REGISTERED COMPANY NUMBER: 05403805 (England and Wales)
REGISTERED CHARITY NUMBER: 1109242
REPORT OF THE TRUSTEES AND
ULNAUDITED FINALYCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2024
FOR
JAMYANG BUDDHIST CENTRE LEEDS
(A COMPANY LIMITED BY GUARANTEE)
Harrison & Co
Cliartered Accountants
531 Denby Dale Road Wesl
CdldLr GrovL
Wakefield
Vest Yorkshire
WF4 3ND

JAMYANG BUDDHIST CENTRE LEEDS
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2024
Page
Report of the Trustees
Independent ExAMlller's Report
Statement ot. Flnanclal Actlvltles
Balanee Sheet
Notes to the Flnanclal Statement5
7 to 13

JAMYANG BUDDHIST CENTRE LEEDS (REGISTERED NUMBER: 115403805)
REPORT OF THE TRUSTEES
FOR"I'HE YEAR ENDED 31 JULY 2024
The Irustees who are also directors of the cliarity for th¢ purtK)5es of the Compaiiies Act £006, present their report with the financial
slalemenls of the charit! for Ihe vear ended 31 Jiily 2024. The Iruslees have adopted ilie provisions of Accounling and Reporting by
C,harilie%.' StutcmLnl ot RecoinmendLd PrdLtiLL appliLdblL to Lharitie% prLparing theii- dccuunt% in aLLordanLe Wlth tlie FinanLidl
Reporting Standard applicable in the UK and Republic ofTreland (FRS 1021 (effective l Jaiiuary 2019).
OBJECTIVES AND ACTIVITIES
The cl)arily's aiins are to promote wellbeing, Inedilaiion and public benefit in aceordance wilh Buddhist principles, and the
prcscrvation of Ilic Buddhisl Mahayana tradition Iliroughoul thL north of Eiiglaiid and clsL whcrc.
In order to tultill our aiiiis, we have developed a substantial set ot. oflerings io the local and wider community, including a shop and
cafe. space for hire and officeb lei to Lompleinentary organisalions.
We offer a wl)ole programine ofBuddhisl classes and practices and wellbeing aciivilies. Most of our Buddhisl classes and practices
havc rcmaincd online and rLaLh a widc audiLnLL, across thL LK and bcyond. Wcllbcing &clLvilies havL d4)nL partiLularly well and wc
have grown our partnership working with several organi5ations. We have ottered a higher level ot. communits, events tl)an previously,
which benefited the local comtnunity and allowed growth for the shop and cafe; our income generating streain has therefore grown
and otter.4 financial %upport to our charitdble dims %taled above, in %Dile ol" chdn¥e% in key stafl. which lidve Somewhat imrjacled on
our pl4inned growlh.
The charity held its AGM in October and Trustees mel tliroughoiil the year as well as on their aiinual away-day in July in which w¢
reviewed the strategic plan and finances. The fii)anLial position remains strong, and the building ￿preSentS a hiige asset with greai
potenlidl. Link% willi the Iocdl eoimmunilv und Ihe city dre developin¥ well. We are eontident Ihal we can continue to grow and
develop our aciiviiies in order 10 fulfill our cliarirable aiins and becoine a well esiablished regional and naiional provider.
FINANCIAL REVIEW
Reserves piilley
It 15 the Lurrenl puliLy ol. the Lhdrity Iv I￿￿1n1￿1￿ re%erve% ¢11 d level whi¢li equate8 to dl least 3 IMunth% ot Linre8lriLted expenditure.
This pi'ovides Su￿1¢1¢nI funds lo cover both managemeni aiid adininisiralive c051s whilst incorporating a conlingencv sum lo cover
any unexpeLiecl LOs1S.
This policy is ieviewed each year by both directors and Iruslees.
STRUCTURE, GOVERNANCE ALYD MANAGEMEIYT
Governing document
The cliarity is control led by its ¥overning, docurnenl, a deed ot, Iwst, and constitutes a limited company, limited b). gFuarant¢e, as
defined by the Companies Ac(2006.
Further infomiation can be fouiid in the M¢nioranduAi and Articles of Association as incorporated 01) 24th March 2005.
REFERENCE AND ADMINISTRATIVE DETAILS
Regvlitered C¢impany number
054031105 (England and WalL%)
Registered Charity number
1109242
Registered office
Clyde Works
Ingram Road
Wc51 York511iir
LSII 9RQ
Page I

JAMYANG BUDDHIST CENTRE LEEDS (REGISTERED NUMBER: 115403805)
REPORT OF THE TRUSTEES
FOR"I'HE YEAR ENDED 31 JULY 2024
Trustees
Dr M J.1 L¢¢onte Retired
Mr Ll Park Lecturer
Mr J SimpSUT] Huu%e Manthgcr
Ms K Cooper Trustee
Mr G Mcdougall Trustee
Ms S E M¢tcalfe Trustee
Dr C Siarkey Universitj Lecturer
Mr L G Howson Ccntrc DirLLror lappoinlLd 21.11.231 (rcsignLd 3.5.24)
Mr J P Websdale Oflice Manager (appointed 19.10.23)
Independent Kxaminer
Slierice Parfill
Harrison & Qo
Chartered Accountants
531 Denby Dale Road Wesl
Calder fJrove
WakLfield
Wesl Yorkshire
WF4 3ND
Bankers
The Co-operaiive Bank
PO Box 25U
Sk¢linetEdale
WN8 6WT
This i'eporl has been prepared in accordance witli the special provisions of Pari I S of the C.oinpanies Aci 2006 relating lo sinall
Loihpanies.
Approved by order of the board of trustees on 17 October 2024 and signed on ils behalf by:
DI- M J J LLLontu - Tru8tLu
Page 2

INDEPENDENT EXAIWINER'S REPORT TO THE TRUSTEES OF
JAMYANG BUDDHIST CENTRE LEEDS
Independent examiner's report to the trustees of J#myang Buddhist Centre Leeds ('the Comp#ny')
I report to the charity trustees ov] my exaillination of the accounts of the Coinpany for the year ended .3 l July 2024.
Re5ponsibilitie5 and bgsi5 of report
As the charit} s Iruslees ol the Coinpany {aiid also ils directors for the purposes of company law) yOLi are responsible for Ilie
prcpurutiun uf the acLuunt% in alL￿rdance with the requirem￿l￿t% uf thc Coinpunie% ALt 2006 ('thL 20U6 Act,).
H&ving salisfi=d myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 ALt and are
eligFibl¢ t.or independ¢iil examiiiatioii, I report iii respect of my examination of your charity's account5 a5 carried out under Section
145 of the C'harities Aci 2011 ('Ihe 201 l Act,). In carrying out my examinalion I have followed the Directions given by the C.harily
Q'.ommission under ScLtion 145(51 (b) of the 201 I ALt.
Independent examlner's stxtement
I have completed my exdmiiialion. I contirm thal no malters have coine to my attentioii in Lonnection with the examiiiation gFiving7 Ine
cause 10 belIe￿e..
accoiinting records were not kepl in re5pecl ot. the c.ompany as reqiiired by Section 386 01. the 2006 Act. or
the accounts do not acconl with thos¢ records; or
the aceoiint,% do nol comply with the (ieenunlingT reqLiirement% of. Section 396 of the 2QQ6 Act other than iiny requirement tli&t
tl)e acLountS gyl￿e a rruL' and fair view whiLh is nul a nialic'r considered as part of an indL'pendent exaininarion. or
the accounts have not been prepared in aLLordance with the methods and priiikniples of the Statement ()f Recon)meiided
Practice for accouiiting￿ and repoi1ing by charities (applicable to chariiies preparing> their accounts in ac¢ordanc¢ wilh th¢
Financial Reporting Standard applicable in the UK and Republic of Irelalld (FRS 102)).
I have no concerns and hai.'e coine across no oiher rnaiiers in connection wilh Ihe examinaiion io which aiieniion should be drawn in
this repon in order to enable a proper understanding of the accounts to be reached.
Sherice Parfiti
Harrison & Co
Cl)arlered AccDunianls
531 Dinby DdlL Ruud WLSI
Calder Grove
Wakefiel(I
Wesl Yorksliire
WF4 3ND
17 October 2024
Page 3

JAMYANG BUDDHIST CENTRE LEEDS
STATEMELNT OF FINANCIAL ACTIVITIES
TrOR"I'HE YEAR ENDED 31 JULY 2024
2024
Total
funds
2023
Total
fiinds
Unrestricted
lund
Restricted
fund
INCOME AND ENDOWMENTS FROLWI
Donatloiis and legaLies
79,895
79,895
57,017
Charltable actlvltles
Cwcncral
3,264
3,2tA
1¥,350
Other trading activities
Inveytinent income
Total
67,772
542
151473
89,885
542
151473
165436
EXPENDITURE OLN
Rdisinu fund4
211,6114
28,684
21,057
Charituble thctivities
General
TolAI
121.002
149 686
121002
149 686
I I [4,852
1391)09
IYET ILNCOME
Transfer5 between funds
Net movement In funds
1,787
14.170)
112,383)
1.787
25,527
14.170
1.787
25,527
RECONCILIATION OF FUNDS
Total funds brought forivard
100.478
240.085
340.563
315.036
TOTAL FUNDS CARRIED FORWARD
244 255
.34? 350
.340 16.3
The notes fonn parl of iliese finaneial statements
Page 4

JAMYANG BUDDHIST CENTRE LEEDS (REGISTERED NUMBER: 115403805)
BALANCE SHEET
31 JULY 2U24
2024
Total
funds
2023
Total
fiinds
Unrestricted
lund
Restricted
fund
FIXED ASSETS
Tangible assets
67,952
400,000
461,952
469,650
CURRENT ASSETS
10
10,30U
5,785
16,300
,785
691
64.776
24,30U
6,99CI
Debior5
Cash al bank
64,77(?
8O,RR4
CREDITORS
Amounts fal ling due within one year
(35,795)
(11,16.1}
(47,158)
(53,860)
NETCURRENT ASSETS
11 .163)
TOTAL ASSETS LESS CURRELYT
LIABILITLES
96.933
38)J,637
485.570
496,674
CREDITORS
Ainuunts falliii¥ due atler more than one year
13
(11,11314)
(134,3￿2)
(143,2211)
(156,11 l)
NET ASSET.S
FULYDS
Unrestricted tunds
Reslricied fiinds
TOTAL FUNDS
244 255
342 350
340 563
15
88.095
254 255
34? 350
100,478
?40,085
340 503
Tlie charitable coillpany is eiitiiled to exeniplion trom audit under Section 477 ol. the Companie% Acl 2006 tor the year ended 31 July
2024.
The tnembers have not requiied the company 10 obrain an audit of ilb financial statementb for the year ended 31 July 2024 in
dccorddnce with Section 476 ot. the Coinpanies Act £OO(I.
The Iruslees acknowledge their responsibilities tor
(a)
ensiiring that the charitable company keep5 accountiiig record5 that comply with Seciions 386 and .387 of the C:ompanies Act
2006 .Incl
preparing fLnancial slalements which give a Irue and fair view of the slate of affairs of the charitable coinpany as al the end of
eaLh tinancial year ai)d of 115 surplus or defiLii for each fiiianLial year in JLLordance with the requirements of SeLlions 3L)4
nd 395 aiid whicli othetivise ¢oinply witli th¢ requir¢im¢nls ol" the CoiDpMnies A¢1 2006 relalingi lo financial 8laleinenls, $0
far as appliLable to ihe charitable company.
(b}
The notes fonn parl of iliese finaneial statements
Page 5
continued..-

JAMYANG BUDDHIST CENTRE LEEDS (REGISTERED NUMBER: 115403805)
BALAIYCE SHEET- eontlnued
31 JULY 2024
These financial statements have been prepared in aLcordanLe with the provisions appliLable lo charitable cotnpanies subject tt) the
small compaiiies regime.
The fiiiancial slateinents were approved by tlie Board of Truslees and authorised for issue on 17 October 2024 and were signed on its
behaifby..
Dr M J J Leconte - Trustee
The notes fonn parl of iliese finaneial statements
Page 6

JAMYANG BUDDHIST CENTRE LEEDS
E40TES TO THE FINANCI.4L STATEMEINTS
TrOR THE YEAR ENDED 31 JULY 2024
ACCOUNTING POLICIES
Basls of preparlng the financial statements
ThL finunLial %tatcmLnt% of the Lliaritdble conipuny, whiLh 1% a public benefit Lntily under FRS 102, huve becn prep£￿Ld in
accordance with the Charilies SORP (FRS 102) 'Accounting ai)d Reporting by Charilies- Sialeinent of Recoinm¢nded
Practice applicable lo charities preparing their accounis it) aLcordance with the Financial Reporting Standard applicable in the
UK and Republic of Jreland {FRS 102) (etlective l Janiiary 2019}', Financial Reporting Standard 102 'The Financial
Reporiing Standard applicable in the UK and Republic of Ireland, and the C,ompaiiies Aet 2006. The financial slalements
IiawL bccn prLparL'd undcr thc hisloriLal Lost LollvLntion.
Incorne
All incoille is recogFnised in tlie Stdtemenl ot Financidl Activities once ihe charity has eiititlement lo ihe fund%, it 1% pmbable
that the income will be received and the amouni can be measured reliablj.
Expenditure
Liabilities are recognised as ¢xpenditure as soon as there is a legal or constructive obligation comtnitting the Charity lo thal
expenililiire, il li probable that a tran%fer ot econoinic benefit% will be required in %eltlemenl and Ihe dmoiint of the ohl igpiilion
cali bL Ineasured reliably. Expenditure is acLuuntL.d for on an accruals basis and has been classified uiider hL'<idingTS iliai
ggregate all LOSI related to the category. Where costs Lannol be direLtIy attributed to particular headings they have been
allocated to aclivilies on a basis consisl¢nt with th¢ use ot resoiirc¢s.
CJfdii15 offered %ubject lo condition% which have not been met dl the yedr end date are noted ¢omn)itinent but not a¢¢rued
as expendiTure.
Tangible fixed assets
DLprccialion is provided al the following annual rates in order lo write off each asset over ils eslimaled Liseful life.
Library
Fixiures and fitlingy8
Computer equipinenl
5 /0 on cost
I 00/0 on reducingy balance
25 /1) on reducing balance
Stock$
Stocks are valued at the loiver of cost and nei realis&ble value, atler making due allowance for obsolete and slow moving
iterns.
Txx#tlon
The chariiy is exeinpt froin corporation tax on its charitable activities.
Fund iccounting
Unrestricted lunds can be used in accordance willi the charilable objeciives al the discr¢iion of the Iruslees.
Restricted funds can Onl￿ be used for particular restricted purpo.ses within the objecls of Ihe charity. Restrictions arise wheii
specified by the donor or when funds are raised for particular restricted purposes.
Fiirilier explanAlion of the naliire and piirpose of each fiind is incliided in ihe. nole.s lo Ilie financial slaieme.nts.
Hire purchase and leasing commitments
Rentals paid uiider operating leases are charged to Ihe Slat¢m¢nt of FinaiiLial Activities on a slraighl line basis ov¢r the
period of the leatye.
Pen4ion eosts and ()ther pi)st-retirement benefits
Tlie charitable company operates a detined conlTibulion pension scheme. Contributions payable to the charitable conipany's
pension scheine are charged lo the Stateineni of Financial Activities in the period lo whiLh they relaie.
Page 7
continued..-

JAMYANG BUDDHIST CENTRE LEEDS
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JULY 2024
OTHER TRADING ACTIVITIES
2024
2023
C&fLI, shop und rentul
9.%85
INVESTMENT INCOME
2024
2023
Deposit aLLuunl interest
542
IX4
RAISINC FUNDS
Investment management costs
2024
2023
Property reps and maintenance
NET INCOMEIIEXPENDITURE)
Net incomel(expendilure) is stated after chargingllcrediling}:
2024
202.3
Depreciation owned assets
Holy objects & other expenses
1,698
1,989
TRIISTEES, REMLINERATIOIW AND BENEFITS
There were no trustees, remuneration or other benefits for the year elided 31 July 2024 noi. tor the year ended 31 ,luly 2023.
Tru5tee5' expe￿9¢$
Th¢re wer¢ no trustees, expenses paid for the year ended 31 Julv 2024 nor tor the y'¢ar ended 31 July 2023.
STAFF COSTS
The ai'erabye montlily number of employees durin&1 the year was as follo￿,$..
2024
2023
Support staff
No employees received emoluments in excess of £OO,(100.
Page 8
continued..-

JAMYANG BUDDHIST CENTRE LEEDS
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JULY 2024
COMPARA TIVES FOR THE STATEMENf OF FINANCIAL ACTIVITIES
Unrestricted
fund
Restricted
fund
Totsl
funds
INCOME AND ENDOIVMENTS FROM
Donationb and legaLies
3,000
57,017
Charltable aetlvliles
GLnLr&l
111,350
1¥,350
Other trading activities
Investmeiil irbcome
Total
89,885
184
162 4.36
89,885
184
165436
EXPENDITURE ON
Rai%ing fLind
16,926
4,131
21,057
Chariluble fyctivilies
General
Total
109916
126,842
I I [4,852
1391)09
LNET INCOMEI(EXPENDITURE)
Tran5fer5 betHeen fund5
Net movement In funds
J5,5Y4
240,152)
(214,558)
110.067}
250 152
240.085
25,527
25,527
RECONCILIATION OF FUNDS
Total funds brought fonvard
315.036
315.036
TOTAL FUNDS CARRIED FORWARD
100478
240 085
.340 16.3
TANGIBLE FIXED ASSETS
Improveinent
Freehnld
pr()PLrly
propeity
Library
COST
Ai l Augiisl 2023 and I I Jlily 2024
DEPRECIATION
Ai l Augusl 2021
charg￿ for ycar
Ai 31 .liily 2024
NET BOOK VALUE
Ai 31 July 2024
Al 31 July 2023
400 000
1,886
2l)3
400 000
Page 9
continued..-

JAMYANG BUDDHIST CENTRE LEEDS
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JULY 2024
TANGIBLE FIXED ASSETS- continued
Fixtures
and
fitting
C.ompuler
equipment
COST
At l AiigFusI 2093 and 31 July 2024
DEPRECIATION
Ai i Aiigus12023
Charge for year
Ai 31 July 2024
NET BOOK V.4LUE
Ai 31 July 2024
Ai 31 July 2023
11.55Y
787
1 ?,346
4,5hY
618
5,187
19,712
467 952
469 650
10.
STOCKS
2024
2023
Finished goods
DEBTORS: AMOUNTS FALLTNC DUE WITHIN ONE YEAR
2024
Trade debtors
12.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
20?4
?0?3
Bank loai)S ¢ind overdrafts (see note 14)
Trade creditors
Other creditors
AccNals and deferred income
7.740
11,660
11,363
16.393
7.740
7,147
14,703
24.270
P¥AEe l O
continued..-

JAMYANG BUDDHIST CENTRE LEEDS
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JULY 2024
13.
CREDITORS: AMOUNTS FALLINC DUE AFTER MORE THAN ONE YE.4R
2024
2023
Banlc Iudn% {%LL nL)tL 14)
Other creditors
Other Lreditors
8,838
24,652
109.730
143 2?0
17.529
.18.011
100 571
156 111
14.
LOANS
An analysis of the malurily of loans is given below..
2024
2023
Ainounts falling due wiihin one year on demand:
Bank loans
Ainounts fal ling due between two and five years:
Dank loai)s - 2-5 years
15.
MUVEMELYT IIY FUNDS
Nel
moveinenl
in fiinds
Trdn8t"er
between
funds
At 1.8.23
31.7.24
Unre%trlcted funds
GLIILrdl liinLI
100.4714
1,7117
(14,1701
88,095
Restrieted I'unds
Reqlricled Fund
240,085
14,17
254.255
TOTAL FUNDS
340 561
342 350
Net moveinent in t'ui)d5, iiicluded in the above are a% tollow5'.
Incoming
resources
Rc8OLircc
expended
MovcmLnt
in hinds
Unrestricted funds
General fund
151,471
(149.686)
1,787
TOTAL FUNDS
151477
149 686)
P¥AEe I I
continued..-

JAMYANG BUDDHIST CENTRE LEEDS
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JULY 2024
15.
MOVEMENT IN FUNDS - continued
Comparxtlves for movement fin funds
Nel
movement
in funds
Transfers
between
At
31,7.23
At l.R.22
Uiire%lri¢l¢d funds
General fund
315.036
35,594
{250,152)
100.478
Restrieted funds
Restritried Fund
(10,067)
250,152
240,085
TOTAL FUNDS
-316 036
340 563
Comparaiive nel moveineni in fuiids, included in the above are as follows..
Incoining
resources
Resources
expended
Movement
in funds
Unrestricted funds
(Jeneral tund
162,436
(126,842)
J5.5Y4
Re8trleted funds
RL'%lriLILd Fuiid
3,000
(13,067)
(10,067)
TOTAL FUNDS
165 436
139 909)
A LurrLnl yedr 12 months and priur yLdr 12 ￿Onth5 LUTnbinLd po%ilion i.s t"olluw4.'
Nel
Inovenieiit
in funds
Trar)sfers
between
funds
Ai
-31.7.24
Ai 1.8.22
Unrestricled funds
General fund
315,036
37,381
{264,-122)
811,095
Restrieted funds
Restricted Fund
(10,067)
264,322
254,255
TOTAL FUNDS
315 03()
342 35U
P¥AEe 12
continued..-

JAMYANG BUDDHIST CENTRE LEEDS
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 JULY 2024
15.
MOVEMENT IN FUNDS - continued
A current year 12 inonihs and prior year 12 months coinbined nel inovernenl in funds, included in the above are as follows:
Tncoining
resources
Resources
eApended
Movement
in funds"
Unrestrlcted funds
GLnLr&l fund
31.6.90Y
(270,5281
37,381
Restrleted funds
Restricted Fund
3,000
(13,067)
( i o,0(i7)
TOTAL FUNDS
310909
2S9 595
16.
RELATED PARTY DISCLOSURES
There were no I'elated porty trllns&btions for the year ended 31 July 1024.
Page 13

This document was delivered using electronic communications and authenticated in
accordance with thc registrar's rulcs relating to elcctronic form, authentication and
manner of delivery under section 1072 of the Companies Act 2006.