CHARITY REGISTEREI D NUMBER:1140622
SATKAR
(HEALTH AND SOCIAL PENSIONERS GROUP)
FINANCIAL STATEMEf4TS
FOR THE YII AR EI NDED 31 AUGUST 2025
SOI<HI & ASSOCIATF.S LTD
CHARTERtI D CERTIFIEI D ACCOUNTANTS
86B ALBERT ROAD
ILFORD
IGI IHR

SATKAR
FOR THE YEAR Ef4DED 31 AUGUST 2025
CONTENTS
Page
Cliarity - EX￿nIne1.5 report
Trustees Report
Balance sheet
Notes
Incoine & Expenditui'e Account

INDE( PENDENT EXALVIINEI R'S REPORT
TO THE TRUSTEES OF SATKAR
FOR THE YEAR ENDEI D 31 AUGUST 2025
I report on the accounts which are set out on pages 3 to 4
Respective responsibilities of the
The trustees are responsiblc for the pi'eparalion of the accounts. The triistees coiisider that an audit is
not I'cquired for this yeai. und¢i' section 144(2) of tlie Cl)ai'iti¢s Act 2011 (th¢ 201 l Act) aiid that an
indepcndeiit examination is needed. It is my I'esponsibility lo..
Examine the accoiillls under sectioii 145 of the 2011 Act; follow th¢ pi'ocedui'es laid down in the
genei'al dii'ectioiis givcii by the Cliarity Commission (undei. section 145(5)(b) of the 2011 Act). and
state whetl)¢r particulai. Inatt¢i3 have coine to my attentioii.
Basis of independeiit examiner's report
My exainiiialitsn was cai'i'icd out in accoi'dance with the General Directiolls given by the Chai'ity
Coininission. An examination includes a i'eview of the accouiitiiig records kept by the charity aiid a
¢oii)pai'isoii of tlic accoiiiils pi'escnled with those tEcords. It also iiicludes coi)sideration of any unusual
iteins or disclosures iii the accounts, ai)d seekiiig explanations from you as trustees concei'i)ing any
SLich mattel's. The procediires undeital(ei) do not provide all the evidcn¢e that would be requii'ed in an
audit, aiid Consequeiitly i)0 opinion is given as to whether the accounts pi'esent a 'ts'ue and fail. view"
aiid the report is liinited to those matters set out in the stat¢mei)t below.
Independent examiner's statement
In LOI)nection witl) ii)y exaininatioii, no mattci. has come to my attention..
(l ) wliich gives Ine reasonable caus¢ lo believe that in any inaterial I'espect the requirements..
To kcep accountiiig I'ecords iii accordaiice witli section 386 of the Coinpanies Act 2006;
And
To prepa￿ accouiits which accord with the accountii)g records, comply witli the
accoLlI)tiiig reqiiiretnents of sectioii 396 of thc Coiiipaiiies Act 2006 aiid with th¢ Inetliods
aiid pi'iiiciples of tlie Statetncnt of Recommended Practice.. Accouiiliiig and Reporliiig by
Cl)arities l)ave not bcen In¢t' or
(2) to wliich, in oui. opinion, attentioi) should be drawn in order to enable a proper
undei'slai)diiig of the account to be l'eached.
Dated.. 2 December 2025
R S Sol(lii FCCA
Soklii & As
lates Ltd
Cliarlei.
¢itified
86
Ibert
uiitants
oi.
ssex
JGI IHR
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SATKAR
REPORT OF THE TRUSTEES
FOR THE YEAR EI NDED 31 AUGUST 2025
REI SPONSIBILITIES OF THEI TRUSTEEI S
Tlie Trustees arc responsible for prepai'ing the Trustees Annual Report and the finailcial stateinei)ts in
a￿ordanCe witl) appli¢able law and United Kii)gdom Accountiiig Standai'ds (Ui)ited Kiiigdoin
Generally A¢c¢pted Accounting Practice).
The law i'equir¢s the Boai'd to prepai'e financial statements tliat give a true and fail. view of the state of
affairs of the charity at the end of the financial year and of its surplus oi. deficit foi. the financial year.
In doing so the Management Coininittee is i'equii'ed to:
s¢le¢l suitable a¢eounting policies and apply them consistently.
obsei've tlie tnetl)ods ai)d pi'inciples in Charities SORP.
mak¢ judgments and Cstimatcs that al'e reasoiiable and prudent.
prepai'e the financial statements on a going coiicei'n basis unless it is inappiopriclte to pi'esuine
that the charity will continue in existence.
The Trustees are IEsponsible foi. Iceeping propel. ac¢oiiiiting r¢coi'ds whi¢li disclose witli reasoi)able
accuracy at any time the financial position of the charity and enables them to ensiire that the finai)¢ial
statements comply witl) the Charities Act. They are also responsible foi. safeguarding the assets of the
¢l)ai'ity ai)d hcnce foi. taking rcasonable steps for tlie prevention and detection of fraud aiid other
iri'egularities.
So far as the Trustees are aware, there is no relevant informatioii of whicli tlie charity ¢xaininer is
uiiawair, and each trustee has taken all steps that he ought to have takeT] as a trustee in oi'dei. to Inake
himself aware of any relevant inforination and to establisli that the cliarity examinei. are aware of that
infoi'inatioii.
Approved by the Trustees on 2 December 2025 & signed on its behalf by..
Mr J Tr¢han
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SATKAR
BALANCE SHEET
AT 31 AUGUST 2025
Note
2025
2024
Tangible fixed assets
Taiigible assets
62
78
Curi'ellt a55ets
Baiik Accounts
18,513
14,687
18,513
14,687
Ci'editors
Ainounls falling due within
oiie yeai.
900
600
Net current assets
17,613
14.087
Total assets less ciirrent liabilKties
17,675
14,165
Trlet assets
£17,675
£14.165
Capital funds
Genei'al fLlI)ds
17,675
14,165
Total funds
£17,675
£14,165
Appi'oved by the trustees on 2 Decemb¢r 2025 and signed oil its behalf.
Mi. J Trehan
The ai)nexed notes foiTh pait of these financial statements.
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SATKAR
NOTII S TO THE filNANCIAL STATEMENTS
FOR THE YEI AR Ef4DED 31 AUGUST 2025
Tangible fixed asset8
Plaiit
and
Maehinei'y
Cost..
At I September 2024
238
At 31 August 2025
238
Depi'eciation..
At I September 2024
Chai'ge foi. tlic year
160
16
At 31 Aiigust 2025
176
Net book value..
At 31 August 2025
£62
At 31 August 2024
£78
CITditor5
Amounts falling due within one year'.-
2025
2024
Accrued Expenses
900
600
£ 900 £ 600
Pag¢ 4

SATKAR
DETAILED INCOME AND EXPEI NDITURE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2025
2025
2024
Ineome
Membership Fees, Collectioiis & Donations
TI'ip8
26,237
22,542
16,767
2,285
48.779
19,052
Other Administrative Costs
Rent for Ceiiti'¢s
Food, Beverages aiid Coiisumables
Coach Ti'ips & Cultural Events
Suiidi'y
Othei. group of expenditure
Accountaiicy
Depreciation
4,280
14,574
24.582
1.074
443
300
16
2,580
9,909
709
819
423
300
20
45,269
14,760
Lyet lllcome over Expenditure
£ 3,510
£ 4,292
Page 5