Charity Regi5tr4tioTr ￿.￿rn￿er 1171969
PUJARA CHARITBALE FOUNDATION
FI1￿A￿"cl.4L ST.4TEMENTS
To 31103121124

*11I.4ThCI.4L ST.4TEMEh'TS
Penod 10 31 Mar¢h ?Q?4
CONTENIS
PAGE
Tntstees Annua] Report
Independ￿1 Examjnets repon
Rtteipts th Pai"mrnt$ Acco￿t
ststen￿l of Assets & LiabililJe5
Notes io the finanaal $￿e[￿ents

PLIJA114 CRIARA T.4BLL bOIINDATIO,
TRI:STEES .4NNII.4L REPORT
PERIOD TO 31 MARCH 2024
Th¢ tn￿l¢eS hav¢ pleasure in presenting their report and the unaudited financial slalemenis of the charity
for th¢ period to 31 Marth 2024.
REFERE,NCE AI%D,IDMANISTR4T1￿E DETAILS
Registered eharity name PU'J.4RA CH.4RITABLE TRLIST
Charity registration number 1171969
Registered office 17 WINDRUSH DRIVE. LEICESTER, LE2 4GH
THE I"RLiS'rELs
The I￿S(C¢S who sffv¢d the chariry during the period were &s follows..
AJAY.4DATIA
HANSA POOJARA
HITESH PUJARA
NL4NISH KO'I ECHA
NIKITA PUJARA
PAN'NA PU'JARA
STRUCTLIRE, GOI'ERNAYI CE AryD I￿1￿AGEMENT
Pujara Chariiable Trust is a regysiered cliarit! and a L"haritable Incorpordled Organisatsoll ILIOI governed
by its Constitution dated Ihe of March ?017. The chanpj. w&$ registerol witli the Charity Commission
of EngFland and Il'ales on OY Nlarch 2017. The Mist&￿ to the charity are apwinled by tbe maJoTity
decision of serving trnstees. The ¢hariiJ' activities are manabied by the trustees.
OWECTIVES AND ACTtVlTIES
'rhe objectives of the oiganisatioD, as sel oui in its goiernlng dorument are:
To relieie financial hardship, distress and sulfering among poor people. I'ictims of natural
disasters and other people in need b). means of. bul not exclusivel),. mak.ing gtanls or loans lor
providinbi or paykng for ilems, equipment. services and facilities. including ihe provision of fo(Kl.
clean water. clothi'n& livelih￿d programmes. and accomM(xlali￿) for the benefit of said
persons:
(2)
To relieve sickness and to preserve g(XMJ health among persons ID need, by Ineans of, but not
excliisivelv. the Provision or assisiance in the provision of quipment. M￿l(lneS ￿ld facilities,
such as iesting and trealment centres and clinics for the benefit of ihe said persons"

PLIJAIL4 CHARITABLE FOL:.YDATIO.
TRL'STEES AN'NUAL REPORT {CONTThIIED)
PERIOD TO 31 .WCH 2024
OBJECTIVES AND ACflN'ITIES {ConL.)
{3)
To advance education for the benefit of the p(K>r. the illiterale and the get]erdl public by means of,
but not e¥clusii'ely. the provision or assistance in ihe provision of educah.onal resoiir¢es,
equipmenl. activilie5 and facilities, such as schools. libraries and training centres, and tlie
provision of scholarships.
{4}
The promotion of moral or spiritual ￿t1[are bj. making granis io provide facilihes for worshj'p and
Teligious ￿u¢allOn for the benefir of Ihe public.
The activities ofihe chatitv are 10 5UPPOrt charitable Projects furthering the objeLls of the charity via
grnnts.
ACHIEVEMEN'TS A,YD PERFORMANCE
During the period, the chariiy SUpwi￿ various ¢hariiies Thiih similar alms, which benefit￿ over 1,000
people in the UK, Afn"ca and India. Some chhrits.es supw)ned include Togdher Againsl Cancer,
Nlacmillan Cancer Siipport, ,45ian Foundatt"on For Help and Places of ￿'OrShIp and Education centres in
the Uk.
FIIYANCIAL REVIEW.
The charit), relies upon the generosity. of tl)e public and sponsors. The charity 15 grateful to the donors and
sponsors who supported our appeals and fundraisers. During the ycar, total income for ihe period was
£4? 15? Of ihese funds. the charit). incutTed expenses of £?4.794. Of these £18,813 w ere ￿￿￿'ell in grants.
The chantv is in sound financial position and has Maintain￿ reserves of £72,484 (in additt.on to the
property of £17? 500) for fuiure expenditure on charilable actt"vities in funherance of the aims of the
¢haritJ".
PLAP4S FOR FIITIIRE PERIODS
ThL charit} &iitLiids 10 ¢oiiliiiu¥ >llPtMJlin8 cljarithble projects aiid holding fillidraisingF appeals lo incieas¢
the nuinber of beneficianes.
PUBLIC. BENEFIT
Tlie Iruslees hafv'e ￿Vell due regard to the public benefii r¢quiremenls and guidance of the Charity
commission and can confinn ihai they are meth.ng iliese requirements for the beiiefit of the public and ar¢
beneÈittin& the public by advancmL) educaiion, buhlth.ng spin￿al welfare and relivingp si¢k"ness.

PL'JAIi4 CIL4RITABLE bOLNDATIO
TRiisfEES AYI NU.4L REPORT (COIYTINUED)
PERIOD TO 31 .MARCH 2024
INDEPENDENT EXAMII%.4TIONI
'I'he I rustees I"equire an Independent exwnination ot the accouiiLS as the charity's incoine ts abov¢
£25,000. The Trustees hab'e appointed Fusion Accounting Ltd as the Independ¢nt Examtner.
RESPONSIBILITIES OF THE TRLSTEES
The charirs S trustees are responsible for preparing the TThsiees Annual Report and the financial
statements in accordance wtth applicable law and L'n1￿1 king,dom Accountiiig st￿]dards (U'nited
Kingdom Generally Accepted Accounting Pr8ctic¢l.
Tbe law applicable to chaTiiies in England and Wales r￿UIreS the trustees Io Prepare financial siatements
for each financial vear which give a true and fair view of the state of affairs of th¢ charit) and of the
incominby resources and applicaiion of resources of ihe charity for that penod. In preparing these finaiicial
statements. Ihe tnislees are Tt¥uired to".
selea suitable accounting wlicie5 and then appl). them consislenilv.
observe the meth(Kls and principles in ihe chantt.es SORP:
Inake judgements and eslimales ihal are rrdsonable and prndeni;
State whdher applicable accounts"ngF slandards have been followed. subjea to any maieria]
departures disclosed and explained in ihe financial sthtements"
prepare th¢ Snanlial statements on the going concern basis unless it is inapproprtate to presume
that Ihe charity will continue tn operdiion.
The trustees are responsible for keeping proper accounting records tliat disclose wilh reasonable accurncy
al any lime the financial position of the chaTity and enable them to ensure ihat the financial staiemen15
comply with Ihe Charities ,4ct 1993 and the Charilv i Accounts and Repons) Regulations
2008. The tnistees are also leSFM)nsible for safe¥yuarding ilie assets of the charlty and hence for taking
reasonable steps for the prevention and detection of fraud and thher irregularities.
Sjgned on behalf of ihe trus
Mr ￿"t¢sh Pujara
Trustee & Chwr
Date= 14101120

INDEPENDENT EX.4,m1￿ER,s REPORT TO THE TRL'STEES OF
PL',JA114 CHARITABLE FOIINDATION
I'EAR ENDED 31 MARCH 2024
I report on the accounts of the chaTity for the year ended 31 MARCH 2024 set out on pages 6 to 8.
Ro8ponsibilities and basis of report
As the charity trnstees of the charity you are res￿nsIble for the PTepardtt"on of the accounts in a¢¢ordance with
the requirements of thc Chatities Act 2011 I'the Act'}.
I ieport in respect of my examination of the Clwity'5 accounis ¢arricd out wlder section 145 of thc ?01 l Act
and in ¢arr)qng oui my cxamiDauon I hai'e followed all ihe applicable Dir￿'tionS gwiven by the Charity
Commission under section 145{5Mb) of the Act.
Independent examiner's $i*temenl
I have completed my examinalion. I confm that DO material mallers have come to my attention in connection
with the examtnarion giving me cause to believe ihat in auy matcrial respect..
. accounting records weTe not kept in respeci olthe ChaTity as required by section 130 of the .4ct' or
2. the accounts do noi ac¢oTd with those records.
I have no Concerns and have come aeross no otheT matters in connection with the examination to which
allenlion sliould IK drawn iii ihis re&k)11 iii vrder to enable a pro￿[ undersiaiiding of th¢ aLiouiils lo
rea¢hed.
14.01.2025
Fayya£ Stsleinan
Independent examiner
.4ccounting Department
Fusion.4ccounting Ltd
398A East Park Road
Leicester
LE5 5H14

PL'JARA CHARITABLE TrOI.:ND.4TIO,Y
RECEIPTS AND P.41"MENTS STATEMENT
PERIOD TO 31" MARCH 2024
otss
Restricied
Unrestricted Total
Ic)ial
Funds
Funds
Funds
-und$
2024
2023
RECEivrs
Donations
Propery Rent
Gift Aid
Interest
16.942
16.942
2?,567
I,￿)7
736
6%.3-,f)
18,)84
1.9)7
736
42
TOTAL RECEiwrs
42,152
42,152
86,996
PAY,MENI I'S
G￿lIS
Repairs & Maintenance
LA Raies
Accoiinlancy Fees
Bank Chaigles
W¢bsite
Insurance
Sundt). Losis
LebTa] and Professi(mal Costs
Venue cosls
18.813
3.2
1,250
675
445
240
18,813
3.200
1.250
675
M5
?40
72,4il
1,3i(J
241)
75
75
1, 40¥
8QO
SLB TOTAL PAI'MENTS
24.794
24.794
7A8J8
TOTAL PATr'MENTS
24794
24,794
76,8311
NET REC.Eivrs
17J.58
17J.
111,156
RECOINCILIATION OF FL￿'Ds
Total funds brought forward
TOTAL FUNDS CARRIED
55.1?6
55.126
44,970
FORWARD
72.484
55,126

PLIJ.4114 CH.4RITABLE TrX)LNDATIO
STATENIENT OF A&SETS AND LI.4BILITIES
PERIOD TO 3111 hlARCH 2024
Restricted
Unrestricted
Fund5
Total
Funds
Funds
Notts
CASH FLFNDS
Cash at Bank & in hand
72,484
72.484
INI'ESTMEhT ASSETS
Investment Prop
Signed on behalt-ol'th
Mr Hitesh Pujara
Trustee & Chair
1410112025