CHARITY NUMBER: 1132050
REPORr or THE TRUSTEES
AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2023
FOR
RANGJUNG YESHE UI<
MGR SD Lijiiiled
Cliarlercd Accountajils
55 Loudouii Road
Loiido
NW8 ODL

RANGJUNG YEISIIE UK
CONTENTS ort TFIE filNANCIAL STATEMENTS
FOR'fiiE YEAR LNDED 31 MAIICTr12023
Pa8e
Legal Ind administralive infOrn￿li0ll
Trn51ees Report
Accouiilaiit< reporf
Statwnujt offiL)aiicÈal RctLVlties
Diliii¢¢ $litti
Notes to tILe fiiiaiicial SlHtcrnciil$

RANGJUNG YESHE UK
LEGAL AND ADMINISTEIATIVE INbORMATION
FOII I'IIE YEAR ENDED 31 MARCFI 2023
Triistces-
Ms P Lemanczyk
MTS M H L¢man¢zyk-Zielke
MT D Beiijamiii
Ms S N*vaTez
Ms H Felcey
Ti"ust AtJdress-
Lijidliolnie Hall
Lindliolnie Bank Road
Haifjcld Woodl)ouse
DoiJc2St¢
DN7 6DT
Registered Cliarity Nuniber:
1132050
A¢tountaiits.'
MGR SD Liinil¢d
Cliartercd Accouiilaiits
55 Loiidouii Road
Londoji
NW8 ODL
Page I

RANGJUNG YESTrIE UK
TRusfEEs ilEI'OIIT
FOII TIIE YEAR ENDED 31 MARCTrI 2023
Tlie trtjstees present tl)eir ai)nllal report and fiiiwi¢ial siat¢m¢ii¢s foi- Ilie year eIided 31 Mai-cli 2023. Tl?e ITusiees
coijfjrin coinpliance willi Ilie Cliai-ilies Act 2011 aiid ilie ITUSI deed aiid l)ave adoplcd tlie provisiojis of Ilic
StateJi)enl of Recomniended Pia¢tice. Accoiiiiting and RepoTlin8 by Cliai'itics ISORP), iii preparin8 the aiJ)iual
report aiid financial stlc teiments of Ilic chal'ity.
PrincipAI aetivities aTiII obj¢¢ts of tlic cliarlty
Tl)e charity is ¢oiistitJted as a tLliSt, aiid is tlierefoiE goveriied by a trust deed.
Tlie elJarity'5 object i5 twofold..
-TlJe advaiiceinenl of rli¢ Buddliist faith in A¢eoL-dai)cc with thc tTadition of Vajrayaiia {Tibctaii) Biiddljistn ai)d iii
parlicular ilie ¢liokling teisar liiieage fot. tlie public b¢nefit.
-To PL'OLnote foi. Ilie bciiefit of the piiblic tlie conscrvatioii, pi'otection and iinprovttnenl of the Lindl)olinc estate,
includiiig tlie Lindliolmc Old Mooi. aiid tlie adjacejit wetlands as a pla¢¢ ofi-icli biodiv¢isily aIid e¢ologi¢al aiid
cnviroiiincnlal iiiterest.
OrgAiilsatlon
Tlie cliai'ity IS OlEani5ed so tlial tl)c truslccs Jiieel regularly to Jnanagc ils affairs. All of tlie Iriislees Juined on page
15crved tliiDugtiout thc ycar. The Board has powcr lo appoint additional InTsltcs as it considei"s fjl to do 5Q.
PritkClPAI fundiiig sourtcs
Tlje charity fuiids its operatioi) fi-oiii the doiiaiioiis il Te¢eives frtsin the general public.
Res¢rv¢$ policy
It is tlie policy of tlje cliariLy to i)iaiiitaiii uiiiEstricied fiinds, wliicli are ihe free reseives ofiiie ¢liai-ity. at a level,
wliicli ciiables Ilie clmrity to adequately sui)poit its activities. UiJreslTleted fiinds wer¢ iiiaiiitaiii¢d ai Iliis level
Rlsli ii)A Th*g¢iJi¢nt
Tlie ttustecs liave exainined tlie inajor strategic, Iwsiiiess ai)d operatioiial risks wliicli tlje cliai'ity faces aiid coiifiiin
tliat 5ysieiM5 liave been establi51ied to enable J'egulai. i'eport5 to be pioduced so ilial ilie iieces5ary steps cali be
takeii to lesseii tl)cse risks.
Fiiiajietal revlciv
The Charity received £152,130 {2022.. £110.468} ill tlie forin of doiiatioi)s aiid rcccived iEiits of £1,802 {2022..
£1.768) dul'ing tl)c year. Thei'e was expcndilure on inai)ageJiieiit 811d adJiiiLiislratioJi of tlic cliaj'ity of £126,868
12022.. £87,069). The chai'ity'5 res￿veS stood al £1,033,435 12022.. £1,006,371) of wliicli £1,677,465 (2022..
£1,677.203) werc lai)sible a55ets {prin12rily Liiidliolnie H811 Esiate) and £644,030 12022.. £670.832) were net
Page 2

## **RANGJUNG YESHE UK** 

## **TRUSTEES REPORT** (Continued) **FOR THE YEAR ENDED 31 MARCH 2023** 

## **Statement of trustees' responsibility** 

The trustees are required to prepare financial statements for each financial period which give an accurate view of the financial activities of the charity and of its financial position at the end of that year. In preparing those financial statements the trustees are required to: 

Select suitable accounting policies and apply them consistently; 

make judgements and estimates that are reasonable and prudent; 

observe the methods and principles in the charity Statement of Recommended Practice (SORP); 

select accounting policies and apply them consistently; 

prepare the financial statements on a going concern basis unless it is inappropriate to presume that the charity will continue in existence. 

The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities Act 2011, the Charity (Accounts and Reports) Regulations of 2008 and the provision of the trust deed. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other i1Tegularities. 

This report was approved by the trustees on 30 January 2024 and signed on their behalf. 

**Mr D Benjamin Trustee** 


Page 3 



INDEfENf)ENT ACCOUN'fANTS' RCI PORT'fo Tl.IE TIIUS'J'L4 SS
ON TIIE UNAUDITbl) blNANCIAL s'fA'fEMENTS OF RANGJUNG YESFIF UK
The cliarity's tTUSlCCS arc rcspoiisible for tlic prcparatioii of tl)e accouiils. Tlic cliarily's IIu51ccs Consider Iliai lil
audil is iiot required for iliis ycar uiider s¢cfioii 144 of tlle Cliaritlcs Act 2011 {tlie ChTiii<8 Act) Riid IliAt an
iiidependeii¢ ¢xninina¢ion is n¢¢dcd.
It IS OUT responsibilily ¢0..
txamiiic Ilic accounts under JeetLOlI 145 of the Charitics Act.
to follow Ilie pro¢¢dur¢s laid down ith ihe g¢nenl Dirtttions given by th¢ Cliarity Commission luTrderwtion
145151(bl ofih¢ Chaiiiies Act. and
to 5t#te ￿le11]er parlkcular Inaiters have eome to our attenti￿.
Our examination was carried oul iii o¢cordatice with get]er21 Dirttiion$ giveli by tlie Clwity Cornmissk)n. An
¢xaminalion includes a review of o¢¢ouTrling records kepi by ihe tluriiy And g ¢011)po1ison of Ilie accounls
prescntcd with tliose records. li a150 includc5 consideration of any unusual ilein5 or di5c105ures in the o¢¢ounts,
d scckÉn8 cxplanBtions from the trustCC5 conccrning any 5udi matters. Tlie procedure5 uiidciiaken do not
provide all thc eYiden¢c ihat would be requircd in ali audit, and eonsequcntly no opinion is given as lo wlicther
the arKounts pr¢5enl a 'true aiid faiT' vi¢w and tl)e retrt)rt is liniited lo those InatteTS set out it) Ilie s181eiiieiil bclow.
In ¢onr)ection wilh our exominaiioii, no Inatter ljas coJt)e to ollr aiieniion-
l. which give5 us reasojidble caiLSC to bcli¢v¢ tlial ii). aiiy malerial re5p¢cI, tlie r¢quiT¢meJiis'.
to keep accouiiliiig rceords iii accordaiice willi 5ectioii 130 of tlie Cliarilics Act. aiid
to prepare occouiils wliicli accord witli tlie a¢couiitinE recoi-ds aiid coinply witli ilie a¢¢ouiiliiig
T¢quirciiiei)Is of ilie aiariii¢s Acl
liavc not beei) met.. oi.
2. 10 wliicli, in our OPLJIjOII. Atteiition sholild be drawn iii ordeL' to ciiable a pix>i)ci' Iiiidci'staiidiiig of tlie iccounls
lo bc reacljed.
MGR SD Limited
Cliarlcred Accounlaiils
55 LoiidoLll1 Road
Loikdon
NW8 ODL
30 January 2024
PAge 4

RANGJUNG YESIIE UK
s'rA'fEMEINT Ob. blNANCIAL AcfiviTIES
FOR THE y£IAR £4 NDED 31 MARCH 2023
TotAI
Fun(Is
2023
Tot&1
Funds
2022
Iyote
INCOMING RESOUIICCI S
DoiialioLlS, legacies aiid sijnilai
ilico1￿1￿8 resources
152.130
110.468
Otliei. i1￿0￿e
1,802
1.768
Ttstgl incominLF resources
153.932
112,236
RESOURCES EXPENDED
Resollrces expcjidcd oil maJiagiii8 aiid
126.868
87,069
Totnl rcsoiErce5 expeii(led
126.868
87.069
NET MOVEMENT IN FUNDS
27,064
25,167
Total funds brouglii forward
1,006,371
981,204
TOTAL FUNDS CAllllIEI) f4OIIWAIII)
1.033,435
1,006.371
Deiails of R¥soiitces Expthid¢d ar¢ giveii iii Ilie iioles io tlje fjiiaiicial siatejnents. All ijicoijiiiig J'esourees aiid fuiids at 31
March 2023 and 31 Marcli 2022 are untesti'icted fuiids.
Pagc 5

## **RANGJUNG YESHE UK** 

## **BALANCE SHEET AS AT 31 MARCH 2023** 

|**FIXED ASSETS**<br>Tangible assets<br>**CURRENT ASSETS**<br>Other debtors<br>Stock<br>Cash at bank<br>**CREDITORS**<br>Amounts flling due within one year<br>**NET CURRENT ASSETS**<br>**CREDITORS**<br>Amounts flling due more than one year<br>**TOTAL ASSETS LESS LIABILITIES**<br>Unrestricted fnds<br>**TOTAL FUNDS**<br>**Note**<br>**3**<br>4<br>5<br>Approved by the trustees on 30 January 2024 and signed on its behalf by:<br>**Mr D Benjamin - Trustee**|£<br>624<br>1,110<br>112,020<br>113,754<br>24,632<br>**2023**<br>**£**<br>1,677,465<br>89,122<br>1,766,587<br>(733,152)<br>1,033,435<br>1,033,435<br>1,033,435|**£**<br>1,110<br>113,762<br>114,872<br>10,095|**2022**<br>**£**<br>1,677,203<br> <br>104,777|
|---|---|---|---|
|||||
||||1,781,980<br>(775,609)|
||||1,006,371<br>1,006,371|
||||1,006,371|



The annexed notes form part of these financial statements. 

Page 6 



RANGJUNG YESTrIE UK
NO'fES TO TIIE FINANCIAL STATEMENTS
AS AT 31 MARCH 2023
I. ACCOUNTING I'OLICIES
Ac¢ovntiiig
Thc Fiiiancial StateiiJcnts arc preparcd under tlit liislorical cosi coJivcnllOlI aiid liavt beeii prepaitd iii aceoidaiite willi the
Stat¢m¢ni of Eiccosnniended P1￿ctiCe, Accouiiling aiid Reporting by Cliarilies, applicaL)l¢ UK Accoiiiiling Siandai'ds aiid Tli¢
Charities Act 2011.
Iiiootniiig rc50urccs
All incoinijig r¢50urces are iiicluded iii the Sratement of Financial Activitie$ when tlie chaTKty is Icgally ciilitled to the incoin
and the nniouiit be quantificd witli reasoiiablc acci1￿¢Y. Iii thc opillion of the trustets iioiic of the iiicominB rcsourees
of tlie coinpaL)y is aiiribulable 10 geoErapliical niaikets outside tlie UK.
Dojjations aTe aceounlcd foi as received by Il)e clJa]'ily. R¢ntal income is credil¢d to tlie Staleiiieiil of Fillancial
Activitie5 wlien ieceivcd by Ihc cliarily.
Rcsources expeiided
All expendiluTe is accounted foT oli ali accruals basis and lias beeii classified uiidei Ilie ljeadiiiÈ8 Iliai aggregate all cogis I'elated
to itie category. Wliere costs catjiioi be ditecily aiiribuied 10 pariiculai lieddiiigs iliey112ve beeli 2lleeaied 10 atlivilies oil a b2si$
coiisislejii willi use of Ilje resouices.
Tangible fixed assets
Dcprecialioii is provided foi- at tlic folloiviiTrg aiiiiual Taic in OTder lo wiilt off eacli assth over i15 C5tiiiia(
useful life.
Laiid, buildings
2nd iinpffjveineiils
iioi depreciated as ilie cliariiy aiiiis lo Ca￿ out cotiiinuous iinptoveitteiils
25Q/o oil reduciiig balaiice
25¢/0 011 i¢duc&iig tsalaiic¢
250/0 oji ieductiiB balallce
Moior veljicles
2. RESOUJICES EXPENJ)ED ON MANAC.ING AND ADMINISTERINC TJIE CIIAIITTY
202.1
2022
Propei1y expendiluit
GoveiTran¢¢ Costs
42,947
1,920
3.023
78.978
19.422
1,8QO
3,383
62,464
Oihu expciise$
126,868
87.069
Pa8e 7

RANGJUNG YESTrIE UK
NOTES TO TI.IE fiNANCIAL s'fATEMENTS
AS AI'31 MARCH 2023
3. TANGIBLE FIXED ASSETS
Laii(I,
buildiii&Ts and
Pl#iJt llnd
InaclJiThery
Fixtiires and
Motoi. vcliiclcs
Total
COST
At l April 2022
Additions
1.675.700
500
850
3.900
32.748
1.600,208
850
At 31 Marcl) 2023
1,675.700
1,350
3,900
32,748
1,713.698
DEPREI CJATION
At l April 2022
Cl)aTg¢ foL- tlie yeai.
472
219
3.681
55
31.492
314
35.144
588
At 31 Mar¢li 2023
692
3.735
31,806
35,732
NET BOOI< VALUE
At 31 MaTclI 2023
1.675.700
658
165
942
1,677,465
At l April 2022
1.675.700
28
219
1.256
1,677,203
All fixed assels of ilic coiiipany al'e used fol. cliai'ilablc puJy05es.
4. CREDITORS: AMOUNTS FALLING DUE wi'ri.IlN ONE YEAII
2023
2022
Trade and sundry cieditois
A¢¢riials
tA)ans
15,908
1,300
7,424
1,619
1,300
7,176
24.632
10.095
S. CREDITORS: AMOUNTS FALLING DUE MORE THAN ONE YEAR
2023
20Z2
733.152
775,609
733.152
775.609
6. RELATED PAIITY TRANSACTIONS
LoaLiS in¢lude an amotijil of £470,000 (2022.. £470,000) owcd to Mrs M H LemRnczyk-Zielke and
£150,00012022.. £150,000) owed to D Beiijaimin 11 5 at the balciiice slieet dal¢.
Pagc 8