REGISTERED CHARfrY NtIMBER: 1071867
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS FOR THE YEAR EhlDED 31 DECEMBER 2024
SHREE JAIN SANGH EAST LONDON AND ESSEX
Pre8ton8
ch￿tered AccountAnt8
364-368 Cranbrook Road
Gant8 Hill
Ilford
Essex
IG2 6HY

SHREE JAIN SANGH EAST LONDON AND ESSEX
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THK YEAR ENDED 31 DECEMBER 2024
PaEe
Report of the Truitee•
I to 3
Independellt Exarnlnerli Report
Statement of Flnanelal Aetlvltl
BAlance Sheet
Notei to the FlnanclAI Statements
7 to l2
Detalled Statement of nnaDclal Aetlvltl
13 to 14

SHREE JAIN SANGH EAST LONDON AND ESSEX
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
Thc trustces present th¢ir Teport with thc fina￿la1 ststements of the charity for the year ended
3 I Ik£ember 2024. The In￿le¢S have adopted th¢ provisions of ArKounting Bnd Rewjrting by Charities:
ststement of Recommended Practice applicabl¢ to charities prcparing their account8 in accordanrK with the
Financial Reporting SLandard &pplicabl¢ in Ibe UK and R￿UbliC of Ireland (FRS 102) (effe¢tiv¢ l January
2019).
oBJE￿]VEs AND ACTivfTIES
Objectivej llnd aln)J
The principal activity of the charily conlinucd to be ensuring the needs of the people within the cornmwiity.
prornoting religiou8, Gultural, spoth and charitablc ￿tiVItieS with the community. The organisation is run by
a committee ekctcd on L bi annual 8oneral meeting and li guided by the t￿￿te¢s,
l) Charlty'• maln Alm8 Are as followB:.
a) Other General ch￿1t￿ble purpose8
b) Ovff8eas Aid and Famine Relief
c) Religio￿ ActivitlV8
d) Arts and Culture
e) Sport8 and Recreations
fj Animal WeEfare
g) Bnvironment, conscrvation and heritage
2) The ¢hArfty works for:.
a) Children and Young People
b) Elderly and Old People
c) Other ¢hariti¢s and voluntary bodies
d) General Public and mankind.
PublSe b¢n¢flt
l) To promot¢ Jainism which advoc2t¢$ non-violence, goodwill toward8 all mankind, animal welfar¢ and
vegeterianism.
2) To or8aThise 80cial. cultural and religious funclion8 surrounding the aspects named abov¢.
3) To promote phy8ical Activity and encouragos special interest 8roup8 like women and youth to come
together and network
4) To conduct religious di8¢0urges and prayer8 With emphasis on respect for the elderly.
Page I

SHREE JAIN SANGH EAST LONDON AND ESSEX
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
ACHIEVEMENTS AND PERFORMANCE
Charltable a¢tivltie5
Shree Jain Sangh East London & Essex 18 a vibrant community based in East London dedicatcd to prnmotinB
Jainism and ils core value5. The Charity is trAnaged entirely by elected voluntEer5, chosen every two y¢ar8
by community members to ensutc Teprcsentation and accountability.
Throughout 2024. the Charity continued its ¢ommitmeDt to fostering 8piritual growth and community
¢ohe8ion by hosting a diverse ran8e of religious and social ¢v¢nts. These were delivered both in-pcrson and
virtually to accommodate all members. Every ¢vent W88 design¢d to advance the Charitgs key objectives:
promoiin8 the principles of Jainism and slrengthening the bonds among our mcmber5.
Our annual programme of events T¢main8 c¢ntral to kceping the community engaged and connecled. By
offering a variety of activities, the Charity seeks io involv¢ different age groups And demograpkic8, ensuring
all members feel welcomed, valued, and supported. This inclusive appro8clL has helped n￿)ntain Btrong
participation and ¢nthusi88m within our community.
A significant rnilc8ton6 in 2023 was the dcci8ion by thc tn￿teC8, with rnembcr apprnval, to rent out a
property owned by the Charity. This strategic move was made to generate funds with the lon8-t6rn1 8oal of
aquiring a larger facility better 8Uitcd to our growin8 community's needs. Throughout 2024, the trusiees
have dAligenLly continucd mana8ing this inilialive, oversecing ienancy arranBements and building o r¢s¢rv¢
to support lulurB cxpansion. This important work will rem&in a priority into 2025, as we strive to enhanc¢
tho CharilY8 facilities Lnd services.
FINANCIAL REVIEW
Flnanelal posltlon
The financial Statements have been pr¢parcd implomcnling ihe ChAritlC5 SOPR (FRS102) Accounting and
Reporting by Charities.. Statement of Rccommended Practice applieable to charities prcp&rinB their 8ceount8
in accordance with the Fin&ncial Reporiing Siandard applicable in thc UK and Republic of Ircland (FRS102)
effective l January 2019.
The Ststement of Financial Activities Bhow incoming resource$ for lh¢ year 2024 of £67,616 (2023:
£38,764) and outgoin8 resources of £14,751 (2023: £22,784). making net incomin8 reyource8 of £52,865.
(2022: £15,980).
The total reserves at the year end stood at £650,186 (prior year £597,321), of which £71,674 (2023.. £60,331)
was restricted.
rree unrestricted reserves amounted lo £21265 . (2023: £18, I40.)
Reservel polley
The Charity carrics out a varicty of both long tern] and short t¢nn projccts, and the Tru8teeK have examined
the requirements for free re8erve6 and the Trustees bclieve it to be insutyicient and are considering ways in
which the additional funds can be raised.
FUI'URE PLANS
Looking ahead to 2025, the Executive Committ¢¢ is commilt¢d to 8UStaining the tnomentum by organising
regular events that nieet the evolving inlerests of our members. We aim lo mainlain, if not incrch8
participatioo l¢vcls, fostering a strong sense of UDlty and shared purpose within the an8h.
The trusteeg ¢xpre85 their gratitude to 811 membeTS, volunt¢¢rs, and 8UPPOrters whose dedication arKI
ntributions have made this proEress possible. Together, we look forward to & year of continued Browth.
engagement, and service to our community.
Page 2

SHREE JAIN SANGH EAST LONDON AND ESSEX
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
STRUCTURE, GOVERNANCE AND MANAGEMENT
Covernlng document
The charity is controlled by its gov¢rning docum¢nt, a deed of tru8t and constitutes an w)incorporakd
charity.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Charlty number
1071867
Prlnclpal addre$J
15 Selwyn Avenue
Ilford
Esscx
IG3 8JP
Truite••
Mr Saa8ar Harish Mehla
Mr Nimi8h Shah
M5 Geeta Meht&
Ms Ashni Virendra Mehta
Mr Kamil Shah
Mr Priy¢sh Harish Mehta
Mr Karan Jitesh Shah - Re8igned in septemb￿ 2024
Independent ExAmlner
Anwer Patsl BA(Hons) BTrP, FCA
Piestons
Chartered Ac¢ountants
364-368 Cranbrook Road
Gants Hill
Ilford
E88ex
IG2 6HY
Approved by oThler of th¢ board of trust￿ on................. ...... . . ................ and &i8ned on its behalf by:
TnJst¢¢ S htrl
Page 3

INDEPENDENT EXAMZNERIS REPORT TO THE TRUSTEES OF
SHREE JAIN SAIYCH EAST LONDON AND ESSEX
IDdepelldent eIaminer'i report to the trustees of Sbree J*ln Sangh EA$t London and Eswx
I reEx)rt to the charity tni8tee8 on my examination of the &C￿Unts of Sbree Jain Sangb E&8t London and
Essex (the Trust) for the year ended 31 Dec¢rnber 2024.
Re5pon8ibllltle8 and bas55 of report
As the charity trustees of the Trust you ure responsible for the preparf4tion of the accounts in accordance with
the requircmcnts of thc Charitics Act 2011 (Ihc Act?.
I report in respect of my examination of the Tntst's account8 e4TfAcd out under Section 145 of the Act ond in
carrying out my examination I have follow￿ all applicable Directiotss given by the Chtirity Commission
under Section 145(5)(b) of the Act.
Independent txamlner's itaternent
I have completed my examination. J ¢onfiTJn that no material m&tter5 have come to my attcntion in
COn￿￿tIon with th¢ uamination giving me cauge to believe that in rnaterial re6pect:
accounting rcLM)rd8 were not kept in re8pect of the TTh￿t a8 required by Section 130 of the ACL" or
the accounts do not accord with those recor(L8; or
the accounts do rlot cornply with the applicable requircmcnts concerning thc fonn aThd contcnt of
accounts set out in the Charities (Accounts and Reports) Regulation8 2008 other than any requirement
that the &ccounts 8ive a true And fair view which is not a matter considered as part of an indepcnthnt
examination.
I have no concem8 and have come acr088 fAO other matters in connection with thc ex8mtnation lo which
altention should be drawn in this report in order to enable a proper under8tanding of the accounts to be
reachc
Anwer Patel BA{Hons) BFP, FCA
Prestons
Chart¢rcd Accountants
364-368 Cranbrook Road
Gants Hill
Ilford
Essex
IG2 6HY
Page 4

SHREE JAIN SANGH EAST LONDOIY AIYD ESSEX
STATEMENT OF FINAI¥CIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2024
31.12.24
Total
funds
31.l2.23
Totsl
Unrestricted RestrictEd
funds
fund
Notes
INCOME AND ENDOWMEY4TS FROM
Donation8 and lega¢ie8
4236
4,236
3.956
Other tr￿Ing activitics
Invostmcnt incomc
6,941
38J97
18,042
24,983
38J97
24.042
10,766
Total
49￿74
18,042
67.616
38,764
EXPENDITURE ON
ChArltable ￿tIVItIeS
charitable a¢tiviti¢8
052
6,699
14,751
22,784
NET INCOME
41,522
IlJ43
52,865
15.980
RECONCILIATION OF FUNDS
Tolal funds brought forward
S36J90
60031
597a21
581,341
TOTAL FUNDS CARRIED FORWARD
578,512
71074
630,186
597,321
The notes forni part of these financial statements
Page 5

SHREE JAIN SAIYGH EAST LONDON AND ESSEX
BALANCE SHEET
31 DECEMBER 2024
31.12.24
31.12.23
FIXED ASSETS
Tan8ible assets
Notes
515,442
515.442
CURRENf ASSETS
Debtor8
Cash at bank
4,400
149044
4,400
106,304
154J44
110,704
CREDTTORS
Amounts falling due wilhin one ye8r
(19,500)
(28.825)
NET CURRENT ASSETS
134,744
81,879
TOTAL ASSETS LESS CURRENT
LIABILITIES
650,186
597,321
NET ASSETS
650,186
597,321
FUNDS
Unrastrioted fimds:
Gencral fund
Unrestricted Designated Funds
21,265
557,247
18,140
518.850
578,512
536,990
Rcsiricta funds:
Restricted Fund8
71,674
60,331
TOTAL FUNDS
65￿180
597,321
The fino
temcnts were approved by the Board of Tn￿te¢S and 8uthoris¢d for is8￿ on
and werc Si￿ed on its behalf by..
Trn8tse Sh*1
The notes fomi part of these fllwicial statements
Page 6

SHREE JAIN SANGH EAST LONDON AND ESSEX
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
ACCOUNTIIYG POLICIES
B28is of preparlng the finAn¢lal statements
The financial statsments of the charity. which is a public b¢nefit entity under FRS 102, have be¢n
prepared in accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities:
Statement of Recommcndcd P￿tice applicable to charities preparing their accounts in a¢¢ordanc¢
with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)
(effective l January 20I9)', Financial Reporting Standard 102 Th¢ Financial Reporting Stsndard
applicable in the UK and Republic of Ireland, and the Ch4ritie$ Act 2011. The financiRI 8lat¢ments
have been prepared under the historical cost convention.
IDeome
All income is recognised in the Statement of Finaftcial Activities once the ch&rity has entit]ement to
the funds, it is probable thai the income WAII be receiv￿ and the amount C4n be measured reliably.The
rental Income is on a receivable basis.
Expenditure
Liabilitics are rccogniscd as cxpcndilurc as 8oon a5 there is a legal or constructive obllgatio
committing the charity to that expcndilurc, it is probablc ihal a transfer of economic benefits will be
rcquircd in 8cttlcmcTJt and the amount of thc obligation can bc meaNured rcliably. Expcnditurc i
accounted for on an accruals basis and has been ¢la88ified Under heading8 that a88re8ate all cost
related to the category. Where costs cannot be directly attributed to particular headings they have
b¢cTh allocated to activities on a basis consR8tcnt with the use of resuurces.
Tanglble flxed A8seti
Depreciation is provided at the followin8 annual rates In order to wrlte off each asset over Its
estimated u8¢ful lif¢.
Tvdxatlon
Th¢ charity 18 ¢x¢mpt frorn tax on it$ ¢haritsble 8¢tivities.
Fund accountlnE
Unre8tricted fund8 can be u8¢d in accordance with charitable objectives at the di8CTetion of the
tru8te¢8.
Re8trACtcd funds can only be used for particular restricted purposes within thc objects of the charity.
Restrictions ar15c when specified by the donor or when funds arc raised for pllrticulRr restricted
purposes.
Furthcr cxplanAtion of the nature and of each fund is includod in thc notcs to thc financial
statements.
Page 7
llt1nu￿...

SHREE JAIN SANGH EAST LONDON AND ESSEX
NOTES TO THE FINANCIAL STATEMENTS- eonthiued
FOR THE YEAR ENDED 31 DECEMBER 2024
OTHER TRADING ACTIVITIES
31.1224
31.12.23
Dev DhrAvya
Bhagini Mandal
Jiv Dhaya
Otber Jncome
13,328
3,115
1,599
6,941
12,740
3,227
1,721
6,354
24,042
INVESTMENT INCOME
31.12.24
31.12.23
Rent8 rcccived
Deposit account interest
37,500
897
LO,766
38,397
10.766
TRUSTEES, REMUNERATION AND BENEFITS
Thcrc wcr¢ no trustcc&' remuneration or other benefils for the year ended 31 December 2024 nor for
the year ended 31 Decernber 2023.
Tru•teei' expeDIoy
There were no trn8tses' expenses paid for tbe year ended 31 December 2024 nor for the y¢4r ¢nded
3 l Decembvr 2023.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES 31.1223
Unrestricted Restricted
funds
fund
Total
funds
INCOME AND ENDOWME]YTS FROM
Donations and1¢8a¢ies
3,956
3,956
Othcr trading activities
Investment income
5,366
10,641
18.676
125
24.042
10.766
Total
19,963
18,801
38.764
EXPENDITURE ON
Ch¥rltable aetlvltlei
¢harilabl¢ aGtivilies
15.151
7,633
22,784
NET XNCOME
4.812
11,108
15.980
Page 8
continued...

SHREE JAIN SANGH EAST LONDON AND ESSEX
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 DECEMBER 2024
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES 31.1223-
eontiuued
Unre8tricted Restricled
funds
fund
Total
fimd5
RECONCILIATION OF FUNDS
Tolal funds brought forward
532,178
49.163
581,341
TOTAL FUNDS CARRIED
FORWARD
536,990
60.331
597,321
KEY PERSONNEL MANAGEMENT
Key Persomiel Mana8cment compri8¢d of th¢ Board of Tn￿te£s.
TANGIBLE FIXED ASSETS
Freehold
propety
COST
Al l January 2024 and
31 D¢¢¢mber 2024
515,442
NET BOOK VALUE
At 31 DecembcT 2024
515A42
AL 31 Deeember 2023
515.442
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.1224
31.12.23
Other d¢btor8
4,400
4.400
Page 9
continued...

SHREE JAIN SANGH EAST LOTrIDON AND ESSEX
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 DECEMBER 2024
CREDITORS: AMOUNTS FALLINC DUE WITHIN ONE YEAR
31.12.24
31.1123
Other creditors
19.500
28,825
10. ANALYSIS OF NET ASSETS BETWEEN FUNDS
31.1224
Totsl
funds
31.12.23
Total
funds
Unrestricted Restricted
funds
fiwd
Fixed assets
Current assets
Current liabilxti¢s
515,442
82,570
(19JOO)
515,442
154,244
(19￿00}
515,442
110,704
(28,825)
71,674
578,512
71,674
650,186
597.321
11. MOVEMFNT IN FUNDS
Net
movement
in fuDds
At
31112124
At 111124
Unrutricted fund8
General fund
Unrestricted D￿jgnIted Funds
18,140
51&850
3,125
38a97
21,265
557.247
536,990
41,522
57&512
Restrlcted fu•ds
Re8trict¢d Funds
00,331
IlJ43
71,674
TOTAL FUNDS
597J21
52,865
650.186
Nel movement in funds, included in the above are a8 follows..
Incomin8 Resources Movement
r¢8ourc¢8 expended in funds
Unrestrficted fllnds
General fund
Unrestricted De8ignLted Fund5
(8,052)
3,125
38,397
38JWI
49,574
(8,052)
41J22
Re8trlcted funds
Re&tricted Funds
1&042
(&699)
IlJ43
TOTAL FUNDS
67.616
(14.751)
52,865
Page 10
continued...

SHREE JAIN SANGH EAST LOIYDON IIND ESSEX
NOTES TO THE FJNANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 DECEMBER 2024
11. MOVEMENT IN FUNDS ￿ eontlnued
Comp8rative8 for movemeot In fund¥
Net
movcm¢nt
in funds
Transfers
tween
At
31112123
At 111123
UnreBtricted funds
General fund
Unrestricted De8i8nated Fund8
16,736
515,442
4.812
(3,408)
3.408
l8,140
518,850
532.178
4.812
536,990
Restrlcted fundi
Restricted Funds
49,163
11,168
60,331
TOTAL FUNDS
581,341
15,980
597,321
Comparative net mov¢n)ent in fimds, included in ihc above are a$ follows:
Incoming Resources Movement
resourGe5
expended
ill fun(ts
UDreitrlcled fund8
G¢n¢ral fwid
19.963
(15,151)
4,812
Restrkted fund8
Reslricted Fund8
18,80I
(7.633)
11,168
TOTAL FUNDS
38,764
(22,784)
15,980
Page 11
continued..

SHREE JAIN SANGH EAST LONDON AND ESSEX
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR TRE YEAR ENDED 31 DECEMBER 2024
11. MOVEMENT IN FUNDS - continued
Unrestricted
Re8trlcted
Bbagln Mahavfi
Heathw imanga
rJayan
JivDh DevD
Ay
ravya
Core
Property
Totals
Illll4
1&140
518050
1,615
5,027
752 &188 44,749 597,321
Income
11,177
38.397
3.115
772 I,599 12,555 67,616
Expendit
(8,052)
1,542
(730)
(4,426) (14,752)
Ne￿￿rp
3,125
38J97
1,573
42 1,599
8.129 52,865
cirwd -
31112124
21,266
557247
1ffj15
794 9,787 52178 650,186
12. RELATED PARTY DISCLOSURES
Th¢￿ wcre no T¢la*d party transactions for the year ended 31 De¢emb¢r 2024.
Page 12