REGISTERED COMPLNY YLTrIBER: 06547657 (England 2nd Wales)
REGISTERED CHARrfY NUMBER: 1123367
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENfs FOR THE YEAR ENDED 31ST DECEMBER 2024
FOR
PSJ Alexander & Co
l Dougbty Street
Loodon
WCIN 2PH

BAPS CHARITIES
COPUENTS OF THE FtNANCtAL STATEMENTS
FOR THE YEAIi FJqDED 31ST DECEMBER 2024
Page
Report of the T￿￿tee9
Statement of Financial knivities
Ba]ance She¢t
Notes lo the Financial Ststements
7 to 11
Detailed Ststra)ent of Financial Activitie5
12

BAPS C}iARr￿ (REGtSTEREDNUMBER: 06547657)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2024
The trustees who are also directors of the charity for the PUTposes of the Compani&s Act 2(KJ6, prcscrtt their rel￿ with the flnancial
ststements of the charity for the year ended 31st D￿ernber 2024. The truste￿ bave adopted the provisi0J￿ of Accounting and
Reporting by ch￿ltieS. Statement Df RecomEuended Pract£ce applI￿ble to cbarities prewing their accounts in accordance with the
Financial Reporting Standard appltcable in the UK and Republic of tr¢Sand (FRS 102) (effectivc l January 2019).
Our
BAPS ChaTiti¢s, UK, is an Internation￿ charity 0paan1￿10n committed to serving the world by Lwing for individuals, families and
commwiities.
Our mission is to service the n¢edy indiv1th￿Is. familics and communities in the UK and elsewhcrc.
OBJECTIVES AND ACTIVITIES
Objectives and aimg
Supported by our numerous deAJitated volunte¢r& BAPS Chatities airn5 to:
- provide health awarene&8 Outreach pro8rarm¢s
build self-5UPPOrting educational instiDJtss and help sust2in existin8 edU￿￿o￿al plo￿arnMe$ to prov2de quality, value•b05¢d
education for childre
- proiect our nawral resources by ¢wtin8 ITmovative susta]nable solutions that Promote the responsible use of the caTth's eCosys￿rnS
and resources
- ¢mpower utsderprivileged girls and young WQEDen witb ¢d￿ation and skills to rnis¢ strong and UDitcd fllmilics aud in
strengthen and stsbilise their l¢xal communities
- invest in the futt￿ of neety children and youths by inspirin8 le8n)in& self-ttlian¢e, family respeci social responsibility, and tnor41
- provide immediate relief to survivors of naturnl disasters and r¢main in S¢TViC¢ Until the affecttyj cornmuniti¢S aTE reh4bilitatvJ and
self-reliant
Events conducted by BAPS Charltles In 2024
Due to ongoing circumstan¢es and aftennath relating io Covid-19 pandemic there were limit￿ activities conducted in 2024.
The uwal spotts activities w¢re undertaken for children. Youths and AdulL%.
Publit benefit
In reviewing our aims. obj¢¢tives and pl8nning fittur¢ a¢tiviti¢& the TnL4t¢¢s hav¢ tsken into a￿Unt the Charity ComrnisSiQT)'S
8enerdl suidance ¢)n publi¢ benefiL Tr Tntst¢¢S 41ways ensur¢ that th¢ a￿l¥ltieS undenth¢n 8Tr in line with th¢ ¢haritsble obj¢Gtiv¢s
and aiEns of the Chartty.
One of the Foundation's principal aim and objtttive is io seTV?ce the needy indimduals, fainilies and eommunities in the UK and
elsewhere by provide various &qsist8nce and services to these individuals and familie
Volunteers, CODtributions in achieving the objedive5 of the Cbarity
BAPS Charities deliver5 ITS Services with the h¢lp of 5ubstsniial volunteer network b￿. The volunteers are OTganised through &
framewo￿ involving National. Regional. and Area C￿ordInatOrS. The volunteers play a vits] role in thc fund raising activities of the
Charity.
Page I

BAPS CIL4RrrtES (REGISIEREDNLffviBEIi. 06547657)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2024
FINANCIAL REVIEW
Reserves Poll
The Board of TLUStees conducts an 2Lnual Teview of the level of vnrestricted Teserves in the g¢neTal fund by considering risks
associated with th¢ vaTiOUS incom¢ Stre￿$, cxpendttr plans and balance 5be¢t ite]Ls. This enables an estimate to be ll￿de of the
level of reserve5 that are sufficient:
- to allow time for re-organisation in the cvcnt of a dowDtyrn in income or &8set value
- to protect ongoing work programme. and
- to allow the Cbarity to meet its obJe¢tives
Risks And issues Considered by the Board of Trust￿ in maldng thi5 judgement OD the levet of Dnre5tricted reserves include:
- likelihocd of a doHmbJrn in inwmc streams;
- pertod of time required to re-establish income streams:
- p¢rtod of tTme requtred to downsize th¢ Charity operations.
- wlietheT there is adequate control OV¢Tbudgets:
- ptstential decreas¢ in the value of the investment wrtfolio: and
- Tequir¢m¢nts for a reasonable level of workin8 ￿pItal.
Finaneigl Re￿e￿
Th¢ Statemeni of Financi￿ Activities (SOFA) shows the wgs its¢om¢ received from all sources and the split of a¢ryvity b¢￿een
restricted and unrestricted fiuth.
Incoming resourees:
Due to no limited aeiivities ¢ondu¢ied in the eurrent year the leve] of incoming resources have tmproved during the year. The
Trustees expeei hi8h¢r level of in¢ome as the sitLthtion relating to Covid-19 pandemio improves as the years go by. The Charity's
activities are r]n8nced by bjnds t7ised through..
- Voluntary in¢orne- donations
- Activities for generating fjjnds
income- donations-
DonatioDS are received for the getfftl operation of the Charity.
Activities for
eneratin
fijnds..
These f&ll under two categories:
- Donatiotts received from voluDteets and getera] public
- Sponsored spons and other activities Tre&w managemeni- intertst Teeeivable
Tht Trusle¢s utilise tern) deposit accounts to M￿lmi￿ the amount of interest earned on tash balances held.
STRucfuRE GOVERNANCE AND MANACEMEpfr
Coverning document
The charity is conlTollcd by its governing documeni a Memornndum and Arti¢les of Associarion inco￿orated on 28th Matth 2008,
and constitutes a limited company. limityj by svarantee, &$ defined by the Compatites Act 2006.
Structure, Governance and Monagement
The Board of Trustees is responsible foT the mJnag¢ment of th¢ Charity.
Recruitment and appointtnent of neiv trustees
The body responsibl¢ for the management of the Chariry is the B0￿d of Trusttts. Pot¢fttial new trusree5 aTe periodically identified by
the Board of Trustees. Th&se individuals work ajongside existing Trust￿5 for a suitable peTiod before considering their appointrrtenL
Condutt of optrntioo$
The day-t¢rday management of the Cbayity is conthjcred by the Tru5tcc& The Charity is based in thc UK ond has its head office in
Neasd¢n. Londorj.
Page 2

BAPS CHARrrIES (REGISTEREDNUMBEIL. 06547657)
REPORT OF THE TRUSIEES
FOR THE YEAR ENDED 3 1ST DECEMBER 2024
REFERENCE AND ADMINISTIi4TIVE DETAtLS
Reoistered CL>mpany number
06547657 (Englattd and Wa]es)
Registered Charity number
1123367
ReEiStered office
54-62 Meadow Garth
Neasden
London
NWIO 8HD
Trustee5
Arvindkumor P Patel
Mukesh Patel
Niiiti Palan
Sanjay Kara
Company Secretary
M G Patel
Independent examlner
Manesh Shah
FCA
PSJ AlexaDder & Co
Charrered Accountsnts
l Doughty Street
London
WCIN 2PH
Bankers
The Royal Bank of Scothnd PIC
354 Ststion Road
Harrow
HAI 3x2
Sollcltors
Hugh. CarNTight & Amin
12 John StreeL London WCIN 2EB
PLANS FOR FLryURE PERIODS
Th¢ Trusttts wish to maintain the concinu¢d Su￿¢$$ achieved by BAPS Cljarities in deliverin8 its aims and objectives.
The Trustees would like to acknowledgt tht trtmtndous efforfs of the Yolunteers and the many supporters of tbe Charity for
their land and generous donations.
by order of the b
si￿￿ on its behalf ty.
P Patel- Trustee
Page 3

tNDEPEfiDEwf EXAMfNER'S REPORT TO THE TRUSTEES OF
BAPS C￿(￿uTIEs (REGISTERED NWMBEL. 06547657)
Independent examfiner's report to the trustees of Baps Cbarities fthe Company
I Teptsrt to th¢ ¢haTity onmy exam1r￿0ll of the accounts ofthe Company for the year 31st December 2024.
Responsibilities and basis of report
As the charity's of the Company (and also is dircciors for the putpM)ses of company lawl you aff ffsponsible for the
Preparntion of the accounts in accordance with the reqUIr￿ts of the Co]llpaDie5 Act 2006 Cthe 2006 Acti.
Having satisfied myself thai the accounts of the Compaty are noi required to be audited under Port 16 of the 21K)6 Act and are
eligible for independent eXami￿tio￿ I report in rwt of my examil￿tion of your charity's aceounts as carried out under Section
145 of th¢ Charities Act 2011 (tbe 2011 Acf). In ca￿1ng my exaM[￿tiOn I bave followed the Directions given by the Clwity
Commission under Section 145{5) (b) of the 2011 ACL
Independent examiner's statement
I have ¢ompleted my examiwtioTL I confirm that no m8tteT5 have come to my attention in connecttoD with the exarnination giving me
cause to believ¢..
accounting recor￿ wer¢ noi kept in respect of the coM￿Y as requitsj by Section 386 of th¢ 2006 ACL or
the accounts do not accord with those records. or
tb¢ accounts do noi comply with th¢ ac¢ouniitig requiTrnts of Section 396 of the 2006 Act other th any requirnent tbat
lh¢ accounts give a true and fair view which 15 not a matter corLsidered ls part of an independent examination,. or
the accounts have not be¢n prepared in accordance wtth the methodg and princip1¢5 of the Ststement of Recommended
Practice for accouftting and reporting by charities (appIl￿ble to ¢hariiies preparing their accounts in o¢cordance with the
Financial R¢wting Stynd#rd applicable in the UK and R¢publi¢ of Irejond (FRS 102)).
I have no concerns and hav¢ come across no other matters in connection with th¢ examimtion to which attention should be dTawn in
this report in order to enable A proper Unde￿ding of the accounts w be Tea¢hed
Manesh Shah
PSJ Alexander & Co
l Doughty Street
London
WCIN 2PH
24th Lig
Page 4

STATEMENf OF FINANCIAL ACT[Vi￿S
FOR THE YEAR ENDED 3 1ST DECEMBER 2024
2024
Totsl
funds
2023
Totsl
funds
Restricted
fi2nds
nd
Notes
Donations and leoacies
121224
121,224
106.388
tnvcstment income
44J89
29.067
Totsl
165,613
165,613
135,455
EXPENDrruRE ON
Charitable &ctivities
Chartrable A¢tivities
84,037
84,L137
39.122
Other
35611
336D
3,201
T(Jtal
87,$97
87597
42,323
NET INCOME
7&016
7&016
93,132
R£CONCtLtATION OF FufiDS
Totsl £tEllds bTDught forward
1,012J96
j,012￿96
919,464
TOTAL FUNDS CARRIED FORWARD
1,090,612
1.090,612
1,012.596
Thc notcs fotm Part of th¢se fina￿]81 statements
Pagt 5

BAPS CHARirtES IREGISTERED NUMBEIL. 06547657)
BALANCE SHEET
31ST DECEMBER 2024
2024
Total
funds
2023
Total
funds
fimd
Notes
FIXED ASSETS
Invesmients
910,IMIO
910,000
869,975
CURRENT ASSETS
Debtors
Cash at bank
io
21W7
159.754
21.887
159,754
IB.100
125,730
181,641
18J.641
143,830
CREDITORS
Amounts falling due within one year
(1.029)
(1,029)
(1209)
NET CURRENT ASSETS
180.612
180.612
l42,62l
TOTAL ASSETS LESS CURREPU LIABfLfnES
I,IMI.612
1,090,6J2
1.012,596
NET ASSETS
1,090,612
1,090,612
1.012.596
FUNDS
Unrestricted funds
12
1,090,612
E.012,596
TOTAL FUNDS
1,090,612
1,012.596
The charitable company is entitled to exemption from audil und¢r Seaion 477 of the Companies Act 2006 for the year ended
31 gt December 2024.
The members have not required the company to obuin all audii of its finan¢iaE swements for the year ended 31st December 2024 in
accordance with Section 476 of the Companies Act 2(rt)6.
The trustees acknowledge their responsibilities for
lal
ensuring that tbt Charitable company keeps accountiD8 records comply with Se¢tiODS 386 and 387 of the Companies Act
2006 and
preparing financial sT8t¢m¢nts whtch give a bue and fair vtew of the stste of affairs of the Charitable company as at the end of
each finan¢ia] year and of its surplus or deficit for each financial year in accordance with the Nuirements of Sections 394
and 395 aDd which otherwise comply with the requirern￿ts of the CompaDie5 Act 2(￿ re￿ting to financial statement4 so
far as applicable w th¢ charitabl¢ ￿m[jAny.
(b)
These financial ststements have Eeen prepared in accordw with the provisions applicable ￿ charitsble companies subject to the
Sm￿1 ¢ompafties regime.
ancial statements w
n its b¢half by:
approved by the Board of Trusrees and authorised for issue on
and wtre
umar P Patel- Trustee
Sanjay Kard- Trustee
The no￿£ fomi part of these financial ststernents
Page 6

NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 3 1ST DECEMBER 21Y24
STATUTORY INFORK4TION
The charity conSti￿leS a limited company> limited by guaT3ntee, as d¢fmed by the Companits Act 2006. It is controlled by
its governing docuTDeaL a Mernoyandum and Articlts of Association iucorrN)rated oll 28th M￿ch 2008. It 15 registeted with
the Charity Con]mission under the number 1123367 aud with the Companies Holl￿ ￿der the re￿strdti0ll number 06547657
{England and Wal¢s).
ACCOUNTING POLICIES
Bosis of preparing the finane121 statements
The finall¢ial statements of the eharitsble company, whicb is a public benefit entity under FRS 102. have been prepared in
accordance with the Charitie5 SORP IFRS 102) 'Aecounting and Reporting by Charitie>.. Ststement of Recommended
Prn¢li¢e applicable to chaTiti¢S prewing their a¢¢ovnrs in accordance ￿ryth the Financtal Reponing Sralldard applicable i
the UK and Republic of treland (FRS 102) (effective l January 2019).. Financial Reponints Standard 102 'The Financi
Reporting Stamdard applicable in the UK and Republic of treland. and the Ctsmpanies Act 2006. The flljancial statements
have been prepared under the histOriC21 COM eorhvention, with the exception Of inv&sunents which ar¢ iDdud¢d at market
value.
GoSng cL)n¢ern
The truste¢s Consider thai there are no Ma￿la1 unc¢￿7n￿e6 about the charitable compatsls ability to continu¢ as & going
on¢¢m.
Income
All incoming resources tre included on the Ststement of Financial Acttvities when th¢ charity is legally entiued to the
?n¢ome and the amount can be quantified with reasoDable accuracy.
Private donarions
Fun&8 received by way of privace donations are CTedited to the sts¢em¢n¢ of Financial A￿1VitieS in the year Tn which they arc
received as a ¢orttributiOtt towatds overheads. Where rax h&% b¢¢n d¢du¢ied at sourcc, inwme 15 grossed up in w¢$ where
tLx has been reclaimed from the autboTities. The thx ￿0VerabLe is showts as a debtor at th¢ year eD¢I
Investment income includes it)ter¢sl received on cash deposits.
D¢)natiODS in kind such gs fjxed assets are included as income at their market values. Other doDations are
recognised wlien received. Th¢ value of voluntary servi¢es is noi recognised as the ￿$1 of estimating these exc￿1 any
benefits to th¢ users of thes¢ financial statements.
Expenditure
Expenditure is accounted for on an accTuais basis and has been classified under headings t1￿ aggregate 811 cost related to the
category. Wher¢ cosrs cannot E¢ directly attrsbutrd to particular h¢8diogs they have been ￿lIX2t¢d to a¢tiviti¢s on a basis
consisreni with the use of resources. The Irre￿ver&ble element of VAT is included in the expenses to which it relates.
Tgx2tion
The charity is a re￿stered charity and therefore is not liable for income tax OT coTroration i¢S illCOTM4 as it falls within
YotL8 exemptions available (o re￿stered charities.
FuDd accoUnti￿g
Unrestrtcted funds can be used in a¢cordaD¢e with th¢ charitablc objtttivts * the discretion of the trustees.
Restricted funds can only be used for particular restricted purposes within the object5 of the charity. Restrtctions arise when
specified by the donor or when are rniged for p￿iCularresti1cted pu￿oseS.
Further explanation of the nature ￿ put])ose of each fimd is Includ￿ in the nor¢s to th¢ fill2ncial statements.
Foreign ¢urren¢ies
Assets alld liabilities m foreigtt cunrncies traT￿lated into sterling at the rdte5 of excbEnge ruli￿0 at the bal*]ce sbeet dat¢.
Trnnsactions in foreign ¢￿TencieS are trdnslated inro slerling a the Tate of exchanse at the date of transactio
Exchange th"fferences 8re takeo into acwuni ID atrivingat the operati￿￿ ￿￿ulL
Page 7
conttDue(L..

NOTES TO THE FIbtANCIAL STATEN. (ENTS_ continued
FOR THE YEAR ENDED 31 ST DECEMBER 2024
ACCOUNTING PoLIc￿s- contittued
Investments
Cash beld in fixed tenn deFesit ac¢ounts exceedincr One year atE cla&sified as Fixed Asset Invesments xs they are generatly
held with the overall inlcnllon of TetsininE long tern] (i.e. Ls FTxed Assets) for the continuing benefit of the Chrity in the
forni of income and capits] appreciatton.
Cash 2t bank and ID hand
Cash at bank and cash in hand iKludes IMA￿te access and overnight bank deposits. All other depostts are included as
teTm deposits.
Creditors and provisions
Cr¢ditOTS &nd prc)visions arc recogniscd where the ¢h8riry h&s a preseDi obli8ation resulting fro)n a past event that will
probably rwlt in the transfer of fi￿dS to a third party and the amounr due to settl¢ th¢ obIigatt'on can be ineasured or
¢Stirnated reliably. CTeAitors and PT0ViSiO￿$ are reco￿1$*1 at their settlement amowJL
Debtors
Trdde and other debtors are recO￿lsed At the settlement amount due after any trad¢ discount off¢red Pr4)#ymettts are valued
at the amount prepaid net of any trade dis¢ounts due.
Grant msklng activitles
As part of its congreg8¢ion81 activttiss. BAPS Chartries makes grants 10 orsanisaiions whose aims attd obj¢¢tives aTe STrni18r
to those of BAPS Charities in order to pror¢￿te their activities. BAPS ChgTili¢s considers that these 8rants contribute to its
achievements of its ainL% and objectives.
The wi-makillg policy is 8$ follows:
l. The Trustee5 apply the funds of BAPS Charities 8t their disc￿Li0n and in awrdan¢¢ with the ¢h8ritsble PUTposes and
objectives of the charity. Any decision whether to aTNaol a gr4nt remains solely with the Tn￿[￿$.
2. The amount or number of projects that can be supported by the Trustees 15 limityl to th¢ amount of fi)nd$ that are
available for distribution each year. 8fterallowirt8 for ongoing expenditure ofthe aiarity.
3. GranTS ètt made for th¢ direct or indittct th¥n¢etllent ofthe Elilldu faitb across the world parti¢ulorly in UK pnd Indi&.
In awarding the grants. the TnJs*es will apply the followingprinciples:
- io eonsider any requesi from >my area within U
- io consider each request on its OWD TDeriL
- to ¢arry out due diligence (o ensure that the Tequest meets bgth the ¢haritable purpose 8nd th¢ priorities.
DONATTONS ALYD LEGACTES
2024
2023
Donations
121,224
106,388
2024
2023
Deposit account interest
44J89
29,067
continued..

BAPS CHA]UT]ES
NOTES TO THE FfNANCLAL STATEMENTS. contirLwI
FOR THE YEAR ENDED 31ST DECEMBER 2024
CILIRITABLE ACrnITTIES COSTS
Direct
Costs
Charitsble Activities
84,037
SUPPORT COSTS
Fin8nce
Other
Tota]s
OtbeT resources expended
325
34
359
TRUSTEES, REMUNERATION AND BENEFITS
There We￿ no tJwl¢￿, remuneration or other EtnefiL% for the year end￿1 3 1st December 2024 nor for the ye8T ended
3 1st December 2023.
Trustees, expenses
There weTr Jo ttustees, expenses paid for the year ettdtra 31st December 2024 Dor for th¢ ycaj ended 31st December 2023.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITTES
Unr¢stric*d
fund
Restricted
fi￿d$
Totat
fijnds
INCOME AND ENDOWMENTS FROM
Donations and128aci¢s
106.388
106,388
Inv¢son¢nt income
29,067
29,067
Totsl
135,455
135,455
EXPENDITUIiE ON
Charltable a¢tivitie$
Charitable Activities
39.122
39.122
OtbeT
3,201
i201
Total
42223
NET INCOME
93,132
93.132
RECONCtLL4TION OF FUNDS
Torxl funds brought fonwd
919.464
919.464
TOTAL FUNDS CAKRIED FORWARD
1.012.596
1,012,596
Continued...

BAPS CILIRETIES
NOTES TO THE FtNANCL4L STATEMENfs. Continued
FOR THE YEAR ENDED 31ST DECEMBER 2024
FIXED A&SET INVESTMENTS
2024
2023
Value atthe start of the year
Additions
Dispos
869975
201.707
(161,682)
8SO.000
869,975
(850,000)
Value at thc end of the year
910.000
869,975
There were no inves(ment assets outside the UL Th¢se are invesknenLS in bank fixed d4)osits which at rnatiuity are
reinvested.
io.
DEBTORS: AMOUNTS FALLING DUE wrriiiN ONE YEAR
2024
2023
Prffpayments Lnd a¢crued income
Prepayments
20,687
1200
18,100
21887
18,100
ii.
CREDrroRS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Trad¢ creditors
1,029
1,209
12.
MOVEMENT IN FUNDS
Net
movement
in funds
At
31112124
At 111124
Unrestricted funds
G¢neral fund
1,012596
7&016
1,090,612
TOTAL FUPWS
.012.596
78.016
1,090,612
Net movement in futth. included ID the above 3$ ftsllows:
lttcoming
Resources
expended
Movement
in funds
Unr¢$trirted funds
General fvnd
165,613
(bTS97)
78,(116
TOTAL FUNDS
165.613
(87,597)
78,016
Page 10
continue(L.-

BAPS CHARrrIES
NOTES TO THE FINANCIAL StATEfvtENfs. corytiDucd
FOR THE YEAR ENDED 31 ST DECEMBER 2024
12.
MOVEIIIENT IN Fuf4DS- contillued
Comparatives for movemtnt in fvnds
Nct
movement
ID fw)ds
At
311IY23
At Iiir23
Unrestricted funds
General fijnd
919.464
93.132
1,012596
TOTAL FUNDS
919.464
93.132
1.012,596
ComparAtive net movement in funfty included in th¢ above are &$ follows:
Incoming
Resources
expended
Movcment
in fund5
Unrtttricted funds
General fijnd
135,455
(42.323)
93,132
TOTAL FUNDS
135,455
(42,3231
93,132
The Charity's IndePend￿t Exominer did not charge for their services during the cwrent year. Thc estiinat>A valu¢ of thes¢
s¢rvi¢e5 is £3201 (2￿. £3201).
13.
RELATED PARTY DISCLOSURES
The charity uses the premises owned by Nilkanth Esta￿ fr¢e of dwge. Both of these charitic5 have a ¢orm]on trnslee.
Nilkanth Estates is & charity registered in Enuland and Wales
Paoell

DEfAILED STAfEPTriENT OF FtNANCIAL AcfIvITtES
FOR THE YEAR ENDED 31 ST DECEMBER 2024
2024
2023
INCOME AND ENDOWMEprrs
Donations and legacies
Donations
121224
106.388
Investment income
Deposit account ittterest
44J89
29,067
Total ineomine resources
16S,613
135,455
EXPENDITURE
Ch*ritable aetivltles
Insuratt¢e
Subscriptions
Donations
Security exp¢nses
PTinting for sponsor¢d w&ik
Health and Vitality exp
Youth activity BKYS
Organ donation projea ¢xpense
Tea¢hiAg expenses
Tropbi¢s
Spotts equipment
Medical expenses suppoff
Elderly Care Group Food ¢xp
646
551
578
756
501
35
2,475
6.417
24.250
278
l.Ol4
35
15143
38?75
78
1.252
I.IS7
41252
84,037
37.556
Other
Profession￿ fees
3301
3,201
Support ¢o$ts
Flnance
Bank charge5
325
510
Other
Sundrtes
34
1,056
Totsl resources expended
S7￿91
42.323
Net SD¢ome
78.016
93.132
This page dct5 not forni pan of the mtytoryfinancial s￿ements
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