SOUTHEA5f REGIONAL TAMUDHEE LOPIDON
Chath 140. 1156809
Tiust••s' R•port al￿ Unaudlted Accounts
31 Oecember 2024

SOUTHEAST REGIONAL TAMUDHEE LONDON
Content5
Pa8es
2to3
Trustees, Annual Report
Independent Examiner's Report
statement of Flnancial Actlvltles
Balance Sheet
Statement of Cash flow5
14
Notes to the Accounts
7t013
Detalled Ststernent of Flnanclal Activitles
15to16
Page I

SOUThEA5T REGIONAL TAMUDHEE LONDON
Truste￿ Annual Report
The trustee5 preseiit thelr report wlth the unaudlted flnanclal statements of the charlty for the year ended
31 December 2024.
REFERENCE AND ADMINISTRATIVE DEfAILS
Charlty No. 1156809
Prfndpl Offl¢•
60 Panfleld Road
Abbeywood
London
SE2 9DQ
Truit•e$
The following trustees served durlng the year:
A.B. Gurung
C. Gurung
H.P. Gurung
H.P. Gurun8
K.B. Gurun8
K.B. Gurun8
N.B. Gurun8
P.K. Gurun6
S. Gurung
S. Gurun8
Y.P. Gufung
Ind•pend¢nt Ex•mlner
Asmlta & Assoclate5 Ltd
114-116 Plumstead Hi8h 5t
Plumstead
London
SE18 ISJ
8afik•rs
Natwest Bank
Page 2

SOUTHEAST REGIONAL TAMUDHEE IONDON
TNstoes Anfiual Report
08JEcnvES AND AThvmES
The objettives of the organlsatltsn are:
To promote charlty pro8rammes for the benefit of publlc and In particular the
8urun8 famSlles {communlty) for thelr wellare arKI motlvatlon.
To establlsh a communlty centre for the Gurkha (Nepalese) communlty to share the
varlous cultural actlvitles year around.
• To oT8anlze fund r8islng campalgn for the communlty centre and Its malntenance.
To pre5erye the rell8ious bellef, tultural herltage and Identity of Gurun8s(Tamu5).
• To educate and develop 5kllts for the youth to mer8e Into national mainstream wlth
thelr own cultural Identlty.
To encourage and educate people to partl¢ipale in the event5 like eradicating the
antl soclal elements from the ¢ommunlty with health and safety consclousn¢ss.
• To or8anize semlnars and classes to educate tradltlonal lan8ua8e, literature,
ulture, rell8lons bellef, health and safety Issues focu51n8 on youths fiom thls
communlty.
To treate an envlronment that the facllltles ol the communlty centre Is bein8 used bv
all on equal Dpportunlly b￿1$.
• To establlsh a brldge between local councll, government and assoclatlon for legal
and flnanclal assistance on acqulrln8 natlonal resources or 8rants lor the
bettermenl of communlty.
The maln actlvitles undertaken In relatlon to those purposes durlni the reportlng perlod were: l. Lhochhar
{Gurun8 New Year) Celebratlon was organlzed by the SERTD .It was partlclpated by lo¢al communlty's leaders
and general publlc.
2. 5ERTD had organ15ed DEUSHI and BHAILO programme on ottaslon of Dashaln and Tlhar.
3. OthLY Informal communlty SUPPQrt had been provlded durln8 the yaar .
si•t•m•nt ol trust••s' 1•sponslbllltlo1 In r•l•tlon to the finan¢lal ¥t•tements
The charlty trustees are respon51ble for prepafln8 a trurtees, annual report and flnanclal statements In
accordance wlth appllcable law and Unlted Kln8dom Accountln8 Standards (Unlted Kin8doM Généfally
Accepted Aceountln8 Practlc•).
The tru$tee$ are re5poTrsible for keepin8 proper accountlng records that dlsclose wlth reasonable accuracy at
any tlme the financlal posltlon of the charlty and to enable them to ensure that the financlal Statements
ccmply wlth the Charltles Act 2011, the appllcable Charltles (Accounts and Report5) Regulatlon5, and the
prov151ons of the Tf U5t deed. The Trustees are also respon51ble for safeiuardSn8 the a55els of the charlty and
hence taklng reasonable steps for the preventlon and detectlon of fraud and other Irregularfries.
Slgned on be
P.K. Gurnng
Trustee
09 May 2025
If f the charity's trustees
Page 3

SOUTHEAST R£GIONAI TAMUDHEE LONDOM
Independent ExamlnOTS Roport
Independent Examlnerfg Report to the trustees of SOUTHEAST REGIONAL TAMUDHEE LONDON
I report to the trustees on my examlnatlon of the flnanclal statements of SOUTHEAST REGIONAL TAMUDHEE
LONDON for the year ended 31 Decernber 2024.
R•sponglbllftles and basls of report
As the charlty'5 trustees you are responsible for the prèparatlon of the financial statements In accordance
wlth the requlrements of the Charltle$ Act 2011 ('the Act,).
I report In respett of my examlnation of the charfty's financlal stalements carried out under section 145 of
the 2011 Art and In carrylng out my examlnatlon I have followed all the appllcable Dlrectlons glven by the
Charlty Commlsslon under section 145151(bl of the Act.
Indap•ndent ex•mln•rfs statement
I have completed my examlnation. l Can conflrrn that no materlal matters have come to my attentlon In
connectlon wlth the examlnatlon glvln8 me cause to belleve that in any materlal re5pert;
• the arxountin8 records were not kept In respect of the thailty as requlred by sertion 130 of the Act: or
the flnoncSal statements do not accord wllh those record5; cr
the flnanclal statements do not comply wlth the appllcable requlrements concernln8 the form and
ont•nt of flnanclal statements set out In the Charlties (Attounts and Reports) Re8ulatlons 2008 other
than any requlrement that the financlal statement5 give • *rue and falf, vlew whlch Is not a matter
¢onsldered as part of an Independent examlnatlon.
I have no concerns ind have corne across no oiher matters In Connection wlth the examlnatlon to whlch
attentlon should be drawn In thls report In order to onable 8 proper understandln8 of the financlil
statements to be reached.
LN Pandey FCA, M.Sc.
Asmita & AssocSales Ltd
114-116 Plumstead Hl8h St
Plum5tead
London
5E18 ISJ
09 May 2025
Page 4

SOUTHEAST REGIONAL TAMUDHEE LONDON
Statement of Flnanclal Actl¥ltles
for the year ended 31 December 2024
Unrestrl¢t•d
funds Total lund5 Tolal lunds
2024
2024
2023
hlote$
Incom• •nd endowm•nts
from:
Donatlons and leqacles
Investments
Other
31,697
14.760
31,697
14,760
49,201
14,000
13,444
Total
46,457
46,457
76,645
Exp•ndltur• on..
Charitable activitie5
Other
29,140
6,368
29,140
6,368
56,777
9,616
Total
35,508
35,508
66,393
Net 8alns on I￿estMentS
Il•1 Incom•
10,949
10,949
10.252
Trarb5f¢r$ between funds
Incom• b•lore oth•r
¢alnsl(loss•J)
10,949
10,949
10,252
Oth•r ylns and IoNo$
N•1 mov•ment In funds
10,949
10.949
10,252
R•¢ondll•tlon of lund$:
Total funds brau8ht forward
348,865
348,865
338.613
Total cwrled lorw•rd
359 814
359.814
348 865
Page 5

SOUTHEAST REGIONAL TAMUOHEE LONDON
Balance Sheet
at 31 December 2024
Ch•rfty No. 1156809
2024
2023
Flx•d assets
Tanglble assets
294,357
294,357
294,478
294.478
Current aysets
Cash at bank and In hand
66.777
66,777
11,320
65,457
359,814
359,814
55,287
55,287
(900)
54,387
crnd1t0￿. Amount falllng due wlthln one year
Net ¢uNent •55etJ
13
Total aisets less current Ilibmllles
348,865
348,865
N•t •gMts •¥¢ludln& p•nsk)n •sJet or Ilablllty
Tol•l n•t Mslti
359,814
348.865
The lunds of the (harlty
R•Jtrlct•d lund%
Unrestrfrted funds
General funds
14
14
359.814
348,865
359,814
348,865
R•sami
14
Totd lunds
359,814
348,865
Approved by the trustees on 09 May 2025
And ￿gned on thelr behalf bv:
P.K. Gurun
Trustee
09 May 2025
Page 6

SOUTrIEAST REGIONAL TAMUDHEE LONDON
Notes to the Accounts
for the year endod 310•(emb•r 2014
l A¢countlng pollcl•s
B￿$ of prep•ratlon
The financlal statements have been prepared In accordance wlth Statement of Recommended Prartice.,
Actounting and Reportin8 by Charltles preparln8 thelr accounts in attordance with the Finantlal
Reporting Standard appllcable in the UK and Republic if Ireland IFRS 102) Issued on 16 July 2014 and the
Flnanclal Reportlng Standard appllcable ln the United Kln8dorn and Republlc of Ireland IFRS 102) and the
Charltle5 Art 2011.
Chan8e In hasls of atta￿tI￿ or to Pmvloui •ttounts
There has been na than8e to the accountin8 policles Ivaluatlon rul•s and method of accountln81 slnce
1aM year and no than8es have been made to att¢unts for pre¥lous years.
Fund •¢wuntlni
Unrestrlcted funds These are available for use at the dlscrellon of ihe trustees In furtherance of the
8eneral objects of the charity.
Deslgnèted fur￿$
These are unrestflcted funds earmafked by th• trustee5 for particular purposes.
Revaluatlon funds These are unrestrlcted fund5 whlch Indude a revaluatlorn reserve representlng the
restatement of Investment assets at thelr ffl)rket values.
These are avallable lor use subject to re5tri¢tions imposed by the donor or throu8h
terms of an appeal.
Restrlcted funds
In￿rne
Reco8nltion of
Income
Income Is Induded In the Statement of Flnanclal Actmtles {SoFA) when the charlty
becomes entitled to, and vlrtualty certaln to recel¥e, the Income and the amount of
the Income can be melsufed wlth sufflclent rellablllty.
Income wlth related Where Income has related expendlture the Income and related empendlture 1$
•xp¢ndlture
reported 8fOSS In the SOFA.
Dorbatlon$ and
legacle$
Voluntary income fecelved by way of 8Tant5, donatlon5 and glfts is included in the
the SOFA when recelvable and only when the Charlty has unconditlonal entltlement
¢0 the Income.
Tax reclalms on
Income from tax redalm5 Is Included In the SOFA at the same tlme a5 the
donations and 8ifts 8lft/donatlon to whlch It relate5.
Donated servlces
These are only Included In Income (wlth an equlvalent amount in expendlture)
and facllitie5
where the beneflt to the Charlty Is reasonably quantlflable, measurable and
materS41.
Volunteer help
The value of any volunteer help received Is not Included In th• accounts.
Investment Income This Is Included In the accounts when recelvable.
G•lns/(10sses) on
This includes any 8aln or loss Tesultln8 from revalulng lftvestments to market value
revaluatlon of flxed at the end of the year.
assets
Galn51llosses) an
Investment assets
Thls Includes any Aaln or loss on the sale of Investrnents.
Page 7

SOUTHEAST REGIONAL TAMUDHEE LONDON
Notés to the Acmunts
Expendlture
Reco8nltion ol
expendlture
Expendlture Is retO8nlsed on an accruals basis. Expenditure Includes any VAT whkh
cannot be fully recovered. and Is reported as part of the expendlture to whkh it
relates.
Expenditure on
These comprtse the ¢osts assoclated wlth attractln8 voluntary Income, fundraSsln8
ralslng funds
tradln8 C05t5 and Investment management costs,
Expendlture on
These comprlse the costs Incurred by the Charlty In the dellvery of It5 artivltles and
charltable activltles servlce5 In the furtherance of Its objects, 5ndudlng the makln8 of grants and
governance costs.
All grant expendlture Is accounted lor on an actual pald basls plus arn accrual for
vants that have been approved by the trustees at the end ol the year but not yet
pald.
These Inelude those costs assoclated wlth meeting the constitutlonal and statutory
requlrements of the Charity. includin8 any audltllndependent examination fee5,
costs Ilnked to the strateglc mana8emeTrt of the Charlty, tO8ether wlth a share of
other admlnlstratlon tosts.
Other expendlture These are sUPPOrt costs not allocated to a partlcular ac¢lvlty.
Grants payoble
Governance costs
Taxallon
The charltyls exempt from tax on Its charltable artlvltle5.
Fr••hold Inv•Jtni•nt prop•rty
Investment propertle5 are measured Initlally at ¢0St and wb5equently Jt falw value at each balance sheet
date and are not depreclated. All 8alns oi losses are taken to the Statement of Flnanclal Actlvltles a5 they
rlse.
Stothi
Stock Is Included at the lowef of cost or net realisable value. Oonated items of stock are reco8nlsed at falr
value whlch Is the amount the charfty would have been wllllng io pay for the Items on the operb market.
Tr•de and oth•r debtors
Trode and other debtors are reco8nlsed at the settlement amount due after any trade discount gffered.
Prepayments are valued at the amount prepald net of any trade dlscounts due.
Caih and ￿$b •qulvalents
Cash and tash equlvalents comprlse cash at b3nk and on hand. demand deposlts wSth banks and other
5hort-term highly Ilquld Investment5 wlth orl8inal maturitles of three months or less and bank overdrafts.
In the statement of financlal posltlon, bank overdrafts are shown within borrowings or current liabilitie5.
In the Statement pf Cash Flows, cash and cash equlvalents are shown net ol bank overdrafts that are
repayable on demand and form arn Integral part of the company's cash management,
Trnd• and OtI￿r credltors
Short temi credltors are rneasured at the transactlon prfce. Other ¢redStors and provlslons are reco8nlsed
where the charlty has a present obll8atlon resultln8 from a past event that will probably result in the
transfer of funds to a third party and the amount due to settle the obll8atlon can be measured or
estlmated rellably. Credltors and provlslons are normally recognised at their settlement amount after
allowin8 for any trade discounts due.
Page 8

SOUTHEAST REGIONAL TAMUDHEE LONDON
Notes to the Accounts
R•s•arth and development
Expendlture on researth and development Is written off In the year In which it Is Incurred.
Forel8n currendes
Monetary assets and Ilabllitles denomlnated In currendes other than Ihe fun¢tlonal currency of th*
charlty are translated at the rate5 of exchange prevallln8 at the end ofthe reportlng pertod.
Transactlons In currencles other than the functlonal Currency of the tharlty are recorded at the rate of
exchange the date that the transactlon occurred.
All exchange dlfferences are are taken Into account in arrlvin8 at net Income/expendlture.
Leased •ssetJ
Where the chorlty enters Into a lease whlch entalls taklng substantlalty all the rfsks and rewards of
owner5hlp of an a$seL the lease15 treated as a flnance lease.
Leases which do not transfer substantlally all the rlsks and rewards of ownershlp to charlty are classlfled
s operating leases.
Assets held under finance leases are Inltlally recognlsed as assets of the charlty at thelr falr value at the
Inceptlon of the lease or, If lower, at the present value of the mlnlmum lease payment$. T
correspondln8 Ilablllty to the lessorls Included In the balance Sheet dale as a flnance lease obllsatlon.
Lease payments are apportloned between finance expenses and reductlon ol the lease obllgatlon so as to
a¢hleve a constant rate of Interest on the remalnlng balance of the IlabllSty, Flnance empenses are
reco8nlsed Immedlately, unless they are dlrectly attrlbutable to qualifying 455et5, In whlch case they are
capitalised In accordance with the charlty's pollry on borrowlng costs.
Assets hold undèr Ilnance leases are depreclated In the same way as owned assets.
Operotlng lease payments are reco8nlsed as an expense on a 5tralBht-Ilne basls over the lease term.
In the event that lease Incenll¥es are recelved to enter Into operatln8 leases, such Incentfves •re
recognlsed as ? Ilabllity. The 888re8ate benellt of Incentive5 15 recognlsed a5 a reductlon of rental
expense on a straiRht-Ilne basis.
pan￿Oft costs
The charlty operate5 a defined contribution plan for Its employees. A deflned contrlbutlon plan15 a
penslon plan under whlch the charfty pays fixed contrlbutlon5 into a separate entlty. Once the
Jntributlon5 have been pald the charlty has no further payments obll8atltsns. The contrlbutlons are
reco8nlsed as expense5 when they fall due. Amounts not pald are shown In accru?1s in the balance Sheet.
The assets of the plan are held separately from the charlty In Independently admlnlstered funds.
Recelpt ol don•t•d ioods, facllltles and $ervl¢
All donated goods, facllltles and seNlces re¢elved are reco8nlsed wlthln Incomln8 resources and
expendlture at an estlmate of the value to the charSty.
Page 9

SOUTHEAST REGIONAL TAMUDHEE LONDON
Notes to the Accounts
2 Ststefflent of Flnanclal Artlvltle$- prlor y•ar
Unrestrlded
lunds Total funds
2D23
2025
Incoffl• •nd endowment$ Irom:
Donations ?nd le8acles
Investments
49,201
14,0
13,444
49.201
14,000
13,444
Other
Total
76,645
76,645
Expendlture on:
Charltable actlvltles
56,777
9,616
56,777
9,616
Other
7ot•l
66.393
66,393
Net Incom•
10,252
10,252
N•t Income before other
ialnsl(10sse5)
Oth•r 8•lns and lossai:
Nrt fflov•m•nt In funds
10,252
10,2S2
10,252
10,252
Recon¢llla¢lon ot funth:
Total funds brought forward
Totil funds ¢•rrled hrward
338,613
338.613
348,865
348.865
3 InMm• Irom doftatlons and l•ycl•s
UnMStrl¢t•d
Tot•1
2024
Total
2D23
Donatlons
31.697
31,697
31,697
31,697
49.201
49,201
4 Income Irom Investments
Unrestrlrted
Total
2024
Total
2023
Rental Income
14.760
14,760
14,760
14,000
14.000
14,760
Page 10

SOUTHEAST REGIONAL TAMUDHEE LONDON
Notes to the Attounts
5 Other Income
Total
Total
2023
2024
Grants recelved
13,444
13,444
6 Exp•ndltur• on tharltable artlvltl¢s
Unre￿rIrfed
Total
Total
2014
1023
Expendlture on thorltoble
actlvltles
Charltable event expenses
Charltable contrlbutlon5
26,480
2,660
26,480
2.660
52,981
3.796
29,140
29.140
56.777
7 Oth•r eMpendltur•
Unr•Jtrlrt8d
Total
2024
Total
2023
Motor and travel costs
Premlses ¢O$ts
Amortlsatlon, depreclatloTh,
IT￿aIrMent, profltlloss on
(fsposal of ftxed assots
General admlnlstratlve costs
Le8al and professlonal costs
450
450
2,800
5,274
4,646
4,646
121
121
93
731
731
1,029
420
420
420
6,368
6.368
9,616
8 N•t Income b•fore translers
2024
2023
This Is stated aftér char8in8:
Depreclatlon of owned fixed assets
9 Staff costs
Ng employee recelved emolument5 In exce55 of £60,000.
10 Trustee remuneratlon and expens
No trustee recelved any remuneratlon or expenses durln8 the year.
121
93
11 Relaled party dls¢losures
There were no related party transaction5 for the period ended 31 December 2024.
Pa8e 11

SOUTHEAST REGIONAL TAMUDHEE LONDON
Notes to the Attounts
12 Tanllble fixed ass•ts
C•%t or rnvaluatlon
At l January 2024
At 31 December 2024
Depr•dallon and
Impalrm•nt
At l January 2024
Dtpreclatlon charye for the
vear
At 31 December 2024
293.871
293,871
700
700
294.571
93
93
121
121
214
214
N•1 book values
At 31 December 2024
At 31 December 2023
13 Cr•dltors:
amounts falllng due wlthln one year
293,871
293,871
486
607
294,357
294.478
2024
2023
Ac¢rua15
1,320
1,320
900
900
14 Mov•nMnt In lunds
Incornlni
r•sourc•i
Ilndudln£
other
At l J•nu•ry ialnslloss•s
2024
Resourc•s
expended
At31
Dec•mb•i
2024
Ro5tulrt•d fvnds:
Unre5tr1rted lunds:
G•n•ril fundi
348.865
46,457
{35,5081
359,814
Total lunds
IS Anatyslg of nrt Msets between funds
348,865
46,457
135,508)
3Sg.814
Unrestrlcted
fufid$
Total
Flxed assets
Net current assets
294,357
65.457
359.814
294.357
6S.4S7
359,814
Page 12

50UTMEA5T REGIONAL TAMUDHEE LONDON
Notes to the Attounts
16 Reconclll¥tlon ol net debt
At31
December
2024
At l JaTruary
2024
Cash flows
Cash and cash equfvalents
55,287
55,287
11,490
11,490
66,777
66,777
Net debt
55.287
11,490
66,777
Page 13

SOUTHEAST REGIONAL TAMUDHEE LONDON
ststement of Cath flow$
lor the year ended JI December 2014
2024
2023
Co$h flows from op•rntln8 •rtlvltles
N•t Incorne per Staternent of Flnanclal Actlvltles
10,949
10,252
Juslments for:
Oepreclatlon of property. plant and equlpment
Dlvldends. Intérest and ients from Inve5tment$
Incfeasel(Decreasel ln trade and other payables
121
(14.7601
420
93
{27,444)
(30)
Net cash us•d In oper•tlni artfvI￿e$
(3.2701
117,1291
C•Jh Ilows from InV•st1￿ adlvltl•s
Dlvldends, Interest and rents from Investments
14,760
27,444
Net Iroffl Inwrtlni •ctfvftl
14,760
26,744
Net ash Irom lJn•nclni •ctlvllle5
Not In¢rus• In cash Ind cash equlvaleiits
11,490
9,615
C•ih •nd ¢ash oqulval•nt5 at th• b•8InnI￿ ol the y•ir
55,287
45,672
Cash and ¢ash equlv•l•nts at th• •nd of th• y•ir
66,777
55,287
Compon•nts of ¢•sh and ush ￿￿1¥alentS
Cash and bank bal3nrn5
66,777
55.287
66,777
55,287
Page 14

SOUTHEAST REGIONAL TAMUDHEE LONDON
Detglled Statement of Flnan¢lal Actlvltles
lor th¢ year ended 31 December 1024
Unre$trlrted
funds Total lunds Total funds
2024
2024
2023
Income and endowrnents fram:
Oonatlon5 and le￿cleS
Qonatlons
31.697
31,697
31,697
31,697
49.201
49,201
Investments
Rental Income
14.760
14,760
14,760
14,760
14.000
14,000
Other
Granls recelved
13,444
13,444
Total Incom• and endowmeni$
46,457
46,4S7
76.645
fxpendlture on:
Charltable artivities
Charltable event expen$es
Charltable contrlbutlons
26,480
2,660
29,140
26,480
2,660
29,140
52,981
3,796
56,777
Total of exp•ndltur• on ¢harl¢•bl•
artl¥ltloJ
29,140
29,140
56.777
Motor and travel costs
Trav•1 and subslst•n¢•
4SO
450
450
2,800
450
Premlses costs
Rates
Llght, heat and power
Premlses repalrs and
malntenance
2.687
1,959
2,687
1,959
1,592
1,979
1,703
4.646
4,646
5,274
General admlnlstrative Costs,
Includln6 depreclatlon and
amortlsatlon
Depreclatlon of
Slatlonery and prlntln8
Subscriptk)ns
Telephone, fax and broadband
121
121
93
404
60
267
852
404
311
288
430
1.122
267
852
Legal and professlonal costs
Auditllndependent examinatlon
fees
420
420
420
420
420
420
Page IS

SOUTHEAST REGIONAL TAMUDHEE LONDON
Oelalled Staternent of Flnanclal Artlvltles
Tolal of expendlture of other costs
Tolal expendltur•
frlet 8alns on Investments
6,368
6,368
9,616
35,S08
35,508
66.393
Net Income
10.949
10,949
10,252
Net In¢ome befor• oth•r
8alnsl(loss•sl
Other Galns
10.949
10,949
10,252
N•t movement In lunds
10,949
10,949
10,252
R•con¢lllatlon gf funds:
Totsl funds brought forward
348,865
348.865
338,613
Total funds earrled forward
359 814
3S9.814
348,865
Page 16