REGISTERED CHARITY NUMBER: 1195220
Re
ort of the Trustees and
Unaudited Financial Statements
for the Period 01 Ma
2021 to 30 A
ril 2022
For
WAT THAI BRIGHTON
STERLING
AccouMnNG
Sterling Accounting & Partners
Association of Accounting TechAj¢ians IMT)
Sturden Heath Cottage, F¥e Corner, HambrooK Bristol, BS16 ISE
Email.. in
sterlin
tin

Wat Thai Bri
hto
Flnancoal Statsmènts
2021 30 A ri12022
Forthe Porlod 01 Ma
Pago
R•port of th• Tru#te88
Independont ExamIn8￿1 Rèport
Statsmgnt of Financlal Actlvltl•8
Balance Sheet
Nots8 tr1 thè Financial Statements
5tt56
D&tsile<l Statement of Frnaneial ActivI￿e$

Wat Thai Bri
ort of the Trust885
For thè Poriofl 01 Ma
2021 to 30 A
hton
ri12022
The trusiee$ present their reportwth the finanryal statemants of the ch8ritylor the period 01 May 2021 to 30 April 2022. The
tnjstees have adopted the provisions of Accounting and Reportin9 by Charities.. Stat8m8nt of Recx)rnm8Tid8d Pract
applKable to charitses preparing th￿r aC￿untS in accordance with th9 Fin8na81 RèporlNd Standard applicab￿ in the UK and
Republic ol Ireland IFRS 1021 (effective 1 January 20191.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governing document
The Gharity 13 ¢ontrollo4 by its goveming doGument, a deed ol tru•t and ConSt￿uteS an unincory)orated ¢h8rity.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Charity number
1195220
Prlnclpala*Jdre
Trustees
Mrs. Aroonsri Addis (appointed 15.6.20211
Mrs. Yupin Borehamlappointed 01.2.20221
Mrs. Patcharin Phuakpongpat lappointed 15.6.20211
Mrs. Kasem Jandee lapptsnted 15.6.20211
Mrs. Nutjanee Fox19y lappointed 15.6.20211
Indep8nd¢nt Examlner
Sterling Accouniing & Partners
A8$0¢ialion of Accounting Technicians IAATI
Sturden He8th Cottage
Pye Corner
BS16 1SE
IIL12022
Approvèd by ordèrof tha board oftrustees on... .......................................... and signad on its bah811ty'.
Mrs. Aroonsri Adiii5- Trustee
Mrs. Nutyanee Foxley- Trustee
Page 1

Inde
ndentExaminerfs Re
Wat Thal Bri
rtto
hton
lftdependent examlnerf8 reF)Ortto the tru¥toe8 of Wat Thai Brighton
I report to the tharitytrnstees on my examination ofthè atxx)unts ofwat Thal ￿hlon (the Trust) forthe p8riod 01 May 2021
to 30 April 2022.
Responsibilities ar￿ ba$bJ of r•port
As the charity Iiuslees of the Tw$l, you are responslble for Ihe preparation of the ac£ounts in ar£Ordan￿ whh the
requirements of the Charities Act 2011 Ilhe Acfl.
I reFK)rt in of my *xamination of Ihe Tr￿S act￿nts carrfed out uThJer SeC￿n 145 of the Act and in carylng out my
examinatThi I ha￿ fo1kn¥8d all appl￿￿9 DITOCt￿nS gwen by Charity Commiswon Un(krSed￿ 14515llbl oftho A¢*
Independent examlnerfs statement
I have comp￿ted my exarninalion. I confirm that no m8teri81 m*ters h8ve ¢(me lo my attention in connection with the
minafjon gNing me cause to believe that in any material respect..
acaxJuntirrfJ re£ud3 were not kept in respect ofthe Trust as rewirvd by 130 of lh¢ Ad., or
the accounts do not acLord with th)se rewds.'or
the a(xx)unts do not Ix)mpty with the applicable requirem￿ 0)n￿MIng the fom) and cA)ntent of aCC￿nts ￿ Out in
the chariti.es (Accounts and Reportsl Regulations 2(M)8 other than any requ*rement that the acx)x¢nts gNe a trJJe and
fairview whith is not a matter considered as part ofan Ind￿ndent examinatkn.
I have no ctsKem8 and have Oar￿ acros8 no olhgr matter8 in 0)nn￿*c￿ with the examination to whith attenbon th)uld be
drawn in this report in orderlo enable a proper uThJerstanding of the acyountsto be reach&J.
Arrada S•w*ll
Sterfing AccA)unling & Partners
A88oriation ofAwounling TethniaarE¥ IAAT)
Sturden Heath Cottage
Pye Comer
Hambrryjk
Brist
BS16 1SE
D*e'.
/ci lJoJ3
Page 2

Wat Thai Bri
hton
tement of Financial Activities
For thè Pèrlod 01 Ma
2021 to 30 A
ril 2022
Unrestricted
lund
Notes
INCOME AND ENDOWMENTS FROM
Donations and 18gaaas
68.498
EXPENDITURE ON
charitable actlvltl8$
Religious actIV￿8s
16.239
Other
30.020
Totsl
46.259
NET INCOME
22,239
TOTAL FUNDSCARRIED FORWARD
22239
Page 3

Wat Thai Bri
hton
As 0130 A rll 2022
Unrestllcted
fund
Notes
FIXED ASSETS
Tangible assets
3,388
CURRENT ASSETS
Cash at bank
19,451
CREDITORS
Atnounts falling due ￿thIn one
year
16001
NET CURRENT ASSETS
18,851
TOTALASSETS LESS
CURRENT LIABILITIES
22,239
NET ASSETS
22,239
FUNDS
Un￿StrIcted funds
22.239
TOTAL FUNDS
22.239
071 IJ
The flnanclal slalem8nts w8r8 approved by the Board of Trustees end authorisedfor issue on..................
and were signed on ils behalf by..
Mrs. Aroonsri Addis-Trust88
The t¥Aes form part of th859 financial statements
Page 4

Wat Thal Brl hton
Notes lo the Financial Statemenl
For the Period 01 Ma
2021 to 30 A ril 2022
ACCOUNTING POLICIES
Basis of preparing thg flnan¢ial $latem•nt$
The finanoal statements of the charity, whth is a public ￿nefit entity un(JeT FRS 102, have tAn prepared in
aecordance with the Charitiès SORP IFRS 1021'A¢counting and ReportiThJ by Charibe5.' Statement ol Recommend¢d
Practice ap￿1¢2￿￿ to charities prep8ring thgir a¢¢ounts in a¢¢ordan¢e with the FinanGial Reporting Stsndard
8pplicabL9 in the UK and Republic of Ireland IFRS 1021 leffectsve 1 January 20191,. Financial Repot*ng Standard 102
Tre Financial Reporbng Standard applicable in the UK and Republic of Ireland. and the chariti.es Act 2011. The
finanoal statements have been prepared under the historical costconvention.
InGome
All inGotne is recogni3ed in the Statetnent of FinanGial AGtivities once the Ghaiity ha5 entitlernent to the funds, St Is
probable that the income wll be ￿¢￿1Ved, and the amijunt can be measured reliably.
Expenditurg
Llabilities are rewgni8ed a8 expenditure a3 soon as there is a legal or rxjnstructive obllgation committing the charity to
that expenditure, it is probable that a transfer of eGOn0m￿ benefits will be required in seWem¢nt and the amount of the
obligation can be measured relkgbly. Expenditure is accounted for on an aG(ruals basis and ha5 been Glassified under
headings that aggregate 811 cosl related to the category. whe￿ costs cannot be direcdy attributed to headings, tlw
have been allocated to activities on a basis (L>nsislent with the use of resour￿.
Tanglbl• Ilx•d assèts
Depreciation is provhjed at the following annual ratgs in order to write off each asset over its estimated useful life.
Tax#tton
The charity is exgmpt from lax on its charrtable adivitses.
Fund ac¢ountlng
Unr¢stricled funds can be used in accordance with the charitable objectives at the di8cretion of the trustees.
Rèstricted funds can onty bo u8ed for restricted purw)ses wthin the objeots of the charity. Re8lriGtions arise when
specIf￿d by the donor or whèn funds ar9 raised for restricted purposes.
Furthar axplanation of the nature and purpose ol 68ch fund is included in the notes to the financial statements.
TRUSTEES. REMUNERATION AND BENEFITS
Ther& werè no trust88s' remuneration or other b•nefits for the period ended 31 March 2021.
Trustaag. expgn$e8
Thore were no Iruste69' expen808 paid for the pèriod ended 31 March 2021.
TANGIBLE FIXEDASSETS
Fixtures
and
fittings
COST
Addits"ons
NET BOOK VALUE
At 30 April 2022
Page 5
eontnu8d...

CREDITORS.. AMOUNTS FALLING DUE WITHIN ONEYEAR
Accrued expenses
600
MOVEMENT IN FUNDS
Net
movemènt
in funcls
At
30.4.22
Unrestrlcted funds
General fund
22.239
22.239
TOTAL FUNDS
22,239
22.239
N8t mov8mènt in funds, inclurted In the above are as fdlows..
Incoming
resources
Re50urce5
expended
Movemen
in funds
Unrèstrlcted funds
General fund
68.498
146.2591
22.239
TOTAL FUNDS
68,498
146,2591
22,239
RELATED PARTY DISCLOSURES
There were no ￿lated paity transactions for the period e￿￿ed 30 April 2022.
Page 6

Wat Thai Bri
Detallèd Statem8nt of Financial Activities
For the Period 01 Ma
2021 to 30 A ril 2022
INCOME AND ENDOWMENTS
Donatlons and legacle¥
Donations
Religious activities
56,849
11,849
68,498
Total incoming resoLFr¢e$
68498
EXPENDITURE
harltsble actlvltltr$
Event expenses
Food & drink
Travel
Visa fees
16,239
747
1.907
243
19,136
Support costs
Management
Rates and water
Li9ht and heat
Telephone
Postage and staty'onery
Repairs
Rent
Insurance
Training costs
Subscriptions
Miscellaneous
Don8lion8
Depreciation
3.834
564
3,451
585
10,200
208
968
225
2.611
3.150
727
2fj.523
Flnan¢•
B8nk charges
Governance ¢o$ts
Legal fees
Accountaney
600
600
Total resources expendod
46,259
Nèt Incom•
22,239
This page does not fomi part of thè statutory financial statements
Page 7