Charity registration number 1202559
Company rnghtratlon number 12007260 IEngland And IllaleBI
ANANDA9 LTD
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2024

ANANDA9 LTD
LEGAL AND ADMINISTRATIVE INFORMATION
Truste
MrYABhatt
Mrs S Desai
Nqrs J ￿il
Secrelary
Mrs V cl￿d?
Charfty number
1202559
Cornpany number
12007260
Rogl8ter•d ofh¢?
51 LoughbDrough Road
Leicester
Leiceslershiro
Lt4
A¢cruntants
32 De Montfort Street
Le￿$ter
Leicestershire
Unlted Kingdom
LE17QD

ANANDA9 LTD
CONTENTS
P•0•
Trust8ès' report
Accountants. report
statement of fimnckql advities
Baka￿* sheet
Note8 tothe ststanents
7-14

ANANDA9 LTD
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 30 APRIL 2024
The twstees present thair annual raport and finandal statement5 ferthe year ended 30 Aprti 2024.
The ffinanaal statements have te&n prepared In ac£ordanc& wdh the 8ctoun￿ng polid8s set out in note I to the
financ4al ststements and CDmpty with the chanvs govgming document, Ihe Comp2nies Aet 2006 and Atxounting
and Reporting by Charfties.. Staternent of R8corr7mended Practi￿ applicBbl¢ to ¢h•rStles preparino their acrounls in
accDTdarth with the Finan¢ial Rèporting Standard aPptlcab￿ ITr thè UK and Republic of ￿relartd IFRS 1021.
lelleclive 1 January 20191.
Ob￿ctIVeS •nd a¢tivlUo$
Pubfyc bengfft
The tru$¢ees have paid rega￿ to guidance i55ued by the Charity Cornmi¥si¢M in detsding what ac11v￿e8 the
cha￿ty should undertako.
1=4aii'.y objects are ¥¢t pu( in ￿rt￿$ 01 •6socia¥Kn the oblejs ww.e a￿ded by J swJai res0￿￿10n Qn 20
v.srch 2023 fottwng apwoval from fh• thawty commi%won U[￿er $8th"on 198 of chafthes aei. Simrnary ot the
..blE--￿ are..
To prornote swal indusion for the public benefft by preventing peopte from becoming s0(¥¥l exduded, relie￿ng the
needs ofthosa people who are socially exduded and assi8b.ng th8m lo irrtegrate Into society.
Fer the purpose of this daus8'SCQ8lly excluded m¢ans bwrYJ oxduded fr(￿ soclety, or parts Df 5Dtsety. as a result
of111 heallh Iphysical OT mentall ordisabilty.
Ananda9 Ltd acbvitiès alè ooanised to a¢higve public benefit IhTough ¥bvtss in lh• ￿MMun￿.
Anandas Ltd started as a stnsll organisation in 2017 and ¥slablished as a not for profit voluntary organisatlon and
rogsstwed with company house on 20 May 2019. Ananda9 lirnited cornpany is managed ty managernent c¥Jmmlttee
meml)ersllru8tee who at8 nomin¥led from rar8rs and service u$ers of Anan¢fa9. Ananda9 Ltd become a charity on
30 Marth 2023 10 $9ry9 tho eommunbties of Loice8ler.
Ananda9 Ltd is a unique Servi￿ k>r adults expellen(yng enduring m8nt81 Ul hoallh who require day to day
therapeutic Actiwlles. educptiollal and So￿31 support ta engage in Iheir communty and promote socol incJUsi￿.
Charty has been supporbng bcal people with m8ntsl heaHh diffi￿ltI8$ by debvering servicès in th¢ir horne and in
the community to improve their qualty of lrfe. Our aim Is to help to feel fitter aad heatthiel, to avoid S￿481 Is(Aation
and fe8lirwJs of tonelin&s8. to help build sell-confidenco. and to ramain Imng independenty al home. We do this
Ihrough a variety of way5. group activities thal prowde opportunrties to improve fitness, devèlop new skills and build
confdence whiLsl prwdino émotional support and friendship with paers.. practKel and emotional one-ttrolle support
that imwoves the a￿lity to Stay 15wng al home. WE will need to ¢Lsnttnu8 lo develop innovative 501utions so that we
eet thè char￿ing n8eds OF our mental health Lxmrnunty and find ways ol prowiding support a$ gaps fomi in th•
prow$ion of PLfblirJy funded heahh & social s8￿CeS. Our strateg￿ BusAness Plan for 2023-2Q7 builds upon our
Mlssion and VlsioTr and sats out our strategy foT thg porfod wilhin the ￿ntex1 of ltscal and nalional challenges. Thé
plan sets Dut strategic objectives and priorfties foF the three years ahead. They demonstrat8 Qur commllment ta
serAJrlng resources and furtherbU￿d1n9 our tsp8cty to fewnd affectively lothese c*allenges.
Our V￿￿)￿.. Chartty beliaves that wery tndithd￿l and should be re8pe(*oLI regardl￿ of their di54bility. We
believe that everyone has a right
fo en9oge kn admbes olthelr ¢AvTr intefesl and b8 an iThtegT81 part of thpireommunty.
Our Mission.. To support indlvidual to maxlmi5e th8ir qu81ity of life. whether Ihey aTe loo￿"ng to rggaln hrgottén skills
or gain ones, we believe that atAnanda9 can support individualsto achieve their outcotneB.
Chanty bdieves in ct88ting a s*, Wa￿ wekoming anwronmènt whkh ernpowers p80p16 Wth disabilities to feel
$8fe lo expknr8 ther8peuti¢ creatThre abilities wrthtyjt expedation or judgernenl. 11 b81ieves In a p8rson-¢eptr8d
approad) 10 ensure that 8 plan is crèated vllique to the indbvidual's needs and requirÈrnents. We actlvety encoura
choi￿$ and d￿810￿S with support. Ananda9 beltevès that 8¥ery Indmdual should be respecled ￿th ￿ndnesS a

ANANDA9 LTD
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) {coKfiNUED)
FOR THE YEAR ENDED 30 APRIL 2024
Achhv•ments and pèrftsmiance
Swniffc8nt aclNilie5 8nd a¢hievem&rt8 8ge1n8tob￿ct￿s
Charty organis8d 252 9roup sessi0Tr8 in Iho eommunty durfng Ihe yeai. Th¢rg were on 8￿r￿ge 28 peop
attending e8¢h day. Tthl benefioarfes were 52 people.
Group ses%Drts operat8d from Monday to Fryday in the ttmmunity setting * wellsprin￿ St Altyans Centre, on th6
comer of Hattison roaiVWgymoLth street in the BelgF3V8 a￿a of thé Leicester dty. Staff and volunteers are
M￿ttl11n9Ual and able to communic2te In many south Asian languages. Transport k% piovided free of charge for
peop￿ who has be￿ 888essed as noedino thls prowsion.
Peoplg who attend tharity grows enjoy and bgnerrt IronTr tho following pro9rammes. The88 are theFapeuti¢ a¢bviti8S
n by th8rapists and AfiarKla 9 st8ff to promote Ihetr wellbeing, S￿al indusk)n. confidence building and
indeperKlence. They benefft from actyvities such as yoga, gentle extr￿￿e (Zumba 1$ popubrl, flower arran9ing,
basK computer leaming. and Music, English as 5¢ciJnd L8ftguag8 classes. Leisure arAMhes (Tablè Tennis. snooker,
and board games). Art and craft. There were also session for person81 health managernert facilit¥19d by e>lernal
tulor. work in partnership wilh other agencies In the 8rea. There were special programmes planned during
surnmer whlth includes cAJttnglday lrfps. These promotod s￿￿1 Indu￿0￿ actiwbes in the wid8r cammunty. Trse
programmes are wlving in consuhalions wilh dients and their<sr8r8 and professions invol¥ed with the charity
We also prowde 1..1 support seMc8 (non personal Garel as r￿mMIs￿oned by sodd workers to promote and
m￿mise indiiyduafs potential. Assist with their gxrespondence and liase vAth other ltral authority departm8nts,
b8n6ffit agency and h8alth professional 88 perth& indivtdual pbn_
Transport is prO￿ded rf required Mlh in thè L*l￿ter L?ty Itmts. Ananda9 enwurageslassisis potenlal clients to
make their own wèy wherÈ possible. Aim is to miTrimi8g Ihe sufferiftp and efferts of 8evar8 mental h&alth dffruJthes
and te- integrate people into the wmmunlty and enjoy a norn￿1 life as pe￿b￿.
FlnanGÈal r8¥19W
RoseThespol
It is Ihe policy of the c*anty that Un￿$t￿Cted ftjnds have not been designated f¢Y a spec%fic use should b&
maintsined at a bvel equivalent to be￿eern thre8 and six month S expenditurè. The twstees conslder that reseNes
at thi8 ￿Ve1 will ensure that, in the event of a signifKant drop in fundlno. they will be a￿e to eontinue thè ¢haW5
curr8nt a¢tiwtBs while cnnsiderats'on is given to ways in whKh add￿Onal fvnds may be raised. This l&v81 of r8serves
has been maintained throughout the year.
¥inanri81 rewew 1$ unrtertsken on an annual basls. tljrng the attounllNJ year, Ananda0 Lfd r8rolvad fijnd from the
following sources.
Grant aid frc¥n Carlton Hays mentsl heatth tharity.
Lek8Ster ctty COUWAI through eliant Ifirect paymDnt stheme.
Stsu¢tur•i g¢>vernan¢o and manag•ment
The rharity f8 a charitablp cornp?ny limlted by 9u?rantee and registered a$ a ¢harity on 31 Mar(* 2023. It W85
e*abli5h&d under 8 rnemorandum of A5$0¢iation whith gslablish8d the objectlves and powern af thè charitabl8
company {Ihe chaTlyJ and 9ovem6d und8r itBArbe￿I of Atso¢LgUon ¢TheArt¢des'l.
The tsustees whts held off￿e during the ffinanaal year af6 set out In the page 2 of this report. There has been no
change lo trustsos. Trusiees senri¢g for 3 year5 and stand for r& 8lethon_ Twstaas are in￿led to join Ihe board ol
truste6s by olher trnstees. by the m8n898r for board of tnJstee5 to COn6ider. Trust¢¢s are gr￿n a ?tructured
indudKryn and training to the works of th8 charity. Incjuded in the InductSon pack ￿ inYorn)ation i$sue(I by Ihe ehanty
commission. Thor8 1$ Iso ong(¥TrJ training aboul the poliue6 and Pr￿ed￿r*S ol the orgafilsation as awareness to
118 requirernents.
The dlre(aors of the Charfty 84 dgfingd by thè Companies Aet, 8re also tN8lees, foT th8 puriKses ol Eharlty
law. They are gonerafy relerred to as the Board ofTrustÉes. Board ol trustees med quart&￿ dur¥￿ the acLourfng
P8n"i>l and sp9ual mo6ting8 8re call8d as when required.

ANANDA9 LTD
TRUSTEES, REPORT (INCLUDING DIRECTOR8, REPORT) (CONTINUED)
FOR THE YEAR ENDED 30APRIL 2024
The trustoes, who afo a160 the dlrectors for the purpose of ¢ompeny18w. and who served durtng lh8 yaar and up to
tha date of signawre olthe financlal 5tateTnents were.
MryAB￿tt
MTS S Des81
Mrs J Lal'i
Recwltmentand Epp￿Rtm9rtQr Èrustees
None of the 1rust￿5 has ar*y beneflek?l 1rrtér￿t in the company. ofthetrustees arè memb&rs of Ihe cunpany and
9uaTanl8e to Conlrfbute £1 in the e￿nt of a vArtdtftg ijp.
The cornpany's ￿rrent pc4icy c1)t￿rnIng the p￿ment oftr8de c¥editors is to follow the CBI'S Pmmpi Payer5 Code
Icor49s ￿ av81￿ble fromthe CBI, cent￿ Point, 103 Ntsv OxfDrd Street, London We1A 1DUI.
The cornpanls ￿lIa￿tF¥Al￿ c(rtK*mkn9 ￿Y￿*￿t ol GtyJitor8 is lo..
. settle the tarn& ofpaymont with auprkns 3greoiNJ the terms ofaath transa¢tbn".
. ensur& that ¥e aw4re of th• temw of pAym•tt by mdLwon ot thè rtlffirrt temis In eonbth.,
and
pay &￿rdance wilh the ￿mpanI$ contractual and olherlegal obligation$.
0198￿$•1￿0￿41 slnKIu
Trustees..
Yogesh BhaltlCh&rp8r80n)
Jasvanti Lalgi
Sadhana Desai
Advl80r:
Dlip Shah
Staff T•am •• of 301412024:
Mr6. V Gowda- Managw
Mrs. Y Chauhan- SuppDrt WoTkeT
Ms. G Pamier- Supportworker
Mr. M Shah- Dr4vorlSupport worker
Ms. C Misty- Support woJker
Anumber ofVolunte8TS and seS8KJf￿1 staff SUpp￿the chartsble woth ofthe oruanisabon.
trustees, reportwa8 approved ty tha Board ofTrustg8S.
Mry Aèhatt
Truste•

ANANDA9 LTD
CHARTERED CERTIFIED ACCOUNTANTS, REPORT TO THE TRUSTEES ON THE
PREPARATION OF THE UNAUDITED STATUTORY FINANCIAL STATEMENTS OF
ANANDA9 LTD FOR THE YEAR ENDED 30 APRIL 2024
In order to assist y¢y to futhl your dulles under Compani&sAet 20rE, we nava prèp8[￿ for your approval the
financ4al statements of Ananda9 Ltd for the year •ndad 30 April 2024. wNch ¢J)mpri68 the 8tstement of finan¢ial
4cts.w￿eS and the reLated not•$ from th8 L*alit￿S accLsulliiNJ records from Information and èxplanaty.ons you
have given us.
As a praclising me)r*&r of tho ASSOU￿rOn of Chart8rott Certiw Acc4)unl¥nt8, we 6￿ subied to its ethical and
othei proFèssional requirements whld) arè delaijed at hty..IAw￿.a￿gIQbaI.￿MlgbIenImÈMber15tsndards1ru￿8s
and.standaTdshulebook.html.
This report is made to the tharEVs trustees. a5 a brAly, in aC￿rdanCe wrth the t&rms of our en9agemenl letter. Our
work has been undértaken ￿lety t¢ prepare for ytsLY approval the financi￿ statement$ of Anand09 Ltd and stala
thos8 matters that we havè agreed to slate lo the charity's ttuste&3, as a body, In Ihl8 report in a￿rdan￿ with the
réquirements of the Assooation of Chartered Cèrtified AeLounlants as detsiled at htlps'.Ilwww.accaglobal.coml
contentldanVACCA GlobarrreKhni￿￿8ctlte￿DIea1-laC1ShSat-l63.PQy. To the fullest extent P8rmiltsd by law, we do
not att£N or assum rè$ponsbilty to anyone olher than Anandag Ltd and the charty's tnJstee8 as a body, for our
We￿ Dr for Ihk8 repeit
It Is your dirty to ensure Ihat Ananda9 Ltd has kepl adequate accountlng records and to pr6p8re statutory fin8nual
ststements that give a true and fair view of th¢ assets, lia￿1￿185, finanrAal posllltsn and surplus of Anandag Ltd. You
cDnsider that Ananda9 Ltd is éxernpt from the statutory auLIt requiTement for the y•ai, and is not r8qJJir8d to obtain
art Independent 8xarninets report.
W& have not been instru¢bJ lo ¢arry out an audit or a re¥￿￿ of the financkal staternents ofAnanda9 Ltd_ For thls
reason, wè h8V8 not veréfied the accuracy cr completanèss of the arLauntlng re￿rdS or infomiation and
explanations you 9iven lo us and we do not. the￿lore. express any opinlon ￿ the slatutory fina￿la1
statement
PSnn•¢leAccounlattts
I ql. ./2￿25-
Chartgrod CèTrffidA¢￿Untants
32 De Montrart Street
Leicester
L8i¢x6tershire
LE17GD
unit￿ Kingdom

ANANDA9 LTD
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 30APRIL 2024
Unnstrict•d Unrestricted
fun
funds
2024
2023
In￿rne from:
Cx)nalions and k8ga
Imiestmenis
266,262
2.842
235,9S4
523
Total lYthm•
269,104
236.4T7
Expenditure on-.
ariL.ble 3￿a8
otherexpenditu¥e
152 188
316
Total ￿pOndit￿l9
151454
123,152
Ngt and movgmgrt in fund#
136,650
113,325
Reconciliation of funds-
Fund balances at 1 May 2023
285,187
171,862
Ftsnd Iialan¢88 at30 Aprtt 2024
401,837
285,187
The sts18manl of ffifianoal 3dvlti8s includes all gain8 and Ios8es rec￿￿15•￿ in the year. All income and expendlu
deth from ¢onlinuing actAiitles.

ANANDA9 LTD
BALANCE SHEET
AS AT3QAPRIL 2024
2024
2023
Not•s
Flxgd ag8è1•
r8ngibla assets
12
38,931
8,422
Currentag¥•ts
Cash at bank and in hand
277.1SO
Cr•d5tot4: amounts lalling du• vAthln
on8 ye•t
13
13851
Net assèts
384,906
276,765
Totsi assèts 186$ cuffont liabllllle8
401.837
285,187
Net asseta excluding pension Il*bllFty
401.837
285,187
The funds of the chai1ty
UrYesth"(aed funds
401,837
285,167
401,837
285,187
Th¢ company 1$ entitted to the exemption I￿rn the audit requlremgnt o)ntsined in sactiDn 477 of the Corrwieskt
2¢￿$. for the yèar ertèd 30 April 2024.
The ad(mwIed￿ th8ir re6pon$ibs1iÉies for comKAwng with the requtrernenis of th8 Companiès Act 2006
wth respect to a￿nIn0 recorrls and th8 prepath.on offinand81 Stst￿bnts.
Thè members h8ve not requir•d th8 ￿mpary kn obtain an &udit of its financial ￿atsrnents for th6 ygaT in que¥lion in
acryJrdanc¢ wlth sethon 47fj.
These financyal statements havo bgen prepared in ac(*rdance wth the P￿￿$10￿5 appllc4bb 10 coJTrpanles subject
10th0 8ffi811 companies r￿lMs.
The fman¢tal statements were appro￿3 by Ihetrust8es on.........................
MrYA8hatt
coM￿Y ￿l$tralI￿n nurnt)ef 12Q)r2￿ (England ants Wdlesl

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 30APRIL 2024
Ac¢ounllng poTler8s
Chaiity infOrn￿￿
Ananda9 Ltrj is a private company liThTrted by guarantee inwrporaled in Enslond gnd Wales. ThÈ ￿gthr*d
oISr% is 51 Loughborough Road. Leice8t8r, L*restershire. LE4 SU.
1.1 A¢counttn9 Crylvgntion
The financial statements have teèn prepared in alroTda￿ wlh the chariiys Igoveming dot3Jmèntl, Ihe
Compan1es Act 2008, FRS 1￿2 Finana81 Reporting Standard applicaNe Sn Ihe UK 2nd Republlc of
Ireland. fFRS 10¥) and the Charities SORP "Accounting and Reporbnu by Charilies.. Stalemenl ol
RecommerKlad PraGli¢& applicable to tharitses preparing their acfthnts Tn a¢c4)rdan¢e wilh Ihe Financial
RoDortlno Slandard 8pplicable IT) the UK and Republic of IrelaTrd IFRS 102)" lefferAive 1 January 20191. The
IIL.,i as by-. I
rkn￿lY Ms kkon advantage of Iho pr¢Nokns in th• SORP for th8ribg5 to prepare a &owm8nt ul
Cash FIDWS.
The financial *atements are prep8red In 5terliTrJ, whKh is the f￿￿on¥1 CL¥f8nGy of the charity. Monetary
amoLEnts in these ffin8ncial stratemenl8 are rounded to ihe ne8re81£.
The financial stataments hava b8en prap8red under the histortsl cost ¢onvention, Imodlffed to *idude ihe
reva￿ation of freehdd PTope￿e$ and to inclLKle inv8Stm8nt properbgs and c8rtain finw¢ial irtstfumonls at falr
dluol. T*e prfnripal a¢ountTrng polici￿ gdowed are set oul bth.
12 Golng concwn
At Ihe tsme of approwng the fflnanci818latements. the trustaes have 8 [￿￿able expectaben that the ¢h8rity
adequate r8souFC8S to Continue in operational e￿$tenCe foi th8 ft)re8ee8bl8 fvture. Thus the tru5tO•$
¢ontinu9 10 adoptthe going t￿(¥rn bass of accountin9 in prèparing th8 finandol ststement&
12 charilab￿ funds
Unreslrided funds avallable for use al the dI￿retion of the trustaes In furtheraft￿ of their tharitra￿e
oble¢tiv8s.
Re5trithd fijnds a￿ subjart to spedfic Cond￿On$ by donors or grantor5 35 to th?y may b2 used. The
purw8s$ gnd uses of r•slricted lunds are sat out In the notès to the flThanckql statements.
EThlowTnent fvnds afe subject to specjfic conflidons by ¢Jonors thal the Lapital rnusl be maintalned by the
1.4 In¢om¢
Inco￿ is ￿￿gnIs￿ when the charty is legally entil￿d to il afterany perf0m)a￿e e￿nd￿on8 have mel,
the amounts be meaSUTed reliabty, ond it 18 pn)bable thal income wll be receNed.
Cash dDnabons are recognised on Tecèlpl. Othor donatlon$ 8re recognised On￿ the th8riiy has boen nirtified
of tha donatiun, unl?ss ￿rfOrMance conditions require dèfeffal of the amourrt. Incryn• t8x rec4veralAe in
181TOll to donaliL¥)s receivèd under Giftmd or deeds of covenant ts reoignised at Ihe time of th8 doftatlon.
Leuades ar¢ rowgni8éd on racèipl or othe￿1$e rf the cktsrity ha6 b8Ell notifi•J of an impgndin9 distribution,
the amount is known, and receSpt 1$ oxpe(agd. If the amount Is not kr￿n, Ihe legary 15 treat￿ as a
coThtirsgent asset.

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 APRIL 2024
A¢¢oun￿n9 ptsltcie%
Icontlnuedl
Expenditure
Expendlture is retO9ni$&d once ihere is a Itgal or o)n$truciive oblluation to tra￿er economic benefrt to a
third party, rt is probable Ihal a tran5fgT Df eCono[n￿ benefits wlll bg requI￿d in $8ttlemenl, and the amouftt of
the obligath'on caTr be measurgd Telkbty.
Expend(ture 18 classlfrèd by a¢tiwty. The cosls of gath ad¥ty are made up of the total of direct costs and
sharéd c05t5, including support costs Involved in undertaking each admty. Dir*t costs thbutsble to a single
a¢b'vily are ￿laC￿ed direetty to that act￿lty. Shared eosls which ctsrtrioute to mtsre than one 8raMty and
support costs whid) èrè rtol attributsble to a singte a¢￿￿Y at8 apportioned btheen those adiwlies on a basis
nsL8ttnt wtlh th• of resoure$$. Central Stsff ￿sts arn albcated ¢n the basis of lime spent, and
depreciation tharges are allocated ofi the portion of the assefs use.
1.6 fanglbl•fix•d ass9ts
T8noible fixed a￿et$ are inilialty measured at cost and subsequanty Measu￿￿ al cost or v81uatM)Tr, nat of
depreaation and ary Impal￿8nt k*sses.
Depred8ts'on is recognised so as lo writg off the Cost or valu&tlon of assets lèss their reshlual ov•r their
usefvl live5 on tho followiNJ bases".
FL¥tuTes and fittings
Motor vehid
15% on c081
15% on c48t
The gain or lossarisfflg on tho di8posal of an 8ssel Is determinod as the drff8renca bthreen th8 sa18 proceeds
and Iha c8rying valua of the asset. and 15 Tecognlsed In the statement of financial actEvilie5.
1.7 Impaimignt offixed
Al eath reportlng end date, thè charity revSew8 the carrying amounts of its tanglbl¢ assets lo Ektermhie
wh8thsr there is any indication that Iho$8 assets have suff8f8d an impairmènt loss. If any 8u¢h indic4tion
ex￿$1$, the r8oJver8bte amount of the a¥s&t is eslNll8ted in order to determine the extent of th8 imp8ivrnerrt
10s5 lif any).
1.8 Cash and ¢a$h 8qu5v•lonts
Cash and césh 8qiiivalènt$ indude eash in hand. deposits hald at call witti b&nk8, Other sh)rt-lerm liquid
Investments with orvJn81 matur5ties of threè monlh$ or10$s. and bank owrdrafts. Bank overdr8ft8 are shown
wsthln borrowings in current Ikgbilrtie&
8ask Ilnancl•I4￿•ts
Baslc financl81 assets. whith indudg debtors and ca8h and bank balancos, ar8 inttially rneasu￿d at
nsadion price iwluding transactK)n costs and arg subse4u£nly r8rrfed at arrortBed cost using the affed
inter£sl method unless the arrangèment constt"tuts8 a finanung transaetion, w*er• tr8nsathon is
measured at th8 present value of the fubjre r￿eipts discount*S at a rnaFkel rat8 of Interest. FirorKial assets
dassrfte¢J 83 rec&vab18 within one year are not amortised.

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 APRIL 2024
A¢countlnu poElcles
lcorrtlnu￿)
aosk IlnAncialliabilldes
Basic finanaal Ivdbilthes. induding rsgdittrts and bank 5w5 are inili4ly reco9ni8ed at transaction pricK unless
thè grrangement wnthutes a ffnancAnG ITansaL*'on. where th? debt instrument Is rrF885ur•d at the present
value of the fvture payments discountèd at a martet rate ef iFrteresl. Financial liabllities dasslfled as psy&￿tr
wthin on8 yw are not amortiBed.
D8bt ift$trUw￿nts are subsequently carried atamorthed o)st. uslng the effecJJ"ve snterg81 rate method.
Trade ¢reditors are obligations to pay for goods or se￿￿S thai have bggn acqulred in the ordinary course of
oper8bons from suppkrs. Amounts payab￿ are dassified as wrfènl Ilabl￿t￿6 tf payment is duo wlthin on8
8-. If. )t
Lrhint liAhi1it18s. Trade veditor$ are recognised inltl81ty at
Ir¥TIwyM piiw Illlrj I
.1 d.. arnoroseo c05t UWQ Ine
D•recognition of finan¢i#l 1sabiiitle5
Finanual 1kqbilth.es are derecognis8d when the ¢h3nVs eontrxtual obllqations explre OT arg discharyed or
¢an￿ll¢d.
1.9 Employeè ben•flts
Th• co¥t of any holKlay entilement Is f8Mgnlsed In the pertod ir* whIc* the emFIDysè's S0￿ceS ar¢
received.
Tem71Tration beneffts are reC￿nISed immedrdtety as 8n expense when thè tharty Is demonstrabty committed
to temlnat&th6 employmeTrt of an employeg orkn prty*de tsrminatK)n beneffts.
1.10 R•ll￿MOrtt bEnefft•
Payments to dofined centritAJtlon T81iremenl bgngrrt sc*emes are charged a$ an expense 88thy foil due.
Crllkal o¢countlng ostlmats8 and judg•ments
In th• appIrAt￿)n of the Char￿￿5 g¢counkng Oic4es, the tsustoe$ arg r8qUifed to mak8 judgemertt5, estimates
and a8sumpIiDns aboth tho catryin9 arnount of assets and l￿bIlitIeS that are not ieadity apparent from other
sources. Tre estimates and associated assumption5 are based on historitsl experience and fxtors
are ¢on$id8r8d to be relevanLAdual resuhs may diffeifrom these ￿tiM￿te5.
The estimates and undething aSsump￿On$ arg revlewed on an ongoing basi$. Re*tsions to actriunling
esltmales are rècogni*J Ihe penod in which the estimate 15 re￿sed where Ihe ￿￿310ft allerts only that
period, or in thg p¥riod of Ihe r9v￿lDn Bnd future periods whero the re￿£10￿ aff•cts both ¢urrent an(1 fijlu
P81iods.
In¢om¢ from donatlons legaciB•
un￿tri¢￿d Unroslrfctsd
funds
funds
2024
2023
tk)nat¥)lls gnls
268.262
2￿,?54

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 30APRIL 2024
Income from Inve•tmettts
Unre8tri¢ted Unrestrict8d
ftds
funds
2024
2023
Intere¥t receivabje
2,842
523
Expendlturn on ¢harit&blg acti¥itie•
Headlng
*a¢982
2024
HÈadlng
#ac982
2023
Direct costs
Staff costs
D8precialon and impaim)ent
Staff trAining
Motor wnning expenses
Travelllng ¢xpense$
103,003
7.19t
265
9,962
2,016
B8,461
1,836
350
4.723
122,437
gs,314
Shar• of support and go￿rnan¢8 ¢o8ts18ee not• 61
Support
29,751
27,522
152,188
122.836
Analy¥is by fvnd
Un￿StriCted fund8
152,188
122,836
io-

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 30 APRIL 2024
Support costs alocaied to a¢tfvltl•s
2024
2023
Slaff c¥)sts
Operatlng kase charges
c￿an1Th9
Computer runniro cth
Insurance
Printing anLf stats"onory
Telècommuni￿￿0￿5
12,860
10,935
4S
18,081
10
290
477
942
292
1,215
$1Q
720
G￿rn￿an￿ ¢osi$
29.751
27,522
29.781
27,522
Ilet movernentin fuEttts
2023
The movtrwll In fvnd¥ 18 Stated charglntylc￿ltIng).
Fees payable forthe 8udrt Oft￿ charitys fin8ndal 8tstemèAts
Depr•clatR)n of owned iangiblefixed assets
0￿rating Seas• tharg
720
1,836
10,935
7.191
18,081
Tnwtqes
None of the trustees {or *)y persorffj ry)nneEtsd with them) TecewJ ary r￿nUneratIon c* bgneffits from the
charity durhg the year.
Employee8
The average monlhly nymb8rofempbyeo8 during Ihe year was..
2024
Numbw
Z023
Number
11

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS {coKnNUED)
FOR THE YEAR ENDED 30 APRIL 2024
Employaé•
Icontlnuedl
Employment eosts
2023
Wagès and s8Lqries
Social se(*Jrty ¢06ts
Other penslon costs
105.350
1.732
2,010
98,786
403
2.132
109,092
99,321
There were no emJoyees whose 8nnu81 ￿In￿neratk}n was mcKe than £60,Cth.
Romun•rallon olkèy nwrmgemtrni porsonnol
Th8 TemL1nèr*ti￿ of key management pfjrsonnEI wa5 as follo￿5..
10 Oth•r 8xpgndltur•
Un￿￿triCt•￿ Urr••trf¢ted
fun
funds
2024
2023
Financing costs
Olhw expenditur
266
1178)
266
318
11 Twtio
The ¢harfty 1$ èxempl from taxats.on on ts ad￿leS becauge all ts In¢om¢ 1$ tor Chaiitab￿ wrpos¢s.
12-

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30APRIL 2024
t2 Tanglblo fix•d aè#•ts
Fithfq5
Ilttbty8 vehkl•
Coot
At l Alay 2023
Add￿on¥
3,363
8.e73
3S,700
12,238
35.700
At 30Apnl 2024
3,363
44,573
47,936
Depreclatlon and knpwlnn•nt
I.. ,'A-12Q2
1,152
2.602
3.814
At 4UApril 2024
i.es7
9.348
11005
Carrylng 4mourt
At 30Aprll 2024
1,71
35,225
38.931
At 30 Aprfl 2023
2,211
6,211
8.422
13 CfeditoTr: la115ng du• wSthln ono y￿r
2024
2023
Ae4Juals and deferred ￿tOMO
385
14 Retlrement b¢nefftsclKmeg
2024
2023
nèd eontrtbution 8chèmè8
Charge to orlo55 In ￿SP￿L* of d￿rt#d c￿l￿bUt￿3n schemes
2,010
2,132
The tharfty operates a deffned ￿nti)￿jtK$n pen￿On 5theme for al qualifying em￿Dy￿s. The assets ¢1 the
s¢herne are helj s¢parately from those of the tharity in an independenty admlnist¢red luné.
13-

ANANDA9 LTD
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 30 APRIL 2024
IS Unrnstrlctsd fynd•
The unreslrioteo ￿ndS ofthe ¢harity Com￿1S¢ thè unaxpended ba19n¢es of don8tlons and grants whtth are
not subied lo 8perific conditions by domrs and granttsr5 as to howthey may be used. These indude
do5ignal8d fijnds which have b88n 681 aside ¢Jfunr•stri¢t*d funds by the twstess for speufic purposes.
At 1 May 2023
Incoming Re¥ourceB
resources
xpended
At30Aprfl
2Q24
Gon8ral fund3
285.187
269.104
{152,4541
401,837
provi0￿ y90r.
At 1 May 2D22
Incoming Resourc•8
resources
OXP8nd$d
At 30 April
2023
General funds
171.862
238.471
1123,152)
285,187
16 Related patty tran¥action8
There wer8 no disdosabl• related p8rty transactions during the yw12023- none).
14-