Charity number
1202833
Jeevan Vigyan UK
Report of the Trustees and Unaudited Financial Statements
for the year ended 31 December 2024

Jeevan Vigyan UK
Report and accounts
Contents
Page
Charity infomvdllon
Trusl&&g' report
Accountants. report
lttcome and Expendiluwe Slalemenl
statement of Flnancial Position
Movement ot Fund8
Notes lo Ihg Accounts
Detailed Stslement of Financial Position
9-10

Jeevan Vlgyan UK
Company Information
Tru¥tsg¥
Prem Bahadur Khadka
Sarila Sharma
Tulasi Prasad Paudel
Accountants
Kanli & Co Ltd
27 Kingston Road
South Wimbledon
London
SW19 1JX
Bankers
Nalwest Bank
Charlty Registered offlce
92 PILJmstead High street
Plumstaad
London
SE18 1SL
Charity Registratlon number
1202833

Jeevan Vlgyan UK
Reglstered number:
Trustees. Report
1202833
The Trustee58 present their report and accounts for the year ended 31 Decembèr 2024.
Princlpal activities
The principal acb'vitiÈ8 of the charity are lo promote and advance public edecallon and
understanding of th8 philosophy and practice of yoga providing regular yoga classes physlcally
and on online throu9houl the yèar and helping peopl¢ for their physical and mental strength.
Trustsè$
Th& following pèrsons 8erved as Iruslee during the year..
Prem Bahadur Khadka
Sarita Sharma
Tulasi Prasad P8ud81
Small Charity provlslons
Thi5 report has been prepared in accordance wlh the provisions in Section 132 of the Charily Act
2011 applicable lo charities subieot to thè 8m811 charities regime.
This ￿port was approv9d by the board on 2 Junè 2025 and signed on its beham.
rem Khadka
Trustee

Jeevan Vigyan UK
Accountants. Report
Accountsnis. report to the Trustees of
Jegvanvigyan UK
You consider that the charity is exempl from an audll for the year ended 31 December 2024. As
the charity Trustees you have acknowledged, on the statement of financial position, your
responsibilities for complying with the requirements of the Charity Act 2011 1 The ACV'I, section
132 wllh respect lo accounting records and Ihe pr¢paralion ol accounts. These responsibilities
includè preparing a¢¢ounts that give a twe and fair view ol the slate of aff8lrs ol the chaTily al the
end of th8 financial year and of 11$ suiplu$ tsr deficit for the financial year.
accordance wilh your inslruclions, we have prepar•d th8 8e¢ounl$ thich comprise the Income
slalemenl. the statement of financial p08ition, the Statement of Changes in funds and the related
notes from the accounting rocord5 Of the company ancf on th8 b89is of information and
explanations you have glven to us.
W8 have not carried out an audit or any other review, and ¢on$equenlly we do not express any
opÉnion on thèsé r8pc>rts.
Kanll & Co Ltd
27 Kingston Road
South Wimbledon
London
SW19 IJX
2 June 2025

Jeevan Vlgyan UK
income and expendlture statement
for the year ended 31 December 2024
2024
2023
Income generated
11,061
8,931
Adminislralive pxponsgs
15,7581
14,8581
Operatlng proflt
5,303
4,073
Income before tsxation
4,073
Tax on profil
Incomo for the financial year
5.303
4,073

Jeevan Wigyan UK
Charlty Reglstration numb8r:
Slatement of flnanclal posltion
as at 31 D¢¢ember 2024
1202833
Notes
2024
2023
Current assets
Ca8h at b8nk in hand
9.376
4,073
Net ¢urrènt assets
9.376
4.073
Net a8sets
9,376
4.073
SurpluslldeflcStl and reserves
Surplu81 Ideficill accounts
9,376
4,073
Avallablfr fund$
9,376
4,073
The Trustee88 are satisfled that the charity is entilied to exemption from the requirement lo obtsin
an audit under the Chaiilios A¢t 2011.
The member has not requirpd th¥ company to obtain an audit in accord8nc& with section 477 of
the Act 2011.
The Trustee8 acknowlgdgo their rgsponsibililies for complying with the requirements of the Charity
Act 2011 wllh wsp&¢t lo a¢¢ounling records and the preparation ol finanrAal statements.
The Financthal Statements have been prepared and dellvered in a¢cor<lanc8 vllh tho $pedal
provisions applicable lo charities subje¢l to the small charflios regime.
rem Khadka
Trusl8e
Appigvod by the board on 2 June 2025

Jeevan Vlgyan UK
Movement of Funds
for the year ended 31 December 2024
su￿luB
and Ideficiti
account
Total
At 26 Aprll 2023
Surplus for the perSod
4,073
4,073
At 31 Decombor 2023
4,073
4,073
At l January 2024
4,073
4,073
Surplus for thè financial year
5.303
5.303
At 31 December 2024
9,376
9,376

Jeevan Vlgyan UK
Notes to the Income and Expenditure Statements
forthe yearendad 31 December 2024
1 Accountlng policlo9
Basis of preparallon
The financial statements have been prepared in accordance with slalement of recommendod
practice ISORP). A¢counling and Reporting by charity preparing their accounts in accordanc¢
with FRS 102. the Finan¢ial Rgporb"ng Slandafd applicable in the UK and Republic of Ireland and
accounting and reporting by the Charities Act 2011.
Incoming Resources
All Incoming Resourc85 arè included on thè Slalemenl of Financial Activities whe¢) thè Charsty is
legally enlilled lo the income and the amount ¢8n be quantified with rgasonable accuracy and
measured at the fair value of the consideration rècèived.
Resources Expended
Expenditure is accounted for an accruals basis and has been dassified under headings that
aggregate all cost rolat¢d lo the category, where costs cannot be directly allribuled to headings.
they have been allocated lo a￿1vIti08 on a basis consislenl with the use of r950urces.
Allocation and Apportlonmènt of Costs
All c9515 relate lo each single activity of the charity arè recognised accordingly and all¢￿ted In
separat¥ h6ading where possible. Unreslrictecl funds can be used in accordance with tho
charitable objecbvos al the di8craliun of the Trustees. Restrietèd funds can only be used for
restricted purposes within the objecliv?s of the charity. Restriction ari8& when il is specified by
the donor or when funds are raised for re$lricted purposes. Funds ar@ usèd in accourdance wilh
ils purposes.
Stocks
Stocks of stsuvènirs items are measured at the lower of co81 and estirnated selling priee 18s$
oosts to complètè and sèll. Cost is determined using the first in fiTsI out method. The carrying
amount of stock sold is r8cogni8Èd as sn expense in the period in which the related revenue is
recognised. Du¥ing the year Ih&ro was no stocks.

Jeevan Vigyan UK
Notes to the Income and Expenditure Statsments
for the year ended 31 December 2024
Taxatlon
J88van Vigyan UK is a charity and it5 lax exemption is granted by HMRC.
Provisions lie liabilities ol uncertain liming or amount) are recognised when there is an obligation
at the repcirting dale as a iesull of a past event, il is probable that economic benefit wll be
iransferred lo settle the obligation and the amount of the obligation can be e81imaled reliably.
2 Oth•r Infomiatlon
Jeevan Vigyan UK 18 a Charitabl& Incorpor8tÉd Otganisation ICIOI regist&r&d with tha Chariiy
Commission for England 8nd Wales on 25th April 2023 . Its registered office is..
92 Plumstead High street
Plumslead
London
SE18 1SL

Jeovan Vlgyan UK
Detailed Statement of Income and Expenditure Accounts
for the year endèd 31 December 2024
This schedule do85 not form p&rt of lh& slatutory accounts
2024
2023
G•n&ratsd In¢omo
11,061
8,931
Administrativ& 8xpen$&s
15,758)
{4.858}
Operntlng Incom
5.303
4.073
Income befor& tax
5,303
4,073

Jeevan Vigyan UK
Detailed Statement of Incorne and Expandlture Accounts
for the year ended 31 December 2024
This schedule do6s not fom) part of th8 statulory accounts
2024
2023
Incomlng resources
Non Reslriclod Membership fees
Non Reslricled Members, Donations
Oiher Donations
Sale of souveniis
1,212
1.549
8,000
300
4,946
3,985
11,061
8.931
Admlnlstratlvg ¥xpgnses
Employee costs..
Travel and subsi$len¢e
320
320
Premis￿ c08ts'.
Venutr HiTe
1,530
345
General adminislralive expenses..
Telephone and Inlernel
Foods and drinks
Teaching Volunle8r
Volunteers expenses
Stalignery and printing
Bank char9QS
Insurance
Equipment expensed
f,019
383
1,350
852
46
2,320
335
171
72
177
299
301
Leg818nd professional costs..
Othe*r legal and professional
1,000
1.000
5,758
4.858