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2025-05-30-accounts

Reglstered number: 09034603 SHRI PASHUPATINATH MANDIR OF UK DIRECTORS. REPORT AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MAY 2025 AMCI ASSOCIATES LTD

SHRI PASHUPATINATH MANDIR OF UK Contents Page Company Information Directors, Report Accountant's Report Income and Expenditure Account Balance sheet Notes to the Flnancial Statements The following pages do not form part of the statutory accounts: DetaSled Income ènd Expenditure Account

SHRI PASHUPATINATH MANDIR OF UK Company Information For The Year Ended 31 May 2025 Dlrectors Mrs Neela Soni Mr Surendra Vyas Mrs Rama Pandeya Mrs MLÈnu Basnet Lamlchhane Company Number 09034603 Registered Offlca Park street Rowley Regis West Midlands B65 OLS Accountants AMCI ASSOCIATES LTD 133 Tame Road witton Birmlngham West Midlands 86 7DG Page I

SHRI PASHUPATINATH MANDIR OF UK Company No. 09034603 Directors. Report For The Year Ended 31 May 2025 The directors present their report and the financial statements for the year ended 31 May 2025. Directors The dlrectors who held offlce during the year were as follows.. Mr Khem Basel Resigned 06/0112025 Nr5 Neela Sonl Mr Surendra Vyas Mrs Rama Pandeya Mrs Munu 8asnet Lamlchhane Appointed 0310112025 statement of Dlrectors, Responsibilltles The dlrectors are responslble for preparlng the Dlrertors, Report and the finan(3al statements In accorda[1￿ wlth applltrable law and regulatlons. Company law requires the dlrector to prepare financial statements for each financlal year. Under that law the dlrectors have elected to prepare the financlal statements in accordance with United Klngdom Generally Accepted Accounting Practice Iunlted Klngdom Accountlng Standards alld appllcable law). Under company law the directors must not approve the flnancial statements unless they are satisfied that they glve a true and falr view of the state of affairs of the company and of the surplus or deficit of the company for that period. In preparing the financial statements the directors are required to., select suitable accounting pollcles and then apply them conslstently; make Judgments and accountlng estlmates that are reasonable and prudent. prepare the flnancial statements on the gDiiig concern basls unles5 It is inapproprtate to presume that the company will contlnue In business. The directors are responsible for keeping adequate accountlng records that are sufficient to show and explain the company's transactions and dlsclose with reasonable accuracy at any time the financial positlon of the company and enable them lo ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguardlng the assets OF the company and hence for takSng reasonable steps for the prevention and detection of fraud and other Irregularitles. The dlrectors are responslble for the maintenance and Integrity of the Corr￿ate and financlal Informat¢on included on the company's website. Leglglatlon in the Unlted Klngdom governing the preparation and dlssemlnatlon of financlal statements may dlffer from leglslation In other jurisdlctions. Small Company Rules Thi5 report has been prepared in accordance with the speclal provisions relating to companies subject to the small companles regime wlthln Part 15 or the Companles Art 2006. On behalf of the board Mrs Nunu Basnet Lamlchhane Director 2011012025 Page 2

SHRI PASHUPATINATH MANDIR OF UK Accountant's Report For The Year Ended 31 May 2025 Report to the directors on the preparation of the unaudited statutory accounts of SHRI PASHUPATINATH MANDIR OF UK for the year ended 31 May 2025 To assist you to fulfll your d4Jties under the Companies Act 2006, 1 have prepared for your approval the accounts of SHRI PASHUPATINATH MANDIR OF UK whlch comprfse the Income and Expendlture Account, the Balance Sheet and the related notes, from the company's acc<Juntlng records and from Infomiation and explanations you have given us, As a practising member of the Associatlon of Chartered Certified Accountants, we are subject to its ethical and other professlonal requirements which are detalled at http:/lwww.accaglobal.com/en/memberlprofrssional-standardslrules- standards/acca-rulebook,html. Thls report is made to the dlrectors of SHRI PASHUPA￿NATH MANDIR OF UK, as a body, in accordance wlth the terms of our engagement. Our work has been undertaken solely to prepare for your approval the accounts of SHRI PASHUPATINATH MANDIR OF UK and state those matters that we have agreed to state to the dlrectors of SHRL PASHUPATtNATH MANDIR OF UK as a bodyi in this report In accordance wlth the Association of Chartered Certlfied Accountants as detailed at http.'Ilwww,accaglobal.com/contentldamlACCA_Globalttechr*icallfactltechnical-factsheet-163.pdf. To the fullest exterit permltted by law, we do not accept or assume responsibillty to anyone other than SHtU PASHUPATINATH MANDIR OF UK and Its dlrectors as a body for our work or for thls report. Lt Is your duty to ensure that SHRI PASHUPATINATH MANDIR OF UK has kept adequate accounting records and to prepare statutory accounts that give a true and falr view of the assets, liabilities, flnancial position and profit or ltssg of SHRI PASHUPATII¥ATH MANDIR OF UIL You conslder that SHtU PASHUPATINATH MANDIR OF UK is exempt from the statutory audit rÈqulrement for the year. We have not been Instructed to carry out an audit or a revlew of the accounts of SHRI PASHUPATINATH MANDIR OF UK. For this reason, we have not verified the accuracy or completeness of the accounting records or Informatlon and explanations you have given to us and we do not, therefore, expre55 any opinlon on the flnarscial statements. 2011012025 AMCI ASSOCIATES LTD 133 Tame Road Witton Birmingham West Mldlands B6 7DG AL¢oiiiita¥its & Man.ggemeiit Coiisultants Page 3

SHRI PASHUPATINATH MANDIR OF UK Income and Expenditure Account For The Year Ended 31 May 2025 2025 2024 Notes Admlnlstrative expenses other operatlng Income (74,881) 75,800 {45,859) 37,289 OPERATING SURPLUS/(DEFICIT) AND SURPLUS/{DEFICIT) FOR THE FINANCIAL YEAR 919 (8,570) The notes on pages 6 to 7 form part of these financial statements. Page 4

SHRI PASHUPATINATH MANDIR OF UK Balance Sheet As At 31 May 2025 2025 2024 Note5 FIXED ASSETS Tanglble Assets 51,843 45,831 51.843 45,831 CURRENT ASSETS Debtors Cash at bank and In hand 14,950 26,482 24,550 20,596 41.432 45,146 Creditors: Amounts Falling Due Within One Year (2,075) (3.454) NET CURRENT ASSETS (UABILITIES) 37,978 43,071 TOTAL ASSETS LESS CURRENT LLABXLITIES 89,821 88,902 NET ASSETS 89,821 88,902 Income and Expenditure Account 89,821 88,902 MEMBERS, FUNDS 89,821 88,902 For the year endlng 31 May 2025 the company was entitled to exemption from audit under section 477 of the Companles Act 2006 relatlng to small companies. The members have not requlred the company to obtaln an audlt in accordance wlth sectlon 476 OF the Companles Act 2006. The directors acknowledge thelr responslbillties for complying with the requirements of the Act wlth respect to accounting records and the preparation of accounts. These accounts have been prepared in accordance wlth the provlsions applicable to companles subject to the Small companies regime. On behalf of the board Mrs Munu Basnet Lamlchhane Director 2011012025 The notes on pages 6 to 7 form part of these flnancial statements. Page 5

SHRI PASHUPATINATH MANDIR OF UK Notes to the Financial Statements For The Year Ended 31 May 2025 l. General Information SHRI PASHUPATINATH MANDIR OF UK Is a prlvate company. limlted by guarantee, Incorporated in England & Wales. rÈgistered number 09034603. The reglstered office is Park Street, Rowley Regis, West Nldlands, B65 OLS. 2. Accountlng Policies 2.1. Basls of Preparation of Flnanc5al Statements The financlal statements have been prepared under the historical c05t convention and in accordance wlth Flnancial Reportlng Standard 102 sectlon IA Small Entities "The Financial Reporting Standard applicable In the UK and Republic of Ireland" and the Companles Act 2006. 2.2. Tangible Flxed Assets and Depreciatlon Tanglble flxed assets are measltred at cost less accumulated depreciation and any accumulated Impairment losses. Depretlation Is provlded at rates calculated to write off the cost of the fixed assets, less their estlmated residual value, over thelr expected useful Ilves on the following bases: Leasehold Fixtures & Fittings Computrer Equipment 20 2.3. Government Grant Government grnnts are recognlsed ID the income and expenditure account In an appropriate manner that matches them wlth the expendlture towards which they are Intended to contribute. Grants for immediate flnaTrcial Support or to cover costs already incurred are recognised immediately In the income and expendlture account. Grants towards general actlvltles of the entlty over a speciflc perlod are recognised In the income and expenditure account over Lhat period. Grants towards flxed assets are recognlsed over the expected useful lives of the related assets and are treated as deferred Income and released to the income and expendlture account over the useful Ilfe of the asset concerned. All grants In the income and expenditure account are recognlsed when all condltions for re￿Ipt have been complied wlth. 3. Average Number of Employees Average number of employees, indudlng dlrectors, during the year was: 5 {2024: 5) 4, Tanglble Assets Land & Property Leasehold Flxtures & Flttings Computer Equipment Total Cost As at l June 2024 Addltlons 47,334 8,000 13,274 1,088 61,696 8,000 As at 31 May 2025 55,334 13,274 1,088 69,696 Depreclation As at l June 2024 Provlded durlng the perl<Jd As at 31 Nay 2025 9,846 1,107 5,482 663 537 218 15,865 1,988 10.953 6.145 755 17.853 Net Book Value As at 31 May 2025 44,381 7,129 333 51,843 As at l June 2024 37,488 7,792 551 45,831 Page 6

SHRI PASHUPATINATH MANDIR OF UK Notes to the Financial Statements (continued) For The Year Ended 31 May 2025 5. Debtors 2025 2024 Due wlthln one year other debtors 14.950 24,550 Company limlted by guarantee The company is limited by guarantee and has no share capltal. Every member of the company undertakes to contribute to the assets of the companyi in the event of a wlndlng up, Such an amount as may be req5Jlred not exceeding £1. Page 7

SHRI PASHUPATINATH MANDIR OF UK Detailed Income and Expenditure Account For The Year Ended 31 May 2025 2025 2024 Administratlve Expenses Wages and salaries Employers penslons - deflned contrÈbutlons scheme Travel and subsistence expenses Rent Llght and heat Water rates Repalrs and malntenan Insurance Prlnting, postage and statlonery Telecommunlcations and data costs Accountancy fees Consultancy fees Bank charges Depreclatlon of fixtures and flttlngs Depreciation of computer equipment Depreclatlon of leasehold land and property Sundry expenses 34.903 271 360 9,600 21,844 283 1,400 16,312 185 9,600 8,632 253 220 1,705 30 646 583 1,550 2,000 1,495 4,896 663 663 218 218 1,107 35 947 53 Other Operating Income Other Income contrlbuting to other operdtlng Income {74,881) {45,859) 75,800 37.289 75,800 37,289 OPERATING SURPLUSI(DEFICIT) AND SURPLUS/(DEFICIT) FOR THE FINANCIAL YEAR 919 (8,570) Page 8

SHRI PASHUPATINATH MANDIR OF UK Charity No: 1173548 I report on the accounts for the year ended 31st May 2025. Res clive res on8ibilities of tiuslees and examiner The charity's trustees arè responsible for the preparation of the accounis. The charivs Iruslee8 constder that an audil is not required for this year and that an independent examination is toquired. It is my responsibility to.. examine tha a¢¢ounts under Section 145 of the Charities Act 2011 lo follow the procedures laid down in the General Directions given by ihe Charity Commission lunder Section 145{5)Ibl of the 2011 ACL 10 state whether particular matters have come lo my aitention of the nde 8ndent oxaminafs re My examination was carried out in accordan(￿ with General Directions given by the Charity Commlssion. An examinalion indudes a review of the a(xounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consKleration of any unusual Items or disclosures in the accounts, 2nd seeking 8xplanations from you as twstee5 conceming any such matters. The procedures undertaken dD not provide all the evidence that would be required in an a￿lit. and consequently no opinion 15 given as to whether the accounts present a 'true and fair view, and the report Is Ilmited to those matters set oul In thè slat8monts below. Independent examinerfs statement In connection with my examination, no matter has come to my attention: wh￿h gives me reasonable causes to believe thaL in any material respect, the requirements lo keep accounting records in accordan￿ with Section 130 of the 2011 Act., and to prepare accounls which accordancE with the accounling reGords and to cC￿PIY vrith the ac- counting requirements of the 2011 Act Have not been met for,. or to ￿leh. in my opinion, attentlon should be drawn in order to enable a propor understanding of the accounts to ba reached. Independent Examlner Ihqlak Hussain AMCI ASSOCIATES LTD 133 Tame Road Witton Birmingham 86 7DG 201h October 2025

SHRI PASHUPATINATH MANDIR OF UK Charlty No: 1173548 each ftnancial year in accordanc8 With United Kingdom Generally Accepted Accounting Practice (Unlted Klngdom Accounting Standards and applicable law). The Trustees musl not approve the financial slatemenls Un￿2￿ they are satisfied that they give a true and fair view of Ihe state of affairs of the Charity and ol the incoming resour￿8 and application of resources, including the income and expenditure. of the Charity for Ihal period. In preparing these financial statements, ihe Ttustee8 are required to.. Select suitable accounting polTcies and then apply them consistenuy: Observe the methods and prIn￿pIeS in the charities SORP: Mak6 judgments and accounting estim8tes that are reasonab]e and prudent. state whether applicable UK accounting standards have been followed, subject to any material departures disclosed and explained in the financial stai8m8nts: Prepare the ffnancial slaloments on the going concern basis unless it is inappropriate to presume that the charity will continue lo (y8rate. The Trustees are responsible for keeping suffioent accounting records Ihat disclose wÉth reasonable accuracy at any limo the financial position of the Charily and lo enable them to ensure that th6 financial slalements compty with the Charit185 Act 2011, the Charity {Accounts and Reports) Regulations 2008 and the provisions of the Trijsl Deed. They are also responsible tjr safeguarding the assets of tho Challty and hen￿ for taklng r8asonabla slops for the prevention and detection of fraud and other irregularities. On behalf of the Board This Report was approved by the Trustees on 20th Odolxr 2025 and signed as follows: (Mrs Munu B8snet Larnichhang) 20th OGtober 2025

SHRI PASHUPATINATH MANDIR OF UK Charlty No: 1173548 10. REFERENCE AND ADMINISTRATIVE INFORMATION istered Charl 1173548 Number b. Re Istered Office Park Street, Rowley Regls. West Midlands, B65 OLS Trustees Mr Munu Basnet Lamichhane Mrs Neela Soni Mr Surendra Vyas Mrs Rama Pandeya d. Inde endent Examlner AMCI ASSOCIATES LTD 133 Tame Road, Witton, Birmingham. B6 7DG 11. STATEMENT OF TRUSTEES RESPONSIBILITIES The Direclorsl Trustees are responsible for preparing the Annual Report and the financial statements accordance with applicable law and regulations. This Repot has begn prepared in accordance with Company Act 2006 (Small Company Rules) and as well as roquirèmenls applicab￿ to the small charities register￿1 with Charity Commission of England and Wales Company Act 2006 (Small Company Rulos) Company law requires the director to prepare financial statements for each Iirkqncial yeai. Under thal law, the dire¢lDrs have elected to prepare the financial statements in ac£ordance wlh United Kingdom Generalty Accepted Accounting Practice (Unltod Kingdom AcLounting Stand2rds and applicable law). Under Gompany18W, the directors must nol approve the financial statements unless Ihey are satisfied that they give a true and fair view of the state of affalrs oflhe company and of the surplus or deficit of th8 CC￿panY for that period. In preparing tha financial statam6nts. the directors are require to.. Solect suitable accountsrwJ policies aThJ then apply thom consistenty., Make judgments arKI accounting estimates Ihal are reasonable and PnKlenl: Prepare the financial statements on the going concern basis unless it is inappropriate to presume that the company will continue in business. The dirgctors are responsible lof the mainlenance and integrity ofthe co￿orate and financial information included on the company's website. Legislation in the United lQngdom governing the preparation and dissemination of financial slatemants may differ from legislation in olherjurisdictions. Small company Rules This Report has been prepared in accordan￿ with the special provk%ions relaling lo wmpanies subject to the small companies regime within part 15 of the Companias Act 2006. Charlty Commission Requirements.. The law applicable to charltie5 In England and Wales requires the TrLkStees to prepare finanaal statements for

SHRI PASHUPATINATH MANDIR OF UK Charity No: 1173548 The Trustees have paid due regard to the Charity Commission's guidanrE on public ben8fit. The Trustees have followed these guidelines when reviewlng its aims and objectives and in planning future activities. The charity ¢arrie5 Out a wtde range of activities in pursuance of its chaTttable aims. The Trustees consider that Ih8S8 activitie5 provide benefits both lo those who attend the religious events. and the wider local community. Detailed infomiation is promded in the Achievement and Perfomiance Section in this Report. Facilities provided by the Charity are made available to Hindus. arKI th8 faÉth of Hinduism is communicated to non-Hindus of the wÉder community through ils work. 7. RISK POLICY The malor risks to which the Trust is exposed are reviewed regularly arKI systems updaled to mltgate those risks. The Trustees maintaln appropriate intemal controls and procedures, including those relaling to budgetary and financlal risks and health and salety regu￿￿OnS. The Trustees are satisfied that systemslarrangements are in place to manage the risks identified. In addition, following are the list of main policies implemented by the Charity., and rewewed on allnual basis= Health and Saf8ty Arrangements: and Environmental Protection Equal Opportunity Policy Vulnerable Adults and Child Protection Policy Donatlon and Cash Handling Policy 8. VOLUNTEERS, CONTRIBUTIONS INACHIEVING THE OBJECTEVES OF THE CHARITY The Temple continues to depend heavily for its success uwn the continued support of its enthusiastic volunteers. Their invaluable support and dedication is vilal to the prosperity of the Trust. The Trustees would like to thank wholeh6artedly all of them for their hard wowk and dedication, parttcularty those involved in prashad preparation. premises maintenan￿. educational actiwties, IT and back Offi￿ support. cloanlng, and decorations during festivals. 9. PLANS FOR THE FUTURE Regular attendancg and parttcipalion from the peO￿e in community are nowat sharply tho increase rate. To deliver Charitable Objecliv6s In more Stnjcture, effecbve and effiGient ways", the Charity has now employed a dedicated Operation Manager who shall act as t1￿ main Interf￿ beiween Ihe Charity and the local Community. Th8 Operational Manager pr(marily shall focus on community services.. meals and recreational acliviti8S. Expenditure for the gas and electricity was over £21,￿0 this year. The Charity will be considering inslalling solar Power electricity as well as gas appliance improvement or replacement program In next year. The Charily has also a plan engaging a private consultant to make granl applications to the Sponsors for solar power installation and well as community activities. In addition to these, we have plan to: Malnlain and improve available prayer and communal facilitses Organise more visits for elderly and other deserving worshippers, to otherlemples estsblish relationships with local religious institulions Fulfil our statutory obligations of health and safety To participate in other charity work relaled to th8 trusls objectives

SHRI PASHUPATINATH MANDIR OF UK Charity No: 1173548 Decembèr: Shri Gosaiji Utsav, New Year • February - Aprll.. Shlvaratrl, Lord Shlva's birthday, Holi, Bai5akhl The Trust acknowledges the efforts and dedication of tts volunteer force in the Temple's day-to-day managemenL 3. Community Well-being Initiative {CWI) from National Lottery's Community Funds The Charity recelved £19,955 from tho National Lottery to conduct Communlty well.being Initiative {CWI}- This Project { Project ID '. 202934481 has bèèn using an innovative and in¢luslve approach to promotg participation, community coheslon, mutual respecl and understanding- and provide a safe, comfortable, and accessible environmentwhere pèople from all backgrounds can engage meanlngfully wilh one another. These recreatlonal activities have culminated in a celebration event featuring muslc, dance, shared experiences, storytelllng, and v9g&tarlan dishes, inviting the wider community to become more active, engaged, and health-consclous. 4. STRUCTURE, GOVERNANCE AND MANAGEMENT The Gharily is a company limited by guarantee and a registered charity govemed by its Memorandum aThl Art￿leS of Association dated 12th May 2014. The (x)mpany does not have share capital and the liability of each membor is limited to £1. The charity is administered and manayed subject to and in conformty With Ihe provisions of an Article of Association approved and established by the Companies Act 2006. The accL)unts have been prepar8d to conform to the requirements of the governing documents, current statutory requirements and the requiroments of Accounting and Reporung by Charities. together with tho Siatemenl of Recommended Pracuce FRS 102. Trustees The following persons have acted as Trustees during the year: Mrs Munu Basnet Lamichhane Mr Surendra Vyas Mrs Ngela Soni Mrs Rama P2ndeya Mr Khem KumarBasel ( Re￿gned on J8riu8ry 2025) Each Trustee has taken responsibility for monitoring our activities in specific operational areas, chairing sub groups consisb'ng of volunle8ts. Management of the Trust The Trustees normally meet at least On￿ in every four weeks, 8nd are responsible for the day-to-day management and administration of Ihe Charity. 5. FINANCIAL REVIEW The Trustees consider the financial perfomiance by the charity during the year to havè been satisfaclory. DoF)ations received during the year were £75.800 up from £37.289 in the previous year. No donabons were mad8 by the temple during the year. Expenditure amounted to £74.881 LP from £45,859 in the prevtous year. The trustees feel that the challty has Sufficient reserves to cover its ￿eratirnJ costs for approximately 12 months. 6. PUBLIC BENEFIT

SHRI PASHUPATINATH MANDIR OF UK Charity No: 1173548 The Trustees present their annual report and financial statements charity for the year 8nded 31 May 2025. The financial statements have been prepared In accordan￿ with the accounting poliaes sel out in note 110 the ftnanclal statement and comply with the charity's trust deed, the Charities Act 2011 and "Accounting and Reporting by Charities= Stalement of Re(xJmmeided Practi￿ applicable to chartites preparing their accounts in accordance with the FinanrAal ReportÈng Standard applicable in the UK and Republic of Irèland IFRS102)" {effoclive 1 January 2019). 1. OBJECTIVES AND ACTIVITIES FOR THE PUBLIC BENEFIT The primary obje¢tlve of the ¢ha¥ity as sel out in the Article of Association of Shri Pashupatsnath Mandir of UK to advance the Hindu religion, and impart rel￿￿louS education in accordance with the tenets and doGtrines of Hinduism for the public beneffls through holding prayers, meetings, leclures, public celebration of religious festivals, produ¢ing and distribuling literature on Hinduism to enlighten those interested in the Hindu re1￿J10n, inter-faith activities, community wotkshops, Yoga Classes and prcKnoting 'Yoga for health and welling,. To this end, the charity Is committed lo enabling as many ordinary worshippers as possible to congregate at the Temple and practise their faith through prayers and celebrations. Religious discourses and teachings as well as Yoga and Inter-faith Workshops are routinely heid at the temple. 2. ACHIEVEMENT AND PERFORMANCE The Temple gradually got its mom8nlum', and has thankfulty now relumed to normalcy after the disruptions caused by the Covid 19 pandemic. Devotees have started to return and regular attendance 13 now on the Increase rate. In keeping with ihe Trust's objectives, various charitable activities have now resumed. As in the past, the Templg has been instfumental In assisting the vulnerable in the fomi of groceries and cooked vegetarian meals. The Temple is valued by the Ioc81 communities, especially the elderly, as a safe hub for praying and so¢ialising. New and young8r volunteers have been instrumental in providing extra support, through Improved administrative resources. for the spiritual wellbeing of the congregation. As in previous years, the Temple continuas to offer its regular services via the sooal medla applications of YouTube and Zoom. The Charty has been working with other Charilable Organisati￿S and Community Groups such as Pran Yog Nepali Group (UK). Kaligandaki Gyan-Bigyan Pratislhan (Europe) etc. slnce Covid-19 pandamic and have made significant contribution on running On-line and On-site Yoga Classes and other motivational and spiritual Glasses. Satsangs. Bhajans. HinduFsm Classes. 108 Hanvman Chalisa recitations, and Akhand International Yamunashtak Paath are example5 of the regular activities at the Temple Pr8mises. These popular activilies have continued to generate great inlerest frC￿ partÉcipants from arxoss the glcth. The Temple's Onli￿ p5atform also brings the followNJ to its followers.. Saturday sees the online recitation of Hanuman Chalisa. Followers of Hanuman Chalisa have kindly been making regular donalions to the Ternple. Ekadashi Satsangs held every fortnight are also very popular. In keeping with the Trusvs objectives, regular classes on Hinduism are also held every week. As in previous years, the followtng major events were ckEebraled during the year: May-August'. Buddha Purnlma, Rakshabandhan, Janmastami, HareetalTri a Teej September.. Rushi Panthmi, Ghanesh Chaturthi. Radhastami, Daan Ekadashi, Shorrah Shraddha • October". Navralri celebration over nine days, Dassera, Sharad Pumima November: Dhanteras, Deepawali, Annakut utsav, Bhal Beej, Tujsl Vlvah