regulation 11 of the Chafities Accounts
(Scotland) Regulations 20￿. An examination includes a review of accounting record
kept by the charity and a comparison of the accounts presented with those records. It
also includes consideration of any unusual items or disclosures in the accounts and
seeks explanations from the trustees con￿mIng any such matters. The procedures
undertaken do not provide all the eV￿￿en￿ that woukj be required in an audtt and,
consequently, I do not express audit opinion on the accounts.
Indopendont examinerf8 Statsment
In the coutse of my exarniner, no matter has come to my attention
1. ￿thIch gives me reasonable cause to believe that in any material respect the
requirements:
To keep accounting records in accordance with Section 44(1){a) of the
2005 Act and Regulation 4 of the 2006 Accounts Regulations, and
To prepare accounts whith accord with the accounting records and
compty with Regulation 9 of the 2006 Accounts Regulalions have not
met. or
2. To which, in my opinion. attention should be drawn in order to enable a proper
understarKling of the accounts to be reached.
enden+ Exeryiryer

Minhaj Educatlon C•)atbridge
Receipts & Payments Accounts Statement
18t Juty 2023 to 30th June, 2024
30.06.24
30.06.23
Receipts (Restricted funds)
Receipts (Unrestricted funds)
Bank Interest
Gfft Aid (HMRC)
1.062.68
3,540.93
Total Recei
Payments (unrestricted)
Cost of Charttable Activities
G0Veman￿ Costs
2.442.76
1.710.46
Total
men
2.442.76
1,710.46
Surplusl(Deficit)
-1,380.08
1,830.47
Total Surplusl(Deficit
3.461.28
4,841.36

Minhaj Educatlon Coatbrfdga
Statement of Balances
30th June, 2024
30.06.24
CASH FUNDS
Cash and bank balan￿ at start ofthe year
Adjusbnent
Total opening balance at start of the year
4,841.36
Surplus (deficit) of the year
-1,380.08
Cash and bank balance as at 30.06.24
INVESTMENTS
OTHER ASSErs
LIABILITIES
CONTINGENT UABIUTIES
DEPRECIATION

Date: 28111r2024
Date: 28111r2024
Notss to the accounts for the year ended 30th June 2024
1. Basis of accountlng
These accounts have been prepared on the receipts and payments basis in
accordance with the Charitses & Trustee Investment (Scotland) Act 2005
and the Charities Aco)unts (Scotland) Regulats'ons 2006 (as amended).
2. Nature and purpose of funds
Restricted funds & grants are those that may be used at the discretion of the
trustees in furtherance of the objectives of the charity. During the year, the
charity received nil restricted funds.
3. Related party transactions
No remuneration was paid to trustees or any connected persons during the
year.
4. Grants Received
During the year the charity received nil restricted and nil unrestricted grants.
5. Cost of Charitablo aclivlfjes
Payments (Unrestrictod)
General Expenses
Professional Fee
2,242.76
200.00