REGISTERED CHARITY NUMBER: 1185387
Repoyt of the Ti'ustee5
Unaudited Financial St8lewents
for tlie YÈAI. Ended JI Marclt 2024
roi-
LoYadh￿rn Pariv2r UK
KBMD Liniiled
Cl)artei'<d Certified Accouniai)Is
Maple House
382 Ken(oii Road
Ha￿OW
Middlesex
HA3 9DP

Loyadham Parivar UK
Contents of the Financial St*tements
foi. tlie yeay ended 31 March Z1124
Page
Repoi't of tli¢ Trustees
l￿depende￿t EIaniiJieT s Report
Stat¢iiicnt of FinanLial Aclivitie5
Balance Sljeet
Ntstes to tlie FinanciAI Slal¢Ment.
6 10 10
Detailed Stateiiient of Finaneial ActlVTtics

Loyadham Parivar UK
R¢port of the Trustees
for the year ended 31 Mareh 2024
Tlie Tru5tee5 of the ¢hJrity foi. the puwoses of the SORP (FRS 102) preseiii theii. ieÈx)rt wi(1) Il)e uiiaudiied fii)aii¢ial
lateiiieiils of the cliai'ity for th¢ y¢ai' ¢iid¢d 31 Marcl? 2024.
OBJECTIVES AND ACTIVITIES
The objects of the charity set out iij its govei'nii)u docunieiit are a5 follow5.' To promoie Iiidian culnii'e and Hindu
reli￿1017 iii ihe UK to eiicouiage racial l)ai'niotiy for public beiiefit and to preveiJt aiid relief of povery iii India by
assisting iii the provisioii ol educatioji, trainiiig and liealth care projects. And to relive elderly people iii Iiidia aiid
propagation of the Hindu faith, in particular Bl)agwan sw8111inarayaii.
The Ti'ustees liave paid due regai￿ to guidance issued by the Chariry Coininissioii iii decidiiig wliai ac(iviiies (he trust
should undertake.
ACHIEVEMENT AND PERFORMANCE
'rhe charity Is con5titutioiially ii)dependeiit orgaiiisation aiid woi'kiiig on advancing aiid propagating Ihe Indiaii culiure
aiid Hiiidu relig￿011 Eli paiticulai. Swaniiiiar&yan faith.
Our youth take part iii ai)d help Drganise streei walks aiid sireei briefiiig every few nioiiihs. The aini is crinie preveiition
atid kiiowiiig our local conin)Iinity in Kentoi).
ReligiDu5 Activities.. Tl)e all￿ of the chariry is lo provide se¥vice of worsliip and medit&iion &nd &lso allow believei's lo
practice their faitli, to foster hai-InDlly, non-violeTrce, (oleraiice aiid good Cilizeiiship of Ilie people. Tlie charity gtlso
pyovides I'esouiies Isacred iJJ'iE]ted material, Pen di'Eve, Vide05, aiid Youtiibe etc.). The cliai'ity aclively encourages
iii(lividuals of all backgrounds, i'egardless of ilieir level of litei'acy 10 pai'tkcipate tlie aciiviiies.
W0￿h7p of Bliagwaii Shi'ee Swaminarayai), tl)is ii)volved pl'ayers, singiiig devoiioiial l)yiiins aiid sl)ared religiously
blessed food, Oi'gaiiised Hii?du f¢stiwo1 celebrati011s, foi. exarnple Diwali, tlie Neiv Year 18ccordiiig to tlie Hii)du
calendar), Janma5htmi. Raiii Navanii, Swaiiiii)ai2yan Jayanii and various other festivals.
Pi'ocess of haviiig pemi&iieii( place foi. woi.ship l)as beeii iimpleniented by settii)g up fixed n)andate froni bank accoun(
per iTroi)th by IneTllb¢rs aiid fund i'aisiiig eveiily.
FINANCEAL REVIEW
Duriiig the year, tlie dollatsoti income received as per expEciatioiis. The TI￿StetS would like to thank all th¢ ni¢nib¢r5 for
Ihe successful acÉiYilies foi. geiierati2ig ￿1]ds.
It is the policy of the tr115t ihat uiirestricted fijnds wliich liave iiot been desiwiated for a specifIc use should be niaiiilaii)ed
at a level eqlliyaleiit io I)et￿,Cen tliree- aijd six-nioiitli's expclidi￿le. Tlie TnEstee8 COtisideiB thAt reserves at Iliis level will
en5uI'e that, Éli tl)e cvcilt of a 8igiitfJcaiit drop iii fundtiig, (hey will be able to coiitiiiue tlie ttW5t'5 currellt activitie5 wliile
coiisideratloll L5 giveii to way5 in wliich additional fiEnds tnay be I'ai5ed. Tliis l¢vel of r¢serv¢s has b¢¢n Inaiiitained
thi'oughout th¢ year.
IM establishing this policy, tl)e Ti￿Stee$ coiidllcis an Ai)iiual review of the lev£1 of uiii'esti'Ècted reserves iii the general
fi)nd by coiisideritig I'isks associated with the vai'ious iJ?coine sti'eaiiis, expei)ditt]re plaiis and balance sl)¢et itein5. This
eiiables an estimate to be made of the level of Irserves tliat are sufficieiit to allow tiine for ie-organisaiioii iii Il)e even( of
dowiituni iii iii¢ome oi. asset values- io protect ongoing work pi'oxramwne., and to allow the Cliarity lo nieet its
objectives.
Page I

Loyadham Parivar UK
Report of tlie Trustees
for the year ended 31 March 2024
STRUCTURE, C:OVERNANCE AND MANAGCMENT
I-IIL Lliai-ily is coiiii'olled by its governiti& docuiiienls. Ilie 17ienioi'andum and arliclcs of association.
All Ti-uslees Iiave beeii allocdtEd all aiea of ie5poiisiI)iliiy which, wliei'E possible. is in accoi'daiice witl) tlieir skills aiid
expL'I'ieiice.
'riic Tii]stees al'e I'espoiisible foi. keepii)g pi'oper accouiiiiiig recoi'ds Ihat disclose witli IEasoiiable accuracy at aiiy tinie
IfRS 102). The Trustees are also iespoiisible foi- safeg7uai'diiig (lie assets ofihe chai'iry alld lieiicc takiii¥ reasoiiable steps
foi. Ilic pieveiitioii aiid deieciioii of fraud and other ii'regularilie5.
-rhc above ieport lias been prepared in accordaiice will? the provi5ioiis applicable iii ac¢ordai)c¢ with the Cliai'ities SORP
IFRS 102).
IIF.FERENCE AND ADMINISTRATIVE DF,TAILS
I'li<irily No.: 1185387
IlegTlStered Otrice
81 ByiDii Road
HAO 3PB
Tru51ees
I'he followiiig Ti￿Ste¢S served during the year:
Sliaileslilcutnar Patel
Iiiiji Dcvji Kerai
Lalji Muiji Patel
Miliii'kuinai. Paiel
Aceouiitaiits
ICBMD Liniited
38? Keiitoii Rd,
l-ldri'ow
Mi(Idle5ex
HA3 9DP
B1( iiker5
Metro Baiik
Uiiit l The Mall
Edgjwaie
Middle5ex
HA8 7BD
Appi'oved by order of the board of trustees oli
and signed on its behalf by..
Mi. S R Patel Ti'usiee
Page 2

Independent Ex#min¢r'$ Report to ¢h¢ Trustee5 0
Loy#dham PaYiv#r UK
Independeiit examinev'5 report to tlie trustees of LoyadhaTh P%iivar UK
I repoi'l to Ilie cliarity wustees on my exaiiiiiiattoii of tlie accouitts of Loyadliani Parivar UK (the Trust) for tlie year
elided 31 Marcli 2024.
Re5POn5ibilitie5 and ba$is of repovt
As the ¢liarily trustees of tlie T27J5t you are I'e5poitsible foi. tlie preparaiioii of the accouiits iii ac¢ordai)ce with tlie
I'equireiiients of the Charities Act 2011 {'tlie Act'l.
Irport in I'espect of Tr)y ex&miii&tion of (l)e Tmsi's &ccouiiis carried oui uiidei. Sectioii 145 of Ilie Aci ai)d in carryiiig out
iiiy exaniination J liave followed all applicable Direclioiis giveii by the Cliarity Commissioii under Section 14515)Ib) of
th¢ A¢t.
l]Jdtpeiident Examiiiey's statement
I have conipleled my examinatioi). I confii'ni tliat no i)iatei'ial mailers have come io my atteniioi) in coniieeiioii with tl)e
exaimiiialion giviiig me cause to believe that ii) any material respect..
accouiiting records were Iiot kept iii respect of tlie TINst as Yeqiiired by Section 130 of the Aci: or
Ilie accoui)ts do i)ot accord with ihose re¢ords', oi.
the accouiits do not coniply witl) the applicable lequiienieiits con¢ei'iiing the form and coiiteni of accouiits set out
iii tlie Cliai'Eties {Accoui?¢s and Repurtsl Regulations 2008 oiher than any requirenient th&r the accoiints give a
Irue aiid fair view whicli is not a matter coiisideied as part ol. ali iiidependent examinaiioi).
have no ooiic¢i'iis and have come across no other matters iii coiine¢tioii wilh the exaiiiijiatioi) to which atteiitloll should
be di'awn iii this report in order lo ¢n&bl¢ a propel. uiidersLanding oftl)e accouiils to be leached.
Bhave511 Bhudia, Bsc, FCCA. CFA. ARA
KBMD Liiiii¢ed
Chartered Certified Ac¢ouiiiaiits
Maple Houst
382 Kentoii Road
Harlow
Middlesex
IA3 9DP
Date..
Page 3

Loyadham Payivar UK
Statement of Financial Activities
for the )'ear ended 31 Mareh 2024
31.3.24
UnY¢stricted
fund
31.3.23
l-oial funds
Notes
INCOME AND ENDOWMENTS FROM
DoiiaiioTrs atid legacies
228JS11
108,813
EXPENDITURE ON
Rai5iiig ￿1)dS
35,680
54,265
NET INCOME
192,678
54.548
IICCONCILIATION OF FUNDS
'I'oial fLinds bi'ought foimiard
148,025
93,477
TOTAL FUNDS CARRIED FORWARD
340,703
148,025
The iioies fonii p&rt of tliese financial sia(eiiietits
P&Ee 4

Loyadham Parivar UK
Balance Sheet
31 March 2024
31.3.24
Unresti'ilted
fuijd
31.3.23
Toial fuiids
Note5
CURRENT ASSETS
f)ebtors
Casli 8t baiik
7.392
334,691
149,348
342,083
149,348
CREDITORS
Aniounls falliiig due wiihiii one yeai.
(1,380)
(1,323)
NET CURRENT ASSETS
340,703
148,025
TOTAL ASSF.TS LESS CURRENT
LIABILITIES
340,703
148,025
NET ASSETS
340.703
148,025
FUP4DS
Uiire51ricted funds
340,703
148.025
TOTAL FUNDS
340,703
148.025
The fiiiancial staien)ei)Is were approved by the Board of Trusiees aiid auil)orised foy issue
}.. - ¥Lf.... IL.4.. Lind were sigi)ed 01) its behalf by..
on
Mi. S R Patel - Trustee
Mr L M D Patel - TI￿Stee
Tlie notes forni part of Ihese fiiiancial Statement5
Page 5

Loyadham Parivar UK
Notes tu the Finaneial Statements
for the year ended 31 March 2024
ACCOUNTING POLICIES
Basis of PTeparing tlie finAntial stateimeiits
Tlie fiiiancial staieijients of tl3e charity, wliscli is a piiblic beiiefit elltity under fRS 102, liave been prepaird iii
accordance wi(li Ihe Cl7ai'iiies SORP IfRS 102) 'Accouiitins atid Rei)oi'tiiig by Cliai'ities.. StatenTreiit of
Recoiniiiended Piactice applicable 10 charitaes prep(Ii'ing their accounrs iii accoi'dance willi the Fii)ancial
R¢poitiiig Siandard applicable iii tl)e Ull aiTrd Republic of Ii'elaiid (FRS 102) {elTec(ive l January 20191,.
Fiiiaiicial Repoi'tiiig Siandai'd 102 'Tlie financial Reporliiig Standai'd applicable in the UK aiid Republic ol.
Irelajid. and the Chai'ities Act 201 l. Tl)e fiiiaiicial stateiiieiits li1¢ ve been piepaied ullder Ilie hi5101.ical cosi
coiiveiitioll.
Incoine
All iiicome is recogiiised ii) Ihe Staleilleiil of Fiiiaiicial Aciivities oiice tlic cli¢ll'iry lias received the fund5, it 15
probable Illat tlie ilico1￿e will be received and Il)e aniount cai) be llieasuiLcI i'eliably.
Eipenditvre
Liabilities are recogni5ed as expeiidituie as SOOTt as thei'e 1.5 a legal or coiisiructive obligaiioEI comn)iitin¥ tlie
eharity to that expenditure, it IS Probable tliat a trai)sfei' of ecoiioini¢ beiiefiLS i¥iII l)e reqiiired in settlenieiit ai)d
the a1110LEnt ol. the obligaiioii cali be Ineasiiied reliably. Expetidiuire is accoiiilted for when paid aiid has been
cla55ified uiider headiiigs tl)ai axL5regate all c05t related to the c8tegory. WIFere costs caniiot lje (Eirccily attYibLIIEd
to particular headiiigs they have been allL)Laled to activities 011 a basi5 con5isieni wilh th¢ use of iesources.
Taxatio
Tlie charity is ex¢iiipt froin tax oli it5 cliaritable aciivities.
Fund aecounting
Ulliesti'icted fi]iids can be used iii accoi'dance with the charitable objectives at tlie discirtioii of the Iruslees.
Resti'icted fjjnds cali oiily be used foi. p&rticulai' iestricted pui'poses withiii tlie objects of tlie chai'ity. Re51rictioiis
ayibe wlien 5pecifIcd by Il)e doiior or M,heii fuiids are i'aised for particulai. Icslricted piirposes.
Fuitlier explaiiatioii of the n&wie aiid purpose of eacli fiiiid is Éncliided iii the Iiotes to tlie fiiiaiicial slatenieMIs.
RAISINC FUNDS
Raising donation5 amd leg4cies
31.3.24
31.3.23
Suppoi'i Costs
JS,080
54,265
P8ge 6

Loyadham Payivar UK
Notes to the Financial Stalements- continued
for the year ended 31 March 2024
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, reniuneration oi. other benefits for the year elided 31 March 2024 1101. for tlie ye&r ei)ded
31 March 2023.
TiiJ51¢es' e%pen5e5
Thci'r weie iio twsttts, expeiises paid for the year ended 31 Marcli 2024 1)or foy Ihe ye21. ei)ded 31 Mai'ch 2023.
COMPARATJVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unresiricted
fiiiid
INCOME AND ENDOWMENTS FROM
th)ii0iioiis aiid legacies
108.813
EXPENDITURE ON
Rai51Eig thiids
54,265
NET INCOME
54,548
RECONCILIATION OF FUNDS
Total fi]iids bi'ought forwai'd
93,477
TOTAL FUNDS CARRIED FORWARD
148,025
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.24
31.3.23
Other debtors
7?92
Page 7
contii)ued...

Loyxdham Parivar UK
Notes to the FinAnLi¥l SlateniL'llts - continued
for the year ended 31 March 2024
CREDITORS.. AMOUNTS FALLJNG DUE WITHIN ONE I'EAR
31.3,24
31.3.23
Otliei. creditoi's
1,380
1,323
MOVEMENT ITr1 FUNDS
Nei
movenicnl
iii ti]iids
At 1.4.23
At31.3.24
UnrestYict¢d funds
G¥iieral fuiid
148.024
192,678
340,703
TOTAL FUNDS
192,678
340,703
Net iiiovenieiit fuiids, it)cluded iii the above &i'e ds fL)IIuM'5'.
Iticomtng
resoiTYces
Re¥ouices
expended
Movenieiii
Unyestrieted fund5
Geiieral fuiid
228,358
{35,680}
192,678
TOTAL FUNDS
228,358
(35,680)
192,678
Compar2tives for ihovemellt ali funi15
Net
mowenieiTrt
in fvnds
Ai 1.4,22
Ai31.3.23
Unvestricted funds
G¢ii¢ral fuiid
93,477
54,548
148,025
TOTAL FUNDS
93,477
54,548
148,025
Page 8
coniinlled...

Loyadham Parivar UK
Notes to the Financial Slatements- continued
for the year ended 31 March 2024
MOVEMENT IN FUNDS- continued
Coniparative iiet tiioveiiient Èn funds, included in the above are as follows..
Tn¢oniiiig
resoui¢es
Resoui'ces
expended
Moven)ei)t
iii fu￿dS
Unrestricted fund5
Geiieial fund
108,813
154,265)
54,548
TOTAL FUNDS
108,813
{54,265}
54.548
A curirnt yeai. 12 months and prior yeai. 12 nioiiths coi)Ibiiied position is as follows..
Nei
movenieiit
iii funds
At 1.4?2
Ai 31.3.24
Unrestillcted fund5
Geiiei'al fui)d
93,477
247,226
340,703
TOTAL FUNDS
93,477
247,226
340.703
A ciirreiit year 12 moiiihs and prior year 12 months Coinbined i)et moveiii¢iit iii fuiids, ilscluded in ilie above al-e
as lollows..
Iiicoimin
resoiii'ces
Ilcsoiirces
expeiided
Moveniei)t
Utirestyicted
Geiieral fiind
337,171
(89,945)
247,226
TOTAL FUNDS
337.171
{89,945)
247,226
P8ge 9
coniiiiued...

Loyadham Parivar UK
Note5 to tlie FinanLial Stdtement.s - eontinued
foi. the )'ear ended 31 MarLI) 2024
RELA TED PARTY DISCLOSURES
Tliere were i)0 Irlated pai'ty traiisactioiis foi" the )rar elided 31 M?L rcli ?024.
P8ge 10

Loyadham Parivar UK
Detailed Statemeut of Financial Activities
for the year ended 31 March 2024
31.3.24
31.3.23
IP4COME AND ENDOWMENTS
Don2t10115 aiid legacies
Gifts
228,359
96,987
11,826
Giftaid
228,358
108,813
Total incoming resources
228,358
108,813
IXI'ENDITURE
Sui)poi't cost5
Accouiiiaiicy
Food provisioiis
Hdll Hire
Doii<ilÈoiis giveii
1,380
9,600
11,896
1.323
637
11,255
35,000
6,00
3,900
8,904
Eveiit C05t
35,680
54,215
Fiiiance
Baiilc cliai-gLs
50
Total resources expeiided
35.680
54,265
el Trncoine
IY2,678
54.548
Thi5 pagL dtse5 110( fomi part of tiitr sta(IEtoiy I'iiiaiicidl staleni¢iil