REGISTERED CHARITY NUMBER: 1027792
na
M.F Kbart & Co
375 Coventsy Road
Smal Heath
Birmingham
West Midlan
BIOOSW

abe Ke Tn]st
Cont¢ ts of
e Financial Statements
ded31Au
2023
Page
Report ofthe Tn￿letS
IndependeDt Examinerfs RqK>rt
Statement of Financial Activities
Balance Sbeet
Notes to the FinaTJcial StstemeThts
5 to 8
Detailed s￿emeth of FiD2ncial Activities

th Babe Ke Trust
the Trustees
for the Y Ended 31 Au
t 2023
The tiiistee5 presellt their report with the financial 5tstements of the Gharity for the year ended 31 August 2023. The
trustees have adopted the provisions of Accouniing and Reporting by Clwities". Ststement of Recommend¢d Practice
applicabl¢ to ¢haTitie5 preparing thcsr aecounts in accordance with the Financial R¢portLog Standard applicable in th¢
UK and Republic of Ireland (FRS 102) (effective l January 2019).
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing doeument
The chariry is controlled by its governing documeDt. a deed of trust al￿ constitut¢s on Unin¢0￿r8￿d charity.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charlty number
1027792
Prln¢lpal zddre$J
62-72 Soho Hill
Hockley
Birin)in8ham
BI9 IAA
Trustees
T S Ghatoura
G S Sandu
J S Sehmi
H Dhinsay (re$1￿￿d 21.3.25)
Mrs S K Sahots (resigmed 21.3.25)
S S Seluni (appointed 17.9.22)
J Singh (appointed 17.9.22)
Independtttt E￿￿1fter
Notsr Khan
M.F Khan & Co
375 Cov¢tLtt7 Road
Smal Heaih
Birniingham
We51 Midlands
BIOOSW
Approved by ord¢r of the board of In￿le¢S on 22 August 2023 and siwd on irs bebalf by..
G S Jandu- Ttustee

Inde
en
ent Examine
AsthaD B be Ke Trust
Independent examiner's report to the trustees of A%than Bgbe Ke Trust
I report to the charity trustees on [￿Y examination of the accounts of Asthan Babe Ke Tn￿t (the Tnjst) for the year ended
31 Augu￿ 2023.
RespoDsibllities and b8sls of report
As the charity bitstees of the Tnjst you ar¢ rwonsbi le for the pr¢paTation of th¢ accounts in accordance with the
requ￿¢ments of th¢ Cbarities Aet 201 I Cthe Act).
I r¢port in respect olrny examination of the TnLEiS accounts eaTried out under Section 143 of the Ad ond iti ¢any£ng out
my examination I have followed all applicable DirectiODS given by the ctw.ity Commi>sioD under Se¢tion 145(51(b) of
the A¢t.
the Trt￿￿5 of
Indeptndent examiner's statement
I have completed my exafftination. l ¢onfm that no material matters have come to my attention in CQTmection with the
examinatiorL giving tKLe Cause to believe that in any mat¢rial tespect.
accouniing records were not kept in respect of th¢ Trust as requiredby SediOD 130 of the Ad; or
the accounts do not a¢cord with th05c rcGords' or
the accounts do not ¢omply with the applicable requirements wThcerning the form and content of accounts set out
itL thc Charities
(Ac¢ounts and Report5) Regulations 2008 other than any requirement that the accounts give
trne atld fair view which is not a mall¢r considered as part of an tndeptThdent exam5nation.
I have no concerns and have come a¢ross no oth¢r matters in cotLn¢cÈi¢)n with th¢ examination to which attrntion Should
be drawn in this report in order to enable a proper under5tsThding of the ac¢ouThts to b¢ reached.
Noor Khan
MFKhan&Co
375 Coventry Road
Smal Heath
Birminghallk
West Midlartds
BIOOSW
22 August 2025
Page 2

than Babe
rust
Statement of Fi
r the Year En
¢ial Activiti¢
ed
IAU
ust2
23
31.8.23
UDrestrlCted
fÉmd
31.8.22
Total
fimds
Notes
INCOME AND ENDOWMENTS FROM
DoDations and legacies
79.942
56,840
EXPENDITURE ON
Raising fvnds
80,086
68,057
(144}
(11,217)
NET INCOMEI(EXP£NDITURE)
RECONCILIATION OF FUNDS
Tottl funds brought forward
1,830.560
1,841,777
TOTAL FUNDS CARRIED FORWARD
1,830,416
1,830.560
The notes fomi part of these financial staternents
Page 3

Asthan Babe
Balance Sheet
31A
st 2023
31.8.23
Unrestricted
bjnd
31.8.22
Total
fimd5
FIXED ASSETS
Tangkble assets
1.825,932
1.825,932
CURRENT ASSETS
C2sh at bank
4.484
4,628
NET CURREp¥f ASSETS
4,484
4,628
TOT AL ASSETS LESS CURRENT
LIABILITIES
1.830.416
1,830.560
NET ASSETS
1,830.416
1,830.560
FUNDS
Unrestricted fimds
1,830,416
1,830,560
TOTAL FUNDS
1,830.416
1,830.560
The fll)anci*l statements were approved by the B0￿d of T[￿￿eS aDd #uthorised for issue OD 22 August 2025 and were
signed on its behalf by-.
G S Jandu. Th￿tr¢
The notrs form part ofthese fuTrancia] ststrm¢nts
Page 4

Astha
Note
fort
e Financial Ststeme
nded31 Au
02
ACCOUNTING POLICIES
Basts of preparing the financlal ststemeBts
The financial stateTnent5 of the cklarity, which i5 a publi¢ benefit entity under FRS 102, bave been prepared in
ac¢ordance with the Charities SORTr (FRS 102) 'Accounling aThd Reporting by Charities.. Statement of
Recommend¢d Practi¢e applicable to ¢harities preparing their accounts in &c¢ordance with the Finan¢ial
Reporting Standard applicable in the UK and Republi¢ of Ireland (FRS 102) (effective l January 2019),,
Financial R¢portin8 Standard 102 The FÉnan¢ial Reporting Stsndard applicable in the UK and Republic of
Ireland, and the Charities A¢t 2011. The fmaDcial statements have bren ptrpared under th¢ historical cost
¢onventiOII.
In¢om¢
All income is re¢tsy)ised in the Statement of FinaDcial Activities once the charity has entitlem¢ttt to the fijnds, it
is probable that the income will be received and the amount can be me&8ur¢d reliably.
Expenditure
Liabiliti¢s are recognised a5 expenditwe &4 soon as there is a legal or Co[￿¢￿"ve obligaiion colnmitting the
¢h2rity to Ih&t ¢xpenditur¢. li is probable that a transftr of economic benefits will required in seitlement and
Ihe atnount of th¢ obligation ¢an be me&sured reliably. Exp¢nditur¢ is accounted for on an accmls basis and has
bttn classified under headin8s that aggreg￿e 811 cos¢ related (o the ¢ategory, Where costs cannot bc directly
attributed to partitulw headings they have be￿ allcuted th a¢tiviti¢S on a b&si5 consistent with the use of
r¢sour¢es,
T8ngible fixed 98stts
D¢preciation is provided at the following annual rates in order to wri* off each 8Sset over its estimated usefjjl
T*xatlon
The charity is exempt from tsx on its ¢h8riiable adivities.
F￿nd accounting
UnrestriCt¢d funds ¢an b¢ US￿ kn aceord#nc¢ with the ¢harityble objective5 ￿ the di5¢retion of the trUSt¢¢s.
Restricted funds cap only be used for pjrticular restricted pryges ￿lthill the objects of the charity. RestrictioThs
ise when specified by the donor or wh¢n fimds are raised for pafficular restrict¢d purposes.
Further explanation of the nature and purpos¢ of each is i￿luded in the notes to the fthaDei&l Statements.
RAISING FUNDS
Ralslng donations and legAeie5
31.8.23
31.8.22
3,058
4,766
39,625
491
8,527
3,167
28,017
262
7,751
1,598
Rat¢s and water
Insurance
Light and h¢
Telephone
Sundries
Refuse
Training
Support costs
402
950
270
486
49.562
49,808
contiftued...

A5than B
Notes to the
inancial State e
orth¢YearE ded31 Au
us
RAISING FUNDS- eontlnued
ts- conti
2023
Investmetlt man8gemeDt costs
318.23
31.8.22
1,225
7,640
Property repairs
80,086
68,057
Aggregate an)ounts
TRUSTEESt REMUNERATION AND BENEFITS
There were no trustees, remuneration or other ben¢fits for th¢ year ended 31 August 2023 nor foT the year ended
31 August 2022.
Trustees, expenscs
There were no trustees, expe￿e5 paid for the year ended 31 August 2023 nor for the year ended
31 August 2022.
COMPARATIVES FOR THE STATEMENT OF FtNANCIAL ACTIVITIES
Unrestricted
fiind
INCOME AND ENDowME￿[S FROM
tk)nations 2nd legacies
56,840
EXPENDrruRE ON
Raising funds
68,057
{11,217)
NET INCOMFJ(EXPENDITURKI
RECONCILIATION OF FUNDS
ToEal fund5 bmuJt forward
I,841,777
1,830,560
TOTAL FUNDS CARRIED FORWARD
TANGIBLE FIXED ASSETS
Freehold
property
COST
At I Septerrtber 2022 and 3 1 August 2023
NET BOOK VALUE
At 31 Auttust 2023
1,825,932
1,825,932
I,825,932
At 31 August 2022
contiThued...
Page 6

anBabeK T
es to the FiDancial Statements -
fort
e Year End d
IAU
ust 20
ODtinued
MOVEMETrft IN FUNDS
Ne(
movem¢nt
in funds
At
31.8.23
At 1.912
Unrestrieted funds
GeTheral fund
1,830,560
(144)
1,8JO,416
1.830,560
(144)
1.830,416
T(YT AL FUNDS
Net movement in fvnds. included in the d)ove are as follows:
Inc￿Ming
resources
Movement
in fun
expended
Unrestricted funds
General fiJAd
79.942
(80.086)
(144)
79.942
(80,086)
(144)
TOTAL FUNDS
Comparatives for movement ID funds
Net
Tnovemcnt
in futtds
At
31.8.22
At l.9.21
Unrestricted funds
General fimd
1.841.777
(11,2l7}
1,830,560
1,841.777
(11217)
1.830,560
TOTAL FUNDS
comparatr.ve nei mov¢m¢nt in fi]nds, included in the above aTe a5 follows..
tncoTnin8
Resources
expended
Movement
in fimds
Unrestricted funds
General fiElld
56.840
(68,057)
(11.217)
(11.2171
TOTAL FUNDS
56,840
{68,Oi7)
Continued..
Page 7

an Babe Ke Trust
tes to the Financial Stat
for tbe Year Ended 31
ments- continued
ust 202
OVEMEprf EN FUNDS- eontinued
A current year 12 months and prior year 12 months combined position is &$ folloths".
Net
movemeTht
in funds
At
31.8.23
At 1.921
Unrestricted futtds
General fi]nd
I,830,416
1,841.777
(51.361)
(11.361)
1,830,416
TOTAL FUNDS
1.841,777
A current y¢8r 12 months aThd prior year 12 months comb1t￿l Det movemetrt iti fun&K included in the Above are
ag follows..
Incoming
Resources
expended
MovemeDt
in funds
Unrestricted fvllds
General fimd
136.782
(148.143)
(11,361)
TOTAL FUNDS
136.782
(148,l43)
(11,361)
RELATED PARTY DISCLOSURFS
There were no related party transactions for th¢ year endul 31 All￿ 2023.
Page 8

Asth Ba￿ Ke Trust
Detailed Statelnent of Financial Activitie5
the Year Ended 31 Au
ust 2023
31.8.23
31.8.22
INCOME AND ENDOWMENTS
Don8tions at)d legacles
Donations
79.942
56,840
Total incornlng resources
79,942
56,840
EXPENDITURE
Raising don&tionJ 8nd legacles
Xates and water
Insurance
Light and heat
Telephone
Sundries
Refvse
Training
3,058
4,766
39.623
491
8.527
3.167
28.017
262
7,751
1,598
402
950
49292
49.322
Other tradlng actiYiti¢s
Wages
Advertising
Pest control
Motor and travel
Donations made
Professional fees
16,695
1,500
240
348
10,516
9.346
1.263
29299
10,609
Investment mHnagem¢nt costs
Property r¢pairs
1.225
7,640
Support eosts
Flnance
Bank ¢h￿ge$
270
486
Total resources expended
80,086
68,057
Net txpendltur¢
(144)
(11,217)
This page does noi form part of the statutory fuwtual statements