REGisfERED CHARTfY MJMBER: 1027792
rt of the T[￿Stees and
UDaudit¢d Financial Statements
for the Year Ended 31 Au
2025
Asthau Babe K¢ TTU
M.F Kban & Co
375 Coyenty Road
Sma] IIeath
Bimiingham
West Midlan
BIOOSW

Asthan Babe Ke TDJst
Contents of the Financial Statemenis
ar
nd
Page
Report of the Truste¢s
Independent Examinerfs Report
Stsl6rn¢nt of FillanciaI Arti￿ties
Batallce She¢t
Notes to the Financial Statements
5 to 8
Detailed Statwnent of Financial Activitie5

sthan Babe Ke T￿￿t
Re
ort of the Trustees
for the Year Ended 31 Au
t 2025
Th¢ trust¢es present th¢ir r¢port with the r￿n¢la1 statements of the clwity for the y¢4r end¢d 31 August 2025, The
truste¢5 have adopted the provisions of Accounting and Re￿tillg by Charities.. Staten]ent of Reconmlended Practice
applicable to charities preparillg tbeir accounts in awrdance with the Financial Rewrting Stand8rd applicable in the
UK and REpublic of Tr-land (FKS 102) (effective l January 2019).
STRUCTURE, GOVERNANCE AND MANAGEMKwr
Governing document
The charity ig controlledby its 8overnillg d(KumenL a deed of and constibjtes an unittcorporated el)arity.
REFERENCE AND ADMtNISTRATIVE DETAIIS
Registered Ch8rity nurnber
1027792
Principal addr￿5
62-72 Soho Hill
Hockley
Birimillgham
B19 IAA
Trustee
T S Ghatoura
GSJand
J S Sehmi
H Dhinsay {resigDed 21.3.25)
Mrs S K Sahota (resign¢d 21.3.25)
S S S¢hmi
J Singh
Independ¢ot ExAmlner
Noor Khall
M.F Khgn& Co
375 Coventy Road
Snwl Hcath
West Midlattd5
BlOOSW
Approved by order of the board of trustees OD 10 June 2026 and signed on ILS behalf by:
G S Jandu- Tn￿tee
Page I

lttde
endent Exaninevs Re ort to the Trustees of
Asthan Babe Ke Trugt
Independent examlntr'$ report to the trustees of Asthan Babe Ke Tn￿(
I r¢port to th¢ charity trustees on my examination of the accounts of A5thaD Babe Ke Trnst (the Th￿t) for the year ended
31 August 2025.
ReSPODsibiliti¢5 and basi5 of report
As the charity trustees of the Trust jou are responsible for the preparation of tbe accounts iti ￿￿rdance with the
requirements of the Ch2Tili¢s Act 2011 Cthe ACQ.
I ret4)rt in Tespect of my examination of th¢ Trwvs accounts carTied out under Section 145 of the Act and in carying out
my examination I have followed all applicable DirectiODS given by the Charity Commission under Section 14515}(b) of
the Act.
Independent examlner's statement
I have completcd my cxarnination. I confinu that no lltaterial [[￿tter8 have come to my attention in connection Mryth tho
examination giving me caw to believe that in any material rw..
acrounting re¢ord5 were not kept in respect of the Trust Ls required by ￿10￿ 130 of the Act. or
the accounts do noi accord withthose records. or
the accounts do not comply with the applicable requirements concernillg the fortyj and c4)ntent of accounts set out
-.irJ.the£haritie5 {Ac£ounts and Reports) RegulatiOll5 2008 oth¢r than any requirement that the accounts give
""true and fair view which is not a matter cott5ider¢d as part of independent examination.
I have conc¢rns a￿d have come across no other matters in eomiection wilb the exami[￿lOn to which attention should
be drawn ill this report ill order to enable a proper understanding of the accounts to be reacbed.
M.F I(han & Co
375 Covenuy Road
s￿￿1 Heath
Birjningham
West Midlands
BIOOSW
10 June 2026
Page 2

than Babe Ke Trust
tatsm?nt of FinanGiELI Actiltties
for the ye￿ Ended 3
31.8.25
31.8.24
Total
fi]nds
fiDd
Notes
n4coME AE4D ENDOWMEf*TS FROM
Donations alld legacies
135,004
178,147
EXPENDITURE ON
Baising fullds
83,775
157,771
NET INCOME
51.229
20,376
REI CONCtLIATiofi OF FLTIDS
Total funds brou8ht fonward
1,850,792
I,830,416
TOTAL FUTr4DS CARRIED FORWARD
1,902,021
1,850,792
The not£s forni part of th¢5e fill4ttcial statements
Page 3

Asthan Babe Ke Trust
Balance Sheat
31Au
2025
31.8.25
L.Drestricted
fL]Dd
31.8.24
Total
nds
Notes
FIXED A&SETS
Tangible a&sets
1.860.532
1,825,932
CURRKNT ASSETS
Cash at bank 8lld in hand
4E.489
24,860
NET CURRENT ASSETS
41,489
24,860
YOTAL ASSETS LESS CURRENT
LIABILTfiES
1,9W2.021
,850,792
NET ASSETS
1.902,021
1,850,792
UnrcStrKcted fiwds
1,902,021
1,850,792
TOTAL WUNDS
1.902,021
1,850,792
The financial statements were approv￿1 by tb¢ Board of ond authorised for issue on 10 June 2026 and were
signed on it5 behalf by.
G S Jalldu- Trn8tee
The notes form part of thes¢ fiDallcial stateM￿ts
Page 4

Asthgn Babe Ke Trnst
Noles to the Financial StateD]ent5
for the Year Ended 31 Au
2ff25
ACCOUNTING POLICIES
Basi5 of prepariDg the financial statements
The financial stat¢rnents of ihe cbariry, which is a public benefit entity" under FRS 102, have been prepared in
aecordanee with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities: Ststement of
Recommended Practice applicable to charities preparing their accoullts acGordanc¢ with the Finan¢ial
Reporting Standard applicable in the LX alld Republic of Ir¢land (FRS 102) (effective l Janu8ry 2019),,
Financial Rep)rting Standard 102 Th¢ F&nan¢ial Reportll￿ Stsndard applicable in the LK and Repub]ic of
Ireland, and th¢ Cl)ariri¢5 Act 2011. The fmanC1￿ statements have been prepared under the histori￿1 co$t
convention.
.All income isiecognised the state￿¢llt of FiDan¢itil Activtties once the Ch￿[ty has entitlement to tbe fillu15, it
is pTrbable tbat the ittcome will be receiv¢d alld the amount can be measured reliably.
Expendlture
Litibilities are recogtsised ￿ expenditure as soon as there is a legal or constrllctive obligation ¢ommitting the
charity to that expenditure. it is probable th￿ a trdnsfer of economi¢ b¢n¢fits will ￿ required in settleTnent and
the amount of the obtigation call be meaiLtred rtliably. E￿nditUre is accovnted for on an accruals b&8is has
been.¢18￿ified ullder headings that a￿egate all c05r related to the category. Where costs Cannot be directly
attribuied to particular headings they have been allocated to actiTrities oll & b&sis c4)nsi5tent the use of
resources.
Tangible fixed assets
Depreciation is provided at the following annual rates in order to write off eacb asset over its e5tirnated use￿1
lif¢.
Taxatio
The charity is exempl from on its cbaritable activities.
Fund aeeountlng
Unrestricted fiu)ds call be used in accordance with the cl]aritsble objectives atthe di5¢retion of the trustees.
Restricted fi￿d$ can only be US￿ for Particu￿ Te5tricted pur[m￿ Within the objects of the charity. Restrictions
arise when 8pecifi¢d by the dollor or when funds are raised for partIC￿l￿r restricted purposes.
Further explanation of the naIL￿e and pwpose of fund is included in the noteg to the fjnallcial State￿Ents.
Ralslng donations and legaeies
31.8.25
31.8.24
Rai¢5 alld *7ter
Jnsuran¢¢
Light and keat
Telephone
Sllndries
Refi￿¢
Security
Trdining
Support costs
10.174
6,573
2,412
54,790
1,105
15
1.308
1,885
3,(K)O
37,331
375
1,935
105
3,850
54,754
71,532
Page 5
continued...

Asth
Notes to the Financial SiatettLents- ¢0
for ibe Year Ended 31 A
ust 2025
RAISING FUI%TS- contiDued
Investment management costs
31.8.25
31.8.24
Propety repairs
2,124
60,944
Aggregate amounts
83,775
157.771
TRUSTEESI REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 August 2025 nor for the year ended
31 August 2024.
Truste￿, expellse5
There were no ttustees, expeJ]ses paid for the year ended 31 August 2025 nor for the year end¢d
31 Awt 2024.
COMPARATIVES FOR THE STATEMENf OF FINANCIAL AcrtVTr￿S
Ullr¢striCted
nd
INCOME AND EL¥DOWMEf(IS FROM
Donaiions and legacies
178,147
EXPE1¥D￿UR￿ OTr4
Rai8illg fi￿dS
157,771
NET INCOl￿E
20,376
RECOIYCILIATION OF FUNDS
TotAI fimds brought forward
1,830,416
TOTAL FUNDS CARRtED FORWARD
1,850.792
TANGKBLE VLXED ASSETS
Freehold
propety
COST
At I September 2024
AdditioJ)s
1.825,932
34.600
At 31 August 2025
1,860,532
NET BOOK VALUE
At 31 August 2025
L,860,532
At 31 August 2024
1,825,932
Page 6
continued...

Asthan Babe Ke Trust
Notes io ihe Fiiiancial Statements- continued
ftsr the Year Elided 31 Au
Ust 2025
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.8.25
Al 1.9.24
Unrestrieted funds
Geneizl fund
1,850,792
51,229
1,902,021
TOTAL FUNDS
1,850.792
51,229
1,902,021
Net movement iii funds, in¢lud¢d in the above are as follows..
Incoming
resources
Resollrceg
expended
Moveinent
in ￿ndS
Unrestrieted funds
General fund
135,004
(83,775)
51,229
TOTAL FUNDS
135.004
(83,775)
51,229
Comparatlves for movement In fund5
Net
movement
in fund5
At
31.8.24
Ai 1.9.23
Unrestricted funds
General fijnd
1,830,416
20,376
1,850,792
TOTAL FUNDS
,830,416
20,376
1,850,792
CoEnparative net tnovement in fund5, included in tlie above are as lollow5'.
Incomin
resowces
Resources
expended
Movement
ill fund5
Unrestricted funds
Gcneral fund
178,147
1157,771)
20,376
TOTAL FUNDS
178,147
1157,771)
20,376
Page 7
colllinued...

AsthallBabe Ke Tn]st
otes to tILe Financial Statements- continued
for the Year Ended 31 Au
st 2025
MOVEMENT IN FUhl)S- continued
A curretkt ye8r 12 mollths alld prior year 12 rnonths combined position is as follows..
rnDI'ement
in fimds
At
31.8.25
At 1.9.23
Unrestricted furyds
GerLeral fuud
1,830.416
71.605
1,902,021
TOTAL FUNDS .
1,830.416
71,605
1,902.021
A CU￿ent year 12 mollths and prior year 12 months coll￿1ned movenwit in fimds, ineluded in the Lbovc ttre
as follows..
tncoming
Resouro¢s
pended
MoveTueut
ill fullds
Unmtricted fuDds
General fi]lld
313.151
(241.546)
71,605
TOTAL FUNDS
313,151
(241,546)
71,605
RELATED PARTY DISCLOSURES
There were no related palty transa¢tions for the year ended 31 Augu* 2025.
Page 8

Detailed Statement of Fintmcial Activities
for tbe Year Ended 31
31.8.25
31.8.24
INCOME AND EEIDOWMENTS
DollatIo￿5 and legael&s
Donations
135.004
178,147
Total incorning resollrees
I35,004
178,147
EXPENDITi]]iE
Rfiiying don8tiDns And legacies
Rate5 and watsr
In511raIic¢
Lighi and heal
Telephone
Suttdries
Refuse
Security
Training
10,174
6,573
2,412
54,790
1,105
15
1.308
1,885
3,000
37,331
984
375
1,935
105
3,8iO
$4,754
71,088
Other trading aetlvitie5
Wages
Advertising
Pest control
23,292
1,500
738
24,545
750
25,530
25.295
Investme￿¢ mgnggement costs
Property repairs
2,124
60,944
Support costs
Finance
Bank charges
lJ67
Total resources expended
83,775
157.771
Net ineotne
51,229
20,376
Thi5 pag¢ thKs not form part of the slatytory f￿an¢t￿l statements