SIDDHA YOGA SANGHAM OF EUROPE
(a Company Limited by Guarantee)
Company No.: 04626514
Registered Charity No.: 1101410
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST MARCH 2025

Siddlia Yoga Sangliam of Europe
(a Conipaiiy Liniited by Guarantee)
cowrENTS
Page
Leg212nd Administrative Details
Trustee's report
Independent E.Yaminers Report
Statement of Financial Activities
B212nce Sheet
NTotes to the accounts
10-

Siddha Yoga Sangliani of Europe
(a Company Limited by Guarantee)
LEGAL AND ADMINISTRATIVE DETAIIS
Trustees
Is R Talwar
fr P. Lumley-saville
Appointcd by Siddha Yoga Sangham of Europe
The trustees are also directors in accordance with Companies
Act 2006.
Compan)" Number
04626514 (England and W21es)
Charity Registered Number
1101410
Registered Office
Br02dfield Law UK LLP,
One, B2rtholomew Close,
IA>ndon
United Kingdom
Independent Examiners
Power Account2x Limited
Iailbox 3, Solent Business Centre,
343 ThIillbrook Road West
Southampton
S015 OHW

Siddha Yoga Sangham of Europe
(a Company Limited by Guarantee)
TRUSTEE'S REPORT
Siddh2 l'oga Sangham of Europe (SYSEU / tlic Charity) is a company limitcd by guarantcc 2nd is govcrned by its Nlemor2ndum and
Artides of Association, last amended by 2 Written resolution on 15 Scptcmbcr 2009. 'Thc CompAny w28 incorporatcd on 31 Dcccmbcr
2002 2nd was rcgistcrcd as a ch￿lty on 8 Januiry 2004. Thc two trustccs arc also the mcmbcrs of thc Company. Ii2bility of the
mcmbcrs is limited to £1.
tce
nsibilitie
The trustees, who arc also dircctors of the Charity for thc purposcs of the Companies Act, submit their report and auditcd accounts for
the yc2r endcd 31st hIarch 2025. The trustees have adoptcd the provisions of the Statcmcnts of Recommended Practicc (SORP 2005)
"Accounting 2nd Rcporting by Charities" in prcp2ring the rcport and financial statcmcnts of the Charity.
The trustccs are responsible for kccping propcr accounting records which disclosc with rcasonable accuracy at any time thc fmancial
POSltion of thc Charity and which enable them to cnsurc that thc financial statcments comply with the Companies Act 2006.
The trustecs arc libted on page l. Thcy arc appointed in accordance with the Nfcmorandum and Articles of Association of Siddha Yoga
S2ngh2m of Europe.
Prin
al Activi
SYSEU h2s been formed as a rdigious charitable tru.s¢ with 2n objcct to advancc thc tcachings and principles of Swami Nluktan2nda and
Swami Chidvi12S2n2nda. In furtherance of thc Objects of the Ch2rity, but not otherwise, the Charity may exercise powers to collcct 2nd
disseminate infornution relating to those objccts 2nd spccifically, publish information in the form of books, Icaflets, tapes and other
medi2 2nd providc programmes, mcctings, Iccturcs, dasscs, rctrcats, seminars and training courscs.
SYSEU currendy employs I pcrson full time. Thc Charity, through its staff 2nd with thc assist2nce of voluntccrs, supports and assists
with the disscmination of teachings and inf0m￿tion rclating to the Siddh2 Yoga tradition throughout Europe, Africa, Israel 2nd the
Caribbean.
SI'SEU supported events taking p12cc in European countrics:
IIukt2n2nd2 Dhy2n2 Sapt2hs in Europc
Family Retrc2ts
A D2y of Siddh2 Yoga Practices
Young Adult Rctre2t
Glob21 Audio Events
NT2tion21 IIeetings
Ongoing support to the national structures in the European countries
SYSEU works dosdy with the trustees, directors 2nd m2n2gers of Siddh2 Yoga national organisations throughout Europe, acting ab an
interf2ce between those Org￿1zationS 2nd the SYDA Foundation (SYDA), a not for profit org2niz2ti0n incorporated in the United
St2tes of Americ& SYSEU hdps the various Siddha Yoga org2nis2tions in Europe, Africa, Israd and the Catibbean to solve local ibsues
2nd offers tr2ining 2nd guid2nc
This year. SYSEU supported the countries facing reorganizations of thcir structures by offering advice and facilitating communications
with the SYDA Found2ti0n.
Ch2nges induded:
Continued support to existing Chanting and NIedit2ti0n Groups with no legal entity
Form21is2tion of 2nd support to new Chanting & NIeditation Groupb
New Hosts for current Ch2nting 2nd Mcdit2ti0n Groups
aosure of Ch2nting and hlcdit2tion Groups
Transition from ccntrc status to Chanting and NfLditation Groupb
Creation of further Region21 Centres in France oversccing a group of Chanting and Nleditation Group¥•
Support to the reopcning of 2 new vcnuc for the SYhIC in NIadtid
Opening of Ch2nting and hlcditation Groups
New trustees in countries in Europe
Opening of 2 legal entity in Austria
SYSEU is continuing to offer dircct support to thc national orgranibations and centreb facing speafic itsisueb induding.
t£2dership and PR issucs

Siddlia Yoga Saiigham of Europe
(a Conipany Limited by Guarllntee)
Simpli
Ing the N2ti0na] Structurc in Germany into one org2nis2tion to replace thc existing two or
iS2tion
Nation
Lcadcrship mectings with spccific guidance for tlic countrie
to ensure alignmcnt with thc SYDA found2tt0n
PriOritic8, poliacq, guidclincs and dircctions
Project dcvelopmcnt in cooperation with SYDA Foundation
SYSEU works in close p2rtncrship with SYDil foundation to ensurc the cffcctive tsnplcment2ti0n of new
tratcgies, policics and
guidclincs in thc Europcan countrics. Anal)'sis, proposals and recommendations are given to the foundation so that all the sistc
organi82tions" throughout the world, 2nd e.spcaally in Europe, move forward togcther in 2 harmonious and financially sustainab
2nd in ali
ent with the principlcs of the Siddha Yoga tradition 2nd the global goals and policics of the SYDIl Foundation
cway
The Trugtccs confirn] that thcy havc complied with thc duty in Scction 4 of the Charitics 2Ict 2006 to have duc rcgard to the Chati
Cornmission's gcncral guidancc on public benefit.
SYSEU meets the public bcncfit principle by contributing to the spiritU21 wcllbcing of Siddha Yoga Studcnts/devotees throughout
Europc. In p2rticu12r, SYSEU providcs and/or supports facilitics and scrviccs th2t cnable thc Siddha Yoga teachings to be disseminatcd
to current 2nd ncw studcnts/dcvotees in Europc. Such facilitics and scrviccs indudc training courscs, educational workshops, spiritual
rctre2ts, online courses, books and audio-visual tools. In Europc, as well as all ovcr the world, the Siddh2 Yoga organisations promot
2nd support Siddha YO￿ hIcdit2tion Centres and Chanting and NIcditation Groups whcrc pcoplc can gathcr to stud the Siddha Yog
tC2chings and cngage in thc Siddh2 Yoga Path amongst new and currcnt studcnts/dcvotccs throughout Europe
ine
Donations
SYSEU rcceived £69266 in donations (before Gift Aid) from April 2024 to NIarch 2025. SYSEU received 2 gr2nt of £16,500.
Grants made
SYSEU h2s sent 2 grant of £50,CM)O to SYDA Foundation.
Restricted Funds
NTO restricted funds were accounted for this period. All the donations rcccived were for the general purposeb of Siddha Yoga European
devdopment 2nd the glob21 work of the SYDA Foundation.
Reserves Policy
The trustees 2im to have reserves c2P2ble of meeting 6 months of operation eipenditure as 2 minimum reviewed
annually. As on 31st March 2025, Siddha Yoga S2ngham of Europe exceeded this level by approximately 53 % as
tot21 reserves at the year end were £37,880, of which £1383 is tied up in fLxed assets, leaving £36,497 of "free"
unrestricted funds. The trustees consider this an appropriate level of reserves to sustain the ongoing activities of the
chatity.
Future Plans
SYSE
will continue to support the mission of Siddha Yoga by facilitating thc dibbcmination of the SidLlha Yoga teachings
in Europe2n countri SYSEU will altso continue to support and provide organisational support to Siddha Yoga entities
centres and ch2nting 2nd meditation groups in Europe.
Risk Assessment
e truste
ve identified the pnnap212re2s of potential nsk to tlie Charity and are engaged th an on-going proce
of rcviewing each
poten
2n(L
m2n2gement meetin
ere 2ppropri2te, puttingi in placc meatrsufcti to mitigate buch riJkb". Illl major i5SUeb are disCUbSed in board and
tees do not consi
regularly. Risk 2Str*essments" are part of thc 6ybtemb at SYSEU, and are considered for each individual projec
er that
ere are any major bpeafic rièiks that are currently bLing faced b the Chari

Siddlia Yoga Saiigliam of Europe
(a Coiiipaiiy Limited by Guarantee)
St&qtcm_cnt of Trustccs, Rcsponsibititics
lknc trustccs (wlio arc alqo dircctors of Sidd112 Yoga S2ngh1m of I;uropc for thc purposcs of comp2ny121v) are rcbponsiblc for preP￿ing
thc Trustccs, Rcport and tlie fin2ncii1 st,qtcmcnts in qccord1ncc with qpplicablc law and Unitcd Kingdom Accounting Standirds (Unitcd
Kingdoin Gcnerall), Ilcccptcd Ilccounting Practice.
Compan), law rcquircs trustccs to prcparc finanaal statemcnts for cach financial ycar which give a true 2nd fair vicw of thc state of thc
affiirs of dic ch￿ItabIC company and of dic incoming rcsourccs and application of rcsources, including thc income and cxpcnditurc, of
thc cliirit1ble conipan), for that pcriod. In prcplring these fmanci21 statcmcnts, thc trustccs are rcquircd to:
sclcct suitablc accounting policics 2nd dicn apply thcm con.sistcntly9
ob6icrvc the methods and principlcs in thc Charitics SOIIP.
mike judgcmcnts and cstimatcs diat arc rcasonablc and prudcnt.
statc whcthci applicable UK Ilccounting Standardb have bccn followcd, subjcct to any material departi￿eS disdoscd and
phined in thc fininaal statcmcntb.
preP￿e tlie financid btatciiicntb on tiic going conccrn basis unlcss it is inappropriate to prcsume that thc Charity will continue
in busincss.
The trustecs are responsible for kccping proper accounting records that disclose with rcasonable accuracy 2t any time thc fin2nci21
Posltion of the Ch2fityp 2nd enable them to ensure that the financial statements comply with the Companics Ilct 2006. They are 21bO
rebpollbible for safegu￿dIng the asbets of the Charity and hence for taking rcasonablc steps for the prevention and detection of fraud
and othcr Irre￿I￿ltiets.
Small Compan!, Rules
These accounts have been prep￿ed in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small
complnics.
This report W2S approved b), the Board of Truiitees 2nd signed on its behalf by:
R2khi Talwar
Trustee
Date:
. /0. zoar

Siddlia Yog4q Saiigliani of Eui'ope
(a Conipaiiy Liniited by Guarantee)
INDEPENDENT EXAhllNER'S REPORT
The charity's trnstccs are responsible for the preparation of the accounts. The charity's trustees consider that an
audit is not required for this }'c2r under section 144 of the Charities Ilct 2011 C'the Charities Ilct,? that an
indcpendcnt CX2mination is nccded.
It is my responsibility to:
CX2mine the accounts under section 145 of the Charities Act,
to follow the proCed￿eS laid down in the gener21 Directions given by the Charity Commission (under
section 145(5)(b) of the Charities Act, and
to state whether particular matters have come to my 2ttention
Basis of independent examinees statement
I)r e.xamination was carried out in accordance with general Directions given by the Ch2rity Commission. An
eK2min2ti0n includes 2 review of the accounting records kept by the charity 2nd a comparison of the accounts
presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, 2nd
seeking &Kp12n2tions from the trustees concerning any such matters. The procedures undertaken do not provide all
the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts
present a 'true 2nd fairf view and the report is limited to those matters set out in the statement below
Independent Liaminer's statcment
In connection ￿1th my LK2min2ti0n, no material matters have come to my attention which gives me cause to believe
that in, 2n)" m2teri21 respect
the accounting records were not kept in accordance with section 130 of the Charities A¢ or
the accounts did not accord with the accounting records. or
the accounts did not comply with the applicable requirements concerning the form 2nd content of
accounts set out in the Ch2fities (Accounts 2nd Reports) Regulations 2008 other than any requirement
that the accounts give a 'true 2nd faie view which is not a matter considered as part of 2n independent
I have come 2cross no other matters in connection with the examination to which attention should be drawn in
this report in order to en2ble 2 proper underst2nding of the accounts to be reached.
The tndependent Ex2minds Report Was prepared 2nd signed by.
Rajesh Kohli
(Fcffj IGIEW)
For and on behalf of
Power Account2x Limited
12ilbox 3, Solent Business Centre,
343 Jlillbrook Road Ivest
South2mpton
S015 OHW
Date: 11/07/2025

Siddlia Yoga Saiigham of Europe
(a Company Limited by Guarantee)
Statement of Financial Activities
(Incorporating and Income and Expenditure account)
For the year ended 31" March 2025
Unrestricted
funds
2025
Unrestricted
funds
2024
Note
Income
Inmmefvm..
Don2ti0ns and legaaes
Grant Income
Other- Bank Interest
69266
16,500
973
29,929
16,500
288
Total income
86,739
46,717
ExTenditure
Ch2rit2ble actiiryties
84,657
34,556
Total exTenditure
84,657
34,556
Net (Outgoing)/ Incoming Resources from
Operations
2,082
12,161
Net Movement in Funds
2,082
12,161
Reconciliation of funds:
Tot21 funds brought forward at 1st April 2024
35,798
23,637
Total funds carried forward at 31si March 2025
37,880
35,798
All g2ins and losses recognised in the }'ear are included in the statement of finincial activities.
All income in the 2025 and 2024 fin2na21 years was unrestricted.
All the activities of the company arc considered to be continuing.

(41 Coii)i)6qlly Liiiiitcd by Guai"aiilce)
Balance Slieet as at 31" March 2025
2025
2024
Note
Fixed assets
Tangible assets
lJ83
283
Current assets
Cash at bank and in hand
Total current assets
36,973
36,973
36,025
36,025
Creditors: amounts failing due within one year
(476)
(510)
Net current assets/Ui2bilities)
36,497
35,515
Total Asses less Current Liabilities
37,880
35,798
Represented by.
Unrestricted fLmds
Total funds
37,880
37,880
35,798
35,798
For the ye2r ending 31 h12rch 2025 the company was entided to exemption from audit under section 4
Companies Act 2006 re12ting to small companies.
ofthe
The members have not required the company to obtain an audit in accordance with section 476 of the Companies
Art 2006.
The directors acknowledge their responsibilities for complying with the requirements of the Companies Act with
respect to accounting records 2nd the preparation of accounts.
These accounts have been prepared in accordance with the provisions applicable to small companies subject to the
m2ll companies regime and in accordance with FRS102 SORP.
The fin2nci21 statements were approved by the Trustees on...............
..and signed on their behalf by.
Rakhi Tal
ee
ar

Si(l(Ili'i Yog.q S4111gli4qm of 14 urope
(¢2 Coiiipany Liniited by Guaraiitee)
NOTES TO THE FINANCIAL STATEMENTS
l Accounting Policie8
Basis of preparation of financial statements
These accounts have bcen prepared under the histoncal cost convention Items reco
tr2ns2ction value unless othcrwise stated in the relevant note(s) to these accounts.
se
at cost o
The2
ounts have becn prepared in accordance with:
The Statement of Recommendcd Practice: Accounting 2nd Reporting by Charities prep2rin
their accounts in accordance with the Fin2naal Reporting St2nd2rd applicable in the UK and
Republic of Ireland (FRS 102) issued on 16 July 2014
The Financial Reporting Stand2rd applicable in the United Kingdom and Republic of Ireland
(FRS 102)
The Charities Act 2011
Company status
The comp2n}T is a company limited by guarantee. The mcmbers of the company are the Trustees narned
on page 3. In the event of the company being wound up, the liability in respect of the guarantee is
limited to £1 per member of the company. If upon winding up or dissolution of the company there
remain any assets, after the satisfaction of all debts 2nd liabilities, the assets represented by the
2ccumu12ted fund shall be transferred to some other charitable body or bodies having simi12r objectives
to the charit2ble company.
Fund accounting
Unrestricted funds which are av2i12ble for use at the discretion of the Trustees in further2nce of the
gener21 objectives of the company and which have not been designated for other purposes.
Incoming Resources
incoming resources are recognised on accrual basis including donations, which are recognized as
income when there is evidence of entitlement to the income, probability of receipt and the amount c
be me2sured with suffiaent reliability.
Allocation of resources expended
Resources expended are allocated between 'Ch￿itable expenditure" and "support costs" on the basis
of direct 2lloc2ti0n where possible and apportionment based on SLqff time spent where applicable.
e included charitable expenditure once voted for by the tnistees and notified to the
reapient.
Governance cos
constitution212n
re those incurred in connection with administntion of the company and compliance
statuto
requirements.
resources expenses
e inclusive of irrecoverable VAT.
Going concern
te
g 2ppropri2te enquirie
the trustees have a reasonable e.xpectation that the company ha
e reso
to continue in operational existence for the foreseeable future. For
oin
concern basis M] pre
arin
the financial statement
10

Siddlia Yoga Saiigliaiii of Europe
(a Conipany Limited by Guarantce)
Interest receivable
Intercst on funds held on dcposit is included when reccivable and the amount can be measured reli2bly by
the compan . this is normally upon notification of the interest paid or payable by the Bank.
Cash at bank and in hand
Cash at bank 2nd in h2nd includes cash 2nd short term highly liquid invcstmcnts with a short maturity of
three months or less from the date of acquisition or opening of the deposit or similar account.
1.9
Tangible Fixed Assets and Depreciation
Tan￿ble assets are included at cost less deprcciation 2nd impairment. Dcpreciation has been provided at the
following rates in order to write off the assets over their estimated useful livcs:
Computer equipment
25 % reducing balance
2 Charitable Activities
2025
2024
Grants to SYDA Found2ti0n
Bank Charges
Staff Costs
Printing, post2ge 2nd st2ti0n2ry
Telephone 2nd anail
Depreciation
Sundry Exp-,"
Governance costs
50,000
95
29,700
42
545
461
102
29,700
39
515
94
300
3,806
34,556
note 4
note 3
3,814
84,657
For more details on the grants made, please see note 9
3 Governance Costs
2025
2024
St2ff cos
J2g21 fees
note 4
3,300
514
3,814
3,300
506
3,806
4 Staff Costs
2025
2024
2nd
33,000
33,000
33,000
33,000
An21ysed 2S:
of Ch￿Itable 2ctivities
29,700
3,300
33,0(N)
29,700
3,3(X)
33,000
overnance cos
11

Siddlia Yoga Sangliani of Europe
(a Coiiipaiiy Liiiiitcd by Guaraiitee)
No emplo)'ce earned more than £60,000 in the current or prior period.
No remuner2ti0n was paid to any trustee in the current or prior ye2r, nor were there any eTpenses reimbursed to
trustces in the current or prior year.
5 Tangible fLNed assets
Computcr
Equipment
At cost
Cost or valuation
At l April 2024
Additions for the year
At 31 hlarch 2025
Depreciation
At l April 2024
Charge for the )"ear
At 31 ￿Iarch 2025
1,468
1,561
3,029
1,185
461
1,646
Net book value
At 31 ,I12rch 2025
1,383
283
At 31 Jt2rch 2024
6 Creditors: amounts fallincy due Thrythin one year
202)
2024
TLTes 2nd soci21 security
476
476
510
510
7 Related Party Transactions
The ch2ritls role in terms of its objectives and aims is interactive with that of the SYD,{ Found2ti0Q 2 not for profit
org2niz2tion incoq)or2ted in the USIL in so it carries out similar charitable activities in support of the Siddha Yoga
mission. During the ye2r there were £ 50,000 (2024: £Nil) grants donated to SYDA foundation.
Grants received from SYD UK 2 charity which has simila£ objects to SI'SEU, during cuffent year are £ 16,500 e0?4:
£16,5(Kl).
8 hIembers Liability
The number of members as at 31st ￿1￿ch 2025 was two (2024: two) and there liibiliry in the event of winding up of
the comp2ny is limited to £1 each.
12