REGISTERED COMPANY NUMBER: 2866202 (England and Wales)
Registered Charity Number: 1038999
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS FOR THE
YEAR ENDED 31 DECEMBER2020
FOR
KADAMPA MEDITATION CENTRE MANCHESTER

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 310ECEMBER 2020
Pago
Report of the Trustees
1to2
Statement of Flnanctal Actlvltles
Balance Shaet
4toS
Note8 lo the Flnanclal Ststement8
6t08

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER 2866202)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2020
The trustees, who are also the dlre¢tors for the purposes of company law, pr858nt thelr report wlth the
financial statements of the Charfty for the year ended 31 December 2020.
REFERENCE AND ADMINISTRATIVE DETAILS
R8gistered Company Number
2866202 (England and Wal8s>
R8gi$terad Charfty Number
1038999
Registered Offlce
76 High Lan8
Chorlton-cum-Hardy
Manchester M219XF
Accountsnt., Davld Robinson
Ind0Pond•nt Examlnor.. Yu8uf Laher FCCA
Trusto81:
Janet Hlgglns
Jennlfer Andrews
Jeffrey Slmm
Company Secr•tary
Lisa M Devlne
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng Do¢um•nt
The charity is contro118d by Its goveming document, a deed of trust, and conslltut88 a Ilmlted company,
limlted by guarantee, as defln8d by the Companles Act 2006.
Thè organlsatlon18 a charltable company Ilmlted by guardnt88 and r8glsl8red wlth the Charftles
Commission. Th8 company was established undèr a Memorandum of Assoclatlon which establlshed the
objects and power8 of the charitable company and is govemed under Its Articles of Assoclatlon.
Rlsk Management
Th8 trustees have a duty to Identlfy and revlew thè rtsks to which the charity is exposed and to ensure that
approprlate controls are In place to provSde reasonable assurance against fraud and error.
Pag8 1

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
REPORT CF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2020- CONTINUED
OBJECTIVES AND ACTIVITIES
Objectlves and Almg
Th8 main objects've of the charity Is to promote the Buddhist faith under the spiritU81 guidanc8 of the electéd
General Spiritual Director of the New Kadampa Tradition - Intemational Kadampa Buddhlst Union {NKT-
IKBUI.This obj8dlve is achieved principally through the 8Ctivilles of teaching, study and practice based
upon the teachlngs of Venerable Geshe Kelsang Gyatso, the founder of the NKf-IK8U.
In April 2015 the ¢h8rfty entered into a 5-year operating lease on premises at Portland Str88t Manch8st8r
and since June 2015 has been running addltlonal Buddhlst classes and courses from those premlses.
FINANCIAL REVIEW
Roservos Poll¢y
At the present tlme nelther the income nor the assets of the charity are sufficlent to put In place a re88rves
policy, bul necessary measures will be taken at the appropriate time.
Investment Poll¢y and ObJoCtlve8
At the present tlme nelther the income nor th8 a888t8 of the ch8rlty are Sufficlent to put In place an
inve8tm8nt pollcy, but n8cess8ry measures will be taken at the appropriate tlme.
Thi8 report has been prepared In accordance wlth the Speclal provlslons appllcablo to componles subject to
the small companles regime.
ON BEHALF OF THE BOARD:
L M Devlne - Secretary
Date: 101611
Page 2

KADAMPA MEDITATION CENTrE MANCHESTER (REGISTERED NUMBER: 2866202)
STATEMEt4T OF FINANCIAL ACTMTIES
FOR THE YEAR ENDED 31 DECEMBER 2020
Unrestrlcted
Funds 2020
Unrestrlcted
Funds 2019
INCOMING RESOURCES
Ineomlng Resources from Generatgd Funds
Courses, Fundraising and Other
Govemment Grants
Rent Receivable
Bank Interest Received
65,457
31,600
37,424
43
83,280
41,896
93
Tolal Incoming Resources
134.524
126,269
RESOURCES EXPENDED
Co8ts of Goneratlng Funds
Payroll Salaries
Employer Pension Contributions
Rent. Rates and Insuran
Heat, Light and Water
Materials, Purchases and Course Costs
Te18phone, Web Hosting etc
Postage, Ststion8ry and Office Costs
Sundry Expenses
Legal & Professional Fees
Motor & Trav81 Expenses
Repairs and Ren8wals
Accountancy
Donations, Offerings and Sponsorship
Advertising and Publicity
Depreciation of Tangible Fixed Assets
Loss (Profit) on Dlsposal of Fixed Assets
Flnanco Chargos
Equipment Rental
Bank Charges and Card Fee8
Mortgage Interest
23,450
757
50,849
6.986
2,853
1,661
240
2,399
432
406
4,796
220
3.362
1,487
9,395
253
109,$46
28,100
643
53,496
7,475
9.493
1,393
301
2,660
1.612
2,159
240
6,369
2,868
10,022
127,311
886
1.117
Total Resources Exponded
NET INCOMINGIOUTGOING RESOURCES
4817
6,770
114363
134 081
20,161
.812
RECONCIUATION OF FUNDS
Total Fund8 Broughl Forward
453,377
462.189
TOTAL FUNDS CARRIED FORWARD
473 538
453 377
The notes fomi part of th88e financial ststement Page 3

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
BALANCE SHEET
AS AT 31 IIECEMBER 2020
2020
2019
Not•
FIXED ASSETS
Tangible Fixed Assets
663.794
673,271
CURRENT ASSETS
Stocks
Debtors
Cash at Bank and In Hand
5,382
20,572
121 950
6,164
20,584
103 221
147,904
129,969
LESS CREDITOR8
Amounts due within one year
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT UABILMES
727,039
706,870
LESS CREDITORS
Amounts due after more than on8 year 6
NET ASSETS
253 501
253 493
473538
REPRESENTED BY:
FUNDS
Unrestrictéd
473,538
453,377
Restrtcted
TOTAL FUNDS
Th8 n¢Jtes fomi part of those financi81 stat8ments
Page 4

KADAMPA MEDrrATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
BALANCE SHEET - CONTINUED
AT 31 DECEMBER 2020
The charrtaDle company is entitled to exemption from audit under Section 477 of the Companies Act 2006
for the year ended 31 December 2020.
The m8mbers have not required the charitable company to obtain an audil of its financial statements for the
year ended 31 December 2020 In accordance with Section 476 of the Companies Acl 2006.
The tnJst88s acknowledge their responsibilities for
a) ensuring that the charity keeps accounting re￿rdS that comply wtth Sections 386 and 387 of the
Companies Act 2006 and
b) preparing flnanclal statements which give a true and fair view of the state of affairs of the charitable
company as at the end of each financial year and of its surplus or deficit for each financial year In
accordance with the requirements of SectFons 394 and 395 and which otherwise comply with tho
requlrements of th6 Companies Act 2006 relating to financial ststsments, so far as appllcable to the
charitable company.
These financial statements have been prepared in accordan￿ with the special provisions applicable to
companies subject to the small companies regim8.
These financial statements were approved by tho Board of Tnjstees on
behalf by,.
2021 and were signed on it
J Simm - Twstee
The notes fomi part of these financial ststemènts
Page 5

KADAMPI, MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE I'EAR ENDED 31 DECEMBER 2020
ACCOUNTING POLICIES
Ba818 of preparlng the flnan¢lal statements
The financial statements of the charity have been prepared under Ihe h15torical Cost ¢onv8ntlon and
Sn accordance wlth the Statement of RecL)mm8nded Practice for ACCOUn￿ng and ReportSng by
Charities appllcable to charitl8s preparlng their accounts in accordance With th8 Financial R8POrting
Stsndard (FRS 102), the Charitles SORP (FRS102) and the Companies Act 2006.
Incomlng Resources
All incoming resourc8$ ar8 Included on Ihe Statement of Financial Activities wh8n the charlty Is
18gally entitled to the income and the amount can be quantlfied wlth reasonabl8 ac<xJracy.
Rosourc•8 Expondod
Expenditure is accounted for on an 8ccru818 basls and has been dassFfied under h8adlngs that
aggr8gate all cost related to the category. Wher8 costs cannot be directly attributed to particular
headlngs thay have been allocated to 8Ctlvltle8 on a basls con￿Stent wlth the use of resource8.
Tanglbl• Flx•d A8$•t•
D6prec18tlon is provlded at the followlng annual rates In order to wrtte off each asset over it8
estlmated useful lrfe:
Freehold Prop8ty
Flxtures & Fittlng8
Motor Vehlcles
Too18 & Equlpment
1%on c08t
25% on reduclng balanca
25% on reduclng balance
20% on reducing balanc8
Stock•
Stocks are valued al the lowor of cost and net realls8ble value, after maklng due allowance for
obsolete and slow moving Items.
Taxatlon
The charity Is exempt from tax on its charltable advitles.
Fund Accountlng
Unrestricted fund8 can be used In accordance wtth the charltable objgctlves at the dlscretlon of the
Trust88S.
ReStri￿ed funds can only b8 used for particular re8tricted purpo$es withln the object8 of the charlty.
Restrlctlons ar18e when specthed by the donor or when funds are ralsed for partlcular reslrfctad
purposes.
Further explanatlon of the nature and purpose of each fund18 Included in the note8 to tho financial
statemenls.
TRUSTEES. REMUNERATION AND BENEFITS
There were no Tru8tees' remuneratton or other benefits for the year ended 31 December 2020.
Trustn8' Expensos
There were no Trustees, expensas paid for the year ended 31 December 2020.
Page 6

KADAMPI, MEDrrATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
NOTES TO FINANCIAL STATEMENTS - CONTINUED
FOR THE Th EAR ENDED 31 DECEMBER 2020
3. TANGIBLE FIXED ASSErs
Freehold
Property
Flxtur•8
& Flttlngs
Motor
V•hlcle$
Tools &
Equlpment
Total
COST
Openlng Cost
Addillons
Di8po8als
754,575
51.593
1,000
8.314
340
815,482
340
Closlng Cost
81
822
LESS DEPRECIATION
Openlng Deprerialion
Depr8clalion Charged for Yoar
Dlsposals
Closlng Depreclatlon
89.334
7,545
46,377
1,304
578
5,922
546
142.211
9.395
-578
151028
-57
NET BOOK VALUE
Al 31 Decombor 2020
NET BOOK VALUE
131 OerA8mber 2019
673 271
2020
2019
4. DEBTOR8
Sundry Debtorn
Prepayments
Short- larm Loan8
Oth•r DgbtOf8
1,819
11,115
1,824
11.122
638
Other Debtorn relats8 lo a refundable dapo8M ¢)n a &year lee8e to Aprll 2020.
5. CREDITOR8: AMOUNTS DUE wrrHIN ONE YEAR
Accruals
Ront Dep081ts Hold
Other Credllors
Short Temi Loan
Mortgage
2,336
600
10
71.600
3,538
1,400
71,600
The mortgage 1$ secured on tho freehold prowty
6. CREDITORS: AMOUNTS DUE AFfER MORE THAN ONE YEAR
Mortgago
253 493
The mortgagels 88curod on tho freehold property
7. UNRESTRICTED FUNDS
Opening Balance Brought Forward
Net Movem6nt in Fund8
Closing B81ance Carried FoTward
453,377
462,189
Page7

KADAMPA IIEDrrATION CENTRE MANCHESTER (REG18TERED NUMBER: 28662021
NOTES TO FINANCIAL STATeMENT3- CONTINUED
FOR THE YEAR ENDED 310ECEMBER 2020
8. MOVEMENT IN FUNDS
At 31.12.19 Not Movement At 31.12.20
In Funds
Unr08tr1¢ted Funds
General Fund
453 377
473 538
TOTAL FUND8
473 538
Nat movements In funds. induded in th8 abovè, are as fol￿ws.
Incoming
Resour¢•s
Resources Expended
Movemenl
In Funds
Unrestrlct•d Fund8
General Fund
114363
TOTAL FUND8
134524
114 363
Page 8

REGISTERED COMPANY NUMBER: 2866202 (England and Wales)
Registered Charity Number: 1038999
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS FOR THE
YEAR ENDED 31 DECEMBER2020
FOR
KADAMPA MEDITATION CENTRE MANCHESTER

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 310ECEMBER 2020
Pago
Report of the Trustees
1to2
Statement of Flnanctal Actlvltles
Balance Shaet
4toS
Note8 lo the Flnanclal Ststement8
6t08

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER 2866202)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2020
The trustees, who are also the dlre¢tors for the purposes of company law, pr858nt thelr report wlth the
financial statements of the Charfty for the year ended 31 December 2020.
REFERENCE AND ADMINISTRATIVE DETAILS
R8gistered Company Number
2866202 (England and Wal8s>
R8gi$terad Charfty Number
1038999
Registered Offlce
76 High Lan8
Chorlton-cum-Hardy
Manchester M219XF
Accountsnt., Davld Robinson
Ind0Pond•nt Examlnor.. Yu8uf Laher FCCA
Trusto81:
Janet Hlgglns
Jennlfer Andrews
Jeffrey Slmm
Company Secr•tary
Lisa M Devlne
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng Do¢um•nt
The charity is contro118d by Its goveming document, a deed of trust, and conslltut88 a Ilmlted company,
limlted by guarantee, as defln8d by the Companles Act 2006.
Thè organlsatlon18 a charltable company Ilmlted by guardnt88 and r8glsl8red wlth the Charftles
Commission. Th8 company was established undèr a Memorandum of Assoclatlon which establlshed the
objects and power8 of the charitable company and is govemed under Its Articles of Assoclatlon.
Rlsk Management
Th8 trustees have a duty to Identlfy and revlew thè rtsks to which the charity is exposed and to ensure that
approprlate controls are In place to provSde reasonable assurance against fraud and error.
Pag8 1

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
REPORT CF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2020- CONTINUED
OBJECTIVES AND ACTIVITIES
Objectlves and Almg
Th8 main objects've of the charity Is to promote the Buddhist faith under the spiritU81 guidanc8 of the electéd
General Spiritual Director of the New Kadampa Tradition - Intemational Kadampa Buddhlst Union {NKT-
IKBUI.This obj8dlve is achieved principally through the 8Ctivilles of teaching, study and practice based
upon the teachlngs of Venerable Geshe Kelsang Gyatso, the founder of the NKf-IK8U.
In April 2015 the ¢h8rfty entered into a 5-year operating lease on premises at Portland Str88t Manch8st8r
and since June 2015 has been running addltlonal Buddhlst classes and courses from those premlses.
FINANCIAL REVIEW
Roservos Poll¢y
At the present tlme nelther the income nor the assets of the charity are sufficlent to put In place a re88rves
policy, bul necessary measures will be taken at the appropriate time.
Investment Poll¢y and ObJoCtlve8
At the present tlme nelther the income nor th8 a888t8 of the ch8rlty are Sufficlent to put In place an
inve8tm8nt pollcy, but n8cess8ry measures will be taken at the appropriate tlme.
Thi8 report has been prepared In accordance wlth the Speclal provlslons appllcablo to componles subject to
the small companles regime.
ON BEHALF OF THE BOARD:
L M Devlne - Secretary
Date: 101611
Page 2

KADAMPA MEDITATION CENTrE MANCHESTER (REGISTERED NUMBER: 2866202)
STATEMEt4T OF FINANCIAL ACTMTIES
FOR THE YEAR ENDED 31 DECEMBER 2020
Unrestrlcted
Funds 2020
Unrestrlcted
Funds 2019
INCOMING RESOURCES
Ineomlng Resources from Generatgd Funds
Courses, Fundraising and Other
Govemment Grants
Rent Receivable
Bank Interest Received
65,457
31,600
37,424
43
83,280
41,896
93
Tolal Incoming Resources
134.524
126,269
RESOURCES EXPENDED
Co8ts of Goneratlng Funds
Payroll Salaries
Employer Pension Contributions
Rent. Rates and Insuran
Heat, Light and Water
Materials, Purchases and Course Costs
Te18phone, Web Hosting etc
Postage, Ststion8ry and Office Costs
Sundry Expenses
Legal & Professional Fees
Motor & Trav81 Expenses
Repairs and Ren8wals
Accountancy
Donations, Offerings and Sponsorship
Advertising and Publicity
Depreciation of Tangible Fixed Assets
Loss (Profit) on Dlsposal of Fixed Assets
Flnanco Chargos
Equipment Rental
Bank Charges and Card Fee8
Mortgage Interest
23,450
757
50,849
6.986
2,853
1,661
240
2,399
432
406
4,796
220
3.362
1,487
9,395
253
109,$46
28,100
643
53,496
7,475
9.493
1,393
301
2,660
1.612
2,159
240
6,369
2,868
10,022
127,311
886
1.117
Total Resources Exponded
NET INCOMINGIOUTGOING RESOURCES
4817
6,770
114363
134 081
20,161
.812
RECONCIUATION OF FUNDS
Total Fund8 Broughl Forward
453,377
462.189
TOTAL FUNDS CARRIED FORWARD
473 538
453 377
The notes fomi part of th88e financial ststement Page 3

KADAMPA MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
BALANCE SHEET
AS AT 31 IIECEMBER 2020
2020
2019
Not•
FIXED ASSETS
Tangible Fixed Assets
663.794
673,271
CURRENT ASSETS
Stocks
Debtors
Cash at Bank and In Hand
5,382
20,572
121 950
6,164
20,584
103 221
147,904
129,969
LESS CREDITOR8
Amounts due within one year
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT UABILMES
727,039
706,870
LESS CREDITORS
Amounts due after more than on8 year 6
NET ASSETS
253 501
253 493
473538
REPRESENTED BY:
FUNDS
Unrestrictéd
473,538
453,377
Restrtcted
TOTAL FUNDS
Th8 n¢Jtes fomi part of those financi81 stat8ments
Page 4

KADAMPA MEDrrATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
BALANCE SHEET - CONTINUED
AT 31 DECEMBER 2020
The charrtaDle company is entitled to exemption from audit under Section 477 of the Companies Act 2006
for the year ended 31 December 2020.
The m8mbers have not required the charitable company to obtain an audil of its financial statements for the
year ended 31 December 2020 In accordance with Section 476 of the Companies Acl 2006.
The tnJst88s acknowledge their responsibilities for
a) ensuring that the charity keeps accounting re￿rdS that comply wtth Sections 386 and 387 of the
Companies Act 2006 and
b) preparing flnanclal statements which give a true and fair view of the state of affairs of the charitable
company as at the end of each financial year and of its surplus or deficit for each financial year In
accordance with the requirements of SectFons 394 and 395 and which otherwise comply with tho
requlrements of th6 Companies Act 2006 relating to financial ststsments, so far as appllcable to the
charitable company.
These financial statements have been prepared in accordan￿ with the special provisions applicable to
companies subject to the small companies regim8.
These financial statements were approved by tho Board of Tnjstees on
behalf by,.
2021 and were signed on it
J Simm - Twstee
The notes fomi part of these financial ststemènts
Page 5

KADAMPI, MEDITATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE I'EAR ENDED 31 DECEMBER 2020
ACCOUNTING POLICIES
Ba818 of preparlng the flnan¢lal statements
The financial statements of the charity have been prepared under Ihe h15torical Cost ¢onv8ntlon and
Sn accordance wlth the Statement of RecL)mm8nded Practice for ACCOUn￿ng and ReportSng by
Charities appllcable to charitl8s preparlng their accounts in accordance With th8 Financial R8POrting
Stsndard (FRS 102), the Charitles SORP (FRS102) and the Companies Act 2006.
Incomlng Resources
All incoming resourc8$ ar8 Included on Ihe Statement of Financial Activities wh8n the charlty Is
18gally entitled to the income and the amount can be quantlfied wlth reasonabl8 ac<xJracy.
Rosourc•8 Expondod
Expenditure is accounted for on an 8ccru818 basls and has been dassFfied under h8adlngs that
aggr8gate all cost related to the category. Wher8 costs cannot be directly attributed to particular
headlngs thay have been allocated to 8Ctlvltle8 on a basls con￿Stent wlth the use of resource8.
Tanglbl• Flx•d A8$•t•
D6prec18tlon is provlded at the followlng annual rates In order to wrtte off each asset over it8
estlmated useful lrfe:
Freehold Prop8ty
Flxtures & Fittlng8
Motor Vehlcles
Too18 & Equlpment
1%on c08t
25% on reduclng balanca
25% on reduclng balance
20% on reducing balanc8
Stock•
Stocks are valued al the lowor of cost and net realls8ble value, after maklng due allowance for
obsolete and slow moving Items.
Taxatlon
The charity Is exempt from tax on its charltable advitles.
Fund Accountlng
Unrestricted fund8 can be used In accordance wtth the charltable objgctlves at the dlscretlon of the
Trust88S.
ReStri￿ed funds can only b8 used for particular re8tricted purpo$es withln the object8 of the charlty.
Restrlctlons ar18e when specthed by the donor or when funds are ralsed for partlcular reslrfctad
purposes.
Further explanatlon of the nature and purpose of each fund18 Included in the note8 to tho financial
statemenls.
TRUSTEES. REMUNERATION AND BENEFITS
There were no Tru8tees' remuneratton or other benefits for the year ended 31 December 2020.
Trustn8' Expensos
There were no Trustees, expensas paid for the year ended 31 December 2020.
Page 6

KADAMPI, MEDrrATION CENTRE MANCHESTER (REGISTERED NUMBER: 2866202)
NOTES TO FINANCIAL STATEMENTS - CONTINUED
FOR THE Th EAR ENDED 31 DECEMBER 2020
3. TANGIBLE FIXED ASSErs
Freehold
Property
Flxtur•8
& Flttlngs
Motor
V•hlcle$
Tools &
Equlpment
Total
COST
Openlng Cost
Addillons
Di8po8als
754,575
51.593
1,000
8.314
340
815,482
340
Closlng Cost
81
822
LESS DEPRECIATION
Openlng Deprerialion
Depr8clalion Charged for Yoar
Dlsposals
Closlng Depreclatlon
89.334
7,545
46,377
1,304
578
5,922
546
142.211
9.395
-578
151028
-57
NET BOOK VALUE
Al 31 Decombor 2020
NET BOOK VALUE
131 OerA8mber 2019
673 271
2020
2019
4. DEBTOR8
Sundry Debtorn
Prepayments
Short- larm Loan8
Oth•r DgbtOf8
1,819
11,115
1,824
11.122
638
Other Debtorn relats8 lo a refundable dapo8M ¢)n a &year lee8e to Aprll 2020.
5. CREDITOR8: AMOUNTS DUE wrrHIN ONE YEAR
Accruals
Ront Dep081ts Hold
Other Credllors
Short Temi Loan
Mortgage
2,336
600
10
71.600
3,538
1,400
71,600
The mortgage 1$ secured on tho freehold prowty
6. CREDITORS: AMOUNTS DUE AFfER MORE THAN ONE YEAR
Mortgago
253 493
The mortgagels 88curod on tho freehold property
7. UNRESTRICTED FUNDS
Opening Balance Brought Forward
Net Movem6nt in Fund8
Closing B81ance Carried FoTward
453,377
462,189
Page7

KADAMPA IIEDrrATION CENTRE MANCHESTER (REG18TERED NUMBER: 28662021
NOTES TO FINANCIAL STATeMENT3- CONTINUED
FOR THE YEAR ENDED 310ECEMBER 2020
8. MOVEMENT IN FUNDS
At 31.12.19 Not Movement At 31.12.20
In Funds
Unr08tr1¢ted Funds
General Fund
453 377
473 538
TOTAL FUND8
473 538
Nat movements In funds. induded in th8 abovè, are as fol￿ws.
Incoming
Resour¢•s
Resources Expended
Movemenl
In Funds
Unrestrlct•d Fund8
General Fund
114363
TOTAL FUND8
134524
114 363
Page 8


## **Independent examiner's report on the accounts** 

**Section A                        Independent Examiner’s Report** 

**Report to the trustees/** Charity Name KADAMPA MEDITATION CENTRE MANCHESTER **members of On accounts for the year** 31 DECEMBER 2020 **Charity no** 138999 **ended (if any) Set out on pages** 3 TO 8 (remember  to include the page numbers of additional sheets) 

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended **DD / MM / YYYY** . 

- **Responsibilities and** As the charity trustees of the Trust, you are responsible for the preparation **basis of report** of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). 

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

**Independent** I have completed my examination.  I confirm that no material matters have **examiner's statement** come to my attention (other than that disclosed below *) in connection with the examination which gives me cause to believe that in, any material respect: 

- accounting records were not kept in accordance with section 130 of the Act or 

- the accounts do not accord with the accounting records 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. 

* _Please delete the words in the brackets if they do not apply._ 

**Signed: Date:** 02 AUGUST 2021 **Name:** YUSUF LAHER **Relevant professional** ASSOCIATION OF CERTIFIED CHARTERED ACCOUNTANTS **qualification(s) or body (if any): Address:** 91 ALAN ROAD MANCHESTER M20 4SE 

**October 2018** 

1 

**IER** 



**Section B                           Disclosure** 

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners). 

**Give here brief details of any items that the examiner wishes to** N/A **disclose** . 

**October 2018** 

2 

**IER** 

