TELFORD CULTURAL AND LEISURE CENTRE CHARITY
40 High Street, Hadley, Telford, Shropshire, TFI 4NG
CHARITY REGISTERATION No. 1053967
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l. Recelpts & Payments Account
In
31 March 2025
31 March 2024
Donations
Grdnts
qi
Hiring charges for use of the premises
Fundraising event proceeds
Culturdl show income
19.850
11,081
1,710
14,279
7,512
880
Bank interest
13
New membership fee
Miscellaneous
1,125
42
£33.821
Total Receipts
£22,939
ri
Lighting and Heating costs
Water char8es
Insurdnces
Performance rlghts certlflcate
Television Licence
Maintenance/Repairs/ Cleaning
Operatlonal Licences
Cultural shows cost
2616
126
1649
648
170
5715
360
3800
2648
388
1477
159
5705
180
3032
Fundraising cost
Fixtures, fittings, ststionary & new equip.
Refunds
Telephone
Building alterntions
Miscellaneous
6169
355
640
314
15296
246
4195
407
400
163
52936
617
Total Payments
Net receipts for the year
Cash & Bank balances at 31 March 2024
£38.104
- 4,283
£9.954
£72.307
- 49,368
£59,322

Cash & Bank balances at 31 Marth 2025
£5.671
£9.954
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Ima
2025
2024
Bank balances
Bank deposit account
Bank current account
Cash Float
5444
4510
5663
Total
£5,671
£9.954
None
Permanent Assets:
This Charity owns Land and Property.
Other Assets for fu nctional use by the Charlty:
Centrdl boiler and controls (cost £989(> installed in December 2022)
40- Tables (cost £1800 in 2008)
400 - Chairs (cost £8000 in 2008)
l- Frldge {cost £202 in 2015)
l - Freezer (cost £180- in 2013)
l. Bottle / can cooler (cost £362- in 2019)
2. Dishwasher (cost £936- in 2014)
l. Display Monitor (cost £600- in 2021)
New Fire Alarm system installed in January 2024 (cost £7170-}
The ft>llowin8 items are over six years old and their cost is unknown:
Kitchen equipment
l- Vacuum cleaner
l- Video
l-Television
CCTV security system (upgraded)
Security alarm system
Office Table, Chair and 2 filing cabinets
(All equipment is in good working order)
Amrik Singh Jhawar
Chairman
05 December 2025
For and on behalf of the Management Committee

TELFORD CULTURAL AND LEISUAE CEKfRE CHARtTY
40 Hl9h Str•ot. Hadl•y. T•fforf. Shropshlrn. TF14NG
CHARITY REGisfRATION No. 1053967
ANNUAL REPORT FOR THE YEAR ENDING 31 MARCH 2025
The Charity 13 administered by four Trustees and the management committe8
comprising:_
Management Committee Members'.-
1. GUrd￿p Singh RarKlhawa ( Chairman)
2. Ravinder Slngh Sahota
(Secretary)
3. Jaspal Singh Randhawa
(rreasurer)
4. Nlrmal Singh Mattu
5. Dyal Singh Powar
6. Suriit Singh Sahota
7. Harbhajan Slngh Thiara
8. Kulvinder Slngh Dhanoa
9. Sukhdeep Slngh Thiara
10. Malkst Singh Lalli
11. Gurpal Singh Chatta
12. Hamaik Singh Thind
13. Baldev Slngh Khalra
14. Gurdev Singh Mann
15. Amarjit Singh Chatta
16. Surinder Slngh Dulay
17. Guriit Singh Lalli
18. Rashpal Singh Bahla
Trustees:_
Jarnall Slngh Sidhu
2. Sucha Singh Khaira
3. Joga Singh Sidhu
Harpreet Singh Varanitch
The objectives of the Charrty are:_
1} To pro￿de facilities in the interest of social welfare, for improvlng th8 conditions
of the Ilfe of those persons who have ne8d of such facllitl8s by reason of their
youth, age, inllrmty or disablement, poverty or soclal 8conomlc clrcumstances.
2) To promote and further education in the history and the culture of Sikh Arts.
The Management commlttee alms to provld8 and maintain facilities at an affordable
cost. The facilities are provided for hire by Indlviduals or orrJani&*ions in accordance
wlth standard hire agreement and scale of charges adopted for the year.

The faGS1tt185 provided by the Charity have kept In good order. The Chaty does not employ
pald staff.
There have been no major buildlng alterations this year but some costs relatlng to1&8t year's work
have bè8n carrI￿j through to this year.
There w&8 an incre&se in income through hire Cha￿eS11UndralsIng events from £22,939 last
ywar to £33,821 thi8 year. Th18 was pthy due to the improved facilities and the extension of the
back room.
Then bank balance at the end of the financlal year 2024r25 was £5,671 compared w￿h the pr8vious year
balance of £9.954.
The Management Commlttee belleve that the continued rise in Income and interest In the facllttl8s places u8
In a position where we can continue providing our seNices to th8 benefit of the communlty.
Singh Jhawar
Chairman
5th D&cemb8r 2025
For and behall of the Management Commlttee

Independent Examiners Report to the Trustees of the Telford Cultural
and Leisure Centre
I report on the accounts for the Trust for the year ended 31-03-2025, whiGh are set
out on the pages attached.
As the Charity's Trustees, you are responsible for the preparation of the acGounts', you
consider that the audit requirements of section 43(2) of the Charities Act 1993 (the
Act) does not apply. It is my responsibility to state, on the basis of procedures
specified in the General Directions given by the Charity Commissioners under section
43 (7) (b) of the Act, whether particular matters have come to my attention.
My examination was carried out in accordance with the General Directions given by
the Charity Commissioners. An examination includes a review of the accounting
records 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 seeking explanations from you as Trustees, concerning any such matters.
The procedures undertaken do not provide all the evidence that would be required in
an audit, and consequently I do not express an audit opinion on the view given by the
accounts,
In connection with my examination, no matter has come to my attention:
which gives me reasonable cau88 to beli8V8 that in any material r8SPeCt, the requirements
to keep accountin9 records in accordance with section 41 of the Act., &
to prepare accounts which accord with the accounting records and to
comply with the accounting requirements of Act
have not been met., or
to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Mr. Kuldip Singh Johal
42 Barnes Wallace Drive
Telford
TF16XT
1Bt December 2025