chrfty r•8l*¥Uon nurnb•r 1111499
Com￿nY r•alrtr•llon ThJmb•r0552473B (Enland and W*l¢•l
ADHAR PROJECT
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2024

ADHAR PROJECT
LEGAL AND ADMINisfRATIVE INFORMATION
TruJt•M
D Patel
H Manjothl fTrea$urer)
P Kotharl (Chalrperson)
R Martln
S San8
M Roberts
(Appolnted 28 February 20241
S•nlor MaMiThnt
H Sandhu
Chlef Excirtlve Oflker
S•ry•tsry
H Sandhu
Ch•rfty number
1121499
Compary numb•r
05524738
prIn￿￿1 ¥ddr•M
and wl#v•d oflk•
79 St Peters A￿d
Ldcester
LE2 IDH
Ind•pendeirt•xamlner
Thomas Morfleld &4 FCA
Mayneld & Co {Accountantsl Ltd
2 Merus Court
Merfdlan Buslness Parf(
Lelcester
LEts IRJ
B•nlM
CAF Bank
25 Kin85 Hlll Avenue
We# Malllng
Kent
ME19 4Jq

ADHAR PROJEcr
CONTENTS
Trustees report
Independent exarnlne¢s report
Slatsment of financlal actlFAtI•s
Summary income and expenditur• •ccount
Balance sheet
ststement of cash flow5
Not•s to the flnanclil statements

ADHAR PROJEcr
TrUSTEES REPORT (INCWDING DIREcfoR'S REpoKn
F(X THE YEAR ENDED 31 MARCH 2024
The trustees present th•lr annual report and flnanclal gtatements for the year ended 31 March 21ll
The flnanclal statements have been wepared In accordance wlth the accountln8 Policfes set out In note I to the flnandil
statements and comply wlth the chJrlty's t8overnln8 document], the Companles Art 2(K16 Ind "Accountln8 and Reportlng by
Charltles: Statement of Recommended Practlce applkable to charttle5 preparfni thelr acc¢Junts tn acL¥Jrd•nu wlth the
Flnandal Reportlni Stsndird •ppllcable In the UK and Republ1¢ of Ireland IFRS 1021. (effectlve l January 2019).
QbJe¢dves Ind artlvhl
We prothde a ranp of mentsl health support ser¥lces prlmarlty but not exluslvely to Blacl Aslan Mlnorlty Ethnlc
Communities Indud1￿ talklng theraples cwr and counselllr&lemotionaL advocacy on a rdn8e of welfare benefitsi prvvldlng
adwcacy to Inpatients at a medlum 5ocure womens Thntal health communlty hospital, our 5enlor ps￿he￿p1St provldes
mental health awareness workshop5 icross the city and charn￿￿d and other Munty areas..
Adh•r exTsts to promote health ind wellbeln& to ch•llen80 the stlgma and dlscrlmlnatlon experlenced by those wlth
cornmon and endurlni mental health problems prlmarily In tho BAME communltles. We offer gender approprlate and safa
5UPPOrt In the c(xnmunlty and alrn to make those •s acce58lble and welcomln8 for the dfverse and multi falth
communltle5. We prornote Independence and take actlDn to empcwer• promote pollcy and good practlce to meet the needs of
Iduks wlth mental health problems We pnwide some support to c•rers and collaborate wlth other oruanisatlons for
Improvln8 mentsl health servkes.
blk B•n•fft
We have referred to the Suldance contalned In the Charlty Commlsslon's 8•n•rnl wldance on Publk Benefft when revlewlni
our aims •nd objectlves, and In plannln8 our future actlvTtles.
The charlty belleve5 ft ha$ provld•d a publlc benefft durtngthe year throuih the areis outllned In sectlons furth•r on.
As, trustees we take our charltsble role very serfously and the tharlty work5 hard to make sure that tt provldes charftable
servlces that •r• soclally Induslve.

ADHAR PROJEcr
TRusfEES REPORT {INCLUDING DIRECTOR'S REPORn ICONTINUED)
FOR THE YEAR EfiIDED 31 MARCH2024
Athl•v•m•nts and p•rfomwnc•
We have near compl•tsd our 4 year strategy and buslness plan th15 us to review and reth a number of polldes and
workln8 wlth externil consultsnts led to Improvements. however there Is a long way to 80 to •chl•ve the taryet$ a$ set (Art
In the #rat4y and actlons
We dld secure the sub contract wlth Sturdee Communlty HospItsI a medlum secure fadllty and provldlns the In patents wlth
advocacy support of 8 hours per thls has been Invaluable to Improvlng engagement and supportlni patlent ri8hts It Is
hO￿d that our small but not in$i8nfflcant Input wlll lead to them havlng a better care quallty commtsslon review next year.
3. We have been Successful wlth a small number of funding ippllcallon particularly to Improv• our rr and marketln& our sodal
rnedla presence has ortalnfy Improved as evldenced by the number of follaweTh and our new ￿bSIte development from
Jetpack Markotln8 has en•bled easler pathway to access our servlces and rnore •fflclent for those wlshlng to send referral&
Also help•d us to reduce use of paper and prlntl
4. We secured another twehR months of fundln8 for the servlces In ThUnr￿StOn not for the L￿ghborOugh servlce but
desplte th1$ the cllent pay a smill contrlbutlon and thls has enabled ￿ to continu• to meet thelr nee￿ The LLR s•rvlce comes
to an end In March 2025 and we wlll be rnaklni a case to the funders for thls 5er¥lce to be properly funded to ensure
conllnulty. There are over 150 plus service users most elderly and that Is why we h•Y4 set our fundln8 wiorltles to reduce th•
Impact on so many servkn user&
5. We •r• stlll makln8 •ppllullons for ￿PItal qrnnts to asslst us In improvln8 our ￿lIdIng and ￿ have approved the 80 ahead
for • replacement boller next year to mak our bulldlni ener8y eFficient 4nd other mlnor repalrs hm been carrled out.
6. IT and Webslte has been •chl•v•d but as wlth all technolo8y thls Is not a #andstlll pos1t1o￿ we will k••p looklng at
Improvements The therall perfommnce In thls area has certslnly Impr¢Jved our prnfile outslde of Leicester and we have
attracted a handful of Indi¥idu•l& wo have made Small donatlons through ourweb51ts.
We corrtlnue to Prn￿de where we can opportunllie5 to students, gchooVcolle8e work •xperlenee and volunteer placements.
Thls of course has a Impart on our Ilmlted rasourEes so we wlll be reslrfctlni plac•m•nts for unlvuslty StudentL As so muth
tlme sets taken up svpportlni ind super¥lsln8 Students th•t we dld not h•v• th• awctythen to pursue Idte marks a5 set out
In last Itars plan.
We ￿11 outline our future pla￿ In thls are further on In the trustee report.
As a lar8ely Jenrtce user and oreer led and mani8ed prolect ￿ Ire aware that tsrgets have to be reallstk and that the
commlsslonerslfunders also need to refiact thls In th•lr OxF￿Ctatl0n8. It Is an Incredlble lepcy that Adhar as a small charlty
has mana8ed to stay vlable and contlnue to deliver good seThrfces to a dlverse ran8e of people . partl¢ularly to ￿¢tIMS of
domestl¢ vlolence and the thernpeutlc provlslon we hMI thanks to the Lottery lundlns Is changln8 and Improvin8 lives across
the clty and county. A member of staff recenlty sald . Irs not recoanlllon or platftudes we need, slmth need fundlNa to
Irk wlth and for the mentally111, Just to makn thlny better forthem, It's not a lot to ask for" We a8ree IVS not a lot to ask for,
that 40k could makn such a differenn to 150 plu5 poople, Is a drop in the (Kean when cornpared to the health and soclal care
System fundln8
As chalr. I would on behalf of th• board of to thank our CEO Qther ernplorn external holbtlc actmty provlders,
Thurmaston Communlty C4ntre. John Storer House. Our Lady of Good counsel and Falth and Includln8 our dedlcated
volurtew5 and fvnders.

ADHAR PROJEcr
TRUSTEES REPORT (INCWDING DIRECTOR'S REPORn ICONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
Fln•n¢l•l r•¥1
Adhar has Ilkn many other same sJz• projects acTOSS the country have experfented dlfflcultl•s both financlal and the ups and
downs of the econory• we are though In the post pandemlc stay we are stlll trylng to corne to ternis wlth the thanges both
at natlonal arKI local kn*l. W• h•ve seen the gulf between the have's and have nots wIdenl￿ here and there we have seen
people Ilfted out of poverty thanks to our servlce& There Is the tertsions, wars, climate changes that are happenlng sometlmes
thousands of mlles away• yet they are Impactlng on the mental health cf manyi we have wTtnessed thls ourselves ￿rkIng in
some of the most deprl¥ed wards wlth multl faTth communftlesi pmrty In mthrlal temu Is Intol•r•bl• ilon8glde wlth a lack
of compatslan and understandin8 ts frf8htenln8 for mary.
We hern at Adhar remaln compasslorth ind ￿TIng ind thls15 achleved throu8h not lust traInI￿ and pwsonal develapm•nt
but wlth understsndln8 and a bellef in our core v•lues th•t everyo￿ has the capadty to chan8e for the better and that tho
with m•ntsl he4Fth probleThs have ri8ht to Ilve free of dlscrlmlnatlon and lead happy and heafthy li￿5.
The th•rlty's flnanclal posltlon can be found In the Stst•m•nt of Hnanclal Pztfvltles on pay 7 and the Balance Sheet on pase
Tho charlty reported total Income of £364,509, and VAperKllture of £397.343. Thus reportin8 a defi¢lt forthe year of £32,83
Last years surplus may report a sllshtly mlsludlryg posltlon 1$ £3cxI,C￿ came a Communlty A8iet Trawfer from th•
Lelcester aty Coundl.
At the y•ar end ￿ had reserves 01 £419305 spllt betw••n:
Unre5trfcted funds general of £26,362
Unr•strfcted funds desl8nated of £64,655
Rostrlcted Fund$ of £2¢188
Endowmert funds of £3QO.OC
The reserves as at the year ended 31 March 2024 Stood at £419,205. whkh 1$ 5118htly dLAffi fr¢m the prevlous reserves
of £452.039. The s18nFfftant leb*l ot reser￿￿ is milnly due to the Incluslon of the property endowment crf E300,IXJO In respect
of 79 St Petefs Road.
r fr•• reserves - the unrestrfrted funds •nd deslgnated funds stood at £26J62 and £64￿55 reSpectlbtl￿ SO these total
£91.017.
However. the desjgnated costs are there to c(r•erthe van and •ny wear and tear Issues plus depredatlon.
Th• desl8nated funds also covers our dllapidatlon strnt•8y for the bulldln8 as we are comclous onqoin8 r•￿113 and
m•lntenance have become more c05tly.
The Permanent Endowment is unavallable to the trustses to reallse as tt Is a CommunltyAssetTrdn5fer.
The Irustees alm to bulld sufficient resems to •n•ble them to malntaln reserves In excess of slx months "Mrm•l costs.. The
trustees estlmate normal ongolrq annual costs to be between £200.fAI) and £3110.COJ. Threfore they are not content wlth
the level of reserves as at the 31 March 2024.
PrknclpAI Fundkns 5ourc•s
Natlonal Lottery CommunTty Fund
Nel8hbourho¢xl Mental Health Preventlon and Reslllence
LLR Communlty Found•tlon
Dlrett wm•ntslpersonal budws longolng)
All those others who have supported us throuth donatlons

ADHAR PROJEcr
TRUSTEES REPORT (INCLUDING DIRECTOR'S REPORT) (CONTINUED)
FOR 7HE YEAR ENDED 31 MAROI 2024
R15k M•n¥anMrt Pdl¢l
The Manapnent CommTttee to8ether wlth the staff has conducted • revlew of the maJor rlsks to Mthlth th• charlty Is
exposed. Where resources permlttln8 Wsterns or procedur05 have b•on e5tabllshed to MI￿￿te the rfsks the charlty faces and
reserves pollcy was a8reed at a mana8ement commlttee meetln& 518nmcant external rlsks to fiJndln8 have lead to the
de¥*lopment of a strawc plan whlch wlll allow for the dlverslflcatlon of fund]￿ and actl¥fties. Internal control rfsks are
mlnlrnlsed bythe Implementatlon of procedures for authorlsatic>n of all trnnSartl0￿ Procedurdl polldes In place to ensure
cornpllance wtth flre and 5￿ty of bulldln& staff. volunteers, cllents and ￿$￿t01S to the prDJect.
Plins forfutur• perfoth
Our plan Is to:
l. To fundnlse to secure the Charnwood sepAc•s 1$ a kéy prforlty and to finallse the 4 y•ir buslness planl Strate8V that sets
out our dlrecuon forthe comlrq few year&
2. To inu•ase the therapeutlc ser¥ic05 and reduu waltln8 ItsL
3. To mike fundln8 appl￿tIOnS Includlni tapltal for the bulldln8
5. To employ a part tlme ldmlnlstrator wlth • focus Sodal Medla
6. To Replace the Boller and Gatss the latt•r dependlng on current resources.
7. To plan and wocure consultsnt to undertake and Independent EFAluatlon of Ill ourservlces.
Adhar Projert Is a Charltable Compary limlted ￿ gu•rant•e, Incorporated on 5th Aulust 2(X)5 and rtrre8lstered as o charlty In
January 2008. The oryanlsatlon was eAabllshed under a Memordndurn of Assoclatlon whlth establlshed the objecti￿5 and
powers af the Charftable Company and Is govemod under Its Artldes of Assodatlon.
The Irustees, who are also the dlrectors for the purpose of compary law and who ser¥•d durln8 the year and up to the date
of 51inatur• of the flnandal statements were..
D Patel
H Man￿thI (Treasur•r)
P Kotharl (Ubalrp•rnon)
R Martln
M Robert5
(Appolnted 28 February 2024)

ADHAR PROJEcr
TRUSTEES REPORT IINCLUDING DIREcfoR'S REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
The staff team as on the 31 March 2024 were:
Ms. Harllt Sandhu- CEO
Mrs Brennan- Ad￿KacY Manager
Mrs. U$hma Joshl-servke Co-ordlnator
Alsh Docrat- Snr CDT Psythotheraplst
Swatl Mlstry- ￿Pport Work*r
Rlckl Kotharl-support Workr
Sumaya Bhatta- Offlce Cleaner
Anll Khalra- Dfverlsupport Worker
Sonal Patel-SeNlce Ctrordlnatorrnieraptst
Hlnd Lakhal-support Worknr
Appolbltm*rt of M4n•ym*rt Cornffllttae
The dlrectors of the company are also tharlty trustees for the wrposes of charfty and under the comp•n¢s Artlcle5 are
known as members of the Management Commfttee. Under the requlrements of the MemorarKlum ind Mlcles of Assodatlon
the Members of the Mana8ement Comrnlttee are elerted to seNe and are r￿line1¥ rmletted,
Due to the nature of mentsl heifth much of the charlvs work Inevltsbly focuses upon BAME people wlth complex and
•ndurfng menlal health dlfflcultkn& The mana8ement commlttee seeb to ensure that the needs of thls group are
approprlatsfy refiected throu8h the d￿erSIty of the trustee body.
To enharKe the oryanlsatloM work service users and carers are on the mana8ement comrnltt••.
None of the trustees has any benefldal Interest In the compary. All of the trustees are members of the c¢mpany and
8uaThntee to contrlbute £1 In the event of a w1nd1￿ up.
Ownl
Ad￿r Project has a Mana8ement Commltt•• who m••t quarterly and support the manapr and external consultants for the
5trate* dlrectlon and pollcy afthe charlty
At present the Commlttee has nlne members from a Wdriety of backyounds relthontto the work of the charlty. Th• day to dav
responslbllltyfor the prnrfslon of the services rests wlth the CEO alonz wfth the Flnance and fvAminlstratit)n staff.
The CEO Is r￿P0￿[ble for erraurln8 that the charlty dellvers the servlces spe£Med and that key perftymance Indlcators are
meL
The CEO has responslblllty for th day to day operntlonal mana8•m•nt cf Adhar, Indlvldu•l supor¥l$lon except for thè
theraplsts as thy have external dlnlcal supervlslon of the staff team and also en5urln8 that the tsam contlnues to develop
thelrskllls and workln8 practice5 in Ilne wFth pod practlce.
On behalf of the l)oard of trustees
P Kotharl lthalrper50n)
Trustee
13 D•cembtr 2024

ADHAR PROJEcr
INDEPENDENT EXAMINER'S REpoirr
TO THE TrUSTEES OF ADHAR PROJECT
l rnport to the tiiistees on rry •Aminatlon of the financi•l 5tat•ments of Adhar Project (the charltyl for the year ended 31
March 2024.
PawdbJlftle8 and b•sb of r•wt
As the trustees of the thartty (and also Its dlrectors for the purposes of company lawl wju are responsible for the preparntion
of the flnancial 5tatsments in aC￿rdanCe wlth the requlrements of the Companles Act 2006 (the 2C*J6IA).
sitl&led mysolF th•t the flnanclal statements of the charlty are not requlred to be audlted under P•rt 16 ¢)f the 2006
Act ind arn elwible for Independent eyamlnatlon, I report In respect of my e￿mInatIOn of the chrltys flnondal statements
carrled out under sectlon 145 of the Chafftles Act 2011 {the 2011 Act). In Carry1￿ out my eyaminatlon I hrn followed all the
appllcabie Dir•ctlons alven bythe Charlty Commlsslon under sertion 14515)(b) of the 2011 ACL
Ind•p•ndqnt •umlMr* •tatem•rt
Slnu the tharW$ 8ross Income exreeded £250OCI) ￿ur ey2mlner must be • member of a body Ilsted In sectlon 145 of the
2011 Act. I confirm that l am qualffled tt4 undertake the examin•tlon b•c4us• l am a member of Instltirte of Chartered
Accountsnts In En8iand & Wales IICAEW), whlch Is one of the listed bodle5.
I have completed my e￿mInation. I conflrni that no mJtt•rs hrn come to rry attentlon In connectlon wlth the *Aminatlon
8Mn8 me cause to belleve that In ary materfial re5P8rt:
accountln8 records were not kept in rnsport of the chartty as requlred by sectlon 386 of the 21YJ6Prt' or
the flnancial ststements do not iccord wtth those remrds; or
the tlnancial statements do not comply wfth the accountlng requlrements of sectlon 396 of the 2006 Act other than any
requiremqnt that the accounts ilve a true and falr vlew whlch Is Mt a matter considered a5 part of an IndePL￿dent
exarnlnrtlon; or
the ftnand81 staternents have not been prepared In accordance with the method5 and prlndples of the Ststement of
Recommended Pr¥cUce for accountlng and reportln8 by charltles applkable to charftles preparfng thelr •ccounts In
accordance with th• Hnanclal Reportlng Stsndard applknble In the UK and Republlc of Ireland (FRS 102).
I no concerns •nd have come across no other matters In connectlon wlth the examlnztlon to whlth attentlon should be
drawn in th15 report In order to enable a proper understandin8 of the flnandal statements ta b• r••chod.
Thamai Mayfield U FCA
M￿eld & Co (Accountants) Ltd
2 Merus C￿rt
Merldlan Buslness Park
Lelcester
LE19 IIU
Dated: 13 December 2024

P4
1 i ai
m*

ADHAR PROJEcr
SUMMARY INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2024
All InMm• funds
Gr03s Income
364509
331584
Total expendltur• from Incorne funds
397.343
296A86
N•t (•XP•nd￿r•vlnCorn• for the
(32,834)
36.098

ADHAR PROJEcr
LANCE SHEET
AS AT31 MARCH 2024
Hx•d
T1￿ible assets
318.319
320J55
Curr•nt ilia
Debtors
Cash at b8nk and In hand
15,366
108A28
24156
120,038
i24.￿4
123,308)
194
{￿￿10}
CMdllgTr: amounts du• wftNn one ymr
N•t eumnt •u•ts
Icl),886
131,684
Total ai*ts I￿ curr•nt Ilablllll
419,205
451039
Net 4Vdats •xdudlw p•nilon Ilabllty
419,2LS
451039
Th• fundi of th• th•rllv
End¢)wment funds
Restrfrted Income fund5
Unresirlcted funth- ynernl
Unreslrlcted fund5- deslsnated
17
19
300X#)O
3(X)O
58.Z63
29,121
64,655
26.362
64,655
20
419,205
451039
The companyls entltl•d to the exempuon from the audlt requlrement ci>ntalned In sectlon 477 of the Comp•nle5 Act 2￿6. for
the year ended 31 March 2024.
The dlrector acknowledges hls respon51bllltles for comptyln8 wlth the requlrements ot the Companies Att 2Cn6 with respect to
accounti￿ records and the prepaThtlon of flnanclal ststements.
The members have not reqvlrad the rnmp•ny to obtsln an audlt of Its flnandal statements for the war In questlon In
accordance with sertlon 476.
These finandal statsments have been propared In accord•nc• wlth the provlslons appllcable to companles suble¢t to the smèll
companles re8lme.
The flnanclal statements were approved by the trustee5 on 13 December 2024
HBMI
H Manjothl (Treaurer)
Tfurtee
Company r•Ostratlon number 05524738 IEn8land and Wales}

ADHAR PROJEcr
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 MARa12024
At￿ntI￿ poucles
Ch•rlty Inforniaii
Adhar Project Is a private company limlted by Buavarrtee Incorporated In Eniland and Wales. The relstered offltx is 79
St Peter5 Road. Leicestqr, LE2 IDH.
1.1 A¢coun1l￿ tonxntlon
The flnancial statements have been prepared In accordance wtth the charlty's tlavernlni documentl, the Companles
Act 2£￿, FRS 102 Yhe Fln•nclal Reportlng Standard appllcable In the UK and Republk of Irelan￿ I'FRS 102") and th•
Charlties SORP 'Acthuntlng and Reportlng by Charltles: Statement of Recommended Practlce ippllcable to charftles
preparlw thelr accounts In accordance wlth the Flnandal Reportlng Standard appllcable In the UK and RepublF¢ of
Ireland (FRS 1021" Iqffectl¥e l January 2019). The charlty Is a Public Benefft En￿ty as defined by FRS 102.
The flnandal statements are prepirEd In st•rlln& whlch Is the functlonal currency of the charity. Monetsry amounts In
these flnanclal statements are rounded to the nearest £.
The fFnanclo1 statements have been pre￿red under the hlstorkal cost cOn￿ntIon. Imodmed to Indude the revaluation
of freehold propertles and to include Irnmstment propertles and certaln flnandal Instruments at falr valuej. Tha
prlndpal accountlns pollcles adopted irn set out below.
12 Goln8 ￿l¢ern
At the tlme of ¥p￿y0vIn￿ the flnandil statements, the trustees have a reasonable expeci*lon that the charlty has
adequate resources to contlnue In operatlonal existence for the f(xeseeable future. Thus the trustees continuo to adopt
the pln8 coneem ba$ls of acwuntlni In preparlw th• tlnanclal statements.
L3 Charltsbl• l￿dI
Unrestrfcted funds are avallable for use at th• d15cretlon af the trustees In furtherance of thelr tharitsble obJecthKs.
Restrlcted fund5 are subl&t to th• Jpendlng mtrlttloNq Imposed by the fund P￿￿der.
Unrestrlcted funds are Mllable for use at the dlscretlon of the t￿￿tee$ atthe furtheranco of the chirlvs ¢)bJoctlve8.
IA Incom•
Income is rew8nlsed the charfty15 le8alty entltled to k after any perfarminc• (vndltlons have be•n meL the
amounts can be measured rellabty. and It Is probable that income wlll be recelwd.
Cash donatlora are re¢o8nlsed on reulpt. Other don•tlons are rewn15ed once the charfty has b••n notI￿d d the
donatlon, unless perfOrn￿nce condltlons require deferrJl of the amounL Income tsx rec(MErnble In relatlon to
donatlons receI￿d under Glft Ald or deeds of covenantls reco8nlsed at the tlme of the donatlon.
Le8acl•s ir• rncoinlsed on recelpt or otherwlse If the charlty has been notlfl•d of in ImpondlnB d1strf1￿t1orn the
amount ts known. and recelpt Is experted. If the amount Is not known, the le8acy Is tre•tsd contlrynt asset.
10-

ADHAR PROJEcr
NOTES TO THE FINANCIAL sfATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2024
At¢ountlry polkl
(Corrtlnu•d)
1.5 Exp•ndltyr•
Iture and Ll
Uablllty reco8nltlon - Uabilities are recognlwd as soon as there Is a lepl or ￿nstrUctive obllpuon commlttln8 the
charfty to pay out resources.
Al
Includes Costs of the preparatlon and eyamlnatlon of statutory account4 the c05t5 of trustee meetlr45 and c05t of any
le8al alfvlce to on 8ovemance or con5th1onal mattar&
TanAible flxed assets are Inltlally measured at Cost and subwuently measured at cost or valuatk>n, net of depreclatlon
and any lrnpalrn￿nI losses.
DeprecI￿On Is reco8nlsed so as to wrlte off tha c05t or valuation of assets less thelr resldual ￿lUeS over their useful
Il¥es an the followlng base&.
Land and ￿lIdIng3
Motorvehldeg
Nll in y•ir of •cqulsltlon 4% per annum thereafter
IO% p•r Jnnum reducln8 balance basls
The Zaln or loss arfsln8 on the dlsposal of an asset is detsrmlned as the dlfference betwn the sale pr¢>ceeds and the
rrWng value of the asseL and 1$ re¢o8nlsed In the ststement of flnandal actSvftles.
L7 Imylrniart offix•d Miets
At each reportlng end date, the tharlty re￿ewS the arrylni amounts of ￿ tsn8lble assets to determlne whether thern
Is any Indl¢atlon that those a$set5 have suffered •n Impalrment lom. If any such Indlcatlon exlsts, the rtcmrnble
amount of the asset b e#lmated in orderto determlne the extent of the Impalrment loss {If anv).
l.a Cath and ¢aih •quhMlqnts
Cash and cash equlvalents Include cash In hand, d•p051ts held at ull wlth banks, other short-term Ilquld In￿$trn•nts
wlth arl8lnal maturltles of three months or less. and bank overdrnfa. Bank overdrafts are shthyn wlthln borrDwln85 In
urrent lIa￿lItIe&
1.9 Rn•Thgal Inthmlnts
The charfty onty has )IMnclal assets and flnanclal lknbllltles of a klnd that quallfy o ba51c ftnènclal Inrtruments. Blsk
flrbanclal Instruments are Inklally r•coznlsed at transactlon value and subsequentty measures at thelr settlement value
wlth the &xceptlon of bank loan￿ whkh are subsequently measured at amortlsed cost U5ini the effectlve Interest
method.
BKIC flnandal assets, whlch Include debtors and cash and ￿￿k balances, are Inltlally measured at trnn5actlon prke
Includlng ￿n5?￿lon costs and are subsequently carrfed at amortls•d cost U￿n8 the effertlve Interest method unless
th• •rrangement coiistltutes a llnandn8 tran￿rtIOn, where th• transactlon Is measured at the present value of the
future recelpts dlscounted at a mafv*t rate of Interest. Finindil aslets dassffled as recelwdble wthln one year are not
•mortlsed.
11

ADHAR PROJECT
NOTES TO THE FINANaAL sfATEMEKrs (coKriNUED)
FOR THE YEAR ENDED 31 MARCH2024
A¢countlN pollcl
(Conllnu•dJ
Baslc finindil Ilabllltles, Indudlns credltors and bank loans are init1a1￿ recognlsed at tran$artion prlce unless the
arrdn8ement constltute5 a financlng transactlon, where the debt Instrument Is measured at the present value of the
fvture payinents discounted at a mark*t rats of Interest. Flnanciil Ilabllltles daMKled as payable wlthln one year are not
amortlsed.
Debt instrum•nts are subsequently carrled at amortlsed cosL uslnithe effective Interest rats method.
Trado cr•dltors are obllg•tlon3 to Pay for8oods or seThlces that been acqulred In the ordlnary cours0 of operatlons
from suppllers. Amounts payable are classlfled as current liabilitles If payment Is due wlthln one y•ar or less. If no< they
ire presented as non<urrent Ilabllttles. Trade credltors are reco8nlsed Inltlalty * transactlon prlco and subsequently
measured at amorllsed cost usln8the effertfve Interest method.
Flnartthl Ilabllltles are dereaJBnlsed when the c￿r￿S contractual obll8atlons explre or are dlscharyd or cancelled.
1.10 Employa• b•n•ffti
The cost of any unused hoifdiy entltlement Is recognLqed In the perfod In whlch the employerf5 gervice5 are recelved.
Termlnatlon benefrts •ro r•co8n15ed Immedlately as an expense when the charlty Is demonstrabfy commltted to
ternilnate the employment of an employee or to pmlde termlnatlon beneflts.
Lll Ratlroment ben•A
Payments to defined contr[￿tk>n retiremert benefit schemes are tharyed as an expense as theyfall due.
Crltkal a¢¢ounkn•#knatM and Jud&Thn•nts
In the appllcatlon of the charlty's •ccountln8 poll¢les, the trustees are requlred to m•ke lu*mentS estlmates and
assumptlons abcArt the ￿rry1￿ amount of assets and Ilabllltles that are not readlly apparent frorn other Sources. The
estlmates and aHociated •55umptlons are based on hfstorfcal experlence and other factors thèt are consldered to be
relevanL PAuil results may dlfferfrom thes• I￿rnat•s.
The estlmates and un&rtyln8 assumptions •r• mlewed on an onqoln8 ￿$1$. Revlslons to accountlni estlmate5 are
reco8nlsed in the perfod In which the ￿tIM4￿ Is revlsed where the ￿l￿on affects only that perlod, or In the perlod of
the revision and future perfods where the revlslon affects both current and future perfod
12-

Ji-
883

Iii"
iji"
zu

ADHAR PROJEcr
NOTES TO IHE FINANCIAL sfATEMENTS (CONTINUED)
FOR 7HE YEAR ENDED 31 IWARQ12024
Inmme from don•tlani andlopd
(Cartlnu•d)
Th• donatlon In rnsp•ct of th• permahent endowment relates to a o)mmunlty 455et transfer from Leicester aty Coundl
In respert of the property 79 St Peters Roa￿ Lekester. The property has been Independeth Yalued at £31XJJm as of
the date of transfer.
Incom• from thwltabl• irtl¥ftl•B
Unr•Jtrlthd Unrestrf¢t•d
ndj
fundi
Ch•rftabl• ac11￿1
Personal Dlrect Payments IPDP)
Other Income
125.311
105
106,256
125A16
106,256
Income from IrMrtm•rti
Unmttrfcted ￿r•￿tt•d
lunds
funds
2023
Interest recal￿ble
279
252
15-

ADHAR PROJEcr
NiyfES TO THE HNANCIAL sfATEMENTS (CONTINUED)
FOR 7HE YEAR ENDED 31 MARCH2024
Unrethcted Il•itrkt•d
Funds
Funds
2024
2023
Stsff costs
Depreclatlon and Impalrment
Group actlvltles and Inddents
Stsff travel
Equlpment purcho$e5
Statlonery. prlntlng and postsp
Telephone
Mbcellaneous Including h05pltallty
Subscrlptlons and publlc4tlons
HRM, Confer•n¢• Jnd Thlnlng
Bad Debts
Advertlsln£ & publldty
Ilep•lrs and renewals
83,2S4
2,036
16,IX3
102
176,453
I43￿15
345
2¥840
2036
37,383
315
21.3fy)
213
iJ68
IA09
3.790
276
816
1,210
2,158
255
151
8256
1333
3.600
1297
1714
4,671
276
3,231
5J71
5.063
3A43
831
4,741
5,063
397
113,536
214439
324,975
.125
Share of support costs (see note 7)
Share of pvernance C05ts (see note 7)
7,343
4.830
29,241
30954
36.584
35.784
67,163
41,198
125,709
27&634
397,343
296,486
AMWS by fund
Unrestrftted funds. yn•ral
Unrestrfcted funds- deslunated
Restrlcted funds
125,709
125,709
113,142
345
182.999
271.634
27L634
125.709
271,634
397,343
296A86
Fortha ye•r ended 31 Mirth 2023
Unrestrlcted funds- 8eneral
Unrestrlthd funds- desl8nated
Restrfcted funds
113.142
345
113.142
345
I￿595
113A87
181999
296.486
18.

ADHAR PROJEcr
N(YfES TO THE FINANaAL STATEMENTS (CONTINUED)
THE YEAR ENDED 31 MARCH 2024
Support ta* •llor•t•d to
2024
35,789
23.623
1,481
6,270
41.198
Premlses costs
Insurnnc•
Le8•1 and professlonal fees
9.280
3.586
14,314
35.784
72,368
J61
Analymd b•tw••n:
Unrestrkted funds
Restrlcted funds
11173
60,195
60,$29
47.832
71368
108,361
20
2023
Gov•M￿Cl ca#1 comprfm:
Staff costs
Independent examln•tlon fee
Accountin8 and payroll costs
Bank thar
lo￿1
zo
17,750
l520
60
41198
N•t mtyd•m•rt In furnli
102J
The net rnov•m•nt In funds Is st•tsd •ft•r ehar8ln8llcredltln8).'
Fees paydble for the Independent emmlnitlon of the charltvs flninthl st•t•m•nts
D•pred*lon of owned tan￿ble flxed 45sets
1520
2￿6
1520
345
Truth•i
Non• of th• trustees {or any persons connerted wFth them) rKeived iny remunoratlon durlng th• y••r. (2023- one
tru5te• was relmbursed a total of £245 fortravelllng ￿penseS).
10 T•Mtlon
Th• tharltylg exempt from tsxitlon on Its artmtles because all its in￿rne Is applled for dwrttable purpoges.
17-

ADHAR PROJEcr
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
11 Empltsyo
The 3verdV monthly number of ernploy••s durlng the year was:
2023
Nwnb•r
Mumbar
Servke Dellvery
support Costs
Governance
Employment
20
Waps and Aalar1•5
Other pension costs
193,690
6￿5
278,515
2C(1.255
No employee Is alllxated entlrely to elther 8ovorninEe or sUPPOrt costs: an asse5sm•nt of part of each emplo￿¢,$
Invofvement In pvernance or support cost$ has been used as the basls fDr determlnlry the 4bove apportlonment of
The number of •mployees whcAe annual remuneratlon was more than £60,000 is as
follows:
2021
Number
Numb•r
Band 60.001 to 70.IXXI
Ilomuneratlon of key ffl•n4ement pev*)nn•l
The remuneratlon of h2y m?na8ement personnel was as follow5:
repte comp•ns•tlon
61695
52.127
18-

ADHAR PROJEcr
NOTES TO THE FINANCIAL sfATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
12 Trrylble flx•d
4￿￿ Mjmrvehld
At l Aprll 2023
3￿.000
20.700
320.700
At 31 March 2024
300.C
20.700
320,71JO
Dew•¢latlon and Imp•lrni•irt
At l Aprll 2023
Depra(i8tiDn C￿r8ed In the year
345
1036
At 31 M•rch 2024
2J81
2J81
C•rrylw am¢wnl
At 31 Marth 2014
3(K).I
11319
318319
At 31 March 2023
300,OLM)
20J55
320.355
li D•bto
2024
20J
Afflounts f•lllry du• wlthkn one yur
Trade debto
Prepayments and a¢crued income
13.240
1126
18,087
8.069
15366
26,156
Cr•dltor&' amounts f•llrydu• wftNn on• yo•r
Not•s
Other tsxatlon and soclal securlty
Deferred Income
Trade credltors
Other Credltors
Accruals
3,714
8.222
L986
7,154
L242
23J08
19-

ADHAR PROJEcr
NOTES TO THE FINANCIAL STATEMEKfs (CONTINUED)
FOR THE YEAR EIVDED 31 MARCH 2024
15 Doforred In¢om•
2024
2023
Other deferred Income
&250
Deferred incorne Fs Induded In the flnandal statements as folJoTPA:
*y£
Deferred Income Is Induded wlthln:
Current Ilabllltles
6,250
Movements in the yeap.
Deferred income at l Aprll 2013
Resourc45 deferred In tho year
6,250
Deferred Income •t 31 March 2024
6250
10 R•tlr•m•nt b&i•fft #h•mes
20Z4
D•ffned ¢ontrlbudon Khem
Charge to profit or loss In ￿pect of defined contrfbutlon schemes
8,130
6.565
dwrtty operntes a defined contributkjn wnsion srh•me for all qu•llfyln8 employees. The assets of the sch•m• are
held separat•ly from th03e of the dwrlty In an indqpqndently admlnlst•red fvnd.
17 Endvwm•nt fvnds
At i ••rfl XUJ
Inojmlni At M Marth
Ye￿ur(¢s
2024
P•rm•n•nt •ndowm&its
Property Fund
31XJ,(XXI
3tKI,ClJO

ADHAR PROJECT
N(yfES TO THE FINANCIAL sfATEMEKrs (coKriNUED)
FOR 7HE YEAR EfiIDED 31 MARCH2024
17 Endv*mqnt fund
(Coniknued)
pl￿0u1 y••r:
At i Aprfl 2022
Incomlry At 31 M•rth
2023
P•rnianent •nthwments
PrDperty Fund
3(Kl.Ll)O
The permanent endowment Is due to the charftable company rn(eM￿ a property is a communtty asset transfer. The
property Is 79 St Peters Roa¢ Lelcethr.
The property ha5 been Independently valued at £300,LD) as of the date of the c4xnmuntty asset trdnsfer.
18 Unr•*l¢t•d fun
The unr•strfcted funds of the charlty comprise the unexpended b8linc•s of donatlons and grnnts whlch are not Subject
to spedffc condltlons by donor5 and 8rantor5 15 to how they be used. These Indude desl8nated fvnds which have
bmn set aslde oirt of unrestrlcted funds ￿ th• trustaes for speclFlc purpoJ•s.
At l Aprfl 2023
Incornlni
Ruou￿•S
•xpend•d
Tranrforn At JI Mw¢h
Core Income
sturdee Hospltal
28A62
659
107,382
(107,752)
117.957)
(3.152)
IA22
29.121
126,102
(125,709)
13,1521
26J62
At i Aprfl 2022
Intomlry Resour
re￿llre
exp•nd•d
Tranrf•rn At 31 M•rth
Core Income
Sturdee H03pitsI
46,959
10&284
1520
(111,281)
(L861)
OD
YJA62
659
46.959
I10￿04
(113.141)
I￿.500)
29.￿1
21

ADHAR PROJEcr
N(yfES TO THE FINANCIAL sfATEMENTS (CONTINUEDI
FOR THE YEAR ENDED 31 MAR012024
R•$Mc￿d funth
The restrict•d funds of the charlty comprfse the un•xpended balanc•s of donatlons and grants held on tN5t subi•rt to
5pedfic condltlons by donors as to howthey mty be used.
At i ••rf12023
Incam￿ Ruourc
•xp•ndqd
TraMf•rn At JI M•rrh
LCFC
EDFnLR
Awards ForAII
Lloyds Foundatson
Natlonal Lottery Comrnunlty Fund
11.305)
(13￿87)
(1,203)
12330
205
2W7
10,700
L203
45.260
21,959
118,807
(116 4981
1309
Grnnt Communfty Foundation .
LLR
Nel8hbourhoDd Mental He•lth
Prth*ntion And Resilienc• Gr•nt
39.3C
{39,3601
80,3CKI
P4380)
3,920
58.263
238A07
P71.634)
3,152
28,188
i Aprfl 2022
Inrrynkng Iluourus Tr4nsf•rn At 91 March
Mental Health Recovery
LPCGMOJ
CYP-NHS
LCK
CRF
EDFILLR
AWARDS FOR ALL
Lloyds Foundatlon
1450)
2.963
1800
(96,150)
12.963)
(3JOO)
120,000)
150,llX))
{13461
14,7401
1,100
13,9601
2,830
3549
6.250
23.960
57.970
&203
45,260
43,750
14982
22L780
I￿1999)
51263
-22-

ADHAR PROJEcr
NufES TO THE FINANCIAL sfATEMEKfs (CONTINUED)
THE YEAR EIVDED 31 MARCH 2024
Unrestrt¢t•d fundi. d•*nAt•d
Thesq are unrestrict•d funds whkth are materlal to the charlty's actlvltles.
At l Awll 2023
Resour
expend•d
TMnsfor• At 31 Marth
2024
Property Funds
nsport Funds
40,000
24,655
24.655
64655
fA.655
At l Awll ￿22
R•lOU￿1 Tr¥nrf•rs At 31 March
nd•d
Property Funds
Trnnsport Funds
AJ
40.oc
24.655
25,1NX)
50.LWX)
(345}
00
64,655
of net iM•t8 b•tween funds
Unr•rtrfct•d Unr•rtrfct•d
ndi
fvnd•
•r•l dWly￿t•d
20
2014
Endowm*rt
fun
At 31 Mirth 20X'
Tan8lble assets
Current Is￿ts1(11ablIltIe$)
300.OC(I
318319
ILKI.886
26J62
28.188
26,362
64555
419,205
nd•
fundi
lundi
2023
At 31 Ma￿h 21121:
Tanllbk assets
Ojrrent assetsl(IlabllStles)
20355
320J55
13L684
29.ui
58263
29.121
64,655
58.263
300,0
451039

ADHAR PROJEcr
NafES TO THE FINANCIAL STATEMEKrs (coKriNUED)
FOR THE YEAR ENDED 31 MARCH 2024
Amlyls of In netfunds
The tharfty had no matsrlal debt durfng the ye•r.