THE DIWALI FOUNDATION
CFority nurnl)er. 119(1)61
FINANCIAL STATEMENTS
PERIODTO 4 MAY 2023
Ferguson Maidment & Co

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examinerfs
report on the accounts
Section A
Independent Examiner's Report
Roport to the trust•￿1
members of
The Diwali F(MJndati(
On accounts for the year
ended
4 May 2023
Charity no
(If any)
1190061
Set out on pages
I re￿1 to the knjstees on my examÉnatitin of the aco)unts of the above
charity (Ihe for the year ended 410512021.
Responsibllitigs and As the tharity trustees ofthe Tn55t, you are responsible for the preparation
bas1$ of report of the accounts in acc￿dan￿ with requirem&ts of the Charities Act
2011 rthe Acri.
I report in resk*d of my examination of the Trusfs accounts carried out
under s*ion 145 ofthe 2011 Act and in carrying out my examination, I
have folkw￿j the app[￿ble DireclN)ns gNen by the Charity Commission
under se(aion 145(5)Ib) of the Aci.
I have completed my examination. l eDnfimi that no material matters have
ome to my attent¥)n (other than that disclosed below"} in connectmjn wlth
the examinath)n whth gi¥es me cause to l)elieve th* in, any mateiial
rest*(
ac£C￿nI1ng [￿OrdS were not kept in accordance vdth section 130 of
the Act or
the ￿nts do not arxord wilh the ￿￿U￿tIng records
Independent
examinerfs statement
I have no Conc￿ and have come across no other matters in connection
with the examinathjn to whth attentw)n sh￿Id be drawn in order to enable
proper understanding of Ihe ￿unts to te reached.
' Please ddete the words fft the brnckets rfthey do not 8ppty
Signed:
4th March 2024
Ilame:
V6vek KapKxy
Relevant professlonal
qualffication{s) or body
Irf any):
The Institute of ChartereAJ Acc#)untants in Engtand 8nd Wates (ICAEW).
Address: FlcM)r,
167 Fleet Street
London EC4A 2EA
IER
October 2018

Section B
Disclosure
Onty cornwe ifthe examiner needs to highlight matters of concem {see CC32,
IndeFendent examination of charity acpwnts: direct￿$ and guidance for
examiners).
Glvo hore brlef detalls of
any items that the
examlner wishes to
(Sisclose.
IER
October 2018

THE DIWALI FOUNDATION
statement of financial Activities for the year ended 4 May 2023
Totsl
2022
Funds
Funds
2023
Openin¥ balances
17.887
17W7
ncome
Donations
Gift ald
3fy393
3.329
93
3329
33063
4ffi5
Total Income
39.722
39,722
37.928
Exp•nditurÈ
Fotsd & Hampers
Computer and website costs
Managing & AdminÈ5tering char
Attounting fees
36.217
250
371
36,217
28.527
250
641
420
371
Total Expendlture
37.138
37.138
29A38
(Deficltl / Surplusforthè ￿or
Cb)sin¥ Balance
20A71
20A71
I7￿87

THE DIWALI FOUNDATION
Balance Sheet as at 4 May 2023
Note
2023
2022
Assets
8èlance at bank
21,358
18,727
21,358
18,727
iiabilEties
Creditor5
887
Net assets
20.471
17,887
Repr￿nted by".
Unrestricted funds
Re5tritted funds
20.471
17,887
20,4n
17.887
These financial ttatements were approved by the T￿￿tee5 and authorised for issue and are
Signed on their behalf by=
Chair
4th March 2024
Dats

THE DIWALI FOUNDATION
Notes to the accounts
For the year ended 4 May 2023
Note I
Statement of Com
Ilance
These financial ststernents have been prepared in compliance with FRS 102. The Financial Reporting
Standard applicable in the UK and the Republic of Ireland., the Ststement of Recommended Practice
applicable to charitie5 preparTrng their accounts in accordance with the Financial Reporting Standard
appl*cable in the UK and Republic of I￿land IFRS 1021 ltharities SORP IFRS 10211 and the Charities Act
2011.
Note 2
Accountln
Po￿5e5
Basls of prèp*ation
The financial statements have been prepared underthe historical cost convention wlth Items
cognised at cost or transaction valuè. The fina￿131 ststements are prepared in sterlin& which is the
fvnrtional currency of the entity.
Golng Con¢ern
There are no material uncertaintyes about the thariws ability to continue.
Accountin8
Unrestricted funds are available for use Jt the discretion of the trustees to further any of the charity's
purposes.
R￿tricted funds a￿ subjerted to ￿$triCtIonS on thehreXpenditu￿ dedared by the donor or through
the terms of an appeal.
Incomin8 Resources
All income Ès included in the statement of financial activityes when entitlement has passed to the
charity, it is probable that the economic benefjts associated with the transaction will flow to the
Chailty and Ihe amouni cali IJ¥ rEll<ibly ffled5ured. The following 5pecitic policies are appiietj ro
particular categories of Én¢ome'.
income from charitabte activities 15 recognised when earnt.
- income from other sources is rec¢ydDised when ￿e4Vable.
Resources Expended
Expenditure is recognised on an accmals basis as a liabilFty is incurred. Expenditure includes anyVAT
which cannot be fully recovered, and is d3ssified under headings of the 5t8tement of financial
activities to which it relates.
All costs are allocated to expendlture tategories refierting the use of the resource. Direct cost5
attributable to a single aCt[￿ty are allocated dirertty to that attivFty- Shared costs are apportioned
bÈtween the activities they tontribute to on a reasonable. justifiable and consistent basis.

THE DIWALI FOUNDATION
Notes to the accounts
For the year ended 4 May 2023
Note I
CrtditOF5
2022
Accrual