HINDU CULTUKAL AND RFS()URCF. CF.NTRF. TELFORD
20-?2 BANK ROAD, DAWI.F.Y BANK, TELFORD TF4 2AZ
CHARITY REGISTtUTION NO 1127915
TRIJSTF.E.(¥ ANNUAL Rb:P()RT FOR THb' YEAR F.NDIINC. .11 MARC.H 2022
The Charity is adininistered b}, Trusleeq and Managemeni Committee made up of
volunteers.
l)uring ihe year thcre ￿'aS one resignation to the Tnanageinenl cominittee.
The objects of the charit), are..
To provid¢ facililies in the interest of social wel tare. l()r iinproi'ing the condilions
of lifc of thosc persons who have need of such fdcilities by reason ofthLir youtl
agc, infirmitN' or disableInent. povert}. or %ocial economic circumstance.
To promote and turther eduLdlion in IhL. historyi and cultur¢ of I lindu faith.
l-o provide a plaLe of worship.
The income for the ycar represents donalions.
We hope t() continue wilh our work in iinproving acLe8s lo every()ne in the
community and to offer a wider range of programmLs in Ihc future.
Trust
Trustee
Balbir Ram
Chair Person
Hindu Cultural Resource Centre
Urvashi Patel
Treasurcr

HINDU CULTURAL RESOURCE CENTRE TELFORD
SHRI RADHA KRISHNA TEMPLE.TELFORO
20-22 BANK ROAD, DAWLEY, TELFQRO TF4 2AZ
CHARITY FIEGISTRATION NO 1127915
Income & Expèndlture Accounts
Ftsrthe year to 31st March 1022
31$t March 2022
31stMar¢h 2021
Incom8
Oonalions
Oonabony-Non Gift
7.238
24.662
31.900
10,058
9.625
19,683
ExpendibJr8
ank Charges
uilding ￿paIrS
HeaVLightWaier
Insurance
Accounianty Fees
LegaVProfessionaVDonallons
R3les
Repairs
PosiagelPnntsnglSlalionary
Sundry Expense
Stsff Salanes
345
25,217
3,610
849
600
795
4.773
3.698
840
360
379
4.378
35
14.728
29,206
31.431
Finance costs
Mortgage inleresi
1.336
1,104
Net Receipt lorth8 yèar
1,358
112,B521
Statement of As¥gts and Liabilities a5 at 31st March 2022
Non Monetary As98ts
Fixed Assets
150,347
150.347
Monetsry Assets
Cash In hand and ai Bank
21,449
171.796
20 848
171,195
CunoTrt Llabllitl94.'
Ctedilors Due Within One Year
4.355
600
Ltsbilitl8& Due Aft•r 1 Year
arday5 Bank Builijlng Loan
29.466
43 978
Nèt Assets
127,975
126,617
un￿￿trICted Funds
General Funds
IncomellEKpendilurel lor the year
8alanGe Carr￿ forward
126,617
1.358
127,97S
139.469
112.8521
126,617
For and on behalf of Hindu Cultural and ReS0w￿ Centre TeKcfd
These a
Is weTe approved by..
LJA
Tm$iee
Babir Rarn
Trustee
Urvashi P31
Dale De a 202¥ .

HINDU CLILTURAL RESOURCE CENTRE TELFORD
SHRI RADHA KRISHMA TEMPLE,TELFORD
2fv22 BANK ROAD, DAWLEY. TELFORD TF4 2AZ
CHARIry REGISTRATION NO 1127915
Not95 to the Accounts
Foi the y8ai 10 315t March 2022
1. AG¢ounting Policy
fin8nc4al ststements of Ihe th8nty, have been wepared In accordance Trmth the Chartiies SORP
Income
I Income Is ￿cOgniSed In the Sta¢emenl of Flnancial Acbmlies once the tharity has enlillemenl lo fv lunds,
1115 probable that the Income K411 be ￿e￿1Ved and the atnount cgn be measured reliably.
Expendlture
Liabib'lies are recognised as expenditure as soon a$ there 15 8 legal orconslruclive obligabDll committiry the
harTty to Ihal Expenditure. il Is probable Ihal a transfer of economlc benefi15 wll be iequired in selllemeni 8fKI
the arnounl of ihe obligation can be me35ured rÈliatAy. Expendilure Is accounled for on an accruals basis and
has been cJas*fied under headings th81 aggregate am cosl relaied to that category. Where c0515 cannoi be
d(reclly aitnbuted lo partitular headings ihey have been allocaled lo activiles on a basis consistenty￿1￿ the
Use of resources. These unaudited accounts have been completed In accordance wlh UK Generally
Accepted Accouniin9 Practs* guidelines and prowde5 sufficaeni and rele¥3nl Infomalion lo enable
r￿mpletIon of a tax relljm.
2. Tanglblp Assets
L•nd &
Property
Freehold
Cost
As al 1 April 2021
150,347
As al 31 Marth 2022
150.347
Depreciatlo
As ai 1 Apdl 2021
A5 al 31 Marth 2022
Net Book Valu•
A8 at 31 Marth 2022
150.347
Asal l Aw12021
150.347

Independent Examiner's report to the Trustees of
Hindu Cultural Resource Centre, Telford.
Charity no 1127915
I report on the accounts of the Trust for the year ended 31s1 March 2022, which are set
on the pages attached.
As the charity's trustees you are responsible for the preparation of accounts.
The charity's truJtees consider that an audit is not required for this year under section 144
of the Charities Act 2011 (the Charities Acll and that an independent examination is
needed.
It is my responsibility to=
Examine the accounts under section 145 of the Charities Act.
To follow the procedures laid down in the general Direction given by the Charity
Commission (under section 14515llbl of the Charities Act, and to stale whether particular
matters have come lo my attention.
My examination was carried out in accordance with general directions given by the
Charities Commission. An examination includes a review of the accounting records kept
by the charity and a comparison of the accounts presented with those records. It also
includes consideration of any unusual items of disclosures in the accounts, and seeking
explanation from the trustees concerning such matters. The procedures undertaken do
not provide all the evidence that would be required in an audit, and consequently no
opinion is given as to whether the accounts present a 'true and fair, view and the report is
limited to those matters set out in the statement below.
In connection with my examination, no matter has come lo my attention-.
(1) which gives me reasonable cause to believe that in, any material respect, the
requirements-.
to keep accounting records io accordance wilh section 41 of the Act., &
lo prepare accounts which accord with the accounting records and to comply with
the accoijnling iequiremenls of the 1993 Act have not been met,. or
(2) to which, in my opinion. attention should be drawn in order to enable a proper
understanding of the accounts lo be reached.
Independent Examiner
Tarunkumar Patel
Wolverhampton
Date.. 61h December 2024