Rokpa TnLSt Consolidated Financial Statements 31 December 2022 dOdd&co Nllll *ACCWK5Z4 A10 COMPANIES HOUSE
Rokpa Tt Cont•nts for th• y•ar •ndlng 31 December 2022 Truslee$' Trport Repcfft of the lThJep8ndenl AJIt(S Consolidated Statement of Finartial Activities 12 Charfty Statement of Financial Aclivits 13 Group Balance Sheet 14 Company Balance She8t 15 Group Cash Flow Ststemenl 16 Notes lo the finarla1 statements 17
Rekpa Trust Report ol the Trus"tees and Dlrectors for th• ye•r ènded 31 December 2022 The 1ruslees.are pleased 10 present Iheir lerI l(Wher wlh the financial slalemenls ol the charity.lor the year ended 31 sl December 2022. Relerence and odmlThislr•tlve deialls Charity numbei.. 1059293 IErvJland & Wales> SC038628 (scollalI Company number. 3260031 (Engknd a Wales) Registered ¢)ffi¢e= FIFTEEN Aosehll Monigomery Way Rosehill Esiaie Carfisle CA1 2RW Principal off I.. Kagyu Samye Ling Eskdalernuir Langholm Dumlries & GlowaY DG13 OQL Dlre¢tors and truslees The dirèthors ol ihe chariiable company {Ihe charity) are ils trustees for ihg purpose ol charty law 8nLI Ihroughoul this rewrt are coleclively referred lo as Ihe Ifuste¢s. The Iruslees sefying during Ihe year and Ihe year grwj were as lollows Attht Lama Yeshe Losal Rinpxhe John Maxwell Ani Lhamo Karma Lhamo Cosgrove Lama Elise Krisline Sfvesl Jacol)5en Tsullim Palbar Lama Company seclary. Sean mhael G0¥eM Auditors.. Dodd & Co Audit knmiled FIFTEEN Rosehill Monlg)mery Way Rosehill Eslale Carlis CA1 2RW Bankers: Royal 8ank of Scoits Lockethe DG13 2JH Solicitofs: Brodies 2 &ythswoLMI Square Glasgow G2 4A0 Page 1
Aokpa Trusl Report of the Truslees and Dlreciors lor yr endEd 31 De¢ener 2tr22 ¢ontlnued Structure. GD¥emance •nd M•nagement Th8 financial slatwnenis have been prepared in aurare wlh the accouniiro pclicies sel out In notes lo Ihe accounts and comply with the chaTily s governing dctumen1, the Charilies Ad 2011 anLI A¢¢ounting and Reporting by charl1$.- Stslemeni ol AecommerKJed Prathice applicable lo charities ryeparir4J Ihthr accounts in accordance wrth the Financial ReportYJ StaThJard aFfJlutAe in the UK arKI Rewblic ol Ireland. riokpa Tru3t is a cornpany limitc(I by guarunt¢¢ arnj by its Memorandym and Artickn of Assoriativn dal811 1st Januafy 1997. 11 is regislered with the Charrty CmiSsn in England Wale5 and thtr CXfi¢e of the Scottish Charily fie9ulat¢x. In the evtnt ol th¢" eempony being wound up mernber are icquirod lo conlributc an amount not exceeding £10. Inimen The Artide3 of A35wation provide ihai the tru Tibetan Bu&Jhism. lecs are app)int¢d by pithual leadws of Iho Karffla Kagyu ordor ol Newly aFwntad thisie8s are given ti8ining IJcFCrtling on Ihcir Ic¥cl of anJ oll tr100 aro oNer•J ongoirKJ training as arpopriale. nal Slru The or9anisalion is dNided inlo a ol banches. YthKh carry oul work ol the Trust. The main bra, Kagyu arnye Ling provides teaching supporf arKI gvKlancc. givcg admirNstraiive aSSirnce aThY acL head oltice fw the organisation. The truslees afe respor6ilJe lof the overall rnanament and ol the charity arvj receive rcports from thc branch8' Gommrtlee3, whKh i[wIC ot leaal one ol theiv numbe¥ on each. Day lo day managomonl of tho cha¥tty dvviThJ 2022 was delegaled to the company se¢rtrtary. Sean TrknGov¢m. Risk M Thc IruslEe3 have a risk mNuwmert atrol¢gy. Thiw crynprrsos ol an oftnual rovity¥ ol tho eharily may lac& and IhG c31abli3hmcnt of 3y51cm und procoduro lo mrtigato tho rivJ5 Two koy arèas aro hoJlh & £31oty, 3tKI the sellin9 of a iesarves policy arKI ils ieoular review by trustees. There are two subsKlvary tradtng companies as part of the Aokpa Trts GfOUP. being Rokpa Developments LtLI and KSDL Tradry Ud. Objectives and a¢tivilies Trusi's pr&mary objecis. as stated in ils Mram ol As$c¢lal are: 1. To promote Ihe Buddhisl relgw aTrJ loster rvi-seeiarian in1w-jIQu$ 0Ye and under51andiThJ. 2. To provide rneical care a1 Ilvapy. 3. To prowde education. 4. To relieve r)verty. Rokpa Trust can Ince ils origins in Ihe UK back lo 1963. when iThTrn9 AbtrlS. who had leli fibei ¢am& lo Oxford and a lew yeats Jater $¢llled in Eskdal8mu¥, Scolland. estthishing Ihe lirst Tibetan BuLlJhisl Centre in the Wesl. They narned it arnye Ling altcr the fi191 Buddhist mOnlery in Tibei and thic Ihc btginning ol the C8ntie, which has wown over some 50+ arS io becfft a rerthneo instiwiion ITh the study practice ol BuLkJhism. The aim5 of Ihe charity fall into Ihree area5.' spiritual", heaNh and ed1thl1- antj the relief ol poverty. The charily seeks lo help Improve educalion anJ r$licv¢ wvcrty. Tho chwily al+A¥ to oxpand fv urnlor vtanding 01 8($hISffl. Continue Page 2
Aokpa Trust
Report ol thè Tlustees Oirwtsrs lor thè year •nded 31 Oecember 2022 contlnued
The Trustè85 r80 rewrts from all parts of Rokpa Tntst and meet annually th vdvffleers vA)o manage ou
IHeienl branehe5. Thi5 8nes th• Btrard ol Twste•s lo miew each asFect ol the Charle aims to assess the
number ol beneficiar5 that have as5Trsled in eath ol these areas thè ways in byhich they hav? Inefit6
Irom the ol the or9anisalion. AlorKJ vlith Ihe finarKaal information prc
Rokp# Tru$1 Report of the Tfu51ee5 and Oliectors for the y••r ended 31 Oecember 2022 contlnued Thi$ work has Irw0fv $om¢ nKessary expernfrture t¥Jl othemse ?yrKlituie has l)een low. Furthermore, th a ew lo long-term 5UStainability a lot of emphasis has been Flaced on builJirnJ ntrv green houses and a large nurnber ol raised grong beds in the Vegetab gardgn. FLY this we ere able io ke8p è¥peThJ¢lure lo a mirNmum tsy using almo4St ¢nlir$ly (SJnalgd recyclÉd rnateri815. Alorg wlh ¥izgatyo donat1ry15 01 horse aFKI cow manur¢ Irom local GuppIi0w V40 hav• surxoothKI in kwtsducry a W p)rbon of ¥1 sakxl roqimiod to food rolort all year round. Ouiing thi Pa1 ygor havv oluo t)oo"n oxlromoly fortunate in that tca¢PKyG ol our linoago havo boon toachityJ gxtensively online. On several Oas1O5 have reNed several weeks ol tèaching Irorn HH Karrnapa. as 11 as many monlh5 01 tearhing from oru[ Khen Rin[ an(1 many ffK)nth5 of TKrirAur¥ transmisgons Irom Thrangu Pirpoche. Therglore Ihe Buddhisl acti¥ilies have Ilourished ijurirvJ Ihi$ tim?. Alter the Covi¢J 1ockckn% re-OFened the tenwe aThJ groLthThJ in Novembei 2021 aThJ began to weome day visiiors back to Samye tir#J, Ilwgh still maintainif¥J strict Cov¥1 p¥otcwLs. We hebj our lirst overrughl )urSe In mid-march 2022. This was an Atrmdeen UnNer5ity MIlIvIsS course. 11 was CcxntsI0d safèly swcessfvlly $0 conlinuocl oponiTrg lurthor, th Gomo onlino bookingG fw ovornwht guoctc oponing from tho oThY of May. Wo hoctod o big mindfulness course in late May. arh¥ thls was 9raduahy Ic41ow8d by weekend courses, culrninating in large Reluge cereffK1eS in AuLwsI 2022, the first in Samye UrtrJ siTTh 2019. K•gyu Somye Dzon9 London Ka9yu Samytr Ozono Tthtan Buddh Centre fi¥st OFnwl 1998 and olfors a pea¢elul arbJ S¢omir environrnenl In its Centre in Centr LOlon. They fun a prograrnrne of courses arnl Drk5hops on meditation. Bythi$M, and hoh.ti therapie$. In Beimondsey, near heart ol cenlial LoThJon. a1 also kyovldes Venues lor rnmUnIty auivities and alternativ practitioners as well as a qualified Tibetan ¢knior v•ho hok15 regukir cllrmcs where patlents receive tieatrnenl tssirKJ traditional Tibotan motho¢:. Thus has beon inioffuplod due to Iho pandomKS bJl lcath1+ havo continuod to to olferad 01n•. The Cenlre Is ckJ5ely connected lo Ka9yu Sarnye Monastery in Scg)dart. was established in 1967, aThJ 1$ ei Ihe dlrect gUal ol Choje Lama Yeshe Losal Al. As part ol the Kagyu IrallIon. one of the four main schools ol Tibeian 8Lthhism. hea¢Yed by His Holiness 171h Gyaan9 Karmapa Orgyeft Trinley Dorie. Ihe Centre looks lo orfor a constani cramMe of 8LKJJhist wachir¥s. medrtal1 ietieats anLI nwdilation insiwctions, as well as pYovidin9 a place of calm lor 8ud(Jhists antj rKYtr8udcth:"sts Jike. Lama GebMJma ZaThJrno is the slent larna and leather at our London branch. There is a lovely fibelan Tea RODM and comlortth sear¥4 to nSoy a rweni relaxatK•n. There is aLs0 a shop offering a vdde selt)n ol euodhist twks from dl tr311ilws, a1 a variety ol relat8d it6ms, such as incense, nOitalion cu$hs, statLes and mala& Kagyu Sarnye On9 Edlnburgh Aftèr many yea¥s KSD Eth'ntrrgh is ncyw W8114shed •i Ihe caprtal tity. In 2016 Ihey bought a in L8ith and have now rnoved ¢here. Th new Cèntrs. wkh ils beauDiul. (Jomed RI spacious Yega R(Th. WKles Ihe ed1 spa¢• lor a wartge gf hea-giVing actNities lo b&111 mind. Course a¢iivilies wert interruptJ thjs to Il parn Lmrt leat1¥$ have eontirnd to be oflered tsnllnè. Conlinuedl Pag• 4
Rokpa Trust Report ol Ihe Trustees and Dlr¢tors for th• ytar ended 31 Da¢ember 2022 contind Kagyu Samye Dzong Glasgow From tht earfy 1980's. a gfOUP ol peop mel in Ihe Glasgow area to sIlY a1 pradice the Dharma lo wolk towards having thaii r)wn base In Ihe area all unLler the austmces ol Samye Liro Monastery and Tibelan centre near Eskdalwnvir in the 8orders. Thè prJ)pgrty al 7 Ashley Streel Ilwmeily kn(M as Aokpa House) was purch85ed in May 2000. work bEgan io uparade Ihe foom5 lor use. It was linalty Inauguvaied in Marth 2(1 by th• FtyJndir¥J PresK1ent ot Rokpa Tmst. and co-lounder of Samye Ling, Or Akong TuV RinwKhe. A serrth.wo1e55ion kitchèn vos insialled 7 the basement to FyovKle sp lor the homeless and hungry in GLas91W. Ihe Ae¢eMion and is on on wkdays from 11am to 1. then any vtsitors ace wekomed, and ar¢y plK)ne messages aclloned. 8olh Ihe brary and Shop are atso open on ¥ekdayS from 1 lam lo 1Kwn, weekends by wior arrangem¢nL Everythi Ihal happens at Kagw Samy8 DZONJ Giasww 15 due èntirely to Ihe 8ttorts d its vdunteer stalf. Centre activities have been interrupled due to the Covid paleThc but leachings have conlinued tg offered online. Kagyu Samy• Oiong Scarborough In June 2013. S¢arbrKough Borcwjh Counol voied 10 transler the b¥auW. hisrI¢ bvildirwj Lc¥KlesLMyough LodJe lo Rokpa Trust, as a Communty Asset Transfèr. The f£v5 has bèon on r8oenerath)n of Ihis site, rèstoritYJ it to its original spler4Your and cullural svJr4fKanc8. and q)eniry il as a Contre lor tho health wel1tir ol th8 commu[ty. The maln function ol Ihe Centrè is IQ Pfovid meditalw al ¢oNpassiOtFbawJ nNrn11vlness dassès and relr6ats t b)tM Buoklhi51S ano non-Buddhists alike. as wdl as hèahh atK1 tiiteing serVeS cc¥mrnuniw ouireach. This has teen interrupied due to Ihe Covid.19 paThJemK teaching5 have ¢ontinuèd io b8 olftrad orr. Other K•gyu Samye Dzongs These Centres around th• UK iaryJe in siz• Ircm small gcwps nebn9 in peorde's homes, to the largev centre5 v•lh their own propèrtses. In 2022 Iherè ww• Cerrtres irtthè Scollish Hh18Th. Svrrey. aTrJ Car(fl. Loihlorlen Lolhlorien 15 a lherapeUt comffwnily lor F4CfJlo %Mlh mental hearth prcJlems. silualgd in a quiet ruwal sètting in Soulhwesl Scotland. The ctsmmunity consists of reSlent$ ith memal health protAeffis and voluntsry ¢0-work8fS, livityj in the 13.be¢Jroomed main use and a further li¥e peoF4e lTrvirg in Roan Lodge. th& adjaceni moVen house. rhe staH, kTrJwn as Core GIoup come in on woek¢Jays. As a therapeutic ccmnmuw. Lolhlorien aims to help reopk Ih&i slrewhs a1 work b)wards iecJ)very through the 5har.ed exrIenCe of communtty life. Lothki'rien dilfeis from Ihe vsual aFwroach lo residenti care by airnin9 to minimise Ihe distincti t¢¢A stsll. volunteers an¢J residents a lo avoi¢Y the thvision belween those who ar6 lyell, providing ra for those who ara'unw811'. Insièad, il strives cr&ate a Cultu of mual support, thich lacilitales people In developirvj Iheir slrwylhs atxl al% thefft to see tlwnsel¥es a5 havir¥J SOffl•lhMw to otto1 as well a5 having S¢)mething 10 gain from eomnwnty lif8. The vjeekty prcgr?rnrn? is mainty l(used ort ¢¥gan gardèning a1 ouidoN wort. rt also indu(*s r¢laxation groups based on Tara Row ThfaFry. ArtM)rk arn1 [)n0. Continue Page S
Rokp Trust Report ol Ihe Trustees and Olleer$ lor the year errfled 31 Decemb81 2022 eon14rw•d H•lplng Hom•less In the UnTri•d Kln9dom A¢pa Trust ¢ontinuK lo provth lorJ Lyher necessiti•s to tha tsynss in Glasgow and LoThS)n. This VAS inlerrwte(I durirvJ the Covid re9Jnw¢ in early 2021 or#Y has eontinved to the date of Ihi5 reporf. Ploleets C¢dark Proio¢t in Souih Alrl¢a The Iruslee5 of Aokpa fiu51 U.K. are svpwrtive of Rokpa Twst South Africa coYab)rattr¥J ith the Vision Corporation SA CC in forming Public 8enelil (kgani5ath)n IP801 at CedarFeak Nature Reserve near Capw Town. The w'ncipal objective ol this PBO be to toAsèrve and protad the natural •nvironmèrrt. Buddhism has aNvays been closely lid to waeiisiry in naiuial. secluded environmenls aThY woiectirg and thnserviThJ Ihe enVIrcml. A Labrang lan Institution lor Ihe prornolion of 8Lthhi$rn. rnedl le. therapy aTrJ eLtI3n Ihe reliel ol poverty) ha5 now been built on a de5KJnated pfol in the Cedarpeak Reswve a$ thL8 ts directy cwcemed Wlh Ibe promotion of 8IdhIsrn. The tru51ees of Flokpa Trv51 U.K. are saiislied ihal the woiecl lo buikl Ihe LabraTrJ. whSch Ihey have finishgd. is entirely cortsi5teTht with thwr clsves in iesFect of the fUr1hera ol BldhiSrn. Kenslnglon Temple pro¢1 Acthpa Trusi U.K. is ¢oIL41)ratiTrJ wth Acthpa Twsi SA in trtjlthrg a &Kthst lemKle cffl Lind owned by RrA(pa T11 South Aliica in Ken5irylon in Johannesburg. Thg project wll tre financed by Rokpa Trust U.K. anLI trtjilt, mainiairwd and administered by Flokpa Trusi South Atiica. The key cèiecllve5 Ot Lwjth twst5 are the sarne In r8spect of the buildiw and Maintaining of siLhgy centTèS, monasteries. nunneries zrKJ temFles, as as beneliling ano alleviating the syffering tyl the poor and untrprivileged, the a9ed.. Ihe sd( and the needy by Ihe provtsw of shelter. refuge. facilili85. food, dolhirvJ arnj medici$. St is partKXtlarfy noted that there is severe p)vety in the area ol Kens4knn In Johannesburg arkd the terne VAII used as a base for feedg homele55 people afkj lor the gera1 felief ol poverty. It is also noted that theie is inadequate local wov&on loi medical care, therapy and education in this area. 11 is agregd Ihal the tern 11 te used loi Ihgse Chanble wrpjses in ord81 to lu11 IhB oLieclNe5 01 Lx)th trusts. Rokpa Developments Llmltsd Rokpa OevebFJnenls, a tswd subsirf¢ary ol Rokpa Tfust. runs a and cafe. The shop oller5 goods Irom oveiseas as well a5 ilem5 ma(le at Samye Ung. The cafe offers of t ar¥J drith and is very popular with viylois. No grft a1 ¢knatK)n is due from R(*pa Devd(PM to Rwa Trust this yow. KSDL Trndlng Llmlted KSDL Trading Llmited. ¥¥hich funs th• ealt in London. siart•J tradiro in 2019. KSDL Trathng knmiled is commitled to d10 £9.746 flun its 0111 lo¥ the year lo Aokpa Trust by way ol oift aKI. Conlinu Pa9e 6
Rokpa AepDrt of Ihtr Tru6es •nd DIY•dor$ for lh• y••r •n 31 D•¢•mb•r CMIlrn Fln•nelal Revlthv t)ue lo Ine Cowld.19 paffl. Ilmo hos thjppgd 5¥Jbslwrtlalty. HtyYvg1. •xpw6•9 havé afso i•ducéd lo A J&sseT exténi. AohF4 Tiusl hBs be6yJ rotying ils re5•ms1g Nlh•i lh¥ Ctr¥Jd par•J$m Tho Iwsleos lo(tg•d 8 Signtin1 amounl uf Aokp¥ Tru51 ¢Wlal r•%ows on Il InsJVM6 eash ¥thkh hB5 Ihe tt41n benelil ol olfwing slroyr FSCS Woiectlon ¥151 $0 ollwlNJ a hJr Intor• on Sovinps. R•>•rv•s polley The TfV5t8es r8ser¥e5 ptY is to rnaiirfaln ¥ 8L¥n ow41 lo onè yoo¢s C•Y• rthts as * to enab thartty (o continve opetabng duftng limes ol unfot8s•8n finllndal domarth oi in the tverrt ol a shortlo11 in donalions Al the y•ar end reseives tOlallifyJ £28,108,727 were hekl by Row 7rusL Cl th05tr reservos £1,032.491 are r8SVtciec 8DO f84.ocKI are de$wJnaied. £7.042.t105 aro classfflett AS Yr8• r05wvOs' ¥rtl Iherg101 thé i¢sew F4Ylcy has b88r.. 8xceeu¢(1 Ouring th¥ Pl#n$ fvtuvè wrlods On 9 Fetfuary 2022 Ihe truste85 dwded gra¢al to OFW w the ntr?$ kn Pqhl of thè U.K. govornmeffl dÈdsion to relax Cwtil-19 Teslri¢titylS. Samye ting ijpew agaln on 17 Mw¢h 2022 Is rv)w ILdty for day vi8itor$ an¢ ovwnighl gu8sis. The tru5te•s inslrucled the braf¢h ¢antrgs to tYè¢ldè lor Ihemsèmtes hen arAJ to f•8n ti¢)g itho aOun1 releva u.K. and kxal govemmern rus afvj gimdefines Trustee5' Fesponslbllllles In rn18llon to th• finaft618lAi•ments Company law rwul5 the Iiusl8os. as directrys. to kyepare financial stat•mgrts lor exh IIrWl tye a Irue and lair view ol Ihe slate ol lh8 attalrs anu of the suwus OT defKil ol tr company for Ihal pthod. In t)Se fInala1 slat•ments the Irust•es are required to sékn¢t sultabl¥ Atojuntiw p)lus thon appty them consienvy. make Iwmeftts and esb"maS ihat ale re&sonabt• arwj kwudent and state thether oppIWe 8ccounfiro ha¥8 bthi 1olltsd. SUWI to any fflatwial dep?re5 ddsed and eWainJ in Iho sta1pmts. wepare the linanclal atements on the teM basis ig Inwwiai8 to prestm that compary 11 contsnue in tiOnal eylslenc&. The trvsl•es are iesPW5ible fLY mainlairfng suitable a>>4¥¥j rKtyd5 Vrtmch wllh awaey at any lire the financwl position ol the coThoany aThJ tD 8nat49 Ihern lo ensur8 Ihat the f$al statemènts corn#y 4%ith Ihe Comparries Ad 20. Thty also 1•5r4)nsible IN saf•Olry assets ol Ihe eompany arKI foi taking reasonaL4e steps lor pre¥•nlkn arKI Ilèteth'tffi of at¥J olhar iffwlaritiok In aC¢at rnrrw law. a3 direclNs. wbly Ihal so fai as aware th t& thvènt authl inlorrnalvn gt Ihe company's auditors aro uriowarn. W8 furlher ctrtity thai w ha¥• laken ob th• slaps we ought to have taken in order w make ovr59f¥es ow8t8 ol any i4nt inleAmallon and to eyiablish th8t th• aLK4ths are thai inlum01K. ALKlltors A resLlulion 11 t propos 8t the Amuql Gonw81 th•t Dothj I Co Audm L11r4t b• ltrantj a5 ol the iarfty for IhE •nsutrwJ yow. On beh•M of the board Date: i)rna Ye5he L05 Rlnpothe Paga 7
Indèpendent Audltorfs Report to the Members •nd Trustees of Rokpa Trust lot the year endlng 31 De¢ember 2022 Oplnion WO have audited the finanoal slatements ol Ac4(pa Trust lor ihe year eThJe(r 31 December 2022 Cornpfise tho Consolidated Siatèmènl ol Finala1 Activities. the Charity slament of Finaneal Aciivblies. the Charity 8alanc• Sheet, the Consolidaled BaLance Sheei, Ihe Consolthted Cash Fbw Staiemenl thè relaied tsjles. sne1ling a summary of significant acGountln9 w11les. The finanaal reF¥)rtiThJ fraTr¢v40rk Ihat has bègn applled in thetr proparation is applieablo law and Uruted KiNJdom AccwTrtiNJ Standards, indLKling Financial Reporting Standard 102.. The Flnancial Reporting Slandard appltablt Èn the UK aThY Repvblt ol Irela1 (Uniled Kingdom Generally Ac£epied Acrounting Pritil. In opinion. th8 financw aternent$= - give a true aThd Iwr view of the slate of the group's pargnt chavitable company's allairs as ai 31 0&mtr 2022 and ol the group's ir[ and expendthjre for the year then ¢nded.. . havè been prOpY prepared In accordance th Unit&J Kid0M A£cepted AccounliThJ Prac1e. have been pwepared in accordance with the Cowanie5 Act 20(, the Chardies Acl 2011. Ihe Charilies Tiusle8 Inve5tmonl IS0)IlalI Ad 2005 and regulatn 8 01 the Charities Accounts (Scotla1} RegulatilS 2006 las amended). Basls for oplnton We conducted otsr audit in a¢cordanc8 wih Inlematmywl Slalards on Auditin9 IUKI IISAs IUKII arKI aPpIAble law. (kjr responsikJ'litie5 uTrJer those SiaTrSards aio lurth8F d8scrib8d in the Aurfil¢x's resnSI11ties for the audit of Ihè fin&rla1 statements secbon ol wr rert. Wè artr irbjependent of thè Chartty in accordare 1th the ethic equifemgnts that are relèvant io our audit ol Ihe finaneral staièments in the UK. IncludirwJ ihé FRC'S Ethical Standard. arKI the provi5iws available for small entitie5, in the circurnstance5 sel ts1 in notè 1 to the financial stalements, and we have fullilled other ethiral resporBibilrties in accoidan¢e with these ¥equirements. We believe thal the aurfil we have c4xalned 15 sumlent aklywiate to txtsvide a basi% lor OLtr opinsDn. Conclusions r•latlng to golng ¢oncem In audiling the financial statemenls, have coNJuded that the membets use ol the grj corKern basis ol accountlng In the prepa1a)n ol the linaal Slatents is apwopriate. Based on the work we have pr•formed, hav not entifIed any mal8rial rrtalitieS relating to the •vents or condition5 th81, inLlvidually or collectsvely. may cast gnrftsni doubt on th• eharity's atslity to continue as a goiTvJ concern lor a pertsj ol at least We nK•nihs fwcmn oriolnal finaal StateMts re autris0 for Issue. Our iesponsibilib'es aTrY Ihe resFA)sibihli8s ot truslegs wlh rÈspoct to wing con #re dè$ethd in Ihe relevani seciions ol the report. Other Inlorniotion The Irustees are respons fof the other infOallOn. The other nformatiw cwyi$8s tne inlormation in the annual report other than Iht finaal stslements and our auditorfs rtFrf)rt Ihereon. Our OnIOn on the linarrial 518temerns does roi cover Ihe othèr infoimation aThJ. except io oxtsni OiheTh•ise exF4iLxlly stat¥d in our fgport. we do not exwess any lorrn ol assurance ColUSIon thweon. In ¢omeCtn with our 11 ol the linancial $tements. cwr reSp)rnslIitY 15 lo reatj the thr Inf¢YMatn ano, In (bing so, consKlw whe¢hei the olher inlonnath is materolly 11KsISteI wilh the linan¢ial slat¢rnnl$ or our knowle¢e obtaine(l in the audkt OV Othe aFpears lo be materially mi55tated. Pag¢ a
Independent Auditor's Report lo Ihe Members and Trnshes ol Row Twusi lor the year ending 31 Decefftber 2022 If wè identity su¢h rnat8rial irrGistencIeS aFsHrent rnaigrial missiatgrnenls. we are reqvKgd to determin? whèthei th8Tr Ls a mat•Fial missiarwnl in the finaal slat8menis u a material rnisstatern8nt of the other inlcKmairon. 11. l)ased on IhB work have performed, we COluCIe Ihai there is a mateirdl misstalemenl ol this olhgr information, are rgquir8d to report thal lacl. We hav• Io f¢F#yI n thts rega. Oplnkn$ on olhw matters prescrlbed by the comnI¢S Act 2 In our opinion. based M Ihe rrk uTh¥ertaY(en In the cour50 of Ihe audit: - the informabon given iri Ih8 Iwsiees. rewrt (Incorra1Ing Ihe siraiegK reFort arnj thè di18clors' rgPOrtI for the financial year for wlxch the fir>3ncial 51at$nws are prepai•J is consisient with the linancid statements.. and the t¥ustees' report lincorpjrabry Ihg 51rat8gic 0rt and the c&rectors report) have been prepawd in accordance wilh aWicaUe legal requ1ments. Mattefs on whEeh wè•r• r•qulrtd 10 rèport by excepllon In th8 Iyht ol ihe knoW arxl urtrJ¢rstanth'TrJ ol the Chity and its environn18 oblaird in Ihe covtse or the auijit, we have Thjt idenlrfied m3terrdl mis5talemenls in the Tlees. Annual Rewi. We have nothing lo reFQrt in iespecl ol the loMoviNJ mattets r¢lation lo Companies kt 2006 requ¥es us to feport io yw if. in oui OF•nion- - adequate accounting re¢w¢s hav& been kept OT relurrts uale lor our have Th)t been receNeLS from branch¢5 nol visiled by us-. . Ihg finala1 slate[rlS ar& not in agre¢r vath a¢tountirYJ rectyds aJKI f•tums: - certain disclosures ol tnKslees' rery¥Jwa1ln 5peoll8d by law a made: or - wè have not obtainod all inf0mu1M aThJ 8xplan8tieJns essary for the fMKKJ5es ol oui audrt. Ouf obiectivès are lo obtain reasonablè assurance atout whether the linaroal slatements as a %%knle are Iree trom rnaterial misstatern8nt. vtslher due to fraud or error. and to sssue an au(Jiio¢s ieport that includes Ouf opinion. R8asonat49 as5ui3nc8 ts a hJh 18vd ol assurartt. txrt is not a guafanie8 that an audit conducted In accordancè with ISAS IUKI will always dgted a material misstaiement hen r( exists. Missiatements can arise from fraud Of error aTrJ ale consKJet&J malerial. if w¥JivKSualty in aggregate. they could reasonabty b& ¢xpe¢igd to influence Ihe econ(¥nic tjeosions ol users taken on the basts of Ihese linancial slatemenls. A further descriplion ol (rtjr r¢sptytsitylitN?s lor ts alit oi the f4nwKAI siatements 1$ IcKated on Finanoal Reporting CourKil'5 %4pb5ii¢ at W1.fr¢.tyg.Uk1audi1OrresWrtS1L*1rt. Tlis deserptiN lorms part ol our auditors report. Respon$lb11511es oe the irusie•s As explained nK>re fully in lh• Irustee5' resp)nsknlities slalement set oul on page 7. the Irvslees a responsible lor the preparation of Ihe linan¢k41 staternenls and lor being satisfied that Ihey gr¥e a twe and laif view, and I such Internal ccwitrol as they delermine is necessary lo enat4e preparaiw)n ol (InajaI slatempnts iltal are Iree from rnateri misstalernent, whelhw due io fraud or error. Pw9
In¢lgpendent Auditor's Fltport to the M•mb•rs •nd Truse•es ol RokpA Trnsi
for thè y•ar •nding 31 D•eemb•i 2022
In preparing thg finarKial stalgrnent5, the Iwslees ale respLtrIe for assessing the Charity's akn.lty to eonlinvè
as 8 going coeM, disclosing. a5 8F(Ai¢alJe, matters relaied to gtyNJ eoneem and vyrvJ the eoncern basis
of actounting Un$S the Iruslees either 10 liquKlaie Ihe Charity or lo ¢easg oporaligns. or have no real¢sli
allernalive bul lo (k) so.
Our rèsponslbllllles lor the audlt of the 1SnaneLal statements
We iden'fy aTrY assess the nsks ol material mi55taiemenl of th¥ IartlI statements. wllher due to fraud or
errol, and then ijesion anLJ perfom aL#Yit procedures iespN6Ne tlK)5e ii5ks. indwjirg oblaining autht evidence
Ihai is surficiern arK1 appioFwiaie io F¥ovNJe a basis lor out opirmon.
In idonlllwng and assessing risks of material misstalemeni in resFcI of irrwlarilw includir9 fraud 41 n.
cornpliare with laws and regU1)nS, we Sjered the fdkning.'
rèsulls ol our pnquiries of man49gmthx thi Ihew own Jentilication and assessrrnt Ihe rL£ks ol
irregularities..
any matters w8 JentiheLJ having obtawwd arKI rev the thariy s d(tuNntation ol Iheir 118 and
pr(dureS relang to..
JentilyiThJ. evaluaiir@ arrtS Compl ilh arrfl reti$ and whether they afe aware ol ary
Instance5 of noTh
Independenl Audlior's Report to Ihe Members and Trustees ol Rokpa Trust for Ihe yèar ending 31 De¢emr %Y22 Us• ol th5s report This reporl ts made solely to the members of Rokpa. Trusl. as a tooy, in accordance with Chapler 3 of Part 16 of Ihe Companiès Acr 2006. ¢T aLKlil w(Mk has been undertaken so ihat we might slate to Ihe Charity's membeis th)se matters we are required 10 siale 10 them in an ak¥Jilor's wrt and for other purpose. To Ihe lullest exient permitted by law. we do noi accept or assume responstjility to anyone other than the Charity's mernter5 as a body, lor our audil woth, lor lh rewl. or lor lh¢ okxilons w¢ have lom. oanne Thomlinson FCA Senior Sialutory Auditor For and on behall ol DcKkJ & Co Authl LThbted FIFTEEN Aosehill Klonlgomery Way Rosehill E51ale Carlisle CA12RW Dale.. ..l[.: o.l.-..LQ..LJ Page 11
ow Tiust Consolldatld si•iefflent ol FInW•1 Athl5 Iln¢owTaiing Income •nd •zpendiiure aceouffli For the Year Ettd¢d 31 O¢cbE1 2022 31.1222 31.1221 Restrkted T•i•l Ae•iitted iknresirf¢lEd T•tsi 176577 561.564 207.414 21.124 624.017 738,141 207.414 21. 624.047 1912 229.137 142.851 21.227 3QT.372 420.689 142.851 21,244 307.372 Offt•i Iradlry ac1ms ItWOstmonis 456 Totsl InEomè 1n.o33 1.414.119 1.591.182 .191.S69 892,156 Expendltur• M.. RJ(%in9 lunds Chafiiatye XbvI5 5.450 36.292 63.681 .131 1030.687 2.066.gT9 8.965 .672.464 T.614,464 Totil expendltwe 41.742 2.1)94.368 2,1J6.110 1.655.699 1,66B,295 t In¢•m•l (•MyrAiiiiir•) 135.291 69021 158.973 796.139 Transfer5 bth*•n lu 40,¢))D {0,517.9]51 8,517505 G&nwiwJssesl on r•¥a%Jati ol In¥eslmenl rytylrty 194.425 194.425 N•1 m•¥•m¢ni$ In lund5 95.291 64021 8.358.53 7.7S661 601.714 S37.2 27.716.455 28.653.655 9295.732 19.959.637 29.255.369 Fund5 cllrrtd rtyYér 19 1.03Z.491 27A)76.236 28 IC6.727 27.716 455 28,653 655 P•90 )2
AokpD Tw1 Chaibty Siotemfrni Ol FbnalI1 Actlvllks For Ihe Year Énd 31 December 2 31.1222 31.1121. R¢svkt•d Unrestrl¢ied Totsi Iroffl: Donaikrf5 Oiber If811kn0 176.571 SH.S37 YZI.114 759.423 159.423 21.124 624.047 151.552 229.137 420.689 143.976 143.976 21.227 21,244 307.372 307,272 458 17 6Z4.047 Totsl InEo¥ne 171.033 1.349.131 1.'520.164 191.$69 701.712 893.281 ExPErlr A8L5ing lur#Js Charitat4• Xlsvdi05 5.4 9.015 36292 È.030.497 >.066.789 4.555 ?&c)o a,g65 171.S&7 1*43,5ts7 41,742 I034.C62 l075.W4 32,596 1,647,956 1.680.S NEI Inu¥mE Ileipendllur•l 135,291 604931 549,64 158,973 946244 87.271 Trarthrs bethen lund¥ 140X 40.C(X) 1&517.X151 0,517,505 Galmyse$l oft revalvaiknn oItrw65hiipni ptopB 194.425 191.425 Net mo¥ernEnls In lund 95291 644.931 549.640 e.Jy,532 Funds bioughi Imrd 937,2fy) 27fi22.9 28.56D.IfyJ 9.295.732 19057,214 29.152.946 Fwds ¢affI lornard 19 1 032 491 2&977.969 2a.0ID.460 9312 27 622.900 28,960 1
Rop• Trust Group Balae S1 a¥ •1 31 December 2022 Company nvmber. 326C¢)31 31.1222 31.1221 Flxed assels TarMJiblg 055et5 Inv8strnent property io 19.949.831 19,993.753 680,632 19,949,831 20.674.385 Current 4$$e Oihei asseis siocs Deblors Invesirneht5 Cash al ba1 hand 12 13 672.632 1.799 99.440 850.0 138.833 58.545 1,170,319 6.909.026 15 8,428.376 ,276,725 Credltois: •mounts f•lllng wlthln one year 265.145 288.B60 Nei CLYient assets 8,163,231 7,987.865 Totsl assets less currtnt li•blllties 28.113.062 28.662.250 Crediiors: Jnounts lalllng due oft•1 fflor¢ Ihan one y•ar 17 14,33S1 18,5951 28.108.727 28.653.655 Funds and reser¥e$ Reslricled lunds Unrestrle fun<ts 19 19 1.032.491 27.076236 937.2eAJ 27,716,455 28.108.727 26.653.6S5 The ¢¢$ form part ol Ihe linanciol statements. The finartial siaieff¢nis weie aptyoved by lh• Board arKI were signed on its t*hall by: albar Lama Zo...Qq...lQ..l3 Page 14
Aokpa Trust Comp8ny B•lance Shetl •$ •1 31 D¢¢¢mbw 2022 Cthmpany Mbe1. 3260L131 31.1122 31.12.21 Axed A5selS Tangib assets Inve51mBn15 ImiesimÈni propety 19.948.764 15,992.4195 690,632 15.948.76B 20.67¥,111 Cwr•nl ass•i$ i)th¢f assets stocks DeblOIS Inveslmenls Cash.Bl trart( an¢J in ha 12 13 14 15 "672.632 404.411 149092 1,170,319 8.327.497 .184.425 ¢rediiors- Amoun1$ talllThi du8 wllhkn orn yeaf 261,470 288.881 Nel current •Sge15 -a,6.02? 7.895.564 TolAI 4s5els Ipss cuir•nl IlabllltlÈJ 281•.795 28,568.695 Credllor8.. Amou1$ lalllThJ due •ftv mwe Ihan one y84r 17 14.3351 18.5951 28,010. 28.560,100 Funds and reseN•s R8slrueo fuftos Unresiric¢Èd fu¢s 19 19 1.032.491 26.977,969 937,2 27,622,9C 28.010.460 28 560.ITrJ Th• nrf¢s lom part c4 Ihe IWK13I 5181em8nts. The linancial ststsftvdnis werg awtyfed by Il• *wt soned on its ty: Tsul m Pabar Lama Page15
Ftokpa Trysl Group Cash Flow $18terneni•s4t 31 D•cemtr•r2022 31.1222 31.1121 Cash Il•ws Ir•m opewing act1vhs. N¢ir•slJ provld•dby OP•f4ihJgatih¥ks 40.103 1.951.74 Cash Ilows from Ihvestlng acil¥llS- Oiw¢Jends. kiteiesi and ienls Iram inve51rnty11S Pw¢h•5e ol property. and Muipmeni Ng1 ¢huS8d1n In¥•sllng •¢tlvltl•s 21.580 21.244 000 10.244 13.580 Cash Ilow$ trom Ilnan¢lDg Kiii9'. Repaymtn15 01 boTrotys 141 ¢8sh vsedln Iln•n¢lryxllvlli•s ¢hang¢ In h and Gash eqd¥at•M$ lThthè repwih79 pvrloo 1226.$231 11,933.4981 Cash and cash equIwA# at Ihe beglnfvlwof Ihe ieportlng peilod 6.909.026 8.842.526 Sh •nd ushequl¥•l•nlg at eHd ollht rtport pwlod 23 6.662.505 Paue 16
Rokp• Trust Notes to the flnan¢io1 st#tertnt$ 31 Defflbef 2022 1 Accountlng policles The accounls Ilinafioai statemeni$l have been weparJ in accordance wtth the Staiemenl ol Recomrnended Practice.. Accounling a1 Rwrting by Charities prepariry their accounis tn adall¢e wilh Ihe F¢nan¢ial Reporting SlarariY appl¢ab in the UK and AepU1J of lieland IFRS 1021 and the Financial Reportin9 Slandard applicat4t in the United Kingdun Rewbk of IrelaThJ IFRS 102) aThJ the Charities Acl 2011 as amended by the Charibes Act 2022 and UK Generalty Accepled AccountsThJ Pra¢tice as tt applies from I January 2019. the Charilies a1 Tru5te¢ Imiestmeni IScotlaThJl Act 2005 and regulation 8 01 the Charities Accounls ISco¢laThYI RegulatDns 2006 las amended). The a¢¢ount$ (linala1 stalements) have $0 be6 prepared in accordance wilh Ihe Compafies Acl 21lA. Basls ol preparatlon The charsty meels the delthilion ol a benelit ent Ufth FRS 102. Goln9 eone•m These linanck81 statfjmeN$ have been prepared a goiryj Cor bw. TheTruslees regulafty review the financial Ft)srtirm of the eharily, aThJ as such are 5alislied that I1re are Th) material vncertainlie5 about the thrilS atylity lo Clin as a goi4 Company ststus The company Is a chariiat4e company liThled by guarantee. incorrAiraleLI in EroLaTrJ aTrJ Wales. Principal are of bwnw.. Samye Ling Tibelan Centre Eskdalemuir Langholrn DG13(KIL Tanglble IFxed asset$ All assets wilh art trXpetd Usul life exceediro one year are CapitISed in the balance sheth. Tan9ible fixed assets other than Ireehdd arxl herItae land arè stated 81 o)si less depreuation. Oweciation is provKled al Ihe lollowiro rales lo wrde oll IhB c05t less resthju value ol each wet over its expected uselul econom lrfe: Buildings Building improvements Archives Temple lillings afid eo14pment Refurbishrnent costs Equiprnenl Fixture5 and fittirrfJs Motor vehiclès Compuler equiprnent Office equipmenl Planl and machinery 15% reduciThJ balare slrauhl line 15Yo reduung balance 15% redu¢ing balance 25lA redLting balance 33% straight line 15% reLrj balance 15% reduc1 balan No depreciation has been prwded on tefflple ffttings aTrJ archi as, in ihe 0On ol the trustees. Ihe carryir¥J value 15 at least equal lo orginal cosi. DekYeciatti)n Trs Y charged on th111nal property improvemenis at a faie 011 reducing balance. In the opinion ol the iruslee5 any deprecialion on the building5 element ol laThJ and buik*ngs wwld be immaierial. The carrytrKJ value ol Iehk1 and heritable properly is ieviawed on a reguLaf basis arn1 any impairnwnis will be rewnised. Olher assets Olhef asse15 are IrUed in Ihe accovtms at Ir vthe. a1 ije assets hekl loi sale. Page 17
Rokpa Trust Noles 10 Ihè Ilnan¢lal stsi•mon 31 December 2022 1 A¢¢ouming Wlelès tontitMd Investment propgrth$ Invesim8nt properties afe iued in the accourfs at lair vthe. No deplatIOn Is chargeL¢ on inveslment propwes In line FRS 102. Llabllltles Trade eiedilors are otligations to pay loy goods or sewes that have been In the Ndinary course 01 business from suppligrs. A¢cowts payable ale Classilied as current liabilities if the Charity dDes not havg an ncondilional right, at the enLI ol the reporting petiod. to deler seNlenEnl ol the creth'lor lor at leasl Nvelve month5 aher the reportin9 dale. 11 Ihefe is an uncotxlrtional right to defer setuement lor al leasl e1Ve rnonlhs after the reporf¢ng date. they are presenlgd as non¢wrenl liatslilie5. Trade c110r$ are rec09Th initially ai the iransaci•)n pite ano sthsequentty measur8d at amortised cost ugng the ellective inieresi method. Flnanclal InslruThnl$ Financral assets arJ fInala1 liabilit rLwnised ¥knen the charity becomes a party lo the (>Jnlractual provisions of the instrument. Financial liaLltlies and equity Instrunts are classilie(l according to Ihe substancè ol thè coniraciual arrarrfJements entered into. An equity insirumenl is any contract Ihai ev¥JerKes a residu InreSt in the assets of ihe Charity aftw IledtTrelirKJ 1 of its lith"liies. All l¥wrial assets liakn1rf are initially measured ai transaaion price linclLKJing transactiL ¢oslsl. exeept lor thos? fnanEial assgts clas5rfied as ai lair valu8 Ihrough Pfofii Ioss, v4hth are initially measuf•¢ at lair value l%hich Is normally the Iransaclw price exclvdiThJ transaction costs), urte5S the arrangement conslitules a liwrn9 iransaclion. 11 an arrar#Jernent constilutes a linWlrO transactn, the financial asset or linancial liability t5 measu0 at th8 wesent value ol the fuiure payments discounted ai a Maet rate ol mleresi lor a similar deLI instrumenl. FInarla1 assets and liatrflilies are only offset in ihe statonwnl of finarKial posiiN?n ¥4tten. aThJ only en lhe exisls a lÈgally ènlorcèable rKJht 10 sei OH the reeLwJnised affK)unts aThJ the Chaiity inl•rLls eithor to sèttle on a net basis, or to ieali%e th• assei and settle the liatrAlty simuitsneoJsty. FInatraI assets dereccgnised when and only when al Ihe eorrtrnthal rws to the 5h Ilows from Ihè fiiaftoal asset expire or are settled. bl thg Charity tran51ers to another party subsianiially all ol the rt5ks rewaid5 of ¢)bynership ol tha asset. or cl the Cttwty. despile having retained some. tKrt nol au. signilicanl risks and iewards ol ownership. has transferred ccrtToI of the assel to anoihei party. Finar¢ial liabilities are t1erecognised onty Wrt Ihe (kgatttw in Ihe contraci is tlischarg&J. Caellell oi txpres. Funds The Charity eperaiès restr18. vNestricted and ¢Yeg"LwaieO lunds. Restr80 luTrJs arè those wth8r& the donor Is sp11 as to tl use to whh th8 luTrJ5 are lo be pul. Unresiricted lunds are those bthere the charity is Iret to exporld the funds aOrd3 Imlh th constitution. Deslgnaied iutNts arè thw 5¢1 tor a $po¢ifi¢ PUfF¥)se by the Trustees. we51ments fixed a55•t inv8slments are stated at eost. Current asset investments are irthled at fair value Shry1-te h*3hly IKILHd assets. Page '.8
Rokpo Trusl Notes lo the Iln8nclAI st•tements 31 December 2022 1 Accountlng policks eonlinued Stock Stock5 and work in wc9ress are valLffjd on a first in li1 rAJt basi8 al the bwer ol c051 nel realisaue value. Income Income is recc4Jnised when the coTrJitions of probatylity, enIrtlemt measwemenl have been met. The accountiro policies lor specilic Ixues ol incLne are sei Qui teJow= A¢¢ommodalion. rentl Income, course lees and course donailons A¢¢ommodation. rèntal ir)Me. course fees and course donalions are iecognised whÈn thè event takès place or Ihe Ser¥e is prowdeil. Iro) received whh th)es m8ei the condilions lor fecognibon al Ihe yeai end are induded in credilors to be carried lorward lo the ltskni¥J yew. Don•tlons and le9xles The value of income from donatiorts and legacies accfuir¥J lo the charily are recognised as 500A as it is prudenl and praclicable to do go. Such iicome is r1 recognL8ed uniil Ihe conditions lor receipt have been mel and there is probabilily ol r¢¢eipt. Furthemore. the charity considers that the lactors ol enlilbment. probab'lily and rneasufement must be met W(Ye taking acc thvJ uwxe. Expendlture Expenditure is accounted foi on the a¢¢ryals s. Wherever possie. expenditure is clas5ild according lo s usage. Where thB is nol pJs5it4e. ¢osls are allocated aecord'ng to Ihe wmary activity of the branch which has incurred Ihat expencliture. The cosis which carw)ol be ajlccaled directty are shown a5 SUp)rt cosls in the Statement DI Fancial Aciivilw. Where eX{IllU relate5 lo a SFrfir prqect il is alkJ¢ated io ihat project as restricted eXad11UY$. Deferred tax Delerred tax is recognised in respect linMNJ rfrflerence$ thai have yi9Miated trwt nol reverseL¢ al the baLqnce sheel (Jate. C¢nsolldatlon The ¢onsolidateLS accounls the ac¢ounls ol Ihe eharity and its subsKJiaries. all ol which are prepare(I lo 31 Decemter 2022. The results ol the srtJswJiaries tta been IrJe in Ihe consolKlaled SemeNt of Financial Aclivitie5 from Ihe date of aLYJuIsitn. Irrecover•ble VAT Irrecoverable VAT is charged again51 Ihe ¢aieg0ry ol $0Yr¢¢S expended lor whth it was irKvrred. Support costs SuFPOrt eosls include central fundions arnl have been aifrtaied 10 Nily CO cale9ories a basis Lyjnsistent wilh the use ol resources. Page 13
Rokpo Tru$1 Notes to the accounts For the Year Ended 31 De¢¢mb•r 2022 2 Don•tlon$ and lega¢ies 31.12.22 AlIed Unieslricled 31.12.21 Total Total Donations Legacies Stupa ashes Grants 172.178 4.399 320.266 237.341 492,444 241.740 329,449 88.333 2.907 3.957 561.564 3,957 738,141 176,577 420,689 3 Other tradln9 a¢tlvllie$ 31.12.22 Restricted Unrèslrl¢ted 31.12.21 Total Toial Fundraising evènts Room hire 8 rental in¢on Sales a café income Miscelkneous wicome 647 I),947 49,434 6.386 207,414 647 150.947 49.434 6,386 207.414 2.858 132,110 1.313 6,570 142,851 4 Investments 31.12.22 Reslrl¢ted Unfestrlcted 31.12.21 Total 8ank intefest 456 456 21,124 21.124 21,580 21.580 21.244 21.244 Page 20
Rokp• Trusl Notes to the accounts Fo¥ the Year Ended 31 0e¢ernb¢r 2022 S CPtsaTitable actlvitSes 31.12.22 Restrl¢ted Unrèstricted 31.12.21 Total Total Course lees aThldona1ns Spiritual Health & educati 19.844 19.844 1.280 40 Total coiir$8 fg9s anddonations 21, 124 40 Accommodalion 8.relreal Spiritual Health & èducaiion Total accommodalion 75.563 231,769 307,332 212.313 577,349 212,313 577.349 Oiher irorne 25,574 "624,047 25.574 624.047 307,372 Page 21
Rokpa Trusl Notes to the •¢¢ounts For the Year Ended 31 December 2022 6 Expendllure 31.1222 Raising Splrltual Health & funds Edu¢atlon 31.12.21 Totrl Tolal Dlrect costs Purchases Farm & gardèns Siatue cosis Miscellaneous Travel Fundraising & publicity Foo(l & household expenses Expenses ol subskliary Irading activities Workshops & sangha costs Repairs & mainlenan Salarie5. lOwanceS & enSeS Eslablishmenl c051s Course expenses Donalions & spx)nsorsh Training Z749 4.344 4.383 6.093 2.535 3.783 17.467 3,548 113.411 60,116 1,931 133.105 159,502 185.302 51.677 309,417 1,143 3,353 2.765 965.459 6.255 6.255 6,190 18.702 1,749 2,535 1.166 2,OiXI 14.304 2.466 99.840 617 3.163 1,082 13.571 10,916 9.308 8.474 72,832 6,866 60.116 1.931 133.105 25.800 257.740 2.210 962.694 145.075 171,846 251.924 1,880 664,344 22,038 TotaldiGI costs 69. 131 I.7,252 239.775 7,816, 158 1.390,395 Py22
Rokpa Tw$1 Notes io the accounts For Ihe Year Ended 31 De¢ember 2W22 6 Expendlture {contlnued) 31.12.22 Rai$lng Spiritual Health & funds Educatlon 31.12.21 Total Totsl Support CO81s Omice expenses Insurance Depreciation Finance costs Repairs & mainlenae Consumables Sundry SLsbscriptions Moioi & Iravellin9 Leoal & prole55i0nal Accounlancy & audit Athenisin9 & wblicity Roorn hire 35.7S6 61.091 50.027 14,649 38.284 12.513 9,490 1.895 1.475 37.487 48,269 70,5BI 51.922 44.456 72,391 63.327 10,187 50,947 1,656 5.005 1,828 9,189 16,511 22,40J 75,771 606 21,493 4.121 4.941 1,408 21.098 2.618 1,000 20.799 694 3.955 4,941 1.408 19.897 2.618 1,000 Totalsupport cosls 246.166 73,786 319,952 297.900 Total expèndilure 69.131 1.753.418 313,561 2,13S,110 1,688.295 Page 23
Rokpa TNSI Notes to thè aeeount$ For the Year Ended 31 December 2022 7 Net Incomlng resources 31.12.22 31.12.21 N8t incoming resovrces e stated alter chargiThJ: Depreciation ol taroible assets Audbior's remuneraiion lor audii seNces Audiior's remuneralion lor non.audil seryKe5 51.922 12.500 2,850 63.327 12,500 5.237 8 Staff ¢osi$ 31.12.T2 31.12.21' Gross salarw & wag8s Employers national Insurance Pension contribui¢ons 147.494 9.535 3,186 160.215 161.253 7,826 171.846 31.12.22 No 31.12.21 No Stall numbers No employees earned £60.CrtlO Of more durirwj Ihe year. Ex gfalia paYntS in Ihe year totallifWJ £1,500 Y•ere made to inifwKluals as olter1r in eychaThJe lor voluniary work prowded to the Aokpa Tr51. 9 Fixed asset Snveslments Sharès in subsidiary Lmdertakir¥Js at cosl.. Com 2022 2021 Holding Rokpa Developments Limited KSDL Tra(liNJ Limited Rokpa Developments Lirniled 15 regisiere(1 in S¢olland. KSDL Trading Limitecl is registefed in England & Wale5. Page 24
Rokp• Trust Noles lo the a¢¢ounls For the Year Ended 31 Ottember 2022 10 Tanglble flx¢d assets Land and 8ulldlngS Plant and Machinery Tolal Group Al 1 January 2022 Additions At 31 December 2022 20,475.871 8.000 20.483.871 992.612 21.468.483 8.000 21,476,483 992,612 At 1 January 2022 Charge lor year At 31 December 2022 782.142 37,868 820.010 692,588 14,054 706,642 1.474.730 51,922 1.526,652 B kval e At 31 December 2022 At 31 December 2021 19.663.861 19.693.729 285.970 300.024 19.949.831 19.993.753 Company Land and Bulldings Plant and Machlnery Tol•l Cost Al 1 January 2022 Additions. Al 31 Oecember 2022 20.475.871 8.000 20.483.871 947.869 21,423.740 8.000 21.431.740 947.869 ecialion At 1 January 2022 Charge for year Ai 31 December 2022 782.142 37.868 820.010 649.103 -13,864 662,967 1.431,245 51.732 1.482.977 NelB At.31 t)ecember 2022 At 31 December 2021 19.663.861 19.693.729 284,902 98,7 19,948,764 ,992.495 Page 25
Rokpa Trust Notes to the accounts For the Year Ended 31 Oecefflr 2022 11 Invèstm•nt pr4)perty Grou 31.1222 Com 31.12.22 31.12.21 31.12.21 At l January 20fd Addrtion tjiswsal Transler Revaluation ol In¥esimeni prcwly At 311)ecerntr 2022 680.632 478.207 680.632 478.207 8.000 18,OLYJI 1672,6321 18,OC4JI 1672.63È1 194.425 680,632 194.425 680,632 Invsstmenl proli1e5 were revalued on 26 Novembei 2021 by finsa Gro. an lTrJependent group SP8cialising in propèty valLHlion and the addiknon lo irNe$tment property in the yeai wa5 value(S on 27 May 2022 by Shephèrd Chartered Surveyors. based on their estimate of lair value. The investrnl Iwrty Wa5 translerrei its assels hehy lor sale (ri[¥j the current year. 12 Otr as58t$ Gfou 31.12.22 Com 31.12.22 31.12.21 31.1121 Fthhcdd land lld foi sale 672.632 672 632 672,632 672 632 13 Stocks Grou Com 31.12.22 31.1222 31.12.21 31.1121 Goods lor resale 123.799 123.799 138.833 138,833 9.529 9,529 11.191 14 Debiors Grou 31.12.22 Com 31.12.r2 31.12.21 31.12.21 Arnounis owed by groLP ur*Jertakir5 her deblor$ Prep3yrnent5 305.559 77.852 92.920 56,972 78.440 21.000 99,440 $8,545 404411 149.892 15 Inveslment$ Grou 31.12.22 Com 31.12.22 31.12.21 31.12.21 Cash or cash equivalents 1 170,319 1.170,319 850,000 850.000 1,170.319 1,170.319 850,000 Pag• 26
Rokpa Trust Notes to the a¢¢ounts For the Year Ended 31 December 2022 16 Credllors: amounts falllng due w1th5n one year Grou 31.12.22 an 31.12.21 31.1121 31.12.22 Taxat•)n & social 5ecurily Other creditors Delerre(l income 78.169 182.716 33.289 251,311 4.260 288,86Q 74,494 182.716 4,260 261,470 33,289 251,312 4,260 288,B61 265,145 GTOU Com Oelerred income broughl lorward Released lo income duriThJ year Defer in year Oelerred income carried fomard 4,260 (4,2601 4.260 17 Credllors: amounts lalling due after one ye* Grou 31.12.22 Com 31.12.22 an 31.12.21 31.1121 Delefre¢ incorne 4,335 4,335 8,595 8.595 4.335 8,595 8,595 Gro and Com 31.12.22 Deferred incLime broughl fornard Released lo income during year Deleired ineome carried lorward 8.595 4.335 Page 27
Rokpo Tiust Notes to thè accounts For the Year Ended 31 December 2022 16 Group and Relaled Party TransKllons Transaclions eniered inio 4ith companies iihwi the group are as lo110 . Com an 2021 Aokpa Developments Ltd- a OllY o¥Md subsrdory (included in Ihe c0nsdidal atxountsl Company nurnber: SC148413 Nei assets Tumover Profiv {Lossl 14.049 27,794 10,872 6.678 Samye LirrfJ Tibetan Cent Eskdalemiwr Langholm DG130QL Rokpa Trust provided Rokpa Developments Lld Tmih a loan ol t29J,OTr). Interest ha5 been charged on loan al 2.5%. KSDL Tradir¥J Ltd- a wholly ¢xned sthidiary lin¢luded in ihe ¢onthidaied accounlsl Company nurnber.. 11565160 Com 2022 2021 DonaiiMs Gift A Net assets lurnover Prolitl (Lossl 9.746 1,5331 1.141 1.535 20.197 11,287 Principal pkce of trwsNiess-. 15 Spa Road Bemiondsey SE163SA The charity provides accommodaiion arKJ the means ol subsi%ience to of ihg ordained community Iihe Sangha). As beneficiaries. Ant Lhamo, Lama Yeshe Los& AInFhe, Lama Zangmo and Lama Tsullim Palbaf, received boar¢ and Ic#Jgbng5 in Iheif caparjly as oroained Sangha members, trAJl nhIng in their role as truslees. No expenses were paid lo Iru51ees duriro Ihe Ye howe4Ter meth£al costs lolalling £19,620 were paid lollovAng Lama Yeshe lallKYJ ill vh"Isi an Interfailh Conlerence abroad. Abbot Lama Yeshe los RinpcKhe is a Injsttt of ljoth Flokpa sth Alrica aThJ Rokpa Trust UK. £eSO,000 was transferred to ftc South Afrta (kJrirwJ the year lor the tyJihJing ol a Labran9 on the Cedafpeak Aeserve. P¥28
Rop.o Twst N0te5tothe8¢¢ffi$ For lh¢ Yeai EndEd 31 Decembvr 2022 19 Funds Batanlle it 31.1222 Re¥wrceJ Ht$rwr<•s ol Inv8sthffl Group Rwilcted tunds 568.744 12.C641 1S.tyX) 4.6n 061.771 CLW knid 370.7 937,2 177.033 141.7421 1.032.491 unbItted lunds 27.$32.4$5 110941 28.992238 Pr•r fvnds GliiW(kssesl on rev&uallon TThiThsl¢r ofthed •5srfs 1.1.21 Resources 31.1221 Resirkl•0 Iu The SarDye Prtiit HrAy Isle ProiÈ 4.ts.U69 3.n4.Z34 4$3. Il798) 14.n32711 13.794.2J41 117,195 11,8551 se8.744 ' Chhot lur*5 191.569 {4517.SLSJ 937th) Oe¥on•ied I5 ger1gity 84.rAx) 19.175.637 7fy)587 I1,655.) 8,517.$05 191,425 27..632,455 194'.4 29 653.655
R•w TN¥t 14os iolhe •¢t•unts Forth• Y••r Efidgd 31 tsec•mb•T ZO l• Fund4 1.122 31.12.22 olln¥estmBM 568.744 9S.091 P.OE41 É61.771 OihRi reslKiedlw 36B.4 9372 In.L733 141.7421 i•o,cwJ Y.032.49r 27.53B.g)) I4.121 P.D34.( 26.893.9 2P7& 010.é6D prforal bj5 GalfiWossEg1 e•l•n¢• •t 31.1Z11 1.121 w5Sèts p•rt¢t•dfvTrd5 The sarn Pt¢ie Hvtyw8P 4.n6X J.m. 117 14.rn2711 13,781.2111 117.195 74J74 .744 191.569 937.2th1 OP•NOt¢d b2u$ iea¢knslLmd 1g.m214 701.nz .517.9J5 194.425 27.538.9C•) 29.152. 053261 .425 28.W,I
Hokpo frusl Notes to the 8¢¢ounlS For the Yeap Ended J1 Oecembtr 2022 19 Fuhds leoniinuedl The loifowing lunds aTr coftskaeffjd io be to be used lor SP¢ l)Se5 elh8r laJ dom ty donots or Ihe ierms ol paitvLqr apFeals u agreom8nts'. The Sam e Pro'e . This +5 the name given lo Ihede¥e4Jprnerrts 91 IhB Samye Tern blonaslery ai Eskdèthuir. Fur>Js knre iaied kr specific srages ol the Iwldin9 wks is Ithv £OfflF4•10. The Ho I8 Pr Funds relaiirwj 10 deveknpment aTrJ operwh)n of wa arKIGIBrwoffoth on Ihg of ran 0$ d F4a¢e of ielreal far Budtlhists and pWe4f all faiths. To build o medi¢al tlirit in ihe w>uods ol Ddma LhakarJ. sia118d ty a rdeffl thjuor. AL50 10 tyJYd sheliored hous91( 11se etrdedy. lo givfr Ihose havo n? èThJ are wed for by Ihe Monastery memI0rtable ac¢ommth1. Thls lund creaied and SF•M ybin the yea oll behattol a resi(teftl tv) tNas havtrq ifKuhy Iran5fwrKw a th)naikn lh• KSD Lubumbashi C¢nir•. ther A IrleiBd Funds Funds raised for proier15 eslatyished al Kagw Sarn>Y for the furflwance ol Pthjhtsm and oiti furth wthetÈ lhe Il)nor has p&coa restl0n$ on Ihe cl ts l¥J$ w0vkI. Des nAl•d Funds The irusiee5 have des¥Jnaiea fuS1or !h8 TSetan Lamas and othw reh3Kusathws 10 wr5ue a ieIhJS 20 Trnnsle The van5tèr Ir¢yn unre51led fund5 10 rrIMe0 ol E40.000 represents hJnd$ rd¢ased lo the SOFA Irtyn Ihe balance sFei in Ihe year. The lund5 wer8 Driglnaly earmarkèd as a kiars tyjl are now bÈlng dasstfd as a donat). This donalKJTh w35 rO¢eed in 2018. Tho ds restriaed fuify sponl on ihe u8aikJn ol a yoga room ai Scalbofough. lunds Te Spe in 2018 aftd wve dossilied as ey4>endiiure, henc Ihe transfer ol nds lThis y¢. 21 Nel as$ets byfund Resirfded LWn•ted Unrtstrtcted lunds lunds Tot•1 tunds Group Flx¢d assels C¥Nrenl assets ciedOr$ du¢ *hin yoar Credofs Llue 3fter on¢ year 19.949.831 7,311.885 1265,1451 4.335 26,992,236 19.949.831 8.428,376 1265,1451 I.tY32.491 1,032,491 84,WO 28,106,727 Pa92 31
okpa Tnjst NolO5 10 Ihe èeeovnts For the Year Ended 31 DBc•mber 2022 21 Nel 8sse¢s by lund Icontlnd} Restrlcled lunds Degignal¢d fwid$ Umstrlded lunds Toial lunds Company Fixed assets Inveslrnenl assets Current assets Creditors due wtlln one yeai Ciédiiors ¢Sue aiier yèar 19.948,764 19.948,764 1,032.491 7,211,006 1261,4701 4,335 26.893,9 8.327,497 1261.4701 4,335 28'.010.460 lor >wr nel ass*ls by fvnd Group Aeslri¢led fund$ DesSwbaled fundg Tolal fvnd$ funds Fixed asseis Invesimenl w(peny Cuirent assets Credilois due within one yyai redilors due 8ller yeai 19.993,753 680.632 7,255,525 1288.8601 595 27.632.455 19.993.753 680.632 .276.725 1288.8601 8.595 28,653,655 937.200 937,200 84.rK Deslwi¢d lund$ Vmestrlcled lunds Total funds Cornwy funds Fixed asseis Invesirnenl asseis Cuiieni asseis CdItorS thIn one ytar Cfedilors due alter yeai 19.992,499 880.632 71.6,322 1268.8611 8,595 21.091,997 19.992,499 680,632 8.184,425 1268.8611 937.20Q 937.200 28.560,100 Page •2
Ilokpa Trys¢ Notes to Ihe 袢ountS For the Year Ended 31 December 2022 22 Re¢Mcillalion ol net Incomei(txpendllurti io nel ¢•sh Ilow Irom ¢peralbng tI¥ll1e$ 2022 Incomellexpéndlturel for the reportin9 Poriod 188 per ihe sialemenl ol fin•[91 actlvltk51 IS44,9) 1601,7141 Adjustrnentsfor.. Depr18110 Divl¢JeTh1s. Inieresi aTrJ renls Ir 11ncreaseecre8$e in Invesrmenl property Ilnciease)Ide¢iease in in¥8stments IlncieaseyLl8crease in eiher asse I1rea$eYecrO8$e in si(tk5 Ilncreaseydecrèast detrlOIS lrtreaswldecreasel in ¢rethiors Net ¢ash pl0ded by operating act1¥rS Sl.922 121,5801 680,632 320,319 1672.6321 15,L134 140.8951 27,975 1240,103 63,327 121.2441 202,4251 11.170,3191 135.3391 14,869 1,951.7421 23 Chor4Jes In r1 debt 31 O¢¢tmbei 2022 At 1 Jonuary 2022 Cash Ilows Cjgh and Cash toulTAltnts 6,909.IY28 1226.$231 6,682.505 Total 226.523 6,682.505 24 Finan¢l•l ¢¢Jmmltmeft ID 2021 Rokpa Trusi cOnle io pay E1.5 miifx)n Iowa Ihe of a Labrafig on th? CJarp8ak A4sBrye. £850,000 was paid during 2W22 i¢rards Ihs commiinwni12021- E417,OOJI. In 2021 Rokpa Trusi d50 ¢thnftMrted 10 pay t650.000 Iwrd5 Ihe tlIng ol a telle tn Kenyrvdlort, South AfrA. tnil was paKI 2022 IrdS trms COnitMent[202l . £150,fth 2020. t33.(WI. Pa33