Charity number
1084278
BABA WADBHAG SINGH TRusr
Trustees, Report and Accounts
31 May 2023

BABA WADBHAG SINGH TRusr
Report and accounts
Contents
Page
Chartty detsils
Trustee report
Independent Examiner's Report
Statement of Financial Activtties
Balance Sheet
Notes fom)ing part of the Flnancial Statement

charftylrf0rr￿￿QTr
Mr Makn¥n S1Th8h fthirnan
Mts Inderjit tthiman
Mr Pal Shah
Mr Dhknan
Mr Manol Kumarsalu
Mrsardeep Sin&h Rai
Misinderlit tsJr Dhlman
Mt5Haidw K3uf Bhandal
Mr Ravind¥SknehWrdl
Mr]at￿dEr￿n
MrsReva Salu
Ar Pal Sin
Pregthlnt
Tr&I￿rer
Mernber
Mthibet
CornpleteA<couDtins ProfeW￿￿ Ltd
46,Thr￿￿eYwa¥
Sutt
5yrrey
sKt14AF
nk4rs
B*day$ 8ank Pk
P.O.Box738
Londr
W69HY
Greenford Ao
Greenlord.
Al￿dIe$eX UB69AT
chrttyNumbor

BAgA WADBHAG SIN6HTRusr
Tvu5tee5 R4port
Thetrustees presentther rewK4￿thefts*￿1al slai•))ertorthe￿lorthe*arertded 31 Mty202
Thetrustee5adopted the pr<Nlskinsof ihe St*ement of Recommended PTrcbce150PR 2¢I)51
"Accountingand Reportingby Charities. in rep3irin8 theaThnual repm and financial Slate￿nts of thethaiity.
Thetrusteesofthe charty8￿ I￿£￿ oft pa8e land sen& throLthwt thevear. The PAiard hasthe rx)werio
aPWlDt addrfiicnal trustee. as r(Con￿d￿S￿l0do $0. Everyt￿Vrett￿Stee5 sh3￿bE￿pp0lnts￿ byre501ution
ofthEtru5tees pa55ed ai a swial m￿n￿3nd/OF1￿1tC0fd3nCe ￿th thegu•Jeline5and procedure out
the ch3fityc0mmls￿t)Th. The C¢mmitteei5 appointed as pertheunsr1tutir￿OfthQ trust and seNed
through outtheyeaT.
Thetharity'sobRctsand re8u*insare re￿￿ted bythe Con5ti(utiDn. It Isesta￿45hed to protha centre
where the community Cal)￿lhel forwor5hip and cdebAtev3mUsfesrfv31s ac¢ordln8 ro the ￿l￿￿re and
provide facilttiesforwEddings and prwide 3 PL￿OI￿OrshiPWhe￿ communityMem￿<3rt Trri9t otha re8ular
basis.There have been no charges in the charit¥'sobiettsoTpDkie5duringtheyear.
In linewith theCharty'sobhctNes. Baba Wadbh4Tutsc0ntin￿ to prnKlea centreforthe cfymmunity
to gather forworship. ThetrustbuiWin8wascompknd3nd opèned for8eneral public fvom Augurt 2011 and
allthe dai1yandTrA*ek￿￿lents ha%t luntt¥￿irte$I1CRtbp￿fru￿DEw prem
Cash re5erYe5attheend oftheyear eguated io •bwt 1074% olthe No￿r￿10perat1￿S eJpendf(ure.The atiathed
financlal sraiernents show the tttrnent statÈof afftir5 ofthefinanc&whith the commttieecon51derto be sound.
nd (ontsnuethe pofyofmairtainin8such IW *LsftyfU￿￿ pr0ftctsartdfwtr*ran￿0f1he￿￿It￿s
aetDnbes.
ftrJkAnaty315
Tru5tee5 areoflhe oplnts)n thatthereare no thai￿ rtskstowhith theth4ntyi5eATrosedto.
ioanfor #UHd1￿ reno¥adon
Trust Is up to date towards repa￿At0f k)afttsken Nafjc4wkle &JitsWnBsoo*tytowa¥ds bU[￿l￿the
premises & and the ￿an has been seiwdwll*the finanualyear.

dl piep¥tt￿firp￿alsts1￿Mellt￿￿￿rl￿COnr￿rn L4•NwcfthtOa5x*meth*the
Ichalimanl

BABAWADBHAG SINGHTRUST
I￿¢PendeNt Etsmirw'5 Report
tothe tru5tee5ufBA￿ WADBHAGS1146HIRU
We reporton the￿￿J￿tsdt￿ÈI1ustfUrth￿Veaiend￿d 31st m￿2023wh￿h p¥es5to9.
The charty'5 trustees are respOn￿b￿ forthe prep3rati¢)n oftheactounts. The￿r￿$trY￿sCrln5*1erthat and
audit Is not required forth15y¥nder se¢OwL 144olthe(harlOesk12011 and thatan 1ndependenteyaffltn3￿r1tt
sneeded.
IE isourre5ponthlntyto=
examine the accounts undersecrw 145of the Ch?ribesAci:
tDfolkiw the swocedvres down in the8eneral dwettN)n$8i￿ bYtheCharttyC4￿ti￿s$k)n under
sect￿￿ 145lSllbl of the Charit￿SA¢ and
tostatewhetherparticularmarter ha¥e CO￿t0￿ra￿e￿IW￿.
Ourexaminaknon wa5orried cArt in accordance with the 8eneral(fIrectKA￿81ve￿ ty the CharityCDmrruS￿oTr.
An examination includes a revwof the xcwnting recordskepttythe Charity￿d8 ctynparisc4)ofthe accounts
presented wSth those records. $1 atso includes consvjeration ofany untwJal iterrtsordithures in the xcoun
nd seekine e%planatwJnsfrom youa5tru5tees Concerni￿$anY Such matters. TheprcKedure5undertaken da nDt
VO¥HJe allthe e￿de￿￿thatV￿)Ukl be required in an audrt and Cr•Thseq￿entfy noownkin t58Tr￿n astowhether
the account5presenta'true and tsir¥￿ and Ihe re(Krtlslh)ltrd tothose matters sd U*#atemeni
bebw.
In connection with ourey¥m*Thaikin, no Mattwhas¢¢ffttoowar￿tkn'.
l. WhKh gNe5 reasonable cau5eto befie¥e thatin, a￿V m*eii31 ￿spe¢ the requirefflents
lal to keep accounting record5EI accordance with section UO ￿the ChaririesA¢' and
blto prepare accounts whkh atcord With the a¢¢ountynÉ recordsarnf totomptywiththeac£ounikn8
irerrtntsufthe C￿lItIeS￿￿ have notbeen w or
2.To whKh, in ￿rown￿)n. attethtth SI￿￿k1 bedrawn knorderlo enabk a propeTunderstand•woftho xcounts
tobe reached.
Cornp￿e AccountiiB profu￿ana1 ￿mIted
46. Throw* Way
Sutton
Sufrev
SMI 4AF
SeF23

8ABA WADBHAG SINGH TRUST
Statementof Flnandal Activltles
for the year ended 31 M3y 2023
funds
fvnd5
All funds
Al funds
2023
2023
2022
Income Re￿lUrceS
il General Income
IS) Bank Intere
iiil Gift aid refunds
83.244
83.244
87.974
35,730
Total Incomln8 Resources
84.029
84.029
123,744
Resour￿5 expensed
Il Other dirett charitable exwndtfure
ill Managernent & admin of Charity
263
38.736
263
38.736
458
31,787
Total resources exper&ed
38,999
38,999
32.245
Net Movement In Funds
45,030
45,030
91,499
Funds bala￿e brou8ht forward
as at 01 June 2021
1.496.243
1.496.243
1,404,744
Funds tsalance carrled forward
as at 31 May 2023
1.54U73
iyU73
IA96,243

BABAWAOBHAG SINGHTRusr
Bal•rt¢e Sheet
as at 31 May 2023
2022
Flxed asseis
Tangibk assets
LC137.363
1.(87.961
Cuffent assets
Others debtors
Cash at bank and In hand
3.632
439.761
443,393
3,759
517,983
521,742
CredIto￿. amounts f8lllng due
within one ￿•r
1.757
10.754
Net current assets
441.636
510,988
Total assets i￿$ rurrent lial¥li¢ie5
L538.999
I.FA)8.949
Creditors: arncwntsfallirK¥(tuE
after more than one year
112.707
N•t asse
1.538.999
1.496.243
RepTe5ented by.
Unre5triLted fvnd5
1538.999
1.496,243
1.538.999
1.496,243
Approved by the 8oard of TTUStee5 on 30 September2023arKI 5iKr*l on its beha￿
M S Dhiman
(Jialm￿n
M Saluia
TreaSU￿r

BABAWADBHAG SINGHTRU
Notes totheA¢court*
fortheyeaf ended 31 May 2023
The accounts ha%* been prepred con¥EntiL*) aNI acCordan￿￿t￿the
Finanaal Reportin8 Standard for Smaller Entitie5 leffectivejune X*)21 the Staternentof
Recornmended PrKttsonAccountinB by Charities19)RPI.
Income Is recewedfromdwations, thsand yants and is rEtorded retripts basl
Dep￿datIon
Depreciation has beffi provided otthe1￿l(lwl￿ r*Èsin orthrtowrMe off the assetso%￿rthe1r estimatsd
Useful I￿$.
Furnlture •nd ftsture5
15% red￿S￿ba1ar￿e
Donations
Gift aid Refund
87.974
35,730
83.244
Food forcon8re8tition
263
263
458

BABAWADBHAG SINGHTRusr
Not•stothActouftts
lorthe￿ar*nded 31 May1021
W3trr& tstE5
Heat & li8ht
Oeanin8
Tel￿hOne
Wa8es
Leg313nd profess1r￿1fees
Inswance
Repairsand mainter4Ke
Accountancyand audTb
Other
Loan Interest
Depreuation
8933
9.778
357
5,596
10.676
21
Lin
1577
38.7a6
31,787
iJnd aThl F￿￿bjVt &
Total
At ljune 2022
At31 May 2023
IPJ5,167
IJBS,167
L109,233
D¢we¢M￿n
At ljune 2022
At31 May 2023
112n
11.27Z
598
11.870
11,870
N•tboakVa
At Ilune 2022
At31 Mav 2023
WJ5.167
L095.167
I￿97,363
1097,363
I￿6

Notssto the A(cL￿niS
the Veale￿ 31 M•y1023
Cashin and*tr*nk
Bank- currentaccouw.
8ank- premieraccouDI
Cash in
63,630
375A31
67.638
450.N5
439,761
517.983
Cr•dltor5 ￿•r
Actruals
Oth¥taxesand50agl security
eank kjan
1431
8,997
eank loan
112,707
112,707
unrestrKted fundaf the Charity
ReSt￿le0 fvndofTheCharity
IYL273
L496.243
1541
73 1.496 243