fllARIIY
(OWA1510H
Trustees. Annual Report for the period
Perlod start date
i)1
04
Period end dale
03
2024
From
To
Section A
Reference and administration details
Charlty name
SGGSJ Telford
Other names charlty Is known by
Reglstered charlty number (If any)
1045088
Charlty's principal address
Whitechapel Way
Priorslee, Telford
Shropshire
Postcode
TF2 9FN
Narnes of the charity trustees who manage the charity
Dates a¢t¢d rf not for whole
ar
Trustee name
Office lif any)
Name of person (or body) entitled
toa
olnl trustee
ifan
Inderjit Singh Gill
JcyJinder Singh Bdesha
Davinder Singh Chhina
Sukhvir Singh Sidhu
Gurvir Singh Sundh8rs
10
12
13
14
15
16
17
18
19
20
Names of the trustees for the charity. if any, (for example, any custodian trustees)
Name
Dates acted if not for whole
ear
TAR
Marth 2012

Names and addresses of advlsers (Optional information)
e of adviser
Name
Address
Name of chief executive or names of senior staff members (Optlonal Informatlon)
Section B
Structure, governance and management
Dascrlptlon of the charity's trusts
Type of governing document
(6g. trust deed, co nstitLJtioM >
Constitution
How the charity is constitLrted
(eg. trust, aof sociation, company)
Trust
Trustee selection methods
leg. appoinled by, o)l&cted by)
Comrnittee
Additional governance issues (Optlonal information)
You may choose to include
additional information, wh8re
relevant, about..
policies and procedures
adopted for the induction and
training of trustees.,
the charity's organisational
structure and any wider
ne￿Ork with which the charity
works.,
relationship with any related
parties.,
trustees, consideration of
rnajor risks and the system
and procedures to manage
them.
Section C
Objectives and activities
TO PROMOTE THE SIKH RELIGION THROUGH THE HOLDING OF
RELIGIOUS CEREMONIES.
Summary of the objects of
the charlty set out In its
governing document
GENERAL CHARITABLE
PURPOSES EDUCATINGtrRAININ
RELIGIOUS ACTIVITIES. HELPING THE ECONOMIC/COMMUNI
DEVELOPMENTIEMPLOYMENT.
TAR
March 2012

TO PROMOTE THE BENEFIT OF THE INHABITANTS OF TELFOR
AND THE SURROUNDING DISTRICT BY THE ADVANCEMENT O
EDUCATION AND IN PARTICULAR BY THE PROVISION OF TUITION I
BOTH PUNJABI AND ENGLISH.
Summary of the main
activities undertaken for
the public benefit in
relation to these objects
(include wlthln thls sectlon
the statutory declaratlon
that trustees have had
regard to the guidance
issued by the Charity
Commission on publlc
benefit)
TO PROMOTE FACILITIES IN INTERESTS OF SOCIAL WELFARE FO
RECREATION AND LEISURE TIME OCCUPATION WITH TrIE OBJECT
OF IMPROVING THE CONDITION OF LIFE FOR THE INHABITANTS O
TELFORD AND THE SURROUNDING DISTRICT.
TO PROMOTE ANY CHARITABLE PURPOSE FOR THE BENEFITOF
TrIE COMMUNITY IN TELFORD AND THE SURROUNDING DISTRICT
BY TrIE ADVANCEMENT OF EDUCATION, TrIE PROTECTION OF
HEALTH AND TrIE RELIEF OF POVERTY, SICKNESS AND
DISTRESS
Additional details of objectives and activities (Optional Information)
You may choose to include
further statements, where
r81evant, about..
policy on grantmaking.,
policy programme related
investment;
contribution made by
volunt88rs.
TAR
March 2012

Section D
Achievements and performance
Summary of the maln
achievements of the charlty
during the year
The Trustees Are Pleased With The Performance Of Th e
Gu rdwara This Year.
Gurdwara Progress & Community Highlights Brlef
This year has been a remarkable chapter in the ongoing growth
and seva (selfless service) of our Gurdwara, reflecting both ou r
spiritu al mission and our commitment to serving the wider
commu nity. A series of major developments have strengthened our
facilities, expanded our outreach, and elevated our standing across
thecounty.
Building on ourfocus on wellbeing, the establishment of our
in-house gym has furtherenhanced the facilities available to the
sangat. Th is dedicat8d space supports physical health and
enGourages regularexercise, reinforcing ourcommitmentto holistic
wellbeing.
We were proud once again to su pport the Christmas Smile Project,
organ ised by Telford & Wrekin Council, by providing ou r Gurdwara
as a welcoming space for their team to carry out th is important
commu nity initiative. Offering our facilities for such projects reflects
ourcommitmentto partnership, inclusivity, and ensuring that seva
reaches as many people as possible.
Significant improvements to the Gurdwava environment have also
taken shape. Th e installab'on of n ew signage has enhanced
accessibility and visibility for visitors, wh ile the newly completed
Nishan Sahib stands proudly as a symbol of our faith, identity, and
unity. Inside, Ihe new Langar Hall flooring has elevated the
experience of sangatsharing langar, offering a cleaner, safer, and
more welcoming space for all,
A major milestone was ach ieved with the approval of our Nu rsery
projecl, marking an important investsnent in the future of our
children and young families. This development strenglhens the
Gurdwara's role as notonly a spiritual centre but also a place of
leaming, growth, and community support.
Our reputation as a premier Gurdwara forsikh weddings has
flou rished. With multiple weddings hosted throughout the year, our
reach now extends nationwide. Couples from across th e UK are
choosing ou r Gu rdwara for their Anand Karaj ceremoni8s, drawn
by ourwarm hospitality, high standards, and the visibility created
th rough consistentsocial media engagementand positive publicity.
Togeth er, these achievements reflect a year defined by progress,
unity, and unwavering dedication to the principles of Sikhi. The
momentum we have built sets the foundation for an even brighter
future, guided by the seva of ourvolunteers, the support of our
TAR
March 2012

Section D
Achievements and performance
patrons, and the strength of ou r sangat.
TAR
March 2012

Section E
Financial review
THE CHARITY HOLDS RESERVES OF £1,377,140 (2024:
£1,065,840) WHICH IS RESERVED FUNDS.THESE FUNDSARE
HELD IN ORDER TO MEET ANY UNFORESEEN EXPENDITURE
THAT MAY OCCUR.
Brief statement of the
charity's policy on reserves
Detalls of any funds materlally
In deticit
Further flnanclal revlew detalls (Optlonal Information)
You may choose to include
addition81 information, where
relevant about:
the charity's principal
sources of funds (including
any fundraising)-
how expenditure has
supported the key objectives
of the charity;
investment policy and
objectlV8s including any
ethical investment policy
adopt6d.
Section F
Other optional information
Section G
Declaration
The trustees declare that they have approved the trust9es' report above.
Signed on behalf of the charity's truste
Signature(s)
Full name(s}
Joginder Singh Bdesha
Posltion (eg Secretary, Chair,
Trustee
otc)
Date
2510112026
TAR
March 2012

Charity Reg. No. 1045088
SGGSJ TELFORD
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
HKM & CO. LTD
CHARTERED CERTIFIED ACCOUNTANTS
2ND FLOOR
48 QUEEN STREET
WOLVERHAMPTON
WV13BJ

Charity Reg. No. 1045088
SGGSJ TELFORD
Charity Information
Registered Charity Address
Gurdwara Siri Guru Gobind Singh Ji
Whitechapel Way
Priorslee
Telford
TF2 9FN
Trustees
Inderjil Singh Gill
Joginder Singh Bdesha
Davinder Singh Chhina
Sukhvir Singh Sidhu
Gurvir Singh Sundhers
Accountants
HKM & Co Ltd
Chartered Certified Accountants
2nd Floor
Wolverhampton
West Midlands
WV138J

Charity Reg. No. 1045088
SGGSJ TELFORD
Approval statement
We approve the financial statements for the year ended 31 March 2025 which comprise of the
Income and Expenditure account, the Balance Sheet and the related notes. We acknowledge
our responsibility for the accounts, including the appropriateness of the applicable financial
reporting framework as set out in note 1, and for provKling HKM & Co Ltd with all information
and explanations necessary for their compilation.
Approved by the trustees on date and signed on their behalf by:
20 January 2026
Mi. Inderjit Singh Gill
Ti'iistee
Jogindei. Singh Bdesha
Trustee
Davindei. Singh Chhina
Trustee
Sukhvii Singh Sidhu
Truslee
Guivis Singh Sundhers
Trustee

Charity Reg. No. 1045088
SGGSJ TELFORD
Accountsnts, report on the unaudited accounts
You have approved the Financial Statements for the year ended 31 March 2025 which
comprise the Income and Expenditure account, the Balance Sheet and the related noles.
In accordance with your instructions, we have Compiled these unaudited accounts from the
accounting records and information and explanations supplied to us.
HKM & Co Ltd
Chartered Certified Accountants
2nd Floor
48 Queen Street
Wolverhampton
West Midlands
WV13BJ
20 January 2026

Charity Reg. No. 1045088
SGGSJ TELFORD
Statement of Financial Activities
for the year ended 31 March 2025
2025
2024
Incomlng resources
Donations
Other Income
516,613
119,982
641,463
3,833
Direct Expenses -
Food & Langar Costs
19,547
43.901
12,214
Gross proflt
573,147
633,082
Total Incomlng resources
573,147
633,082
Resources expended
Wages, salaries and other staff costs
Rent, rates, power and insurance costs
Repairs and renewals
Telephone, fax, stationery and other office costs
Advertising and business entertainment costs
Bank, credil card and other finance charges
Management
Accountancy, legal and other professional fees
Depreciation & Amortisation
other business expenses
55,439
82,257
42,961
2,586
3,742
979
20,221
10,978
83,079
3,593
48,168
39,039
36,050
2,974
2,022
1,376
12,270
28,448
77,518
169
Total resources expended
305,835
248,034
Net movement in funds
267,312
385,048
Total funds brought forward
1,056,240
671,192
Total Funds carried forward
1,323 552
1,056,240

Charity Reg. No. 1045088
SGGSJ TELFORD
Balance Sheet as at 31 December 2025
Notss
2025
2024
Fixed assets
Equipment, machinery and motor vehicles
Other fixed assets
150,980
1,133,365
1,284,345
131,944
1.157,859
1,289,803
Current assets
Banklbuilding society balances
Cash in hand
Other current assets and prepayments
99,226
2,235
5,400
106,861
70,067
2,522
4,908
77,497
Current liabilltl8S
Trade creditors
other liabilities and accruals
11,665
2,401
14,066
300,260
1,200
301,460
Net current assetsl{liabilities)
92,795
(223,963)
Net assets
1,377,140
4,065,840
Funds of the Charlty:
Unrestricted funds..
General funds
Restricted Funds
1,323,552
53,588
1,056,240
9,600
Total Charlty Funds
1,377,140
1,065,840
The notes at pages 610 8 form part of these accounts

Charity Reg No. 1045088
SGGSJ TELFORD
Notes to the Accounts
for the year ended 31 March 2025
1 Basls of preparation
The financial statements have been prepared under the historic cost convention. The financial
statements have been prepared in accordance with the Statement of Recommended Practice..
Accounting and Reporting by Charities {SORP). applicable UK Accounting Standards and the
Charilies Act 2011.
2 Income and Expenditure account analysls
2025
2024
General Funds
Donations
516,613
641,463
Cost of sales
Wedding Costs
19,547
Food and Langar Costs
Food & Langar Costs
43,901
12,214
Other income
Interest receivable
Gift Aid
Wedding Functions
3,967
48,061
67,954
119,982
3,833
3,833
Wages, salaries and other staff costs
Wages and salaries
Pensions
Employer's Nl
Temporary staff and recruitment
15,327
14,482
59
748
39,364
33,627
Rent, rates, power and insurance costs
Rates & Water Rates
Light and heat
Property insurance
Service charges
Cleaning
14,273
58,186
4,908
1,267
3,623
82,257
5.642
23,520
3,569
2,800
3,508
39,039
Repairs and renewals of property and equipment
Repairs and maintenance
Provisions and Sundry Supplies
42,961
36,050
Telephone, fax, statlonery and other offlce costs
Telephone and fax
Stationery and printing
Courier services
36
2,339
211
2,586
89
2,885
2,g74
Advertislng and business entertainment costs

Charity Reg. No. 1045088
SGGSJ TELFORD
Notes to the Accounts
for the year ended 31 March 2025
Advertising and PR
3,742
2,022
Bank, credit card and other finance charges
Bank charges
979
1,376
Management
Fund Raising
20,221
12,270
Accountancy, legal and other professlonal fees
Accountants fees
Other legal and professional
1,720
9,258
1,440
27,008
28,448
Depreciation and lossl(proflt) on salg
Depreciation
Amortisation of Leasehold
37,744
45,335
83,079
32,985
44,533
Other business expanses
Subscriptions- TV Licence etc
GymFIow
1,151
2.442
3,593
152
17
169

Charity Reg. No. 1045088
SGGSJ TELFORD
Notes to the Accounts
for the year ended 31 March 2025
3 Plant, machinery and motor vehicles
Plant and
machinery
Spare
Total
Cost
At 1 April 2024
Additions.
209,023
56,780
265,803
1,579
210,602
56,780
267,382
At 31 March 2025
1,579
Depreciation
At l April 2024
Charge for the year
At 31 March 2025
77,584
37,643
115,227
1,074
101
78,658
37,744
116,402
1,175
Net book value
At 31 March 2025
150,576
131.439
404
150,980
131,944
At 31 March 2024
505
'Fixed Asset Additions
2025
Furniture
Fitness Gym Equipment
Table Tennis and Ping Pong Table
29,417
25,123
2,240
56,780
4 Other flxed assets
2025
2024
Premises as at 1 April 2023
Additions-Leasehold Abbey House
Additions - Leasehold Improvements Abbey House
Amortisation - Leasehold over 27 years
Disposals Freehold 19a Church Road
1,157,859
500,000
1,009,317
193,075
144,533)
(500,000)
20,840
{45,334)
Premises
1.133,365
1,157,859
5 Other Liabilities and Accruals
2025
2024
Accrtjals - Accounlancy
Trade Creditors
Abbey House Leasehold
2,401
11,665
1,200
260
300.000
14.066
301,460
Leasehold Property amortised over 27 years of lease premiums

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

**Section A                        Independent Examiner’s Report** 

**Report to the trustees/** SGGSJ TELFORD **members of On accounts for the year** 31[st] March 2025 **Charity no** 1045088 **ended (if any) Set out on pages** 4 & 5 of the Financial Statements I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended **31/03/2025. Responsibilities and** As the charity's trustees, you are responsible for the preparation of the **basis of report** 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 all 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 in connection which gives me cause to believe that in, any material respect: 

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

- the accounts did not accord with the accounting records; or 

- the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination. 

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

|**Signed:**|Harjinder Kumar Momi|**Date:**|29/01/2026|
|---|---|---|---|
|||||
|**Name:**|Harjinder Kumar Momi|||
|||||
|**Relevant professional**<br>**qualification(s) or body**<br>**(if any):**|The Association of Chartered Certified Accountants|||
|||||
|**Address:**|Second Floor, 48 Queen Street, Wolverhampton, WV1 3BJ||Second Floor, 48 Queen Street, Wolverhampton, WV1 3BJ|



1 

**Oct 2018** 

**IER** 



## **Section B                           Disclosure** 

Only complete if the examiner needs to highlight material 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 disclose** . 

This year the Trustees adequate documentation to review the accounts. 

2 

**Oct 2018** 

**IER** 

