REGISTERED COMPANY NUMBER: 13(177230 (England and Wales)
PIGESTERED CHARITY NUMBER: 1193276
REPORT OF THE TRusfEES AND
UNAUDITED FINANCJAL STATEMENIS
FOR THE PEIUOD I JANUARY 2023 TO 31 MARCH 2024
FOR
THE MEDITATION TRUST
Spurling Cannon
Chartered Certifjaj Accountants
424 Margate Road
Kcnt
CT12 6SJ

THE MEDITATJON TRUST
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE PERIOD I JANUARY 2023 TO 31 MARCH 2024
Pgge
Report ofthe Tru$ttts
Independent Exgminer's Report
ststemellt of FI￿a￿tIll Artivities
Balanee Shttt
5 to 6
Notr5 to the Finan¢lal StstemeDts
7 to 10
D¢tsiled Ststement of FiDaDeial Actfvltie5

THE MEDITATION TRUST
REPORT OF THE TRUSTEES
FOR THE PERIOD I JANUARY 21123 TO 31 MARCH 2024
I'he trustces i*lJo arc 8150 dire¢tot5 of thc ¢harity for thc purposes of the C¢)mpanies Art 2Q06, prc5ent their ￿ryth the
fir￿ClaI st8tcmcnts of the charity for the period l January 2023 ￿ 31 M8r¢h 2024. The tnjstees have aik>pted the provisions
of Accounting and Reporting by Charities.. Statement of Recommended Prartice appIl￿b]e io Charities preFQTitLg their
accouttts in a¢¢ordan¢e with the Financial Repo￿n8 Standard applicable in the UK attd Republic of Ireland IFRS l(r21
(effective l January 20191.
OWbCTIVES AND ACTIVITIES
Objectiv£s aims
Th¢ objects of the Charity 5hdl be for the b¢nefit of th¢ public thn)ugh the advancement of education by offthng such
Louts￿ of instruction lo the public as wll promote the mental and ¢Feative development of the individual through majitation
and any purp)ses which att exclubively charitable according to English law.
SignificaDt activitie5
During the year, we havc eonlinueil to in"pwson courscs in Transcendent￿ Meditati￿ in London and Kent, knth non
sid(*t1￿lY alld on rctreat. A new addiiion has been the re-introdudion of a vcry cxperienced teacher (who had not taught
since thc Covid pandemi¢) io ex]yand our offering into Bri8hton- We have kept our course fees significantly lower than the
stsndard fe￿ offered elsewherc.
Alongside the￿ course4 we continue to offer free supron and guidajjce for life to those wtho have ever Ivdmt with the
'ITU5t or subsequently joined us. This inrludes free onlsne 9￿d in person tneeiings (meditation with Q&A) with a teacher.
Although we cannot teach ihe a¢￿aI rneditation course onlinE the added devclopment Of these support mcctiogs being online
have p￿)ved to te a vaIuable addition to our ￿rtfoliO of activities due to increased a¢￿ibIlity around the gjobe. Our online
oITerin8 has also expanded to the general public with our free intmductory talks With Q&A. which is alw offer￿1 to s￿lf1¢
groups with a sFeridist iopic fiKu5 where requ¢strd. We have also otTerd some low cost (reductions or fire to tknse in
difficulty} refirsher 5es5ions or*line to help th05¥ whts hove lapsed OT aTe 5ttuggiing with their practice. All of th£* online
off¢rin8s have further incre&sed our a¢¢essibility.
We have eontinued to offÉY bursaries for non-resId￿liaI and retreat Courses as well as keeping our lowest cost roorn
option Idom)itoryl on rwreat at a subsidi5ed rate lat no Profit). This h&8 ensurcd ail courscs and retreats have remaned &%
rinancially d¢e¢ssibl¢ as tMMibl¥ despite our increased oists in the current Cli[na￿ We also proM5iona]Ey F£heduled a[￿ther
advanced Siddhi course lor 21>26 again with subsidised pl&es ￿ help ihose $￿ggling fJnan¢ia]ly.
Whilst our hiTed retwt ¢¢ntrc of 25 y£ar5 has re£￿tlY been put up for sale. we are searching very carefvlly for #n(>th¢T v¢nu¢
which wll allow us to keep our low prices and bursaries for the benefit of our a¥istin8 communÈty and those looking to join
us.
Publit be￿erit
1The trust¢cs o)nfiEm they havc complied with the duty in sedion 17 of the Charities Act 2011 lo have duc regard to the
public bencfii gvidan¢e published by the Charity Commission. The tru5tee5 have referred Éo the guidance ¢onthined in the
Charity Commi55ion's g¢neral guidance on public benefit when reviewing the trust's aims and obj¢ctive4 in particular to its
supplcmcntary pvblic benefii guidance on advaneing education and on fee-charging.
STRucfuRE. GOVERNANCE AND MANAGEMENT
Governing dotument
The charity is controlled by its governing documenl a oftnJsL and ¢onslituto% a limited (x)mpany, limitd by guaranlce,
as defined by the Companies Acl 2(X)6.
REFERENCE AND ADMINISTIi4TIVE DETAIIS
Registered Compally number
13077230 (England and Wajesl
Page I

THE MEDITATION TRUST
REPORT OF THE TRUSTEES
FOR THE PERIOD I JANUARY 2023 TO 31 MARCH 2024
Registered Charity ntsmber
1193276
Registered offEte
I l Daryngton Avenue
Birchingtthj
Kenl
cr7 9PS
L)r J R8natvalaTheatre Dtrector Iro%ignol 111812023)
P Smith Director, Insurance Rroker (resigned 2817r2023)
A Patel (resigned 121812023}
Ms G Blltt8r￿ DirectOT
P Hayward Sales & demonstrdtion manager{apTM)inted 1819r2023J
J Cole Photographer lapwinted 2819121)23}
y￿depettdt￿t Examlner
Spurliag Cgnnon
Chartered Certified A¢¢A)unt2nts
424 Margate Road
Ram%8ate
Kent
cr12 6SJ
Appmvtsj by orderof the Ix)ard oftrustees on 5 July 2024 and signedon its behalfby=
Ms G ButtaTazzi- Trustee
Page 2

Ir+iDEPEf4DETrtr EXAMINER'S REPORT TO THE TRUSTEES OF
THE MEDrrATION TRUST
Independent ¢xamlDer'$ report to the tru$t¢¢s of The Meditation Trn$t I'the Company'l
I retK)rt to the tharity tW5tEts on tny &xaTnination of the account5 of the Cotnwy for the wtod l January 2023 to
31 Marth 2024.
Respomlbllitles and ba$5$ of report
As the charity's trustees of the Company (at)d also its directors for the purtose5 of comkw law) you are respDtLsible for the
preparation ofthe accowts in with the requitrmfflts of the Companies Act 20(￿ (the 21)06 Act,).
Having satisfied myself that the ￿coUnts of the Company are nol required to ￿ audited under Part 16 of the 21116 A¢t atkl
are eligible tur independent examination, I report in respc£t of my examination of your charity's accounts as c￿led out und
Section 145 of the Charities Act 2011 I'the 2011 Act?. In carrying oul my examination I have follo￿d the Directions given
by the Charity Commissiort und¢r s{￿tiOn 145(5) Ib) of the 2011 A¢L
Independent ¢x#miffj¢r'$ $tate]llcnt
Since your charity'¥ gr05$ income &x¢eeded £250,0(K) your examiner must a member of a listed body. I can confirm that I
am qualified to undertake the examination beL'ause l am a member of the **ERROR - relevant [rOf￿10￿￿ b￿Y must be
completed**, which isone of the listEd ix)dies.
I have complthl my cxamination. I confim) that no matters have o)me to my atkention in eonnection wqth the examination
givin8 me Cau￿ ¢0 believe:
ac¢ounling Tecord5 wLYe not kept in resp￿tor the COMF￿Y as required by Section 386 of the 21KJ6 Act. or
the accounts do not ac￿rd with those records. or
the atctsunts do rotnply with the a¢￿UntIng requirat)ents of Section 396 of the 2006 Aet (rther than any
requirement that the accounts give a tme arfd fair view whi¢h is not a matr considered 25 part of Inde￿dent
examination. or
the i￿￿)unts have not been prepared in accordan¢e with the method5 atld principles of the Siatanent of
R¢commended Pra¢iice for accounting and reporting by chaTLties (applicable to dwities preP￿ing their aLcounts in
a¢¢ordance with the FIn￿cial Rq)orting Standard applicablc in the UK Rq)ublic of Ir¢land {FRS 102)).
I have rx) concerns and have come across no other matt￿S in connection with the &xamintition to whi¢h atteniion should be
drnwn in this Teport in order to enable aproperundertanding of the aCCo￿￿t(> be rc8ched.
Mr P J Loveridge
SpurlÈng Cannon
Chartered Certifid Ateountants
424 Margate Road
Westwood
Ram$￿e
Kent
cr12 6SJ
Pa8e3

THE MEDITATION TRUS[
STATEMENTOF FINANCIALACTIVITIES
FOR THE PERIOD I JANUARY 21123 TO 31 MARCH 2024
Period
to
31.3.24
YeaT Ended
31.12.22
rolal
funds
Unrestricted
fund
Note5
INCOME AND ENDOWMENTS FROM
Donation$ and legacies
4309
Charitable activities
Mediration Courses
286J69
190,830
Total
290578
EXPEIYDITURK ON
Charitable attivities
Meditation Courses
314.066
181,309
NET INCOMEI(EXPENDITURE)
{233881
13.075
RECONCILIATION OF FUNDS
Total f￿dS knught fojiward
32J04
19,229
TOTAL FUNDS CARRIED FORWARD
16
32,?04
The n¢Xes forni partof these financial
Page 4

THE MEDITATION TRUST
BALANCE SHEET
31 r*t4RCH 2024
2024
Unrestrl¢tsd
fund
2022
Totsl
funds
Notes
CURRENT ASSETS
DebtOT5
C8sh at bank
2211
17057
11,730
71,192
2Q068
81922
CREDITORS
Amounts falling due within one year
{11?52)
150,618)
NET CURRENf ASSETS
8116
31304
TOTAL ASSETS LESS CURRENT
LIABILITIES
8116
32,304
NET ASSETS
8,816
32,304
FUNDS
Unrestricted fvnds
8016
32,304
TOTAL FUNDS
16
32,304
The th￿"lIable wrnpany is entitl￿ to txemption from audit under Section 477 of the Companies Act 2006 for the ￿riod
ended 31 March 2024.
The M￿berS have not required the company to obtain an audit of its fin&n¢ial stat&nents fi)r the peTi<Ki etKkd
31 March 2024 in accordance with Seetion 476 of the Comyanits Act 2￿6.
The tsu5tce5 acknowledge their resTM}r￿]bi1ItiLS for
lal
t￿8vrIng that th¢ Gharitable company keeps accountin8 records that cortLP]y wth Sections 386 and 387 of the
Companies Act 2006 8nd
preparing financial st2trmthts Nthich give a true and fair Triew of the state of affairs of the charitable COmTrany as at
the end of cach fiaancial year and of its surplus or defi¢it for each financi￿ year in accordance with the requirements
of Se¢li￿$ 394 and 395 and which otherwise ￿mplY with the rqu1Ten￿llts of the Companies Act 2CK)6 relatillg to
rinan¢ial ststern¢nts. so far a5 applicable to the d)aritable company.
(bl
lTh¢ notes form part of these financial statements
Pag¢ 5
COnt￿UCd...

THE MEDLTATIof4 TRusr
BALANCE SHEET- tottflnu¢d
31 MARCH 2024
These finan¢ial statements have iwi pwAred in accordantt w¥th the provi5ion5 applicabl¢ to Charitable cornpanies subject
to the ci)mpani&8 regirne.
The finan¢iat Stat￿en15 wue approved by the Board of Thstees and authorised for issue on 5 July 2024 and signed on
ts beh￿r by".
G B￿tta￿dZ￿- I"rustee
The notes fonn partofthesefjnancial #atements
Page 6

THE MEDITATION TRUST
NOTES TO THE FINANCLIL STATEMEwrs
FOR THE PERIOD I JANUARY 2023 TO 31 MARCH 2024
ACCOUNTING POLICIES
Basts of preparing the financial statements
The financTal statements of thc charitsble comFony, which 15 a public benefst entity ￿der FRS 101 have te¢n
prep>]red in ¥cordan¢e with ihe Ch#Titits SORP (FRS lif2) 'Ac¢ounting And Re￿)nIng by ChaTitie5: Statement of
Recommended Pra¢ii¢e applirable to ch￿ill¢S preparing their accounts in a¢eordan¢e with th¢ Financial Ryrtin8
SthndaTd applicable in the UK and Rq)ublie of Iirland IFRS 1021 (effedive l JanLWy 2019),, Financial Rep)rtin8
Standard 102 '1Me l.'inancial Rwrting Stsndard applI￿61e in the UK and Republic tsf lffland and the Compani<
Act 2006. Th¢ financial siatements have b¢cll prcpaTed undcrthc historical tost wnvention.
Incom¢
All inc￿me is reco8ni%ed in the statern￿t of Financi21 Activities once thc clwity has entitlement tr) the fund4 it i$
prolmble that the income will be receiv￿( andthe an)ouni¢an be measured r¢]iably.
Expenditure
Liabiliti￿ are recognised &5 cxpcnditure as Soon L8 there is a legal or eonstnjctivc obligation committing the Charity
to that expendI￿r¢, it is probable that a transfer of ttonomic bettfjts will be reqwred in *ttleTneth the amount of
Ihe obligalion can me&8ured reliably. Exp￿di￿re is ac4x)untrd for on an accNa]s basis and ha5 ken classified
nder headings ihai aggT¢gate all L¥JSt relat¢d to the category. IlTh¢re u)sts cgiinot b¢ dire¢Uy attribtjted ￿ particular
headings thry have been allocated to actiwitio on a b&sis consistent with the u*olrtsources.
Taxation
Thc ch8rity is exollpt from corp)ration on its charitable activitie5.
FuThd aCcou￿tillg
Unie5tricted funds can b¢ used in %cordan¢e wtth the charitableobjectives * th¢ discrelion of the tru5ttts.
Re5trict¢d funds can only be used for particular reStriC￿d purtoses within the otyects of the charsty. Restrictions
arise Trthcn sp¢cifJed by thedonororwhcn funds are tzised for particular rcstricted puryx)s&s.
Further explanation of the nature and purpose of each fund is inCI￿￿ed in the notes ty the finan¢ial stat¢ments.
TRUSTEES, REMUNERATION AND BENEFrrs
There wcre no inLStees' r¢mun¢ration or other benefits for the pericd endcfj 31 Mar¢h 2024 nor for thc year end
31 Decernber 2022.
Trustee5 expens¢s
There weir M iDJsiees' expenses paid fu the period ended 31 Marth 2024 nor for the year ended
31 Dttember 2022.
Page 7
continued...

THE MEDITATION TRusr
NOTES TO THE FI]¥ANCIAL STATEMENTS- ¢ontithued
FOR TIIE PERtOD I JANUARY 2023 TO 31 PAARCH 2024
srAFF COSTS
The averag¢ monthly numtEr of employees during the reriod w&$ as folkn¥s'.
Period
1.123
to
31.3.24
Year Ended
31.12.22
Adminss(rdtion
No employees received ernolument5 in excess of £60,IX)O.
COMPARATIVES FOR THE STA TEMENT OF FINAP4CIAL ACTIVITIES
Unrestricted
fund
INCOME AND ENDOWMENTS FROM
Donations and lewies
3,554
Charitsble acttvities
Meditation Cours
190.830
Tot
194,384
EXPENDITURE ON
Charitable activittes
Meditation Courses
181.309
NET INCOME
13,075
RECONCILLATION OF FUNDS
Total funds b￿)ll8ht foThvard
19,229
TOTAL FUNDS CARRIED FORWARD
32,304
Page 8
continued...

THE MEDITATIOT4 TRUST
P40TES TO THE FINANCIAL STATEMENTS- contitiued
FOR THE PERIOD X JANUARY 2023 TO 31 f+(4RCH 2024
DEBTOiLS: AMOUNTS FALLING DUE WITH￿ ONE YEAR
2024
2022
Otherdebtors
Preroymthts and acttue<t in¢ome
198
11,532
2211
2211
11,730
CREDITORS: AMOUIYTS FALLING DUE WITHIN ONE YEAR
2024
2022
Payments on account
Otherereditors
A(￿rU￿S and defetTed inwme
10,188
49.692
86
840
1020
11,252
50,618
MOVEMENT IN FUNDS
Net
movement
in fijnds
Ai
31.3.24
At 1.123
UDre$tricted fvpd5
Gthttal fund
32JIH
(23.488)
8*16
TOTAL FUNDS
32J04
(23.488)
8*16
Nd movement in fvnds, included in the aEx>ve are &$ follows..
Incoming
Res￿￿ree8
Movement
Unrestricted funds
fund
2￿578
(314,1￿}
(23,488)
TOTAL FUNDS
29)J78
(314066)
{23,488)
Pa8c 9
¢otttinual...

THE MEDITATION TRUST
NOTES TO THE FINANCIAL STATEMENTS- oontknued
FOR THE PEIUOD I JANUARY 2023 TO 31 MARCA 2024
MOVEMENT IN FUNDS- tontiDued
CompArathTes for movetllent funds
Net
movement
in fund5
At
31.12.22
At 1.1.22
U￿restrI¢ted fvnds
General fvnd
19,229
13,075
32J04
TOTAL FUNDS
19,229
13,075
32.304
Comparative net movement in fund5. included in the above are as follows:
TDo)ming
Tes0UT￿S
Rcsourccs
eXp￿ded
Movcment
in fi(nd5
Unre5(ricted
General fund
194J84
1181.309)
13,075
TOTAL FUNDS
194J84
1181.309)
13,075
RELATED PARTY DISCLOSURES
There no relakd Fmrty trdnsa¢tions forthe ￿riod (y)ded 31 March 2024.
IIMITED BY CUARANTEE
Th¢ cotnp3ny is limited by guardntee and iknes not have share tttpital. Ea¢h of the members guaThntres to FHY to the
company an amount of up to £1 if the coTnpany is wound up whilst they are a member or foT up lo 12 months after
they have ceAStd to be amanlxr.
Pggelo

THE f*SEDITATION TRUST
DETAILED STATEMENT OF FINANaAL Acriv¥rJE8
FOR THE PERIOD I JANUARY 2023 TO 31 MARCH 2024
Period
1.1.23
Year En
31.12.22
31.3.24
INCOME AND ENDOWMENTS
Donations ADd legacies
Donaiions
4209
3554
Charit#blt aclivities
Income
286J69
190,830
Totsl intoming resources
2W78
194,384
EXPENDITURE
Charitsble aclivities
Insurance
Telephone
AdvertTsing
Sunitries
Teaching C()sts
Compllicr Co%ts
Commission cha￿eS
462
301
9,088
372
505
1.751
48
163,423
143
1,694
283084
IA37
29S553
167.936
Support eosts
Wages
lQ983
12,269
CovernAThee costs
Accountancy and legal fee
1,104
Totxl resources expended
314.066
181 J09
iyet lexpeDditureVill¢ome
(23.488)
13,075
This pagedoes not forTn part of the statutory f￿anCial statemet
Pagell