REGISTERED CHARITY NUMBER: 109706>
Report of the Trustees and
Unaudited Financial St4temehts
for the Year Ended 31 March 2024
for
TEMPLE BABA BALAK NATH JI EK HAI MALAK
Brindlevs Limii¢Yl
? NlTreelevs Road
Edgbaston
Bim?inghaTn
West Midlands
B152LD

TEMPLE BABA BALAK N'ATH JI EK HAI MALAK
Contents of the Finan¢i#l Statements
for the Year Ended 31 fvlarch 2024
Page
Report of the Trustees
Independent Examiner's Report
Statement of Finaneial Actiiities
Bal¥nce Sheet
llotes to the Financial Statements
5 10 10
Detailed Statement of FinancRAI Activities

TEMPLE BABA BALAK NATH JI EK HAI MALAK
Report of the Trustees
for the Year Ended 31 _march 2024
The trustees present their report wtth the financial statements of the charity foi the year ended 31 March 2024. The trustees
ha￿e adopted thc provisions ol Accounting and Reporting by Charities.. SiateTnenl of Recommended Practice applicable to
charilies prcpllringF their accounts in accordance wilh the Financial Reporting Standard applicable in the UK and Republic of
Ireland (FRS 102} (effective l January 20191.
STRUCTURE, GOITERNAP¥CE AND M￿NAGEMENT
G4)verniNg document
The charity is controued by its governing d(Kument, a deed of tru￿ and constitutes an uninco￿or&ted chariiy.
REFERENCE AND ADMINISTRATINT DETAtLS
Registered Charity llumber
1097065
Principal address
48 Somer*t Road
Handsworth
Birininghazn
West Midlands
B20 2JD
Trustees
Bhagat Ranjit Singh Ji - Chair
Surinder Kaur- Trustee
Har¥'inder Kaur - Tnlstee
Sukhjinder Singh - Tnjstee
Independent Examiner
K￿l￿.]nd￿r Singyh Chawla F.C.C.A.
Brindleys Limited
2 Wheelevs Road
Edgb8Ston
Birmingham
West Midlands
B152LD
Approved b). order of the board of trustees on 12 March 2025 and signed on tis behalf by=
S•*72A
Bhag¥ai Ranjit Singh Ji - Trustee
Page I

Independent Examiner's Report to the Trustee5 of
Temple Bab2 Balak Sath Jl Ek HAi .Malak
Independent examiner's report to the trustees ofTemple Baba Balak NAth JI Ek Hai Malak
I report to the chaiity trustees on my examination of tlie accounts of Temple Baba Balak Nath Ji Ek Hai Ma12k (the Trust)
tor the year ended 31 March ?024.
Responsibilities and bgsis of report
As the ch2riry trustees of the Trust YOLI are responsible for the preparation of the a¢counts in accordance with the
requirernents of the Chorities Aci 2011 ( Ihe Act,).
l ryrt ID respect of my examination of the Tmst's accounts Larried out under SeLtion 145 of the Acl and in carrying out my
examination I haw¢ followed all applicable Direciions given by the Charity Commission uoder Secliorj 145(5){b) ofthe Aci.
Independent examlner's ststement
I haN'e coinpletal my examination. I confimi that J]0 malertal tnattets have come to mv attentÈon in conneciion with the
examination givinE me cause to believe that in any material respect..
accounting records were not kept in r￿pect of the Tn6st as required by Section 130 of ihe Act. or
the accounts do not accord with tliose records,. or
th¢ accounts do not comply with the applicable requtrements concerning the forni and ¢onlenE of accounis set out in
th¢ Charities (Accounts and Reports) Regulalions ?008 other rhan any requErement that the accounts give a true arkd
fair view H.'hich is not a matter considered as pall of an independenl examination.
I have no concerns aud hai'e come across no other marters in conneetion with the examination to whi¢h attenrion should be
drawn in this report in order to enable a propcr und¢rstsndiJ)g of the accounis to be reached.
Kulwinder Singh CbaN,la F.C.C.A.
Brindleys Limited
2 Wheelev.q Road
Edgbaslon
Binningh8m
West Midlands
B152LD
12 March ?0?5
Page 2

TEMPLE BABA BALAK )ATH JI EK HAI MALAK
StatemeEkt of Financial Activities
for the Year Ended 31 .March 2024
2024
Unrestricted
fund
2023
Total
funds
Notes
IPICOME Af%D EN'DoW￿lE￿rys FROM
Donations and le£a¢ies
30,508
31.788
InvestmerRt income
14
Total
30,522
31.793
EXPENDITURE ON
Charitable 8ctiTrities
Wages
Repairs & Mainienance
Heat Light
Telephone Expenses
Depreciation cliarg¥s
Insurnnce
Security expenses
Grocery,, catering cxpenses
ater Rates
Accountancy charges
14,040
14,040
7,144
11,973
409
5,858
1,486
28?
3,143
922
13,150
571
5,785
IA62
282
720
Tot41
39J87
45.977
NET LNCOLMEI{EXPENDITURE)
£&865)
(14,184)
RECON'CILIATIOTh OF FUINDS
Total funds broughi forw'ard
314,940
330.1?4
TOTAL FUNDS CARRIED FORWARD
307,075
315.940
Th¢ notes fonn part of these financi81 stalemenls
Page 3

TEMI PLE BABA BALAK liATH JI EK HAI IIALAK
Bal*nce Sheet
31 March 2024
2024
Unrestricted
fund
2023
Total
funds
Notes
FIXED ASSETS
Tangible assets
177,044
18? 829
CURRENT ASSETS
Cash at bank and in hand
131A71
133.831
CREDITORS
Amounts falling due within one year
io
(1,440)
YET CURRENT ASSETS
130,031
133.111
TOTAL ASSETS LESS CURRENT
LIABILITIES
307,075
315,940
NET ASSETS
307,075
315,940
FUINDS
Unrestricted funds
307,075
315.940
TOTAL FL'NDS
307,075
315,940
The fu)ancial statemeTrts were approved by rhe Board of TNslees and authorised for issue OD 12 March 2025 and were
S1_￿ed on tis behalf by..
Bhagat Ranjit Singh Ji - Trustee
The notL% tonn part ot'ihese financial statements
Page 4

TEMR PLE BABA BALAK NATH JI EK HAI MALAK
No¢e5 to the Fin4ncial St&tements
for the Year Ended 31 Nlareh 2024
AcCOuTr4TI￿G POLICIES
Basis of preparing the financial ststements
Tlie tinancial s(atements of the charity. which 18 a PLtblic benefii entity under FRS 102, hai'e been prepared in
accordance wyith the Charities SORP (FRS 1021 'Aecounting and Reporting by Ch8rilies'. Statement ot
Recommended Practice applicable lo charities preparing their accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland IFRS 102) {effectiN'¢ l January 2019),, Financial Reporting
Standard 10? The Financial Reporting Standard applicable in the UK and Republic of Ireland. and Ihe Charitles Act
2011. The financial sthtemcnts have Ixen prepared under ibe historical cost con%'enÉton.
Income
All income is reeognised in the Statement of Financial Activities once the chariiy has entiilement to tl)e funds, it is
probable that the iT]come will be reLeived and the amount rdn be measured reliably.
Expenditure
Liabililies are tecognised as expenditure as soon as ther¢ is a legal or constructi￿e obligation committing the charity
to that expenditure, it is probable thai a transfer of economic ￿nefitS will be required in settlement and the amount
ofthe obligaiion car& be measured reliably. Expenditure is aciounted for on an accn￿[S basis and has been classified
under headings that aggregate all Lost relaied io the cate￿Ory. I￿.he￿ cosLq cannot be directly altribL6ted to panicular
headings Ihev have been allocated to activiiies on a basis coi)sisienÉ with the use of resourcts.
Tangible fixed assets
Dq)tEciation is provided ai the following annual rntes in order ro write off each ttsset OV¢T its estimated usetul life.
Taxation
The charity is exempl from tax on its ¢harithble Activities.
Fund accounting
Unrestricted funds can be used in accordance w'ith the charitable objectives at the discretton of the trustees.
Restrict¢d fvnds can orAly be used for particul2r rstricted purposes within the objects of the charity. Restrictions
arise when specilicd by the donor or when fi￿d5 are raised for particular testrieted purposes.
Further explanalioD of the nature and purpose of each fund is included the noies to the financial siaiements.
IX)YATIONS AND LEGACIES
2024
Donaiions
30,508
31,788
Page 5
onttnued...

TEMPLE BABA BALAK NATH JI EK HAI MAL.4K
Notes to the fingncial Stxtements- continued
for the Ytar Ended 31 March 2024
I￿VESTME￿r INCOME
2024
?0?3
Dq)osit accouni interest
14
CHARITABLE ACTIVITIES COSTS
Support
Costs {see
note 5)
Direcl
Costs
Totals
Wages
Heal Light
Telcphone Expenses
Depreciation Charges
Insurdiice
Security expenses
Grocer)'I catering expenses
Water Rates
Accountancy charges
14,040
13.150
571
5,785
1,462
282
14.040
13,150
571
5.785
1,462
282
2,689
720
72
3&667
720
39J87
SUPPORT COSTS
Goyemance
costs
Accountancy charges
720
TRLISTEES, REMUNERATIOIY AND BENE 'EFtTS
There wer¢ no ttustees, remuneration or other benefits for the year ended 31 March 2024 nor for the year ended
31 March2023.
Trustees, expenses
There were no trustees, expenses paid for the Y￿ar ended 31 March 20?4 nor for the year ended 31 March ?0?3.
Page 6
onlinued...

TEMPLE BABA BALAK NATH JI EK HAI MALAK
Notes to the Fin8nflal Statements - continued
for the Year Ended 31 March 2024
STAFF COSTS
The average monthly number of employees during the year w'as as follows".
2024
20?3
Employees
No employees received emoluments in excess of £60,000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unresiricled
fi5nd
INCOME AliD ENDOWMENTS FROM
Donations and leoacies
31.788
Investment income
Ttstsl
31,793
EXPEINDITLIRE OIY
Ch¥ritable aCtI￿tIeS
WagL
Repairs & Mainlettance
Heat Ltght
Telephone Expenses
Deprectatioo Lharges
En,%urance
Securiry expet)ses
Gro¢eTr, caleting expenses
Water Rates
Ac¢ountsncy chargyes
14,040
7,144
11,973
409
5,8£8
1.486
282
3.143
7?0
Total
45.977
NET INCO.ME/(EATENDtTL7RE)
(14.184)
RECONCILIATIOPI OF FLI￿Ds
Toial funds btt)ughi (otward
330,124
TOTAL FufiDS CARRIED FORWARD
315,940
Page 7
Continued...

TENIPLE BABA BALAK IIATH JI EK HAI MAL4K
Notes to the Fillancial Statements- ¢ontiDued
for the Year Ended 31 ￿larCh 2024
TAh'CIlBLE FIXED ASSETS
Fixtures
and
fittings
Freehold
property
Totals
COST
At l April ?023 and 31 March 2024
274897
25,640
31NIS.17
DEPRECIATION
Ai i April ?0?3
Charge for y¢ar
93518
24,190
117,708
5,785
At 31 March 20?4
99,013
24,480
123,493
NET BOOK VALUE
At 31 March 2024
175,884
1,160
177,044
Ai 31 March 2023
181.379
1.450
18? 829
io.
CREDrroRS: AMOUIITS FALLtN'G DUE M'TFHIN ON'E YEAR
2024
2023
Other creditors
1,440
MOVEMENT IN FUNDS
Nel
movement
tn funds
Al 1.4.23
31.3.24
Unrestricted ￿ndS
General fillid
315,940
(8,865)
307,075
TOTAL FUP*DS
31_S,940
(8,865)
307,075
Net movemLmt in funds. included in the above are as follows..
Incoming
resources
Resources
expended
Mowernent
in furds
Unrestricted fuThds
General fund
30.522
(39,387)
(&865)
TOTAL FUINDS
30522
{39,387)
18,865)
Page 8
colliinued...

TEMPLE BABA BALAK NATH JI EK HAI MALAK
Notes to the Finanelal Statements- eontinued
for the Year Ended 31 March 2024
ii.
MONEMEN'T INL FUNDS - continued
CompgTatiTres for movement in funds
Net
mofvement
in funds
At 1.4.22
31.3.23
Unrestricted funds
General fill)d
330.124
(14.184)
315.940
TOTAL FULIDS
330.124
(14,184)
315,940
Coinparative net movement in funds, included in the above are as follows..
Incoming
resources
Resources
expended
Mo¥'ement
u) ￿ndS
Unrestricted funds
General fund
31,793
(45,977)
(14,1841
TOTAL FUNDS
31,793
45.9771
(14,184)
A ¢UTrenl year 12 months and prtor year 12 months combined posilioD Is as follows".
movement
in lunds
At
31.3.24
Ai 1.4.22
Unrestricted funds
General fund
330.1?4
23,049)
307.075
TOTAL FUNDS
330,1?4
(23.049}
307.075
A current year 12 months and prior year 12 Inonths combined net movement in funds, included in the above are ag
follows:
Incoming
resources
ResoÈtrLes
expended
Movement
in ￿ndS
Unre5tri¢ted funds
General fund
62.315
{85.364)
{23,0491
TOTAL FUh'DS
62,315
(85.364)
(23,049)
Page 9
continued...

TEMPLE BABA BALAK NATH JI EK HAI MALAK
Notes to the Financial Statemellts- c(mtinued
for the Year Ended 31 March 2024
12.
RELATED PARTY DISCLOSURES
There were no related party Eraiisactions for the year ended 31 Ma￿h ?0?4.
Page 10

TEMPLE BABA BALAK NATH JI EK HAI IIAIAK
Detailed Stalement of Financial Activities
for the Year Ended 31 Mareh 2024
2024
202?
INCOME AJJ D ENDOWMEwrs
Donation5 aDd legacies
Donations
30,508
31,788
Investment income
Deposit a¢count interest
14
TotY41 incomlng resources
30,522
31,793
EXPENDITURE
Charitable actiTrities
W3ges
Watcr rates
Insuraiice
Light and heat
Telephone
Groceryl catering
Repairs & Mi aintenance
Security
Freehold property
FiXtu￿S and fittings
14,040
14.040
9?2
1.486
11.973
409
3.143
7,144
282
5.495
363
1,462
13,150
571
282
5,495
290
38,667
45.257
Support costs
Goi-ern¥nce cosls
AccountanL)f and legal fees
720
720
Total resources expended
39J87
45,977
Net expenditure
(&865>
114,184)
This page does noi fomi part of the slatutory fmancial stalements
Pagell