REGISTERED CHARITY NUMBER: 1126252
Trustee5' Report and
Unaudlted Flnancial Ststement lor Year Ended 31 December 202J
For
ShTee Ram MandirlShree Jalaram
Bhajan Mandal
Emerald Path Ltd
Chartered Certified Accountants
32 Frances Avenue
Gatley
Cheadle
Chpshire
SK8 4BI

5hree Ram Mandir
Shree Jalaram Bha an Mandal
Conlenl ol the Financial Statements
For the Year Ended 31 Dec
rnber 202:,
Page
Trustees Report
Independent Examinerfs Repoft
Statement of Financlal Aclivities
Balance Sheet
Notes to the Flnanclal Statempnts
6-13
Detailed Statement of Flnancial Activities
14-15

Shree Ram Mandir
Shree Jalaram Bh
an Mdndal
Ti'ustees Re
ort
For the Year Ended 31 December 2023
The trustees present their report with the firiancial sthtements of the charity for the ye¥4r onded 31
December 2023. The trustees have adopted the provisions of Accounting and RtForting, by Charities..
Statement of Recommended Practice applicable to charities preparing their accovnts in accordance
with the Financial Reporting Standard ¢ipplitable in the UK and Republic of Ireland IFRS 1021 (effective
I january 20151.
oBJE￿IvEs AND AcfiviTIES
Objertives and airns
The aims and objeciives of this charity are..
IAI The advancement of the education of the Hindu Dharma Ireligionl for the benefit of the
public.
IBI To promote religious. social and cultural activities for the members.
ACHIEVEMENT AND PERFORMANCE
The chafity continues to provide religious. soclal cultural artivities for the members. This included
classes SLTrch as Yoga and Tai Chi Classes.
The bLsilding at the new premises contiriuL> and with the sUPPOrt of the members and local
community the build has Started and in progressing well.
FINANCIAL REVIEW
PrSniipal fundln8 sources
Fundin8 is raised during events and regul31 weekly cultural activities.
The building project, the charity ha5 obtained loans Irom members to support the build,
FUTURE PLANS
l. Continue with he build at Wilshaw Lane. Ashton under Lyne.
2. Review internal systems to continue to improve development of the teniyle.
3. Continue to raise funds to complete the new building throu8h addbtional events.
4. Continue to receive help from volunteers to help the trustee'5
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The Charity is controlled by its governing document. a deed of trust, and constitutes an
unincorporated charity.
Related parties
There are no related parties.
Page I

Shree Ram Mandir
Trustees Re
For the Year Ended 31 December 202-;
Shree lalaram Bha an Mandal
REFERENCE AND ADMINISTRATIVÉ DEfAILS
Reglstered Charlty number
1126252
Principal address
58 Kenyon Street
Ashton Under Lyne
OL6 7DU
Trustee5
Chand¥akant Mistry Ichairl
Ishwer l Gopal
Damyanti Mistry
8haratkumar Vallabhbhai Lad
Shardaben Patel
Jasuben Mi5try
Symitra Nathoo
Kishor Kumar Lad
Bharatkurnar Lad
Independent examiner
Emerald Path Ltd
Chartered Certified Accountants
32 Frances Avenue
Gatley
Cheadle
Cheshire
5K8 48J
Approved by order of the board of trustees on 31 October 2024. And signed on its belialf by:
C Mistry- Trustee
Page 2

Inde
endent Examiner'5 Re
ort to thE Trustees of Shiee Ram Mandir
For the Year Ended 31 December 202-.
Shree Jalaram Bha
an Mandal
Independent examiner's report to th¢ tn15tee5 of Shree Ram Mandirlshree Jèlaram Bhaj•n Mandal
I reporr to the charity trustees on my vxamination of the accounts of the charity for the year ended
31st December 2023 which are set out pages 4 to 13
Responslbllltle5 and basls of report
As the charity's trustees you are re5P011511)le for the preparation of the actounts iii accordance with
the fequlrements of the Charities Act ?01 I I'lhe Act'l.
l ieporl in respect of my examination i)f the charity's accounts carried out under seciion 145 01 thi Act
and in cèrrying out my examination I have Followed all the applicable Directions given b¥ the Chariii
Commission under section 1451511bl ol the Act.
Independent examlner's statement
I have completed my examination. I conlii m that no material matters have COMÉ, to my Jltent,on in
connection with the examSnètion 8lvlnB me Lause to believe that in any materlal respect".
accounting records were not kept In respect of the charity a5 required by sedion J30 of the
Act,. or
the accounts do not accord with those records; or
the accounts do not comply with i.lie applicable requirement5 concerning the form and
content of accounts set out in the Charities (Account5 and Reports) Re8111)titsn$ 2008 other
than any requirement that thtr ¢1ccounts give a 'true and fair view, whicli 15 not a niffJttL3r
considered as part of an independvni examindtion.
I have no concerns and have come across no other matters in connection wlth th(. exiiminatlon to
which attention should be drawn in th55 report in order to enable a proper underftanding of the
accounts to be reached.
Mis*r
Emerald Path Ltd
Chartered Certified Accountants
32 France5 Avenue
Gatley
Cheadle
Cheshire
SK8 4BJ
Page 3

Shree Ram Mandir
Shree Jalaram Bha
slateme.nt of Financial Activities
F()r the Year Ended 310ecember 202-
an Mandal
31.12.23
Total
nds
J L.12.22
Total
fvnds
Unrestrirted
Fund5
Restricted
Funds
Notes
INCOME ANO ENDOWMÉNT FROM
Donations and Legacies
Charitsble artlvitle5
Temple artivities
142,295
1,683
143,978
208,345
Other trading activlties
Investment income
Totsl
5,550
869
147,845
1,683
149,5?8
Ja9,214
EXPENDITURE ON
Raising. funds
Charltable actl¥ttles
Temple actlvitles
3,291
3,291
2 1,627
14,655
Other
Totsl
24,918
24,918
14,655
NET INCOME
122,927
1,683
124,609
l (J4,559
Tran51*r betwéen funds
Net Mo¥ement In fvnds
122,927
1,683
124,609
1 ¢14,559
RECONCILATION OF FiINOS
Total funds brought ft>rward
127,979
1,624,699
1,752,678
1458,119
TOTAL FUNDS CARRIED FORWARD
250,906
1,626,382
1,877,287
The notes form part of the financial statements
Page 4

Shree Ram Mandir
Balance Sheet
For the Year Ended 31 December 202?
Shree Jalaram Bha an Mandal
Unre5trlrted
Funds
Restrkled
F¥nds
31.12.23
Total funds
31.12.22
Total funds
Notes
FIXED ASSÉTS
Tan8ible asset5
146,631
1,485,925
1.632.556
1,487.077
CURRENT ASSETS
Trade Debtors
Prepavmenl and accrued Income
3.323
3,323
1.23d
Cash at bank Ond ifj hand
54.411
387.904
442,315
407.127
57.734
387.904
445.638
408.361
CREDITQRS
Arno¥nt5 falling due within o#e year
18.487
3.131
21.618
13,471
NEf CURReNT AsseTS
39,247
384.773
424.020
394.890
TOTAL ASSETS LESS CURRENT LIBIUnES
185,878
1.870,698
2.056.576
1.881,967
CPEDIYOPS
Amount5fallin8 due after more
than one yèar
179.289
179.289
l29,2
NET ASSETS FUNDS
185,B78
1.691,409
1.877,28 1
1,752.677
Unre5tncted f￿Thd5
250.906
IZ7.979
Restricted fund5
1,626,382
L.62.4,699
TOTAL FVNDS
1,877,281
1.7i2,678
The Financial Statements were approved by the Board of Trustees on 31 October 2024 An(1 we￿.
5Sgned Dn its behalf by..
C M15tr
The notes form part of the financial statements
Page 5

Shree Ram Mandir
Shree Jalaram Bha
Notes to the FSnancial Statements
For the Year Ended 31 December 202?
an Mhndal
I. ACCOUNTING POLICIES
Basis of preparlng the financial Statements
The linancial statements of th¥ charity, which is a public benefit entity under FRS 102, have
been prepared in accordance viitli tlie Charities SORP (FR5 1021 'Accoun(ing and Reporting tr)y
Charities.. Statement of Recommended Practice applicable to charitles prepariny thelr
accounts in accordance with thLI l inancial Reporting Standard applicablE in the LIK Lind
Republic of Ireland IFRS 1021 le.fl£￿ctlve l JanuJry 20151,, Financial Reporting SILiiidaid 102 ' rhe
Financial Reporting Standard ¢ippli¢able in Ihe UK and Republic of Ireland, li nd tl)e Chorities
Act 2011. The financial statements have been prepared under the historical cost canvention.
Income
All income is recognised in the St¢ilement of financial Activitie5 once thÈ' ihhrity ha5
entitlement to the funds, itls probable that the income will be received, ènd tlie amount tan
be measured reliably.
ExpendSture
Liabilitiès are recognlsed 35 expenditure as soon as there is a legal or constrijrtive obligatlon
committin8 the charity to that exi)eriditure. il is probable that a transfer of eccii)omic benefits
will be requlred In settlement and rhe amount of the obligatSon can be measured r'eliably.
Expendlture is accounted lor un an bccrua15 basis and has been classSfie(l Jndi>r h£'iditl8S that
a8¥regate all cost relaied to tlie trbtegory. Where costs cannot be directly attribulÉ.,d tu
particular headin8S, they have beL7n allocated to activities on a basis consistL4nt wi*li tlie ust. of
resources.
Tan8lble flxed assets
Depreciation is provided at the followin8 annual rates in order to write off ea(=h asset over Its
estlmated useful Ilfe.
Fixtures and fittings -
Plant & Machlnery-
Offlce Equipment -
IO% on cos1
20% Strai8ht Llne
20% sfrdi¥ht Line
Taxatlon
The charity is exempt from tax on its charitable activities.
Fund accountlng
Unrestflcted funds can be LFsecl In dccordance with the charitable objectives at tlie dlsrretlo
of the trustees.
Restrlcted funds can only be used lor particulrir restricted purposes withiii the object5 of the
charity. Restrirtions arise when specified by the donor or when funds are raised for partitular
restricted purposes.
Further explanation of the natiire and purpose of each fund 15 included in the note5 to the
financial statement5.

Page 6
Shree Ram Mandir
Shree lalaram Bha
Notes to the Financial Statements
For the Year Ended 31 December 2023
an Mandal
31.12.23
31.12.22
OTHER TRADING
ACTIVITIES
Yoga Classes
70
INVESTMENT
INCOME
31.12.23
31..12.22
Membershlp
65
CAF
255
Hall Hire
1.315
Events
1,415
Grants
2,5LKI
5,550
TRUSTEES REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended
31 December 2023 nor lor the year ended 31 December 2022.
Trustees Expenses
There were no trustees, expÈnse5 paid for the year ended 31 Decembei 2023
nor for the year ended 31 December 2022.
Page 7

Shree Ram Mandir
Shree Jalaram Bha
Notes to the Financial Statements
For th Ye3r Ended 31 December 2
an Mandal
23
COMPARATIVIES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Vnrestrlcted
Funds
Restricted
Funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donation5 and Le8acles
Charltable A<tl¥ltles
Temple activitie5
142,295
J.,683
143.Li18
Other trading activities
Investment Income
5550
Total
147,845
1,683
149.1)28
EXPENDITURE ON
Ralsin8 Funds
Charltable actlvltles
Temple activities
3,291
3,*91
21,627
21.627
Other
Total
24,918
24.1)18
NEf INCOME
122,927
124,CI09
RECONCIUATION OF FUNDS
Total fund5 Brought forward
277,979
1.474,697
1,752,676
TOTAL FUNDS CARRIED FORWARO
400,906
1,471>,380
1,877,2115
Page 8

Sliree Ram Mandir
Shree Jalaram Bhaian Mandal
Notes to the Financial Statements
Fur the Year Ended 310ecember 2023
TANGIBLE FIXED
ASSETS
Fixtures
and
Fittings
Offlce
Equipme
nt
Planl &
Macliiner
Frtspholtl
Pioperty
rotals
COST
At l January 2023
1,486,597
8,365
1,494,962
Addition5
Disposals
124.32EI
353
21,015
145,695
At 31 December 2023
1,610,92J
8,365
353
21,015
I,lJ40,658
DEPRECIATION
At l January 2023
7.887
7,887
Charge for year
Eliminated on
disposal
128
88
216
At 31 December 2023
8.014
88
8,102
NEf BOOK VALUE
At 31 December 2023
1,61.0,Q25
351
265
21.1115
I,r)32,555
At 31 December 2022
1,486,597
479
1,487,076

Page 9
Shree Ram Mandir
Shree lalaram Bha an Mandal
Notes to the Financial Statements
For the Year Ended 31 December 2023
cRED￿OR$.. AMOUNT5 FALLING DUE WITHIN
ONE YEAR
31.12.23
31.12.22
Other Creditors
20,118
11,971
Accrued expenses
1,500
1,500
21.618
13,471
CREDITORS: AMOUNTS FALLING DUE AFfER MORE THAN ONE
YEAR
31.12.23
31.12.22
Loans from members
179,289
129,290
Page 10

Shree Ram Mandir
Shree Jalaram Bhaian Mondal
Notes to the Financial Statements
For the Year Ended 31 December 202
MOVEMENT IN FUNDS
Net
Movement
in Funds
Transfer
between
lunds At 31.12.22
At 1.1.22
Unrestricted Funds
General Fur¢ds
127,979
122,927
250,906
Restrirted Funds
1.612,410
Building Fund
1.610.727
1,683
Other restflrted fund
13,972
13,972
1,624.699
1,683
1.626,382
1,877,287
TOTAL FUNDS
1.752,678
124,609
Net movement in funds, included Iii the above are a5 follows..
lTrcomlng
resources
Resouri"es
expended
Movement
In Funds
Unrestricted Funds
General Funds
147,845
24,918
122,927
Restrirted Funds
Building Fund
1,683
1,683
124,609
TOTAL FUNDS
149,528
i.4,918
Page 11

Shree Ram M ndir
Shree Jalaram Bha
Notes to the Financial Statements
For the Year En
ed 31 December 2029
an Mandal
Comparatlves for movement In funds
Net
Movement
In Funds
Transfèr
between
funds At 31.12.2Z
At 1.1.22
Unrestrirted Funds
General Funds
84,901
193,078
140 tx)o
127,979
Re5trlited Funds
Bulldlng Fund
1.459,246
1,481
15U,IXJO
1,610,727
Other restrirted fund
13,972
13,972
1,473,218
1,481
1,624,699
TOTAL FUNDS
1,458,119
194,559
I50,￿0
1,752,678
Comparative Net movement in funds, Included in the above are as follows..
In¢offlln8
resources
Resources
e¥pended
M¢¥Liment
In Funds
Unrestrlrted Funds
General Funds
207,733
14,fi.55
193,078
Restrlcted Funds
Building Fund
1,481
1,481
TOTAL FUNDS
209,214
14,6115
194,559
Pa8e 12

Shree Ram Man
Shree J 18ram Bha an M¢ind31
Notes to the Financial Statement5
For the Year Ended 31 December 2023
io
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 December 2023.
Page 13

Shree Ram Mandir
Shree Jalaram Bha an Mandal
Detailed Statement of Financial Activitie5
For the Year Ended 31 December 2023
31.12.23
31.12.22
INCOME AND
ENDOWMENTS
Donations and Aarti Boxes
Donations and Aarti Boxes
15,910
19,711
Bhajan Satsang
1,683
1,481
Other donatior)5
126,384
154, 750
Membership fg.ps
65
144,043
176,l34
Other Trading artivities
Yoga classe5
869
Investment
Income
CAF
Hall
hire
255
1.315
Events
1,415
Grant
2,500
5,485
Charltable
activities
Gift aid
32,211
Total Incoffling re50ur¢e5
149,528
209,214
This page doe5 not form port of the statutory financial statement
Page 14

Shree Ram Mandir
Shree lalaram Bha an Mand31
Detailed Statement of Financial Activitie5
For the Year En
d 31 December 2023
31.12.23
31.12.22
EXPENDITURE
Ra151ng donatlons and legacies
Fund Raising events
Food for temple
Coach hire
2,145
1,146
69C
3,291
690
Charltable artlvltles
Water rates
179
5,786
6,758
1,256
3.575
116
ioi
186
3,b52
5,873
498
1,6bS
In5ur3nce
Light and Heat
Telephone
Post, Stationary & Advertisin8
Donations
Sundries
Bank Charges
Depreciation of Tangible fixed assets
457
216
14E
18,444
12,OlC
Other
Repairs & Renewals
Los5 on sale of tangible fixed assets
1.683
446
1,683
446
Support costs
Governance C05t
Accountancy Fee
1,500
1,5rx)
1,50C
1,50C
Total Resources expended
24,918
14,65S
Net Income
124,609
194,5.5•
This page does not form part of the statutory financial statement
Page. 15