SHREE KALYAN MANDAL
CHARITY REGISTRATION NUMBER 1124431
RUSTE
'ANN
REP
We have completed the onlineAnnual Return 2024 and are nowsubmitting
herewith the pdf version of the Receipts and Payments Account for the year
ended 31" March 2024.
Our charity has never had the need to prepare the Trustees, Annual Report
and therefore it is not attached to this Annual Return.

SHREE KALYAN MANDAL
RECEIPTS AND PAYMENTS ACCOUNT FOR YEAR 56
01104123 TO 31103124
Recei
Pa
ments
Prayer Meetings
Ladies Prayer Meetings
Bhajans
Religious Festivals & Events
Donations
Saprem
Memorials
General
Hall & Equipment Hire
Membership F*s
Coach Trips
Interest
4334
801
1685
12997
Establishment
servI￿s
Repairs & Maintenance
Fixxures & Fittings
Insurance
Utilities
Water
Gas
Electricity
Telephone
Donations
Saints
General
Religious Festivals & Events
Wreaths l Garlands
Miscellaneous
Printing. Postage & Stationery
Broadband
Coach Hire
30
5839
2262
8131
3430
188
1616
2815
28
4106
7536
221
225
795
3072
4647
1911
1911
3176
75
710
110
467
743
19970
11696
31666
Surplus l (Deficit)
31666
Reserves
Balance blf
This Year
383522
11696 395218
Re
resented b
Buildings
Cash at bank - Deposit Alcs
- Current Alcs
180806
163769
50407
236 395218
Cash in hand
I have examined the foregoing receipts and payments account with the records and vouchers relating thereto
and have obtained all the infomation and explanations required. I certify that, in my opinion, this account gives
a fair and true record of the receipts and payments for the year ended 31 March 2024
11-Jun-24
IU-LJ
KD Rambhai
Auditor

Shree Kalyan Mandal
Charity Registration Number 1124431
AUDITOR'S REPORT
I have examined the receipts and payments account with the records and
vouchers relating thereto and have obtained alL the information and
explanations required. I certify that, in my opinion, the accounts give a fair
st
and true record ofthe receipts and paymentsforthe yearended 31 March
2024.
K D Rambhai
Auditor
11 June 2024