REGisfERED CHARITY NUMBER: 202084
REPORT OF THE TRUSTELS AND
Aly
AL STATEMENTS FOR THE YEAR Ef4DED
Isr MARCH 1025
tIWA
SHAD
RPau & Co Limhted
Chartered Certified Accountsnts
& Statutory Auditors
12-16 SLition Street East
CoYeDty
West MTdiand%
CV6 5FJ

VISHWA HINDU PARISHAD
FIN
DED
CIAL STATEMEL¥
Page
Rcport Df th¢ Truste
I to 7
Report of th¢ Independent A￿dItOrS
Stalwntnt of Fillxttclal Aetlvlti
8 to 10
B*knD¢e Sb¢¢t
12
Cash Flow Stattment
13
Notes to the Cash Flow StstemeNt
14
Not￿ to ¢ILe FIDaneial St*teNents
15 to 21
Detsiled Ststsmeni Of￿¥￿¢5*1 Acthiltfies
22 to 23

VISHWA HINDII PARISHAD
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST MARCH 202S
The tru5te¢s pres¢nt their Ywrt vrith fiDancial stat¢ments of the chariry foT the yeyr ended 31st March 2025. Th¢
trustees have adopted the provisions of Accounting attd R¢porting by CtrLaritie5: Statemexit of Recommended Practic¢
appliuble to ¢harities prepating their ac¢ouDts in a¢¢ordonee with the Fijancial Reporting Standard applicabl¢ in the
UK and Republic of Ireland (FRS 102) (efftctiv¢ l Janw 2019).
OBJECTIVES Af4D Acrivi
Obj¢ctlvtS iDd &lJns
The obJtctive$ detailed the governing do¢umeTht are:.
(a) To promote the advan¢em¢nt orth¢ HiThLu Religioll.
(b) To promote studies of and research itithe field of HiDdu R¢liBious Philosophy and to make known the Tesults of such
sDJdies and research.
{c) To relieve poverty $ickn¢3$ aod distr¢55.
Th¢ a￿1vitieS caThied out in this yeAr.
CElebration of fe￿1￿￿1$.
Latwgt classes.
Classes to ¢xplaiJ) Hith Dbarnw (Religion).
Youth kmitws Httldu valu¢s and practices.
Cothination with cther Hindu org8nisalion$ and promottng underst￿l￿g￿lth othK faiths through
Int¢rf&ith meetings.
Visitll￿ Hindu hone& on invitalioffj to Perform r¢ligiou$ riles w)d worship.
T¢JthiThg olrcligious educatÉott in ￿h0O15 thrwgh SACRES.
Branches conduct Cout￿lI]ng S¢S5ions.
Ea¢h year the trustE¢s review the activiti¢$ of the ¢harity in order to ensure that they CODtirtu¢ to rell¢£t th¢ objectLves Set
out in th¢ goY¢rning document. In ¢arying out thi$ review th¢ trUSt¢¢$ have Considered th¢ Charity cou￿11S$10n's
general guidpThce on public benefit in particul￿, its suppl¢mcnthry guidance on the advancemeni of r¢liBion for the
public E¢n¢fiL
It is the th￿te¢,$ opinion tltst the op¢r&lion of the dwity in its prestht form is for tbe public benefit under the PTirt¢kples
set out LD the Cbarkty Collltnission guidance. The Charity is open to and fr¢¢ to all. We provide res4￿¥r P￿blic servic¢3,
blessings and ceremonies and. 81 many Certtr￿. a Pl￿ of worstrLiP. W¢ provide ￿ltural eduational ¢la59e3 ts)
w(Mnot¢ the Hindu relig1￿. Our work imparts social, cui￿. tnoral and traditional value$ to children, leen&g¢rs and
adulis theTeby h¢lpiJJg to provide a moral and ethi¢31 fram¢woTk for people to live by so playing an important part in
building & better soci¢ty. Jn addition we provide lunch¢on Clubs forthe eld¢rly, dance closses and music classes at IIiai)y
VolU￿teerS
The rharity is ￿¢￿1 for the uns¢inting ¢fforts of its volunteers wbo are involved in Tunning the ch￿lty. W¢ mak¢ use
of morc than 150 volunteers regularly natiortwidc 8nd more giya their 5¢rYices at individual orgaai6ed ¢vents. The
volurtteers are or8ani5ed through a fr4nThorfc of bran¢hes itivolving working committe¢s at a local level. It 18 diificult
to attnlmrte an economic valu¢ to this contri￿tiOn the volwLte¢rs make of their time it is crncial to the basic
function of the ch￿lty. The executiv¢ committee ¢r￿ur*S that bcst value is derived from the efforts of Its¢ volunteers.
Page I

VISHWA HINDU PARISHAD UK
REPORT OF THE TRUSTEES
R THE YEAR ENDED 31ST MARCH 2025
ACHIEVEMENTS AND PERFORMANCE
Charltable aetivilie5
The Charity ￿lfilled its obj¢Gtives year by:
{a) To promote the advattcem¢ntof tbe Hindu ReligioD:_
Celebrations of Hindu festivals
Promotllig ullderstanding through Interfaith M¢etin8s aAd ￿ member of IPN-UtL
VisitingHitidu homes on invitation to perfom] Hindu Rites and worship.
Ib) To promotc stt￿leS of and r¢seaTth iti the field of Hindu Religi¢)w Pbil08ophy 3nd to mske l(nothn ihe reyults of such
$tudies and research:_
Teachitigof Reli8iou3 educauon through SACRE.
Language classg5 at our ¢¢iitres.'
C)&8w w explain & Teach Hitidu Dharm&
(c) TO r¢li¢ve poverty. sickness and distress:_
We ha￿ eo¢oura8ed ow br8nch¢8 to conduct ¢ounsellinB sessions aDdto collert Donations for education Aid.
W¢ ￿¢, ther¢for¢, happy to report that w¢ bav¢ achiev¢d our obje£tiv¢$ this year. These xtiviti¢S provide J publi¢
b¢nefit.
The PTimary rneaswe of su￿e$S or tsilw• of tkne activitics is th¢ level of donations Teceived and ffi]nds raised We we
happy with the level of donation5 r¢¢eived this y¢ar. Tbe year 2024125 h&s been otte of expansion, consolidation, and
r¢n¢wed leadership for the Charity. Despite heatdbrelated ¢h4llen8eg for some 3¢nior ufftllber& the Choriry has
contiDu¢d to grow its brdn¢h networK strengthen its rommuniry outreKh. enhance T¢lIgio￿ and chaplaincy
infrastrnLtur¢. aDd d¢liv¢r valuAble ¢thi¢atioDal and wellbeingprorn.
I￿ll¢s outstandin
last
l. The West Midlands braneh should begin thnctioning again.
2. We will ¢onttftue the Work on forming a new ¢hority with the Stat￿ of a Charitsbl¢ Incorporat¢d Organisa¢ioo (CIO).
l. The wodt reopeningthe West Midlands Branch continue&
2. On 5th MaTch 2024 a Ckwitable lo¢orporaied Or88lliz*ion with ChaTity No:1207321 forni¢dThe tn￿6¢S were
DrT Jotangia(knident). SuTind¢r Gautw)rf VP ). Pratibha Dthtta(PRO). Harishbhai Raja (Secretary). Prof. Nawajkant
Prinja(Edu¢ation Director). Narendrabhai Patel(Tr¢￿]rer), Ashwiti Mistr>(A$s.Tr¢w¢rl Vinoobhai wadherf
Cordinator HMN) and Dr Poonarn KakkerfArts & CultDral dire¢torJ We are in th¢ pr(tt&8 of trallsf¢rring the assets
and liabiiiiies of Vi5hwa Hindu P￿Ish￿d UK to that Charity.
3. GovernaDce and Trustee Changes
At th¢ Trt￿, Meeting held on 7th Nov¢mb¢r 2024, the following 80Y¢rn8n￿ updates w¢r¢ formalty [￿ded.
a Dr. Tiibhovan Jotattgia resigned as Pt¢sid¢nt and Shri Harish Raja as G¢neral Secretary due to ill health. They hav¢
kindly agreed to continue serving ws T￿Ste¢s.Vi￿0dbhal Waflher a]so r¢5igned &8 tnLStee.
b The BoaTd resolved t1￿* Shri Surinder GautaTAa be 4)pointed as the nrw Presidcnt of World Council of Hindw U
(WCH UK).
c Shri Anil Shah w¥5 appointed a5 & Trustee and appoiotsd as Oen¢ral Secr¢igry.
d Later in th¢ yeAr. to medical Teasons, our Treasurer Shri Narendrn Patel suffeTed a stroke and T¢signed from hls
T￿ponsibIlities. Sbri Ashwin Mistiy. fomerly Joint Tr¢asurcr. was appointed &$ th¢ n¢w Trolsurer.
Pag¢ 2

VISHWA HINDU PARISHAD
REPORT OF THE TRUSTEES
FOR TILE YEAR Ef4DED 31ST MARCH 2025
4. Expansion of Branch Network
The Cbarity continued its natiODal wvrttrL. SUCc¢S5fi￿Y launching two new branch¢s:
SIOU￿. designated &$ the West London Branch
b Milton Ke￿e$- desiglla*d as the South Midlanth Brallch
Work continu¢s to dev¢lop n¢w ￿&ll¢h¢S in L¢icester, BinniD8b1￿ al￿ Dartford. Prep•xtory activities 8r¢ oDgoiD8 and
¢xpe¢ted to mat4riaJi5¢ in the ¢otlling ￿OnthS.
5. Regional Conf¢rellcw and Mernber Engagement
On 23 March 2025, the l]ford Branch hosted & 1￿C South Vibhag Shibir, att¢Aded by over 100 m¢mb¢r5.
Repr￿n￿lIVeS reported on..
8 GeTheTrl brao¢h-level initiatives wnmuDity outreach
b Hindu M8lldirNetwork activitie5
c HiNiu Support Network prorns
6. Cbaplaw Trninin8 alld Supportto HinduNHS Network
The Manchester Branch organis¢d & twowbow Chaplaincy Trnining session via ZO￿ with around 60 participan
Certificates were issu¢d upon su¢c¢&8fv1 (ompletiort. This traInU￿ initig(ive ¢oAiinue5 to strengthen our comDMmity
$erwice upaeiry.
The Chariry a150 SUPPOrted the lauuth of the HinduNHS Network iDaugurated at ¢he Howe of Con)ttsow, attended by..
a He&lth Secrew RL HO￿ Wes Streclin8
b Lord Rjrni RaTrgeT
7. Chaplaincy and Religious ]nfr&8tru¢bJre
Key milestones ￿hIeved bn 2024125 iA¢lude:
a AppointtneD¢ of th¢ Hindu Chaplain at MauclL¢Ster Aitport
b Opening dedi¢ated Hindu Temple at Mancb¢ster Royal Infirtnary Hospital.
Employment of two pri¢sts underthe Religiow Worktt Visa sch¢mc-on¢ each 4t llford and Bolton branches.
8. Facilitie5 and Building Improvem¢nls
Major building repair work Z4t the BoltLTrn Mandir was successfi￿Y conjpleted this y¢*r, ensuring a s&f¢ gnd fvnrtioml
enviroDment for worshipp¢rs and visitws.
9. F¢stiYal$ &nd cUhUr￿ Artivities
All cb￿]ty branthes celebrated major Hindu festiv4b with blton8 community participatio￿ includiti
a Lohri
b Deepawali
c Na￿titi1
d Kris])￿ Ja[￿naShtaMl
e Holi
ThEse cel¢bration$ conlinue to be an importstit part of the Ch8rty's missionkn pr¢￿rYt and Promote Hindu culture.
10. Cornmuttity Health & Wellbeing Jtiitiative8
A large Health & Wellbeillg Progrhmme was organised at the Ilford Branth on 2nd Feb 2025. Medieal profes8iona15
from diverse sp¢¢ialities provided infomwtion ott..
aDiabetes
b Hywtensiojk
c Heart disease
In addition io the ¢ducational s¢ssions. the e¥￿t included on.sit¢ health srr¢enin& where participants received spot
hecks 2nd p¢rsonalized reports covving key health indi¢ators. This ioitiativc enabled individuab to identify potential
risks eaTly Bnd tak¢ appropriat¢ medhcal adNryce. The eveN hoDour¢d by the p￿SenCe of the H¢alth Se¢r¢tiry, RL
Hon. Wes Streetin
11. Education and Cultural Development
Awoss most branches. the ftsllowitig classes ¢ontinu¢ to effectively aTyJ attrad strong attendance:
Pag¢ 3

VISHWA HINDU PARISHAD
UK
REPORT OF ThE TRUSTEES
FOR THE YEAR ENDED 31sr MARCH 2025
a HiDdi language cla58ts
b Gujardti laD8llage cl&s5es
c Yoga classes
These programmes play a vital role in elllturai wrvation aL¥J ￿Mm￿li￿￿e1]be]pg.
12. kntwfaith and Civic EngagemeAt
T￿e Chgrity to work closcly wlth th¢ Creater M8nth8Ster Faith Leaders Co￿¢11. ￿ntribUting to int¢rfaith
b8Tmony. community ¢ooperntion, and ¢olk¢tive social wellb¢iti8.
For th¢ future the followin issues will trLY4Ye to be uddTes5¢d:_
l. The West Midlands branch should begin funrtioniD8 again.
2. We will continue the Work in traAsfetTiDg assets liabilities ￿tiVAtieS from Vishwth HIDdu Paris1￿0 UK to the new
Clwi¢able Incorpordted (Wisaiiofy (CIO).
FINANCIAL REVIEW
R¢8erv¢5 policy
Funds ar¢ ¢oUected through voluntory d￿atiOnS to fmance the Charl￿5 activities ond it is this inc¢xne fimds the
w)rk of the ¢baTity.
The n¢t incomin8 r¢sour¢es for th¢ year Jmoutstsj to £263,664 and this w&8 wibutsbk to ￿e￿la7 r¢5erves which now
stand at £4,102.471
With r¢wd to those g¢neTal reserves. J p)Il¢y h¥ beeTh ￿tablished wh¢rety th¢ ut)r¢stricted fvllds not cornmitted (*
inves1ed in tangible fixed assets. (the fre¢ reserves), h¢ld by the Charity shoum b¢ between 12 ond 18 months of th¢
arLnual re50￿¢¢$ exp¢nded which eq￿1¢$ w £180,000 to £270.000 iti genernl f￿￿. It is thaL at this l¢vel, it would
b¢ possibl¢ 10 continue the current activitie5 of the Clwity in the ¢vent of a significant drop in donatiOll& This would
then 8lve sufficient tiJn¢ to consider how the fithdingwould be replaced or the a¢tiviti¢S chaThgeiL
Overall this year, fr¢¢ Ks¢rves have In¢re&sed from £880.745 to £1,128,348 and so are now wnfortably in that range. It
ts planned to utilise these fr¢e r¢s¢rves next year on the coniitwd prO￿arn￿¢ of maintenance of our Qentres.
The primary fijnding source ts donations from the iDdividuals and famili¢$ att¢ndin8 ¢e(Ltres. Th¢ fvnds from this
sourc¢ are used io make provision for the activities ¢arried out in OTd¢r to acbieve the objectives oftkn chw.
Th¢ level of donatiODS recovered significantly during th¢ year, artd it is hoped thot this trend will ¢ontinue in the COTDllNg
Overall, the committee is 5ati$fied with ¢bes¢ fEgJIts at)d we will ¢ndeaYiJw to m&iDtain. and improve upon. this kv¢l of
itKorne into th¢ ￿￿Te.
F￿[URE PLANS
With regard to brture Strategy, the c￿lty plsns to coThtirtu¢ the a¢tivtli¢s oudined )bov¢ S￿bJe£l to ststi5(aL*rMy fimding
aTratt8em¢nts, (primarily donations).
In paticular. therepayment of the loans w511 be prioritis¢d where psshle.
STRUCTURE, GOVERNANCE AND MANAGEMEI4T
Governing docunxent
The tharity was established in 1972 after the adoption of a con5titulioftdat¢d 12th Au8llSt 1972. Further bye law5 to be
read iTh cornjullction with the w]ksiitution on I lth July 2009.
Pa8e 4

VISHWA HINDU PARISHAD
REPORT OF THE TR
STEES
YEAR ENDED 31ST MARCH 2Q25
SfRucfuRE, GOVERNANCE Af4D MANAGEMENT
OwAiSation*l 9tnb¢tur¢
The Board Of trustees 1$ made up of:
I. F¢rnWi¢M tnJste¢s who are appolnted by the Board of1n￿￿s.
2. The Board oftswt￿ who ar¢ eleued ¢very three years by the memb¢r5.
3. The chair persons of the Working committee5 of the ¢entres around the cowity who are elected tvuy two years by th¢
m¢mb8r5 of the Ielevant cetttre.
There are no persuA% ￿eMaI to the charity. which are e￿ltied to aM)oint t￿$tr¢s.
Th¢ Board of trJste¢s are re5F¥)Dsible for the gen¢ral management and control of th¢ ¢lwity as well as the day to d#y
nning of the charity through tbe chaiwDS of the c¢ntres. As Such they w¢ regarded as the trustees of the ¢haTity
under the Chari¢i¢5 A¢t. New Committ¢¢ metnbers aF¢ briefed in their d￿le$bY th¢ out8oing Committee members.
Th¢ centr¢S are in the following locations arowid the country
llfoTd
Newham
Souh Midlands
Lxicest¢r
Nottingham, (¢k)sed in 2024)
Bolton
Yorksbire
Manchester
South t￿)ndOn
H¢Trfordshir¢
West LondoJ4 <op¢n¢d Octob¢r 2023)
The Board of trus1￿ meets quart¢rly to ¢on5id¢r the prop¢r running ofthe chaTLty and ts activities. tn addillon, from
tirne to time, short tern) Sub-colnmx￿dS are created and then directed by tb¢ Board to deal with specific mattus. Those
su&comrnittees report back to the Board which then considers their re¢omm¢ndatioDS.
REFERENCE AND ADMINISTRATIVE DETAIJS
Registerd Ckarlty nurnber
262684
Prlb)¢ipal address
43 Clevtland Road
Ilford
IGI IEE
Page 5

VISHWA HINDU PARISHAD
REPORT OF THE TRUSTEES
YEAR
Trustees
Pernianent tswstees
Mr Surind¢r Gautam President (4>pointed from January 2025)
Ele¢ted Board trustees
Dr Tribhovam Jotangia- (reSi￿ed as President January 2025)
Mr Harish Raja- (resigned a5 General Secretary Janu&ry 2025)
Mr Narendra Paiel - (resigned as Trea5ur¢r January 2025)
Mr Ashwin Mistry- Trcasurer (appointed January 2025)
Prof Navalkant Prinja- Education Director
Dr Mrs Poonam Kakkhar- Arts & Cultural D]re￿or
Mr Vinodbhai Wadher- bducation Aid coordinator (resigned Noyember 2024)
Mrs Pratibha Datta (appointed January 2025)
Mr Anilkumar Jeshang Deushi Shah- General Secrctary (appoirttcd January 2025)
Mr Bharatkumar Makanji Mistry- Nehvork Coordinator (appointed January 2025)
Chai
rsons of Centres
Mr Vijay Kheterpal- Ilford (resigned Nov¢mb¢r 2024)
Mr Santosh Subhas'h Chandra Rathi- Ilford (appointed N0vern￿r 2024)
Mr Harish Bhudia- Newham
Mr Sharad Kumar Paiil- South Midlands brAnch Open￿ O¢tober 2023
Mr Shantibhai Patel - Leic¢stcr
Mr Ashwin Misty- Yorkshire
Mr Dr Ravi Kakkar- Manthcsier
Mr Mukesh Shantilal Pat¢l- Croydon
Mr Makrat)d K]znjkar- West London
Mr Sha%hikant Merchant- Bolton
Mrs Dinaben Bhaudia- Hertforshire
Auditors
R Pau& Co Limited
Chartered Certified Accountanis
& Statutory AuditOTS
12-16 Stsiion Street E&si
Coventry
West Midlands
CV6 5FJ
srATEMENT OF TRUSTEES, RESPONSIBILITIES
The ttijstees are responsible for preparing the Report of the I'rnstegs and the financial StateM￿ts in accordance with
applicable law and United Kingdom Accounting StsndaTds (Unitcd Kingdom Generally Accepted Ac¢ounting Practice).
Pag¢ 6

VISHWA HINDU PARISHAD
UK
REPORT OF THE TRUSTKVS
FOR THE YEAR ENDED 31ST MARCH 2025
STATEMEfa OF TRUSTEES. RESPONSIBILITIES- contEnued
Chariry law requires the tn￿te¢S to prepare fJwJcial s¢atements for f￿￿￿1￿1 year. Under th81 law, the tws*es have
ele¢ted to prepare the fujancial slatements in aCCord￿ce with Ut)ited Kittgdorn GwKralty Acwrted Accoun¢iD8 PraGtic¢
(UnitedKin8dom Accow?tiDg Standard8 and applicable law).
Uttder charity l&w thetru5t¢¢s must not approv¢ the finaneia] ststemeDts unless they are sattsfied thatth¢y give a trne artd
fair VI￿ of th¢ stat¢ of affairs of th¢ ¢haity and of the incoming resowces arnd appli¢ation of resources, iLJcluding the
in¢om¢ and exrKnditure, of th¢ eharity for tb* In prepAriD8 those find￿181 ststement& the InLqt¢es aTe requir¢d
lo
sclect suitsble a￿o￿tsting policies and then apply them consistsntfy.
observe the methods and principlu iti tb¢ Charities SORP.
Duke judgem¢￿ts and estimates are rwonable and prudent.
stste whether applicable I￿o￿ntIng statulord$ Ilave been followe￿ subj¢rt to any material depaTtyK5 disc105ed and
¢xplaiThed in th¢ f]nancial 5tateJnents'
prepare th¢ fttwKial statements on the going concem bas￿ unless 1¢ is inappr(yi8t6 to PTesum¢ that th¢ charity will
continu¢ iti busiDesi.
Th¢ trustees are responsible (or keeping proper accountiIl8 rewrds which disclose with reason8bk a¢¢urd¢y &t any time
the fll)an¢ial position of th¢ charity and to enable them to ensur¢ that the fillaD¢ial $iatem¢nts compty with the Charities
Act 2011 and The Clwity (A¢counts arld Reports) Regu18ti0JJ$ 2008. They are also responsibk for safrguardiTrg the
assets of the charity and b¢llc¢ for taking reasonable st¢ps foJ the preventiott and detection of frwd aod oth
iffe8ularities.
AppToved by order of the board of Inutees on 13th Jonuary 2026 and si8ned on its behalf by.
-y(?
Dr T P Jotangia M.B.B.S. l D.P.D- Ttua¢e
Page 7

RE
RT OF THE IiYDRPENDENT AUDITORS TO THK TRUSTEES OF
vtSHWA HINDU PAtUSHAD
Oplnlon
We have audited the fmancial stat¢nRents of Vithwa Hindu Parishad IUK) (the '¢harity) for the yew ended
3 1st March 2025 which comprise th¢ Statement of FiDaKcial Activities, the Balance Sh¢eL the Cash Flow Stst¢m¢nt pnd
not¢s to the fiThau¢ial 5¢atements. including a suttmwy of significant ￿COuntIng policie5. Th¢ financial reporting
framework has been applied Rn th¢r prepw&ion is applicable law and United Kingdom A¢countin8 Stsndards
Iunited Kingdom Generally Accepted A￿￿￿ting Practice).
In ow opitiion the ftllan¢ial statements..
give a and fair view of the stste otthe tharitys affairs as 4¢ 315t March 2025 and of its iThming resources and
applicalion of resources. for the year then ended.
have been properly prepared in accordan¢e with United Kit)gdom Generally Acc¢ptyJ Aw)untingPra¢titt',
hav¢ be¢D pr¢pared in accordaThce with the Tequirem¢nts of th¢ Cbarities Act 2011.
Basls for opl*lo
W¢ ¢ondu¢ted our audit in a￿ordIne¢ with In*rn4ti0nal Standud8 on Auditin8 (UK) (ISA$ (UK>) and applicable law.
Our responsibilities ￿der those standatds are fiuther descnljed in the Audits>rs' r¢5ponsibi]iii¢s for the audit of the
fllw¢ial 5tatem¢nts section of ¢)w report. We atr it￿ependertt of th¢ charity in 8¢wrdanc¢ with the ethical requirements
that ore relevant to our audit of the fuwicial statrm¢nts in th¢ UK, including the FRC'S Ethical Swidard, and we haw¢
fulfilled our other ¢thieal r¢spollsibilities in accordance with these requiren￿￿. We believe that the audit evid¢oce we
have obtained is sufficient and appropriate to provide a basts for ow OPiDiQll.
Conclusions rel•￿￿￿ to golng concern
ltt audTiing the financial statements, we havc conclud¢d that the truwe$' use of tho 8oin8 ¢oncem bag15 ofawJuntin8
the preparation of the statements is appropriat¢.
Based on thE work we have perfonnc4 we have not identified any material unc¢rtairttie5 relating to events or conditions
thaL tndividually or colle¢tively. MAY cast significant doubt QD the charjtys ability to continiie ￿ 8 going crnttm ft* a
period of at l¢a5ttwdve months from when the flnan¢ial sfatemettts ￿ authorised for i55U¢.
(hw r¢sponsibilities and the respoN8ibiliti¢s of the trustees with respe￿ to going roncern are deScri￿d in the T¢levant
sect>oDs of this rewL
other Infortn*tlon
The tr￿sle¢S ar¢ rcsponsible for the other itiknation. The oth¢r infonnatioTr conyises th¢ infornation iThcluded in th¢
Annual ReporL oth¢r than the filLanci￿ st&tsr[￿ts and our Report ofthe Independent AudÉt(*s thereon.
(h]r opinion on th¢ fMan¢1￿ statemthts does not ¢over the oth¢T it)fomtion an¢£ except ty th¢ exwit otkn¥is¢
explicitly ststed in repo￿ we do not express any fo￿ of assurance wi¢lusion ther¢on.
In Conn￿tion with audit of th¢ financial statem￿, our responsibility is to lead th¢ other iDformation an& in doing
SO. ¢ODsider whether the oth¢r inforn￿tion 13 materially incoDSiSt¢nt with the financial statements or our knowledg¢
obtsined in the audit or otheTwis¢ appear5 to b¢ roaterially missfated. If we id¢ntify such material ill¢oThsistenci¢s or
&pparent malerial mi5ststEm¢nts, we ar¢ required to d¢termin¢ wbeth¢T this 8ivcs rise to a m&leriJl misstatement itt the
fltsancial ststements themselves. If, based on the WOTk we have perfoTmed, we conclude that there is a material
misst*emenl of this other Informatio￿ we are required to report that fact. We have nothing to ttport in this Yegard.
M*tters on which w¢ Y4rn requlred to report by ex¢eptloD
We hav¢ nothing to Teport iti respect of tht following where the Cbari¢ies (Awoutts and Report8) Regul&tion5
2008 requires us to rcport to you rf, our opiu10￿.
the iDfom)atlOtt given in the Report of th¢ TnLStees is in¢4>nst5t¢nt in any nJJtwial respert with the financial
staternents. or
5uffichcnt accounting records knve not been kept; or
the fhnanci81 ststements ar¢ not in agre¢metti with the acwunting records Jnd retunis; or
we hav¢ not recrived all the inf0Th￿tIOn and ¢xplwwtion5 we requir¢ for our 8udiL
Page 8

REPORT OF THE INDEPEP4DENT Ai)DITORS TO THE TRUSTEES OF
VESHWA HINDU PARISHAD
Respon91bllltle8 of Irustees
A8 explained mor¢ fully in the Ststement of Tn￿tres, R¢5ponsibilitiw. the th￿¢e5 ar¢ r¢s￿￿$1b1¢ for the Preparation of
the financial statements whtch giv¢ a tru¢ and fatr view. and for such ittternal ￿lltrol &8 the trustees det¢min¢ is
ne¢¢ssary to ¢Dabl¢ the preparation of fJnan¢ial statemots that ￿t fre¢ from mat¢riai miut&emetsi wlwther due to fraud
or error.
In wtparing the S￿ementS the tru3tee$ are respottsi171¢ for w¢ssing th¢ cbarffttys ability to conti]]ue as a going
coThcern. disclosin& &8 applie8ble. llthtt¢rs related to goin8 coneern and Using the going concern basis of ac4ounting
unle85 th¢ trilSte¢s eith￿ intend to liquidate the charity OT to cea5¢ opera¢10￿. OF bave no rea]xstK aiteTn*ive to do
Our rtsN)llsibllltles for th* audit of tbe fimttclal $t*tem¢Dts
We have been appoinled As auditors under Section 144 of the Charities Act 2011 and report in with the Act
and rel¢vaDtTegulations mad¢ or baving ¢ffert thereunder.
Our objectiv¢s ar¢ to obtain reasonable 3ssuT￿¢c about Wheth￿ the f￿an¥la1 s¢atem¢nts as 4 whole free from
materia] mi5stat¢mertt, ￿￿ether due to fraud or error, andto issue a Report of the IDdep¢ndent Auditors that includcs o
opinion. Rewnabl¢ ossurance is a high l¢vel of assuran¢4 bui is not 4 guarante¢ that an audit conducted in accordance
with ISAS (UK) will always d¢te¢t a material misstatement when it exists. Misstatements can arise from fraud or error
and ar¢ considered m8terial if. Individu￿lY or in th¢ aggrega￿ they re&W￿ty b¢ ¢xpeded to influence the
economic dectsions ofusers t#ken on the basis of these fu￿¢la} ststem¢ttt&
The ex¢ent to whi¢h OUT pr￿edureS are capable of itr¢gularitie4 incJudn)g fraud is detailed bekyw:
Based OD our understanding of the ¢harity and th¢ $eclor in which it OP¢Tat4 we identificd the principal risk5 of
non-compliance with laws and regu]ations related to th¢ acts by the charfty, wbich w¢re contrary to applic&ble laws and
regUl￿10￿S inclijding fraud. and we considered the extent to which noD40mpliaTh¢e mighi have a ma¢eria] effect on the
rJnan¢ial 51atemcnts. We also cowidered those laws and re8ulatiOn5 that have a dirKt impact cffl the preparation of the
fmancial statcments 5ueh as the Companie5 Act 2006. We evallla*d mana8em¢nt5 illwLtiVe5 and oppot1unities for
fraudulent manipulation of the financial statements (including th¢ risk of overrhde of cotttrols), and d¢tem]in¢d that th¢
principal risks were ￿lOted to infiated r¢venue and th¢ ebarity'$ net inwne forth¢ yew.
Audit pr￿edureS performed included.. review of the fi￿¢181 Statement disc105ure$ to underlying sUPPOrtiDg
dowrnentation, revi¢w of Co￿esPOndence with and repons to the regulators, iticluding correspondenG¢ with the Charlty
Ctmnmission, rovi¢w of ¢QErespondellrx with le8al advisors, enquiries of managem¢nL and in testing of jownab atsd
eyaluating wheth¢r there w&% evi¢knce of bi8s by the trustees that represented a risk of matrrsal MI￿tateMent due to
There are inberent limitations in the audit PTocedures d￿rTh1 ed above wjd the fwther r￿TrOved Don wmpli￿¢ with
laws and regulations is from tbe events and transaction$ refl￿ted in the finaneial ststem¢DW th¢ less Iikely we would
become awdre of it. Also, the Tisk of not detecting a materi&l misstatem¢nt du¢ to fraud is higher than the risk of n
delecting one Te5ulting from ¢rror. as fraud iDvolv¢ dcliberate conteaiment by. for ¢xample, forgcry or i￿entional
misrepr¢￿￿tatsOlls. or through collusion.
A fiJrth¢r desttiption of our respottsli jilities for the audit of the financi￿ stJtements is kKated on the Fin8n¢ial Report￿g
Council's w¢b5ite at YnYw.frc.org.uklauditorsrespoDsibiltties. This descriVioD fornL8 part of our Report of the
Indep¢nd¢nt Auditors.
Page 9

REPORT OFTHE INDEPEf4DENf AiJDITORS TO THE TRUSTEES OF
vtSHWA HINDU PARISHAD UK
U5¢ of our report
This Tepor¢ is made solely to ihe Charitys t￿￿tte4 as a body, sn accordance with Part 4 of the Charities (Accounts and
Reporfs) Reglllations 2008. Our audit work has been undertaken so that we might state to th¢ charity's ln￿t¢¢$ those
matt¢r& we are required to state to them An an auditors. report aud for no other purpos¢. To th¢ fullest extent pernitt￿ by
law, we do Mlt accept or assume re5ponsibilty to myone oth¢r than the charity and th¢ Clwitys tswstees as a bryly. for
our auditworK forthis r¢por( or fortbe opinions we have fom¢d.
R Pau & Co Limiied
Chartered Certified Aceountonts
& sthtutory Auditors
12-16 Station Str¢et East
c￿entrY
West Midlands
CV6 5FJ
13thJanuary 2026
Page 10

VISHWA HINDU PARISHAD
UK
STATEMENT
AR
NAN
ND
CT[V￿￿S
31
2025
Total
fimds
2024
Totsl
Unrestri¢t8d R¢5tricted
fijnd
Notes
INCOME AND ENDOWMENTS FROM
Donations and levies
468.988
468,988
311,296
ChaTitsble *ctivltl¢s
Schcol fees
Festival audday cxntre &ncome
17,936
38.847
12.557
30,808
12,557
30.808
Othw trading activities
Investment inco]ne
5,216
15.830
5,216
15.830
2,882
21.174
392.135
Total
533,399
533,399
EXPENDrruRE ON
Oovernanee costs
17.136
20.010
20.010
Ch#rltabl¢ *etlvJde5
Charitabl¢ aaivities
249,725
249.725
228,303
245,439
Total
269.735
269,735
146,696
NET INCOME
263.664
263.664
RECONCILIATION OF FUNDS
Totsl brrNght forward
3.838.808
3.838.808
3,692.112
TOTAL FUNDS CARRIED FORWARD
4.102,472
4,102,472
3,838,808
The notes forni part of t)￿5¢ financial #atemeThfS
Fage 11

VISHWA HINDU PARISHAD
BALANCE
2025
Total
2024
Total
fimd
FIXED A&SETS
Tangible assets
2,974.124
2.974.l24
2.958,063
CURRENf ￿SETs
DebtOTS
C&sh at bank alld inhand
78,015
1,084.744
24.657
957,875
12
78.015
5,084,744
1,162.759
1,162,759
982.532
CREDITORS
Amounts fa]lin8 due within on¢ year
l3
(34,411)
(34,411)
{75J37)
NET CURRENT ASSETS
1,128J48
1.128,348
906,995
TOTAL ASSETS LESS CURRENr
LIABJLMES
3.865,058
4,IIY2.472
4,102.472
cRED￿ORs
A]Tho￿ts falling due after on¢ year
14
(26250)
3.838.808
NET ASSETS
4,102,472
4.102.472
FUNDS
Unrtstrlcted fill￿8
16
3,838,808
4,102,472
4.102,472
3,838.808
TOTAL FufADS
The finaDci21 statements were 8pprov¢d by the Boord of T￿￿te¢S and Y4ulhorised for i58ue on 13th January 2026 and
were 5igThed ￿ its bebalf by".
T P Jotangia M.B.B.S. l D.P.D- Th￿te¢
The not¢5 fotm part of these finaD¢ial statem¢t)ts
Page l2

VISHWA HENDU PARISHAD UK
CASH FLOW STATEMENT
R THE YEA
31STMA
2025
2024
Notes
Cgsb flows from opersting *etlvltles
Cash g¢n¢r4t¢d from operations
140.081
73,456
Net cth provided by OP¢TatiDg aciivities
140,081
73.456
C9sk flows from Invuttng 4rtfvitie$
Purchase of tsngibl¢ fix¢d assets
InteT¢StreceiYed
129,042)
15,830
(27230)
21.174
Net cash used ill investing Jdivilies
(13,212)
(6.056)
Ch*ng¢ In ¢8$h ¢a$b equfvaknts ID
¢h¢ r¢trt)rtiBg perlod
Cash Cash equivalents •t the
begiDniDg of the reportiThg peTK>d
126.869
67.400
957.875
890,475
Cash and efjsh equivalents 8t the end of
the reportirtg period
1.084,744
957,875
Tr DOteJ fonnpart of these fjnawial statements
Page 13

vtSHWA HIF4DU PARISHAD U
NOTES TO THE CASH FLOW STATEMBNT
FOR THE YEAR ENDED 31ST MARCH 2025
RECONCILIATION OF INCOME TO NET CASH FLOW FROM OPERATING ACTTVITIES
2025
2024
Net Income for the r¢NbrtlD8 perlod (•$ peT tke StitellRnt of FiDaneial
A¢tlvlties)
Adjustments for:
D¢pre¢iation char8¢S
Int¢r¢st ￿(eIved
TI￿taS¢YdC￿r¢a5e in dcbtors
263,664
146,696
11980
(15,830)
(53 J58)
(67.375)
9.634
121,174)
40,711
1102,411)
Ne¢ ￿$b provided by op¢r*llons
140,081
73,456
ANALYSIS OF CHANGES IN NET FUNDS
At 114124
Cash flow
3113125
Net c•sh
Cash at bank And in Fwid
957.875
126.869
1,084.744
957.875
126,869
1,084,744
Debt
Debts fa]ling du¢ after l year
(26.250)
26.250
(26.250)
26250
Tol*]
931,625
153.119
1,084.744
The Dotes forn part of these fmanciai staten￿nts
Page 14

VISHWA HINDU PARISHAD
NOTES TO THE FINAfqciAL sfATEMENTS
FOR THE YEAR KND£D 31ST MARCH 2025
AccouiYfiNG POLICIES
Basts of prtp*ring the fiThapcial statements
The financial Statements of the charity. which is a public benefit ¢]rtity ulld6r FRS 102. have been prepared
ecordance with the Charities SORP (FRS 102) 'Ac¢ourfillg and Rwrting by Chariti¢s.. Stskment of
Re￿)1)]mended Pr￿tire applicabl¢ to charities prnparing their acwunts in accordm¢¢ wlth the Financial
Reponing Standard ￿pliCable in the UK and Republic of Ireland IFRS 102) (eff¢rfive l January 2019)..
FiTwKial Reporting Stsndard 102 The Finallcial R¢porting Standard applicable in the UK and Republi¢ of
Ireland, and the Charities Ad 2011. The ftnancial statements have been prepared under histori￿] ¢Lbt
nyention.
The financial statenwnts ar¢ prepared on a gohng conc¢rn basis and aTQ prepared in sterling which ij the
fut)ctional Cu￿encY of the ¢lwity aDd rounded to the neaTe6t £.
The 8ignificani &c¢ountiDg p)li¢i¢s applied In th¢ preparation of thu¢ fmattciai sth¢¢ments are set b¢low.
These policies have been ￿1)sIste￿IlY applied to all y¢ws presented ￿11¢3$ oth¢rwise stated.
In¢om¢
All inu)ming resowces are included in thc Statement of Financial Activities (SOFA) when th¢ clmrity is l¢galty
entitled to the income after any perfOrn￿¢¢ conditiuns have been mel the amount can be me&sured Teliably and
it is probable th¢ incorne will b¢ received.
For d￿￿tionS to be reCO￿lS￿d the charity will have be¢n notified of the amounts and the settlement date in
writing. If th¢tr conditions attached w the donation aTKi this requires a kvel of performance b¢fore
entitlement eart be obtained then income is d¢ferr¢d until those conditions are fvlly met or the fidfiiment of those
conditions is within the control of th¢ ¢bgrity and it is probabl¢ will be fvlfilled.
D￿￿ted facililies aod dorsated Professional services are rew￿lSed in iticcrfne at their fair value when their
¢conomic benefit is probable. it w be rn¢a%uted reliably and the charity has control over the item. Fair valu¢ 1$
deietmined on the basi5 of the value of the gift to the charity. For example the amowit the charity would be
wi]lill8 to pay in th¢ opell market for swh facilities and Servi￿S. A coffespoudTrDg amount is Te¢ognised
No aft￿ is Included in th¢ fJnartci&l statements forvoluttteer time in Ilne with the SOL￿ (FIL8 102).
Income from eharitsble adiviti¢s activities includ¢s in¢ome earned ￿h0o1 £¢￿ and festivals and day ¢¢ntres.
Ineome is received in ¢xchaDge for supptying 8(KJds and services in order to raise fund5 and is recogni$ed when
entitlement bas OWLrre(L
Expendlture
All ¢xpendtture is acwunted for on an accruals b&8is end ha5 been classified under h¢Jdiugs that aggregate all
costs ￿lated to th¢ category. Expenditure is rth)gnised where ther¢ is a legal or constructive obligation to n
payment5 to third prt it is probabk ibat the settlement will t* required and the amouTLt of the obligation can
be measujrd reliably.
STAPPOrt ¢osts 4lloe*tloM
Support Costs are th05¢ that assist th¢ work of th¢ charity but do not directty repr¢sent charitabl¢ activities and
I￿l￿d¢ offi¢¢ costs, goverDaDC¢ costs. adrnithistrativ¢ costs. They are it1￿￿Ted direetty in support of expendttyr¢
OD the objeets of the charity.
TAn8ible fixed assets
TangiblE f￿¢d &$5ets ore ststed at eost (or deemed ¢05t) or less accUmula￿d d¢pre¢iation and 8¢cumulated
itwjairniettt losses. Cost ltiCh￿¢s Costs directly attributsble to m&(iDgthe asset capable of opcrating ￿ intel￿d.
tkrrtciatim i8 pfovmied on all tangibl¢ r￿ed assets, at rate5 Cal￿tated to WTit¢ off the cosL ]￿ estimatr4J
rasidual value. of each asset on a systernatic basis over its ¢xp¢cted usefvl life follows:
Page 15
continu¢d...

VISHWA HINDU PARISHAD
UK
NOTES TO THE FINANCIAL STATEMENf6- ¢on¢inu
FOR THE YEAR ENDED 31ST MARCH 2025
ACCOUNTING POLICIES- tontinued
T¥n¥ible fixed *ssels
FiY¢ur¢s and fittittgs- 20% reth¢ing balan¢
Frc¢hohJ propety- IYO on co$t
Taxation
The cknity is an exempt charity withti) the me4ning of 5th¢dul¢ 3 of the Chariti¢s A¢t 2011.
Fund •¢£ountlng
Unrestrided fiuids eatt be used in accordance with the dwitsbl¢ obj¢diYes at the dls¢rrflon of the trust¢¢5.
Restri¢*d fvn(ts can only be used for partTcular restricted purposes within the objects of th* ¢bority. Restiictions
aTiS¢ when specified by the donor or whett fi]nds are raised for partirul8r restricted purpose&
Furth¢r explanation of th¢ nature and putpos¢ of each knd is iD¢lud¢d in the notes to the sla¢ernctlts.
Dtbtors and erfdltors rfcelv&ble I payable withln one year
Debiors and creditors with no sth*d int¢rest rate atld Feceivable or payablt within one ye8r ar¢ recorded
traDsa¢tton price. ADY losses arisiD8 from impairmeDt are rec08llis￿ in expenditur*.
C¢knCesslo￿￿ry Io*Ds
Conc¢ssionary loans include those payablo to a third parties whith aTe hnierest free or b¢low market iDt¢rest rates
aTyI are n]adc to advan¢¢ ¢hatitsbl¢ purposes. All such loattg art me&8ured at ¢osi le9s impaimi¢nt.
DONATJONS AND LEGACIES
2025
2024
Donations
Gift aid
SLthscriptiorLS
Sundry income
397287
62.942
5269
3.490
251,274
43,947
5,760
10,315
468.988
311.296
OTHER TRADING ACTIVITIES
2025
2024
GTJn¢s r￿Cl¥ed
Hdl hire
2,731
2,485
500
2,382
5.216
2.882
Page 16

VISHWA HINDU PARISHAD UK
NOTES TO THE FINANCIAL STATEMEN
YE
inu
H202
INVLSTMENT INCOME
2025
2024
tkposit acwwLt iDter¢st
15.830
21.174
INCOME FROM CHARITABLE AcfiviTIES
2025
2tr24
Adivity
School fees
Scbool fres
Festival and day centr¢
income
12,557
17.936
Festival and day centre inwDe
30.808
38.847
43.365
56,783
CHARrrABLE A￿1v￿rIEs COSTS
DirKt
Charttable activities
249,725
SUPPORT COSTS
GovernaAce
¢osts
RaisAts8 donatioDS legacies
20.010
Support cost$, included in th¢ above, are as follows:
Gover￿ll¢e costs
2025
Raising
donatiOJk8
2024
legaci
aclivities
Auditors. munerwtion
Proftssional fee$
6.000
11,136
14.OkO
20.010
17,136
Page 17
continued...

VISHWA HINDU PARISHAD UK
NOTES TO THE FINANCIAL STATEMENTS- continued
FOH THE YEAR ENDED
2023
AuD￿ORs, REMUI¥ERATION
2025
2024
Fees payable to the choritys auditors for th¢ audit of the C￿lty's
statements
6.000
6,￿0
TRUSTEFS, REMUNERATION AND BEf4EFris
There were no trust¢¢S' T¢muneratioJk or b¢n¢frts paid for the ye4r ¢tsded 31st Marth 2025 nor for the ye4r ended
31st Marth 2024.
Tru5tezs' expenstS
Th¢r¢ werr no 1ft￿te¢S, ¢xpenses paid for tho year ended 31st March 2025 nor for the y¢aT ended
3 1st March 2024.
Jo
STAFF COSTS
Wage5 and Salori
34.845
22,846
£34,845
£22,846
The averog¢ monthly Dumber of employe23 dwing the year was as follows..
2025
2024
Priests
No ¢llJployees received ert￿luMents in exces5 of £60,¢￿0.
Pag¢ 18
continued...

VISHWA HII¥DU PAIUSHAD UK
OTES TO THE FINANCIAL ST ATEMENTS-
END
11. TANGIBLE FIXED ASSETS
Fixtures
8nd
rittin8S
Fre¢hold
propeity
TotN]s
COST
At 1st April 2024
Additions
1973.156
10.462
218.011
18,580
3.191,167
29,042
At 31st M￿h 2025
2.983,618
230,591
3220209
DEPRECIATION
At 1st Aptil 2024
Chatge for year
54.087
1,466
179,017
11.515
233,104
12.981
At 31st 2025
55.553
190.532
246,085
NET BOOK VALUE
At 31st Ma￿h 2025
2,928.065
46.059
2,974.124
Ai 3 1st March 2024
2.919.069
38,994
2,958,063
11 DEBTORS: AP*tOUNTS FALLING DUE ￿THIN ONE YEAR
2025
2024
Other debtors
78.015
24.657
13.
cRED￿ORS. AMOUNTS FALLING DUE wrrHIN OIYE YZAR
2025
2024
Trade creditors
Accn]als
conc￿s1O￿ary loans
2,161
6,000
26250
6,006
6,000
63.531
34,411
75J37
Page 19
tontinued...

VISHWA HINDU PARISHAD
N(YtES TO THE FINANCIAL srATEMEr￿- ¢oDtinued
FOR THE YEAR ENDED 31
T MARCH 2025
14.
CREDrroRS: AMOUNTS FALLING DUE AwfER MORE THAN ONE YEAR
2025
2024
o￿tr ltrAns (see note 15)
26250
IS WANS
In 2015 the Ch￿lty has received a ¢on¢ession8ry loan of a principal sum of £530.0￿) and a fillther sum of
£IOO,(K)O 2016 to fimd th¢ purch￿ of the new property at the Ilford branch. This has b¢en received On
int¢r¢5t fre¢ ba5i$ and 1$ being repaid on a mortthly b￿LI Over a period of 10 ye4rs from th¢ completi(Trn of th¢
property pwchAs¢.
I& MOVEMENT IN FUNDS
Net
moyement
in fiu)ds
Ai
3113r25
At 114124
Unrestrlcted funds
General fimd
3,838.808
263,664
4.102.472
TOTAL Fuf4DS
3.B38,808
263,664
4,102,472
Net movement in fill￿$. iti¢l￿d in the above er¢ as follows:
Incomlng Rwowces Movement
r¢sources
expended
Art 6Jnds
Unrestricted futtdg
Gen¢TE41 fund
533.399
(269.733)
263.664
TOTAL FUI¥DS
533,399
(269.735)
263.664
Comparntlves for rnovtment In fundj
N¢t
movement
in fimds
Ai
3113124
A¢ 114123
Uttrtstrlcted funds
General fimd
3.692.112
146,696
3,838,808
TOTAL FufiDS
3.692,112
146.696
3.838.808
Pag¢ 20
continued...

VISHWA HII¥DU PARISHAD UK
NOTES TO THE FINANCIAL STATEMEf4TS- ¢ondAued
FOR THE YEAR Ef4DED 3IST MARCH 2025
I& MOVEMENT IN FUNDS- continued
Comparative net JDovemert in fimd4 included iti the Abo￿ are ￿ follows,.
Uarestritted lund$
General fijnd
392,135
(245,439)
146,696
TOTAL FufqDS
392,135
(245.439)
146.696
A wrrent year 12 months and prior y¢ar 12 months Cotnbinrd position 18 ftillows:
Net
mOV￿llent
At
3113125
At 114123
Unr¢strl¢ted
3.092.112
410,360
4,102.472
TOTAL FU141XS
3.692.112
410,360
4,102.472
A cwr¢nl yw 12 months and PriOT year 12 motths combined net rnoYemen¢ ill fuods included in the above are
a5 follows:
Resowces MovemeDI
expEnded
UrtrestrJc¢ed hnds
Genera] fund
5.534
(515.174)
410,360
TOTAL FUNDS
925.534
(515,174)
410,360
17. RELATED PARTY DISCLOSURES
There w¢r¢ no Telated party tronsactions for the year ended 31st Marcb 2025.
Pag¢ 21

VISHWA HINDU PARISHAD UK
DETAILED STATEMENT OF FINANCtAL ACTIVITIES
FOR THE YEAR ENDED 31ST MARCH 2025
2025
2024
Donatlons And l¢88cies
397287
62.942
5269
3.490
251.274
43.947
5.760
10.315
Gfft aid
Subscriptions
468,988
311.296
Other trnding ¥¢tiviti
Grants r￿e1ved
Hall hir¢
2,731
2,485
500
2,362
5.216
2,882
Investment Income
Deposir &C￿llnt interest
15.830
21.174
Charitable 4rtlvltles
School fees
Festival and dwy centre incom¢
12,557
30.808
17,936
38,847
43.365
56.783
To¢al intOIlllD¥ resollr¢ts
533J99
392,133
EXPKNDITURE
Charitsble 8cth4tles
Donations to Pri￿ and volunteer5
R¢nL rates aDd water
InsuTan¢¢
Light and heat
Repairs aDd Tenewals
Hall hirE
Tel¢phone
Prirttl￿ posts¥¢ and Stationery
Travelling
Fe51ival aDd day ¢entre costs
Equipment and books
GeDeral expenses
Visit of other Swamijis
School expenses
Bank charges
Depreciation of tangible fixed assets
Carried forward
34,845
4208
,474
19.419
56,013
3,767
2.282
3,750
1,600
36,710
653
29,174
22.846
4,312
10.306
16,827
17.867
3.844
1.467
1.659
81K)
16.018
965
84.955
301
34292
683
9.634
226,776
34,572
12,980
248.837
This page does form part of the ststutory fjnancial stst¢m¢nts
Pa8e 22

VISHWA HINDU PAIUSHAD UK
DETAILED STATEMENT OF FINANCIAL Acriv
R THE YEAR ENDED 31ST MARCH 2025
2025
2024
Cknritable 4ttivities
BMu8knt fon¥ard
DonatiODS
248.837
888
226,776
1.527
249.725
228J03
Support ¢O5ts
Governanee costs
Auditors, r¢ll)wn¢rdtion
Prof¢ssi¢)nal fees
6.000
14.010
11.136
20.010
l7,136
269.735
245,439
Net In￿￿e
263.664
146,696
This page (kne5 not forn) part of the slatutory fllwKial stht¢m&)ts
Page 23