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CHARrrf NUMBER: 267037
OSHWAL A88OCIATION OF THE
UNITED KINGDOM
ANNUAL REPORT AND
FINANCIAL STATEMENT8
YEAR ENDED 31 DECEMBER 2024
GRIFFIN STONE MOSCROP & CO (GSMI
Chartèred AG¢ountants
21-27 Lamb'¥ Condult Stregt
London WC1N 3GS

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QSHWAL ASSOCIATION OF THE UNITED KINGDOM
ANNUAL REPORT AND NNANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
CONTENTS
PAGE
Legal & Admlnislratfve Dèta118
Report ofthe EX￿UtIve Committee
Independent Audliors, Report
9-12
Statement of Financial Activlues
13
Balance Shéet
14
Statement of Cash Flows
15
Notas lo the Flnancial Stat8m8nts
16-26

Docu81gn Env8iop¢ ITr. 8CgC638fh25894891.8AB34CCCD3A2CB53
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
LEGAL AND ADMINISTRAnvE DETAILS
CHARITY NUMBER: 287037
EXECUTIVE COMMirrEE:
Offlco Bear•r8:
Presldenl
Nam
Rumil Dwch8nd Shah
From
(01101r2024 to pr88entl
Vlce President
Nlrmal Chandrakant Shah
{0110112024 to pre88nti
Secretsry
Avnl Jayantllal 8h8h
Min8sh Venlchand Shah
12810412024 to presont)
10110112024 10 28104120241
Treasur8r
Mlnakshl Naren Shah
(0110112024 to pre8ènti
Oth•r Momborn..
ANlnd Dharamshl Shah
Basanll Dlllp Shah
Bhavln Manlsh Shah
Bllal Harakchand Shah
Dylan Bunty Shah
Hltèn Panachand Savla
Hlte5h L8kh8m8hl shah
Khlllt Mukund Shah
Poonam Chlm8nlal Shah
Mlne8h Venlchand Shah
R8188h J8lh8lal Sheh
Rajvee Shah Punaiar
Sachln Shamml Shah
Shandlp Nalhalal Shah
Shllpa Chalan Shah
smlla Jagnesh shah
128A)412024 to preBent}
1011011202410 28104120241
(0110112024 10 28104120241
101101r2024 to presenll
(2810412024 to presenti
{0110112024 to presentl
10110112024 to present)
10110112024 to presenti
10110112024 to 2810412024)
12810412024 to pre8ent)
10110112024 10 28104120241
(0110112024 to presentl
{0110112024 to pre$8ntl
(0110112024 to presenti
{0110112024 to presanti
{2810412024 to pr888nti
Area TTU•t••8:'
Ea81
Klshoro Lalll Harla
Avnl JÉyantll81 Shah
Rahul Somchand Shah
Sarad Lakh8m81 Shah
Irene Mafjoile Shah
De8P8k Jfvr81 Haranla
Mukesh Nathoobhal Shah
Poonam Alkesh Shah
Ume8h Bharmal Shsh
Jayshree Dhlren Shah
Nlpun Premchand Shah
Chunllal Premchond Shah
Shejal Nilesh Shah
11810512024 to presentl
10110112024 10 18106120241
12310812024 to presentl
10110112024 to 2310812024)
10110112024 to pre8enl}
10110112024 to pr•$ont}
10110112024 to presenl)
(0110112024 to pre6enl)
{1210512024 to presentl
{0110112024 to 12105120241
{0110112024 to pregenti
11210512024 to pr8sentl
10110112024 to 12105120241
LetC88ter
Lulon
Northampton
North
North Ea81
North Well
South
We8t
CHARITY NUMBER:
267037
PRINCIPAL OFFICE:
08hwal Centre
Coopors Lane Road
Norlhaw
Hert$ EN6 4DG

OSHWAL ASSOCIATION OF THE UNITED KINGCX)M
LEGAL AND ADMINISTRATIVE DEfAILS
CHARITY NUMBER: 267037
WEBSITE:
AUDITORS:
Griffin Strme Mosuop & Co (Gskq)
Ch¥tered Accountants & Registered ALKlltor8
21-27 Lamb's Cor)duit Streat
London EC1 N 3GS
BANKER8:
Barclays 8ank pk
NatwJn81 Vlesthlnster Bank Ptc
F￿StOne Inv8Stffonl klanagemènt Limlted

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OSHWAL ASSOCIATION OF THE UNITED KINGDOM
REPORT OF THE EXEcufivE COMMITTEE FOR THE YEAR ENDED 31 DECEMBER 2024
The Executive Commiltee pro8onttheirgnnual reportwhh he audited finandal statements oflhe Assodadon
for Ihe year ended 31 D￿ember 2024. The financial statements have been prep8red based on the
ac¢ounllng policies set out in note I lo the financtal slatem￿ts and coryty wlth the requtrements of the
Charities ACL Constitution of As*xlation. and AcuunbThJ and Rewbng by ChaiitM.' Statement of
Recommènded Practke applicable to ¢harrt* preparfng their accounts In a￿dance with the Financlal
Reporting Standard appluble In the UK and Republ￿ of Ireland ICharrli88 SORP FRS 102) leffectlve 1
January 20191.
Oblocts of th¢ As8o¢latlon
Th8 objects of the Assoclalon, as defined by the Constllukn ¥e'.
the advancement of Ihe Jain rellgton
r611of of poverty
advancement of &4uc8tbn
prolecllon of health and welfar
other charltsblè objects 88 tho Tru8tees of the A8BoCIath￿ nw Irom time to deckl•.
Wthln these objects the A880¢￿tIOn..
has constructed and l¥ malntalnlng 8 Dera88r {Jaln templ•l, 81 ts 08hw81 Centre kn Pottern Bar;
malntsln8 communlty ha118 Gurrentty at Potter8 B¥ (H8rtrwd8hlrnl, Klng6bury (North West London) and
Hounslow {Mtddlesexl whkh ¢an l)8 hlred by lis memb•r8 and others for cetobratlon of blrthj,
marrtagas, and rellglou8 functlons, et¢.
cllltsles pr¢yrammo$ and ceremonles to mark du8pkkn￿ days a8 pro8cdb8d by the Jaln rglhabn.,
facllltst86 Sportlng luncwons and Iltn88s and yoga do888s for memb•r8 en¢ompas$lng all aga group8
and gocLql 8V8nt8 for the elderty.,
faclSlt8te8 18amlng ol Ihe language and culhye lor youwer ffffjmbor8 of tho communlty In
88veral areas.,
hold$ semlnarn,18ctures. Worksho￿ el¢. for advancemenl of heallh and welfare of members, provldlng
guldance for lurther aducallon and caroor advancemen( and for a deeper understandlng of the Jaln
relTrgbn.
Publle B•n•fft
The Executive Commllleo ha8 g￿ten carefvl consider81vJn lo guklance published by the Charlty Cornml881on
on PU￿1¢ beneftt, when reviewlng thelr airm and objectives and in plannlng aclivitles.
Organl•atlonal 8tructur•
The ￿sOcIatIon16 govem•d in oKordBn¢6 wbth tho ternw of its Con$lItutk￿.
01 Ex•¢utlv• Commltt••
The name8 of the ojrrenl members d the Exxullve conNnI￿ and those who hehl office durlng the
finan¢lal year are set out on page l.
The members of tho Executive Committee, who aR the CharSty Trusta88 for the PUTP08es of Iho
Charities Act 2011. o)ndLKI the operations of the Association. Fulktlme paid erry)loyee8 end volunteers
urKlertake the day-trHJay managerrnnt of the A88(Klation. N￿e geOgraph￿?1ty defined bran¢h88,
referred to as Areas, ￿port to and arn responsible to th6 Execuihe Commiitee. The Areas have their
own local COMM￿le8$ and are responsible lor the var￿8 &livilies operatsd In furtheran￿ of th8
Assoclation'5 objects in theli respectNe ar&qs.

Dowsign En¥8lcye10.' 8CgC6381h258N6914A8MCCCD3A2C853
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
REPORT OF THE EXECUTIVE COMMITTEE FOR THE YEAR ENDED 31 DECEMBER 2024
The Exe¢uUve Committee ¢omprBes of four Office BeareT8 and ljvelve Ex8cullve Committee Momberg
who are elected by the members ol the Assoclalon for a period of two years. In additlon, e8¢h of the
nlne Ar8a Chairpersons is also a Trustee of the As5cKialion.
The Executive Committee meets on average once 8 month lo discuss the aftalrs ofthe ASS￿18110n.
Sub£ommlttee8
To a$sl$t In the operalon and managamenl of Ihe Associatron. su￿0MmIttee$ are fom)8d. Each sL￿h
commlttee Is ¢halred by a member of the Executivè Committee and comprfses of several other
mbers of thg Assoc181ton as requlred by the Chairperson. S￿￿¢0MmIttee5 in operatlon during the
yearwere:
Siib-Coi)Imiltec
Audit Committee, Fundraising &
AFoa Cothinalor
Fin8nc8
Admlnlstrativ8 & External Liai50n
Secretary
Chlef Information Officer
EduGatlon & Piinl Media
Health & Wellbeing & enabling nthork
Women's Empowerment
Youth, Sports & Games
Professlonal Development
Welfare & Anand Yalra
PMC & Medla
Govem8nc8, Lagal & Memb8rship
Cultural & Herllage
Assl Treasu￿1& Capex Due Dlllgence
Tèchnology, CTO & Media
Rèligion & Religious Ambassador
OBPN & Enabllng Ne￿ork
Cliairperson
Froi)I
To
Nlrmal C Shah
Meena N Shah
Rumil D Shah
Avnl J Shah
Nlmal C Shah
R8lvee Shah Punalar
Shilpa C Shah
Avnl J Shah
Sachln S Shah
Dylan B Shah
Hltesh L Shah
Minesh V Shah
Hlt8n P Savla
Arvlnd D Shah
Bilal H Shah
Khilit M Shah
Shandip N Shah
Smlla J Shah
0110112024 to present
0110112024 b present
01101r2024 to present
2810412024 to present
0110112024 to present
0110112024 to present
01101r2024 to present
2810412024 to present
0110112024 to present
2810412024 to ￿sent
0110112024 to present
2810412024 to present
01101r2024 to presenl
28104f2024 10 present
01101r2024 to present
01101r2024 to PR5enl
01101r2024 to present
28104f2024 10 present
bl Boarif ofAdvlsorn
The Board of Advisors now comprf$es of six elected members and several past Presldents, (who have
Sorved the Assoclatlon and do not hold any office}. The Board of Advisors Is an independent body that
advlses the ExeGUtlve Committee on m811ers that are roferred lo the Board and are also involved In the
grievance and disciplinary pr¢xedure. The foltowlng members served the Association as members of
Board ofAdv150rs durlng the year..
Ha8mlta Hitssh Shah
Jinlt Gosar Shah
Manlsh Hansraj Shah
Neel Mahendra Shah
Late Ramesh KD Shah
Suml Httesh Shah
Niie$h Bhagwanji Shah
Late Ratlkl Devchand Shah
EleGled Member
Elected Member
Elected Member
Elected Member
Elected Member
Elected Member
Past p￿SEdent
Past PTe5idenl

0¢￿￿9n Envelope ID.. 8Cgc638￿25e946Bl-BA8McCCO3A2C833
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
REPORT OF THE EXECUTIVE coithiirrEE FOR THE YEAR ENDED 31 DECEMBER 2024
cl R•munoratlon poll¢y for koy m8nagom8nt pèrsonnel
The Trustees ¢onsldeT the members of the Executive Commlltee comprlse the key managoment
personnel of the Gh8rlly In charge of directing, conlrolllng, njnnlng and operating Ihe A850¢iation on
day-tskday ba3ls. None of the Trustees Tecelved any remuneratlon Of benefits In the year for provldlng
thelr 8ervlGes.
Flnonclal Rwlew and R•8ults for the Year
Total Incom in 2024 waj £1,931,385 88 comp8rad to £1,906,694 In 2023 an incre888 of £24,891.
Expenditure decreas￿ In the year by £172,913 from £1,586,234 In 2023 to £1,413.321 in 2024 before
allowlng for the Impalrment charge of £57,0031£270,447 in 20231
Th18 ha6 re8ulled In tho net 8urp5u8 In the year to bo £461,061 agalnst £50.013 In 2023
Accordln9ty, th8 net assets of the A88oclatlon IncTea8ed from £22,889.803 on 31 December 2023 to
£23,150,664 on 31 December 2024
A¢tlvltl•• Undortaken In lh• Yoar
The followlng actfvlll86 were undertaken durlng the year..
The Asgocl8tlon has Conllnued to help local and Intern8tlonal Commun1￿88 from the donAllonB glven
98n6rously ty our members.
Ats8plclou6 days In 8ccordane8 wlth the Jaln Calendar weT& celebrated al all our 8rea8, thls Included
Aymbel, Paryushan, D￿11, Sav8nl8arl Bholan and Dhaladln. To make th88e events fully Incluslve for
all Oshwals l¢X81ty and Int8¢n8llonolly we have conllnued and expanded the use of Zwm, YouTube
and other onllne platrorm8.
The foollall ot the Dera88r ha6 slgnlflcanuy Increased 88 a result of an Incrga8e In actlvltles and
Innovallvely 188chln9 Jalnlsm.
The funds collected under 08hw81 Welfare Fund (the new scheme) wlll be fulty ullll8ed by the areas,
All donaltons can bo made el?￿rOniCally.
Tho use of aleclronlc m•dla has In¢re88od Slgnlficonlly whlch 18 a6818llng In the reduellon of the
a8soclallon's carbon footprlnt. The use of blodegr8dable plate8 tt88 replaced the slngle uge pl88tlc.
We have seen a s￿n￿can1 Incr8a$e In regular actlvlUo8 In all ar888.
New Ilft 8t the Dersar has now bean Installed and belng u80d by our elderly whe8l¢halrbound member6.
Work on Shakti Centra renovallon8 began in the year and Is expeGted lo b8 comploted by early part ol
next year.
The purcha80 ofwalllngton Sports & S(Klal Club 8134 Molllson Drlvg W8lllngton, Surray wo8 complgled
on 2 February 2024 al a cost of £2,837.316 Incluslve of all costs.
In accordanc8 wlth the maln obio¢llve of folbwlng 8nd propagating tho Jaln falth and communlly ¢oheslon
wlth m•mbors and the wlder communlty, all a¢tlvilie$ und8rtaken fvlffilled Ihese aims and oblecllves.
Communty ¢ohe8lon Is an Important aspect of the A880clallon's work. The cUr￿nt la¢llltles wllh the further
devalopments belng undertaken will enable the A¥scdaUon to addres8 and dellver progr8mme$ arKI ov8nts
to the changing demogiaphic of the member8.

Dwslgn En¥8lope ID.. 8cgc638r￿2S8g4sg1-8￿E&gCCCD3A2C853
08HWAL ASSOCIATION OF THE UNrrED KINGDOM
REPORT OF THE EXECUTIVE COMMirrEE FOR THE YEAR ENDED 31 OECEfv1BER 2024
Futur• Plans
The Executive Committeo has Identffied the followlng medlum-term obiethes whlch will be revlgwed on an
annual bas1S'.
Dlsposal of 58-60 Wndmill Road, South London.
Refvrblshment ol Oshwal House, Oshwal Centre.
Redevelopment of Wallingion Sports & S(xlal Club purchased In tho year.
To contlnue to organise seminars, lectures and events In order to promote the princlples of the Jain
Rellgton.
To organls8 semlnars, kctures and events on Health and Wgllbeing of our membws and ensure we
become (ulty Inclu51ve.
To oonllnu8 and promote th8 actfvlty for the youth.
All Derasar Murti's to be repaired and repalnted to give It frosh Ilfe and funds forthis hav6 already been
collected.
The members have a vast resource ol knowledge and experl8nce whlch shall be used positfvety for all
future plans.
Golng Concèrn
The Trustees conslder that there are no material unGertainties abjuttht Assoclation'8 abllity to ￿ntinue as
a golng concern.
Rl8k Managèment
In the short and medium term there are no slgnificant dsks, except for a calaslrophic occurren¢e at Ihe
Association's properties. Adequate Insurance provisions have been made to miligate such rfskslpotential
Ioss8s and these are rgviewed annualty. An external provideT has been appolnled to undertake regular rlsk
assessments for health and safety issu8S.
The ExeGLthe Commillee is responsible for the management of the rlsks faced by the AS¥￿￿tIon. All
significanl aclivllles undertaken are gublecl to rlsk review as part of the inilial prolect assessment and
impl8mentstion. The Executive Committee revlèws the major Tisks th8t the Association faces on a regular
basis and controls are established as approprigle.
The key controls used by the As50¢1atlon Indu¢Je.'
Formal agenda$ and mlnutes for all Executlve Commltte8, Areas and S￿￿0mMIttee meeting
Detailed term6 of r8feT8nG8 for all Commlttees
Detailed budgetsry presentation for each activily for approval by Ihe ExeculNe Commlttge
Established organlsational structure and lines of reporting
Fomial written reports to the ExeGUtNe Commlttee
Clear authorlsalion and approval levels
Vetting Procedures as requlred by law for the protection of the vulnerable
Engagement of exlemal professtonal advisors a8 and when ne¢essary

OSHWAL ASSOCIATION OF THE UNITED KIIIGDOM
REPORT OF THE EXECUTNE COMMITTEE FOR THE YEAR ENDED 31 DECEMBER 2024
The Executive Committee is satsf￿d that the risk5 Id￿1]Th￿d ar& adequate￿ mbtigated whern
necessary through controls eslabllshed for the running of the Associalion.11 is re¢ognBed Ihal the controls
established Gan only provlde reasonable but notat*dute assuTance that major r￿kS have been ad8qLtatety
managed.
The ExeculNe Commlltsels 8ware that mre than £85,000 are hdd ￿lih Several regulated UK banks. The
treasury policy 1$ to revlthy thls on a regular basis.
R¥sorves Pollcy
A Substantsal proporti)n of th8 resefves shry4¥n in the balance sheet are represented by assets other than
¢ash. Of the reserves at 31 Decwnber 2024 of£23,150.864. net Current assets amoun￿ to £5.053,126
The Executlve Committee consider the unen￿Mbe[ed reserves of Associthn lo be £4,856,925 being
the net current assets, less amounis due after one ￿￿.lasS restrlcted rese￿￿5.
The ExKutiv¢ Commitiee have reviv￿ tho Association's need for unen¢urnbe￿d reserves have
decided to maintain these to cover the annual ￿Umr￿j exFwditure of the Assoclatlon ￿iCti Is e5tlmated
lo be approximateW £1.4 mlllion. The level of unerKumbered reSeTves are monitored and rewewe(I reguk
by Ihe EX￿￿tiVe Commtttee.
Inve8tmont Pollcy
The Executive Committee takes a prl￿nI th to the invesbThnt of SUFplus furth as these ar8 being
reiained for fvrtherfng the obje¢ts of the As%)dation. A¢￿InglY. bjnds not rtyuir8d lor expenditu￿ In the
short temi are placed on d8posiL
Freohold Proportle8
Thé Asswlation own5 the follry*5ng freehold prowties through its wholty (Y•med subsidiaries:
Lashglow Limited:
Oshwal Cenlre In Northaw, Hert￿l￿¥h*e
Oshwal Ekta Centre In lQrosbury, North West LoThJ
Oshwal Shakti Centr8 In Hounslow. Lor
SLM Propertles Limlted:
Oshwal Shanl Centre, 5&80 Vthdmlll Road in Croydon. South LoTrJon
Rumit Shah and Mlnakshl Shah as Trustees of Oshwal Assoclatpjn of the UlQ'
V48llington Sports & Soial Cl￿1, 34 Mollison Dri¥8, WaHington, Surrey South Lcrton
AJI the properb'es ar8 hald as rnmlne8 on behalfof ts Asxdatw)n.
A¢counllng and Reportlng Ro8pon8lbllltles
The ExecutNe Committao is resp)nsible for preparing tho Rewt of the Executive Committee and the
financial statements in accordance with Charl￿9 Act 2011 and Unibj Kiwdwi Gweralty Accepted
Accountlng Piactice.

DouJ5wJn Envelope10.. 8C9c838￿258￿891.8AB￿9CecO3A2C8S3
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
REPORT OF THE EXECUTIVE COMMirrEE FOR THE YeAR ENDED 31 DECEMBER 2024
The Charlties Act2011 requires the ExeGUtive Committse as Charlty Trustees oflheAs50cl8tion lo prepa
accounts for each financial year whlch glve a true and fair view of it5 financial activities during the year and
of Its finandal posiuon al th8 end of the year. In presenting those flnanoial Statements, they are required
seleGI suitable accounllng ￿liCIeS and Ihen appty them Consisten￿Y.
obseNe the method$ and prin¢lples In the Charbties SORP FRS 102;
make judgements and estlmale8 that are reasonable and pruden(.
follow applicable UK accounting stsndards and the Charflies SORP FRS 102, disclosing and explainlng
any departures In the awounts.,
prepare the financial ststements on a golng concem bas15 unless It Is inapproprlale lo do so.
The Exgcuuve Commlttse Is responsible for keeping prop8r accounllng re¢ords whlch disclose with
reasonable accuracy al any tlme the finanGlal posltion of the Association. and to enable them to ensure that
th8 financlal slalements comply with the requlrements of the Charfly IA¢counls and Repor151 Regulatlons
2008. They are also responsiblg for safeguarding the asse15 of the As8o¢latlon and henoe for tsklng
reasonable sleps for the prevenllon and detection of error. fraud and other irregulaTitses besides the above
responsibllilies.
Voluntsor8 and Stsff
The Assocl*ion benells greatly fiom the Involvement and enthusiastK support of Its many voluntsers and
staff
The EX￿utIV8 Commlttoe tak&s this opportunity to Ihank all th8 volunteers and staff for thelr imialuable
time devoted in helping to run the affairs of the Associdon.
Approved by the Exe¢ulwe Commlttee on
6 Aprll
2025 and signed on Ihelr behalf by:
Rumlt Devchand Shah
Pr¢sldont
Mlnakshl Narnn Shah
Tr88surer

Do(￿1g￿ Env4opE ID.. 8C9C638LL25884891-8AB3-9CCCD3A2¢853
OSHWAL ASSOCIATION OF THE UNITED KINGOOM
INDEPENDENT AUDUTOR'S REPORT TO THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
Oplnlon
We have audited the financia] stalements of Oshwal knociation of the United Kingdom (the
'¢harity') for the year ended 31 December 2024 which comprise Statement of Financial
Activitie4 th¢ Balance Sheet, the Statement of Cash Flows and notes to the financial statements.
including significant accounting pollcies. The financial reporting framework that has been
applied in their preparation is applicable law and United Kingdom Accounting Stsndards.
inclLM£ing Financial Reporting Standard 102 The Financial Reporilng Standard applicable in the
UK and Republic ofJrelaKd (United Kingdom Generally Accepted Accounting Practice).
In our opinion the financial ststements:
give a true and fair view of the state of the charity'8 affairs 4$ at 31 December 2024, and
of its incoming resources and application of resources, including its income and
expenditure, for the year then ejmled,
have been properly pr¢pared in accordance with United Kingdom Generally Accepted
Accounting Practice; and
have been prepared in accordance with the requirernents of the Chwities Act 2011.
Basls for oplnlon
We conducted our audit in accordance with Internation￿ Standards on Auditing (UK) USAS
(UK)) and applicable law. Our responsibilities under those standards are further described in the
auditor responsibilities for the audit of the financial statements section of our report. We are
independent of the charity in accordance with the ethical requirements that are relevant to our
audit of the financial statements in the UL includtng the FRC'S Ethical Stsndard. and we havc
fulfilled our other ethical responsibilities In accordance with these requirements. We Ixli¢ve that
the audit evid¢nce we have obtsined is sufficient and appropriate to provide a basis for our
opinion.
Emphasis of matter
We draw attention to Note 4 in the financial statements, which describes the ongoing review of
Derasar Complex costs brought forward as at l January 2024. We also draw to your attention
that depending on the outcome of the revÉew, a prior year adjustment might be required Thext year
to writewoff up to £l.Im, in respect of Cumulative costs that were rApitalised from 2017-2020
which are now suspected to have been expenditure that thould have been charged to the
Statement of Financial ActlVLties.
Our opinion is not modified with respect to this matter.
Concluslons relating to going concern
In auditing the financial statements, we have concluded that the Irustees, use of the going
concern basis of accounting in the preparation of the financial 5tatemenls is appropriate.
Based on the work we have p¢rfom]ed, we have not identified any material uncertainties relating
tr) events or conditions thal individually or collectively, may cast significant doubt on the

Docu*w EnvdoF4J1Tr. OC￿638￿￿25a￿l-&￿scCco&l2cBS2
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
INDEPENDENT AUDUTOR'S REPORTTO THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
charity's ability to conlinue as a gokn8 concem for a period of at Icasi twelve months from when
the financial statem¢nts are authorised for issue.
Our responsibilities aNI the responsibilities of the with resped to going concern are
described in the relevant sections of this report.
Other inforntstlon
The other inforniation compiises the infollnation includ￿1 in the trustees, annual report , other
than the financial statements and our auditor's report thereon. The tTh￿teeS are responsible for thc
other Informatio￿ Our opinion on the ftnartcl￿ statements does not cover the other inforniation
and we do not express any fonn of assurance conclusion ttr￿On.
Our responsibility is to read the other information and. in doing so, consider whether the other
information is materially Inco￿81stent with the financial slatements, or our knowledge obtained in
the course of the audit or otherwise appears to be rnaterially miss￿. If we idenlify such
material inconsistencies or app￿ent material misstatement4 we are required to detern)ine
whether this gives rise to a material misststement in the fmancial statements themselves. If.
based on the work we have perfornied, we conclude that there is a material misslatement of this
other infomiation. we are required to report that facL
We have nothing to report in this reghr
Matters on which we are required to report by exception
We have nothing to report with the exceptions noted below in respect of the following matter5 in
relation to which the Charities (Accouftts and Reports) Regulations 2008 wuire us to report to
you if, in our opinion:
the infom)ation given in the Iwstees, report is inco￿lStent in any material respect with
the financial ststements. or
sufficient accounting records have not Ixen kepL or
the financial statements are not in awent with the accounting records; or
we have not Teceived all the infornation and explanations we require for our audit.
In respect of accounting records kept we noted th¢ following cxceptions..
The Charity hAs not kept a detsiled fixed asset reBister and therefore is unable to confirn)
if the costs brought forward is overstated with potcntial assets held Twhich have may have
been disposed of.
Full payroll rewtds for part of the year were not available for inspection due to10&8 of
Responsiblllties of trustees
As explained more fvlly in the trustees, f¢SPODsibilities statement set out on page 7 & 8, the
trustees are responsible for the preparation of the financial statements and for being satisfied that
they give a and fair view, and for such internal control as the trustees detemine is n￿esSary
to enable the preparation of financi8] slatements that are free from material misstatemenL
whether due to fraud or eTror.
10-

DorArygn Envdy ID.. aC￿638￿58&4a91￿￿9CCCDS42¢8S3
OSHWAL ASSOCIAnoN OF THE UNrrED KINGDOM
INDEPENDENT AUDUTOR?S REPORT TO THE TRUSTEES
FOR ThE YEAR ENDED 31 DECEMBER 2024
In preparing the financial statements, the trustees are responsible for assessing the charity's
ability to continu¢ as a going concern. disclosing. as applicable, mattets related to going conrxrn
and using the going concern basis of accounting unless the trustees either intend to liquidatr the
charity or to cease operations, or have no realistic a]ternative but to do so.
Auditor responsibllltles for the audit of the financial statements
We havc been appointed as auditor under section 144 of the Charities Act 2011 and rq)ort in
accordance with the Act and relevant regulations made or having effect thereunder.
Our objectives are to obtain Monable assurance aErt)ut whether the financial stat¢ments as a
whole are free from material misstatemenL wbether thie to fraud or ertor. and to issue an
auditor's report that includes our opinion. Re&￿nable assur￿ is a high level of assuranc4 but
is not a guarantee that an audit conducted in accordance with ISAS (UK) will always detect a
material misstatement when it exists. Misstsiements can arise from fraud or error and are
Considered material if, individualty or in the aggregate. they Could reasonably be expected to
infiuence the economi¢ decision5 of users taken on the b&%is of these fuwicial statements.
ITregularities. iThcluding fraud. are instances of non-cornpliance with laws and regulatio￿. We
design procedur&8 in line with our responsibilities, oudined above, to detect material
misstatements in ￿t of irregularities. including fraud. Thc eX￿t to whiGh our procedu￿8 aTe
capable of detecting iffegularitie4 including fraud is detailed below:
Performing audit wod( over the risk of management override of controls, Ancluding
evaluating the rationale of significant ttansactions outsAd¢ the nornthl coutse of the
charitable activity and any accounting estimates for bias;
Carry out subslantive Checks on a sample basis to supporting documentation of individual
transactions to give comfort the statrments of financial activities does not contain any
malerial irregular items.
Verifying that material balances within the balance sheet are supported by third party
evidence lo confmn existence and valuation at the balance sheet date.
Enquiry of management and those charged with governance around actual and potential
litigation and claims. and
Reviewing minutes of the Irustees meeting&
Because of the inher¢ftt limitations of an audiL there is a risk that we will not detect all
irregularities. including those leading to a material misststement in the financial ststements or
non-compliance with regulation. This risk increases the more that compliance with a law or
regulation is removed from the events and transactions reflected in the fmancial statements. as
we will be less likely to become aware of instances of nOn￿¢0mpli￿nee. The risk is also greater
regarding irregularities occurring due to fraud rather than error. as fraud involves intentional
Concealment, forgery, collusion. otnission or misrepresentation.
As part of an audit in accordance with ISAS (UK). we exercise professional judgment and
maintain prOf￿1Onal scepticism throughout the audit. We also:
Identify and assess the risks of material mi&8tstement of the fllwicial statements, whether
due to fraud or error, design and perforni audit procedures ￿pons1Ve to thos¢ risks, and
obtain audit evidence that is sufficient and appropriate to provide a basis for our opinion.
The risk of not detecting a material MI￿laternent resulting from fraud is higher than for
11

DO￿￿9n £[￿lOpe ID.. 8G9¢638￿58g4a9l4AB3-9cCcO3A2CBS3
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
INDEPL¢ NDENT AUDUTOR?S REPORT TO THE TRUSTEES
FOR THE YEAR ENDED 31 DE¢eMBER 2024
one resulting from error, as fraud may involve collusion, forgery, intentional omissio)
misrepresenlation& or the override of internal control.
Obtain an understanding of internal control relevant to the audit in order to design audit
procedures that are appropriate in the ¢ircumstances, but not for the pury)ose of expressing
an opinion on the effectiveness of the charkty's internal control.
Evaluate the appropriateness of accounting polioies used and the reasonableness of
accounting estimatss and related disc105ures made by the trustees.
Conclude on the appropriateness of the tn]stees' use of the going ¢oncern basis of
accounting and, based on the audit evidence oblained, whether a material uncertainty
exists related to events or conditions that may cast significant doubt on the charity's
ability to continue as a going concern. If we conclude that a material uncertainty exists,
we are required to draw attention in our auditor's report tr) the Lrlated disclosure$ in the
financial slatements or, if such disclosures are inadequate, to modify our opinion. OUT
conclusions are based on the audit evidence obtained up to Ihe date of our auditor,
report. However. fjjlure events or conditions may caus¢ the oharity to cease to continue &s
a going concem.
Evaluate the overall presentation, structure and content of the fmancial statements,
includin8 the disclosures, and whether the financial statements represent the underlying
transactions and events in a manner that ￿hleVe3 fair pre8entation (ie. gives a true and
fair view).
We Communicate with those charged with governance regarding, among other matters, the
planned scope and timing of the audit and signlficant audit findings, in¢ludin8 any significant
deficiencies in internal control that we idenlify during our audit.
Use of our report
This report is made solely to the charity's trustees, as a body, in accordance with Part 4 of the
Charities (Accounts and Reports) Regulations 2008. Our audit work has been undertaken so that
we might state to the charity's Iru$tees those matters we are required to slate to them in an
auditor's report and for no other purpose, To the fullest extent pennitted by law, we do not
accept oi. assume responsibility to anyone othei. than the charity and the charity's trustees as a
body, for our audit work, for this repoTt, or for the opinions we have fonned.
Griffin Stone Mos¢rop & Co
Chartered Accountants
Statutory Auditors
2l-27 Lamb's Conduit Street
London
WCIN 3GS
Dale: 7 Apri 1 2025
Griffin Stone Moscrop & Co are eligible to act as auditors in tern￿ of section 1212 of the
Compani¢s Act 2006.
12-

OouJwJn Envelcpe ID.. acgC6380.258M8g1-8AB>gcccD3A2C853
OSHWAL ASSOCIAnoN OF THE UNITED KINGDOM
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2024
UnrgBtr]cted
Fund8
R•*trl¢tsd
Fund$
Total
Fund8
2024
Total
FundB
Not•
INCOME
Donatlon Income:
Donatkjns
Subsuption8
ActlvltleB to gen•rat• fvndg:
Property irKomg
Fundr818ing o¢UvlUe5
PublScallon8 8nd sundry
Bank intera81
Charltablo A¢tlvltl•8
Grants
21a)
S01,772
23,335
567.371
23.335
479,3C
21,058
912,722
176,818
21.285
55,058
153,809
21.189
912.722
176.816
21.285
SS.058
153.809
21.189
1,029,039
183.161
19,230
20.489
147.588
21b)
2{c)
21d)
1885 788
EXPENDITURE
For Generated Fundg
Subsc[Ep￿ons
Sodal end fundra18ing 8¢Y￿￿8$
Publications
Properues
For Chayllablo Actlvldo8
Rellglous
Educatlon
Youth a￿lIeS
D¢￿011
Impaimient ol 86881 hekl lor sale
8,051
110.355
49.791
888.388
8,051
110,3SS
49,791
868,368
11,043
125,051
56.732
1,000,989
3(al
31fj
31cl
31dl
214,569
69,144
81,527
6.329
220,898
69.144
81.527
5,187
57.(k)3
205,387
50.422
76.201
60.409
270.447
3(•}
30>
4.582
57.003
NEf INCOME (DEFICIT)
54.708
461.CS1
50.013
Not movornent In Funds In th? Year
406.353
54,708
461.081
50.013
Total Fund8 brought forni8rd
22.553.110
136.493
22,e89.803
22.839,590
TOTAL FUNDS CARRIED FORWARD
22 959 463
191201
23 150 884
Unle88 8*led In the nots$, ¥ll comparatlve amounts rnlaie lo unr•$trldod funds.
13

Doujslgn En¥olope10.. 8C9c83eiK5894891448>￿c¢D&42c3S3
OSHWAL ASSOCIATION OF THE UNITED KIIIGDOIII
BALANCE SHE
AS AT 31 DECEMBER 2024
21
2D23
FIXED A8SErs
Tangl￿? 8$881s
Inv8Stm8nt8
4(9)
18.102.535
17,069.909
18,102,538
17,069.912
CURRENT AsseT8
AB8ets held for Salo
Dobtor8
Cash at b¥nk & in hand
4(d)
12CK).C
382,094
5.580.337
3201.080
5.440.742
5,962.431
CREDITORS,. Amounts f•llJng d
thln one year
N•t current a8••ts
(387.618)
1332.740)
5.053,126
5,629.691
CREDITORS: Arnounts falllng du•
aftèr on• ￿Or
(5.(D)I
(10.0
NEf ASSETS
FUNDS
10
10
191201
22,959.463
23.150,
136.493
22.553,110
22,689.603
UM9¥tr￿d
The8e fingncknl oppro¥od by th• ExeLXrtK* Comrth 6 Apri I
on thelr behalf ty:
2025 and $lgned
Rumlt Dfrvchand 8h¥h
Presldont
Mlnak8hl Naron Shah
Tmasuror

DouJ819n En¥dwe10.' 8c9cfj38t￿2s8￿9I￿OH>9cCcD￿¢Bs3
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
8TATEMENT OF CASH FLIYIS
YEAR ENDEO 31 DECEMBER 2024
2024
2023
Cash fl¢)wa fyorn opor•tlng actl¥ltl•8:
Net Idoflcltl In¢omo forth• r•portlng ￿rt0￿
Adlustment for.
Oepredalion
Impalmwnt offix8d 8s89ts
Inl¢ro$1 In(>)mo
IlncTea8•} l Decre8S8 in debtor8
InL¥ea8e (decrg88e) Sn ugdlior3
461.001
50,013
2S2,092
$1,003
{55,058)
342.432
49.876
459.135
270,447
120.4891
(304,0891
(49.193)
Not caoh provldod by opernllng •cttvlU•8
C•8h flows froTh Inv•8tlng •cdvH1￿.
Inlerosl Iwo
PU￿h$s8 of property. plant and equl
S5.058
(3.541,721)
IB8.18ffj
N•t ¢a8h provlded by Inve¥tlng •clfvlll8s
Cknan￿ In ¢a8h #nd cash •qulval8Tth In th• rnportlno pèrlod
Cash and ¢￿h •qulvakntg attho beglnnlng oftho r8POrtlTra ￿rtOd
Cash and ¢osh •qulYolents at the •nd ofthe rnportlNJ porfod
7.711
12.379.257)
5,580.337
338,153
5.242.184
3 201080
5 SBO 337

DorJJ5ign Envelope ID.. 8c9c638￿250944gl4A8￿¥Ccco3A2CBS3
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
1. ACCOUNTING POLICIES
The principal accounting policies adopted, Judgements and key sources of astlmalion uncertalnty in the
preparation of the finan¢lal sl8lemon18 8re as follows.
8a818 of preparatlon and a88e88mont of golng con¢¢m
The fin8n¢ial slaloments have been prepared under the h151orlcal costconvenllon wlth Items recognised
at cost or transaction value unless olherwise stated in Ihe relevant notelsl lo th￿ accounts. Thg
financial $￿te￿￿￿t5 have been prepared In accordance with th6 Ststement of Recommended PiaGli¢e:
Accounllng and Reporting by Charities preparfng tholr accounts in accordance wlth the Flnancial
Reporting Standard applicable In the UK and R&public of I￿ land IFRS 102} leffecliva 1 January 20191
and the Flnanclal Reportlng Standard applicable in the Unlted Kingdom and Republ￿ of I￿land (FRS
1021 and the ChariU&s Act 2011.
The Assoclatlon constltutes a public b•n6fi1 entity as defined by FRS 102.
TheTrustees ¢onsidèrlhatth8re are no matsrrdl uncertaintles aboutthe hs800iatlon's ability lo conlnue
as a going ¢oncem.
Tha princlple accounllng pollcles. which have been applled conslstentty, are Set out bgk)w.
Consolldatlon
The financlal statements represents the results of the Oshwal Asgock7tlon ofthe Un61ed Kingdom l°th8
Assoclation.).
The results of Lashglow Limited and SLM Pioperti8s Limlted havo not b88n consolidatsd sinc8 these
subsidiary companlo$ are dorrrAnt and sirryty &t as nominees for holding the Association's vartous
propertie$.
Judg•mants In apptylng accountlng poll¢le5 and key sources of e8tlmatlon uncertalnty
There are no $lgnificanl areas of judgement or key SOUFces of estlmtlon uncertalnty arlslng from the
P￿paration of the flnanclal stslem8nts.
Fund Ac¢ountlng
Unrestricted funds comprise a¢¢umulaled surpluses on general funds and these are avallable for usa
at the discretion of the Executive Committee In the furtherance of the general charftsble objeclives of
the A5s0c18tion.
Reslréctsd fvnds are those that onty b8 used for restrlctsd purpose5 wilhln the objects of the
As￿latiOn. Restrlclion¥ arlse whèn spe¢lfied by donors or when funds are raised for partKular
restrKted purposes.
Further explanation on tho naluTe and puipose of each of the restricted funds is included In note 10 to
the flnan¢ial statements.
Incomlng Rg$ources
Incomlng resources represents the total Incoffe receivable durtng the year whlch is reGognisad on the
accruals basis of 8ccounllng exc8Pt for
a} All donatlons, inGILKling glft ald In Rlallon thereto. are Included In Ihe financial statements In the
year in whlch they a￿ received.
bl Membership subscTiPtions. which InclLKle lrfe sub8crlplion8. are credlled lo income in full In the
year they are Te¢elved, as they are not refvndable.
16-

OSHWAL ASSOCIATION OF THE UNITED KINGDOM
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 310ECEMBER 2024
1. ACCOUNTING POLICIES Iconthiuad)
Education and youth aclivtty fee inccfft is accounted lor in the perv)d to whlch it relates Iwh
corresponds lo the academic year from September to Jutyl. Income received In advance Is held as
deferred In¢ome.
Revenue and capitsl grants 8re rwnised as Incijne vthen notific*n L8 received. Tho Income Is
matched wth the relevant extthdituro the grant has been re￿Ned.
Donated assets, goods and seNces are induded at the value to the Association this can be
quantrfied and a thlrd party is bearing the ￿sl No amounts are indud&J In the financial $tstem8nts for
Se￿iCe$ donated by volunteers ¥ these cannot be quantiftad.
Rg8ouTC•8 Exynded
All expenditure Is accounted for on an acc￿￿ tAso. The Asscthtion Is not wlstsrad for VAT and ts
expenses are thereforo induslve ofVAT whth Canr￿￿ bo le¢￿48r8d.
Donations are made to individuaL8 and organisalv)ns in order to fvrlher the objects of the AssoGiatbn.
Donaltons made lo relief organisations are ir￿Il￿1ed in the Statemnt ol Flnancial Acllvitles when
approved by the Exe¢utNe Committee. The value of 5u¢h donath)ns unpaid at the year-end is acGrued.
Donatlons where Ihe beneficiary has not been informed or has lo T￿et certain Condtllons before it ts
released are not aCcfL￿ but nobj as finant4al commitmnts.
Wherever posslble, exp8ndlture ￿ alloc81ed swificalty totho relevant activitiesforwhkh iti$ Aicurred.
Where costs cannot be dlrecdy attributed thw have althaied to aGti¥it￿ on a ba51s &￿sIs￿nt
wllh the use of the resou￿.
Flnan¢lal Instruments
The ASsociat￿)n onty has finandal assets and financial liabilbties of a kind that qualify as basK financlal
instruments. Basi¢ financial instruments are initialty ￿e￿ntsed at transactton value and subs4uenUy
measure(18t their settthont valu•.
Inve8tsnents
Investments subsklmry undertaklngs we included in Ihe finan¢AI staten￿ts at cost less any
proviskjn for dlminutlon in value.
Tanglble Flx•d Assets
Tangibb IL¥ed assets are sts￿ at cosL
Th• Ex￿Ul1v￿ Comnllttee consiler that the funGflonal fr08hobJ buldings are malntained in suth a stat8
of repair that their r8$idual values are al least equal to their r*1 book value. No depwialion has been
charged as the lfves of these building5 are GonsKlered to be so bng and their residual values so high
that there 15 no svdnificanl annual dew*tw)n.
No depTeGi8tJon is prcmded on free1￿￿j larKI or the Derasar.
An annual lrnparrment review Is made. in aCcLYda￿ wlth Iha requinnents ofthe Charitigs SORP FRS
102. to ensure that the recoverable amunts ofthe assets wo not INer than their current values.
17-

Dorj￿gn Envelope ID.. 8c8C638￿2S89489?-8A8>9cCCO3￿2¢B53
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
NOTES TO THE FINANCIAL STATEMENT8
FOR THE YEAR ENDED 31 DECEMBER 2024
1. ACCOUNTING POLICIES (conllnuod)
Depreclation is charged on c05t al the following rates so as to wrlte off the cost of each asset over its
estimated useful e¢onomK Ilfe.
Freehold PTQPèrty impTovem8Thts- 10Ok Straight Ilne ba816
Other ftxed assets - 20% Slralghl line b8$ls
Dlsposal of freehold propety Is recognised in the financial statemtsnts when signlflcant risks and
rewards of oWne￿hIp have b88n tranSfe￿d to the purohaser., thi5 is on legal compl8tlon or
unconditional exchange. There has begn no ¢Jisp0s81 of freehold proporty in 2024 or 2023.
Debtor8
Other debtors are recognlsed al the settlement amountdue and prepayments gre v8luod at th• •mouDI
prepald net of any trade discounts due.
a8h at bank and In hand
Cash al bank and cash In hand In¢lude5 ¢a8h and short term highty liquid Investments wlth a short
maturity ofthree months or less from the date of a¢qui5ilion or openlng of the deposll or similar awunt.
Credltorn
Creditors are normalty recognlsed al Ihelr $8ttlem8nt amount. Accruals are valugd al the amount
ac¢rued net of any trade dlscounts due. Deferred Income is racognised where amounts rece￿ed relate
to future periods.
Current As8et8 held for sale
5840 Wir￿Mill Road, South London property Is now going to be sold and 80 rf( has bew moved from
Fixad As80ts to Current Assot held for 8818 nel of Impairment
18

Docudgn Envelo￿1￿. 8C￿638D-2S8948914A8>9cCC03A2CBS3
08HWAL ASSOCIATION OF THE UNITED KINGDOM
NOTES TO THE FIPIANCIAL 8TATEMENrs
FOR THE YEAR ENDED 31 DECEMBER 2024
INCOME
Total
2024
Totsl
2023
Unrestrlct•d
R•8trlGt•d
(•) DonatlonB
D8ra8&r Mointenanco
Def88ar Pr811mB (Murtl) renov8llon
Jlvdaya- Anukampa
Gen8r81
08hwal Wallarn Fund
ParyuBhan
Earth4ufjkei Appeal
Bhandar
Rellglou8 (uncllon$
Glft Ald
0,329
30,018
29,252
6,329
30,018
29.252
45,038
45,528
133,834
18,970
43,710
49,468
129.2S6
10,e02
40.248
107.203
81,
45.038
45,528
133.834
39,998
143,198
94,178
39,998
143,198
94,178
601772
Durlng 2023, doMllons In¢omo lotaliad £479,308 ofwhlch £27,879 wa8 roilrlcled and £451,429 w88
unre8lrlcl•d.
Ibl Fundrnl8lng •¢tlvm••
Cultur• & horltaqe progr•mm•8
W•ll•Te pfogramrn•B
145.718
31,098
146,718
31.098
127,814
0,347
176816
Int•rnalfon•l Wom8n'B Doy InLs)m9 8htr*¥Yb 8?p8ralely In 2023 h&8 now b8•n d16¢1068d under Cullure and
h8rllag• progr8mme61£7,292 2023 flgurei have been re61aled).
178 818
183 181
Ic} Publlcitlons and 8undry
Publlcgllon6
21,285
21,285
19,230
21
Idl Charltabl• *¢tlvltl••
Edu¢8tlon
Fe08
Progr8mm•6
49.07B
1,310
425
420
09,071
69,071
50,985
Oth•r Chorltsbl• act1￿15
Marrfage regl$lfallon
yO￿h aetlv11108
3.614
91,024
3,S14
91,024
0,020
91.581
163809
19

DOcu￿9n Envelope ID.. aC9c639￿2&8￿891￿AB3-gCCCo3A2CB53
OSHWALAS8OCIATION OF THE UNITED KINGDOM
NOTES TO THE FINANCIAL STATEMENT8
FOR THE YEAR ENDED 31 DECEMBeR 2024
RESOURCES EXPENDED
Total
2024
Totsl
2023
Unr•8trl¢tsd
R••trlctsd
lol SoclBI and fundrnl•lng aetSvbtit•
WeNar• progr•mm88
Culture and Herstsgo
Admlnlstrallon o)8t al1¢Xa￿ort
34,209
34.209
80,044
18.102
80.481
42,513
22,087
18.102
125 OS1
International Wcm•n'8 day oxpgndlbjre Bhewn 1oparat•ly In 2023 hu now bo¢n dlBcloMd und•r Cultur• aTrJ
h8rllage1£7.088 2023 figuN• hw8 b•en wtatsdl.
(b} PubllcNtlon8 and •U+KIry
Publ￿110n8
WehSle
Adminl8tr•tlon co•t allDcatton
32,573
1,116
18,102
32.673
1,116
18,11Y2
33.239
1,408
22,087
Ic} R•llglou• Ind Jln•hy
Paryushan
Jlnalay admlnl8lrnllon •nd malrft•nm
othor r•llgtous fundoThB
Admlnlgtralknn cog1 llloca￿l
84,W27
S7,444
39,994
32,204
84,927
83,773
39,994
32,204
85,368
57,849
38,176
44,174
8,329
214689
206 387
Idl Educlltlon
Toachof$ 4ll¢ywhnc•
Cla$8 hlr•
PTogtsmrno•, book• 8 motoflol, 8¢c
25.877
37.121
6,140
26,877
37.121
8,14e
21,228
26,928
3,2e8
101 DonAtlon•
j￿day8- AnukAmpo
E8rthqu8ker Apwl
Ba5no1 G8un School Ngpsl
Oth•
48,400
10.802
1,407
Durfng 2023. dono￿On6 modo tot4H8d £80,409 olwhkh £1,407 w8b unro8trfctod and £69,002 wa$ r8Jlrtc¢•d.

Dru￿9Th Envelope ID.. 8c9co38f￿2S8￿9l-8A8￿9CCC03A2C8S8
OSHWAL ASSOCIATION OF THE UNrrED KINGOOM
NOTES TO THe FINANCIAL STATEMENTS
FOR THE YEAR EP4DED 31 0E¢EMeER 2Q24
RESOURCES EXPENDED Icontlnuqdl
In
Prop8rt188
2024
2023
Sakr￿s and NIC
cour￿11 tax
71,3e8 -
14.969 -
107.183
88,217
13,301
118.e57
121,478
154,633
48.267
22.311
4s9,135
mlntslratk￿ Cost 8lloeAtk)n
Repalr$ and malnt•nan¢e
losur8nc8
South London R8nt41 Co$1
OepreoaloTr Contr•1 and
278,848
43.547
12,orMi
252,092
1 (Y)0 089
Igl
Managemont 8 Admlnlstratlon
2028
Printi￿, po$lag8 81)d •ta￿Onery
6ank thgrge$
Salarts$ #ThJ NIC
Tethnology and #Of￿¥&re eypense8
Tel&pl￿n9 fthg and broadband In81818t￿n
R and S8euiity swwtés
Ath11t f885
L¢901 Costs
è186llrq exwses
4.385
10.648
75.585
3,462
9,456
109.7£6
5.512
8.870
8.850
27,450
13,652
33.951
9.019
2S.186
12,463
15,759
Managmnt 8nd odrrthisiraim c4sts hav• ￿0ft allc<ated on an 8Stknat8d ba515 lo relecl
re$ourc8 ewend6turo 88 follu￿:.
2024
2023
Propertl88
Reh"giou$
Soel81 otKI [uTrJrg￿lpj actmues
Pubfjcations and $undry
Subscriptions
SS
20
10
io
88.563
32204
18.102
16.102
8.051
121.478
44.174
22.087
22,087
11,043
10
Ihl
Emolum8nt8 ol•mploye88
2024
2tr23
Gro$$ 6glart85
Nalional Insuranc8 contrfoutlons
Ex-grntiè Paymenl
171,384
1S.752
179,835
16,984
1S,450
187136
212 269
Average numb•rof$laff amployyd
No employee r8ceht*J r•nungr81ioTr 01 £60.000 or mom In th8 current or pr•vlou8 year.
None of the of lh8 Exewtiv8 Commltle8 re¢*N8d any wmunwatton or ben8fftsdurirvJ thg ojrrenl or
prevv)u$ year. Trn*ee expenses of £nll1202> Enlll were foknbur5ed durfng Ihe year.
The A88walion Cons￿er1 key m8n•J8m8ni per8onn8110 bg the Trust88B. The tolol omploymont L*nellt8 of key
managèrneni ￿rsOnnel wère £nll12023- £nilk
The eX￿lat￿ paymenl In 2023 ￿￿te8 to 8latuW Rdundancy pay lor an efflptyee.
Impalmient
58.&J Winthndl Road Prty&rty ID South London ha8 ￿en knpglred by £57.003 It270.447 In 2023lto Mng ft lo
S OXPgCt8d rnarkelvalue in rnaL1Ingss fw a Sa￿ post yo8ren(S.
21

Doal￿gr¢ Envelope ID.. 8C9C636ts25BH891-BAB3-gCCC03A2C853
OSHWAL A9SOCIAnON OF THE UNITED KINGOOM
NOTES TO THE FIMNCIAL 8TATEMENTS
FOR THE YEARENDED 31 DECEMBER 2024
4. TANGIBLE FIXED A8SET8
FT•?hold
Fun¢lloNI
Land and
F¥wh•ld
Property
lrnprov¢.
pts
Egulpm•nt
•ndUtsn&llB
DBv•lopmqnt
C0918
￿e￿ar
Cumpl•x
lal COST
As 811 Jwnwy 2024
Additton¥
To A8set5 for Sel&
$3s,eDJ
IB37.316
2,S27.4
9 945,e86
4357.054
070.473
401,844
8,751.214
1,291354
33,932
22.835,2
3,S41,721
2,S27.4
DEPRECiATION OR IMPAiAMENT
A8 811 Jenu¢ry 2￿￿4
27D.447
Ch8rge ftrtheyear
ToA¥sd6 for Sak
As 8131 Decemb¢r2024
4613.097
248,181
401.844
5.$69,357
252.092
0.447
5,831
.44
NEf BOOK VALUE
As a131 De¢ember202A
As at31 December 20rJ
6 7fj1214
Ib} Thg n8tbgd(valll85 ofthèlMehDld fvndoTh81 Ipr￿ ar￿ trvJhllrg6 cemprlw.
Proport10& hold In TrEwI by Lashglow Umll•d
08trw81 House
A8sarTW
Oshw81 Ekla centr8
08fMal Sh8kll Centre
2024
1.540.178
18IZ791
2,411.375
$44.OD6
7.lQO.3S0
1.610.178
2.611791
2.411,375
544,006
7 108.$50
Oslhv81 shar￿ I $8•noto 4(d) I bd
Prop&rfy held In Twust by Rumtt8h•h ¥nd iaimkehl 8h•hforOshwal AMoelwilon of thè UK
w￿Ing10n Sports &Sodo1 C
2,267,Q03
1887 316
9 365 ¥SJ
The Exerxbll¥e Comm￿•e •ro ol thB that ts matknl v4lu¥ ol IlkB freohok1 ftsnEIIDnal properfkj les$ Il*n
book vplue8131 D8C8mber 2024.
(¢1 ofnd bllok ￿l￿olfreeh￿d pmpwtylMprov*iierts.'
8t
31.112023
AddlV•nty
durlng 2024
Il•precltttlo
chargfr In ZQ24
8th￿¢•41
Jt.112024
A%￿rnb￿ Halls
08hw81 House
08tw81 Ekts CentrB
08hwBI $hakU ctnire
26,842
449.BOg
4SI,2SB
26,842
99.316
121.004
17.52
369,114
330.264
686.901
852,953
$70 473
240 161
ldl Prop*ty hold1rt7nJ¥i by SLM Proportl•8 Llmlted
Shonil CentM- 5&80win¢mNI Rty8d Lorthn
Impaknenltn Iheye
2,257,OD3
57.ODY
1527,450
0.447
101 Polonttal PrtoryewrAdluslm•nt
Th8 Ilu8￿$ are currentty Teviè￿ty tho ¢o$ts caplalsed ba￿488￿ 2017 10 2020. Poknllally wèpali$ of hppr0￿malety R1.1 mllllc
lo the dom¢ h8ve 14p10￿sed In error. Onc8 Ihe ¢Lynptstsd. thorB WMI bè a prfor >*ir adjust￿￿ra of Ilas
am0￿1 In 2025.

Do(￿19n Envelope10.. 8C9C638W894891-8￿￿&9cCCDts2cB53
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
NOTE8 TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 21 DECEMBER 2024
INVFSTMENT IN SUBSIDLARY UNDERTAKINGS
2024
2023
At cosl
Th8 Assooalion own5 100% or the18sugJ ordlnary share eapft810l Lashtyow umK8d and SLM Prope￿8$
Limited, ¢omp8nleB re9iSt8r•d in ErKJland and Wales with Company numters 01651206 and 11630794
respecbv81y.
The hohs Irgehthj propertles as a nomin88 on b8hall oflhe A88waticn. They have n¢1 traded
It￿r current or the previous year. The post or prè8•nt olfie• bearers of the As&oThatiiyi we
¢Jlreciors of LaslvJlow Llmitsd and SLM Properfjes Limlt8d.
The results ol L85hglow ￿MI*d and SLM Pfoperties Limlled havo ntstba•n congd#Jated ¥ince Ihe9e subsidlary
¢ompanies were dormant durirya th8 currènt and pr•viou5 yèar.
Minakshi Shah and Minesh Shah are ihg dir8Ctots of b)Ih the c<Jwyanie¥
6. DEBTORS
2024
2023
Other dèbtors
Prepayments
9,89)
29.772
85.2
296.795
7. BANK AND CASH 8ALANCÉS
2024
2023
Cash ot b8nk
Cash in hancl
3,200,834
248
5,th),267
3 201080
CREDITORS.. Amounts falllng dug wtthln ono
2023
other crédrtors
Hall hlre dèposlts
Aecruals and dèferred
24,501
161.9SO
201.185
28,821
152.401
151,518
At 31 O¢eambor 2024 total delerrgd income amounts to £119,02512U23 £101.3761
IneiuO8d hv(thln def6rre(I Incomo Is renlal Income received 2024 WlllrwJ £15.55512023- £22,2eo}, rèlotlrvJ lo
hall hi￿ for evènts wll take ￿8¢? ift 202S.
9 CREOITORS: Amoutrt8 falllng d￿after morn I￿R onB year
H851 hlTe deposits

Oow&gn Envelope ID.. 8C9C036r>2S8W4891-8AB&gCCC03A2CB53
OSHWAL ASSOCIATION OF THE UNITED KINGDOM
NOTES TO THE FINANCLAL STATBMENrs
FOR THE YEAR ENDEO 310ECEM8ER 2024
9. RELATED PARTY TRANSACTIONS
Th8re no rBlabJ pArty ￿nsaCtI)n1 the ¢urroniNprIor￿r.
10. FUND8
{•} Analyil• of lundo
88l•nco 01
31.12.2023
Movomonts lrt 2Q24
Ouioolng
B•lancè at
31.122024
InGomlng
Trnnsf8r8
Restrtcted Fund$
Dornsar Malnt¥n8nL*
1111 Der89or PraUm Renovatbn
(iTh) JNdayo. Anukwnpa Fund
lfvl Rem Fund
Iv) Jamnagar Med*al Comp
Ivll M•¢¢hu 8trr*a School
1¥511 Watsi FllteT
Ivllti Swamlval&atya lor Indlj
(t41 Ropurposed for Mgdlcal Resea
4329
30.018
29.252
(8.3291
30.018
101,914
14.5621
6,445
23.589
8.649
7.618
8.452
5.516
23,589
7,618
8,452
5,516
136,493
22 553 110
85.593
1865 786
110,8911
1.459433
1470 324
191.201
22,959 463
UnreBtrfctsd Fund•
Total Fund$
(Q D•rn8ar Malntenanc•: Th18 comprls88 dI￿atIOnS raceAved for the 8￿cl￿¢ purp098 of colts relalino lo the
malnlenance of the Derasar.
(111 0gra$ar Pratlma Ronov4tlon: Thls comw8e¥ donatlon8 recefved for the spgcffic purpo8e of palntlng and
updating the Prattma¥ In and ground the Derasar by sppciallsts
{1111 Jlvdaya - Anukampa Fund.. Thls Gomprl8e8 dOna￿onS recelved for the spedffc purposè of Improvkng the
welfare of dOm￿lICated anbmals And Ihe vulnerable Sn the communlty.
I￿) Rollaf Fund.. Thlg comprlses donallon8 received for the 8pe¢lfio purpose of w0vid￿g assiBlance lo th
vklms of natural calpmKle8. Thi8 Indude8 fund$ colk8cted for the Kenya appeal in relatlon lo the lerrorfst
la¢k In Kenya.
Iv? Jamnagar Modl¢al Gamp: This comprfs85 donations re¢ONed for Ihe Jamnagar Medkal Camp.
Ivfi Ma¢chu Beraja School: TN$ comprlses donatk)ns reeefved for provldlng educallon lacllliies al Macchu
Ber&ja S¢hod.
Ivll Watsr Flltgr: Thls comprlsgs funds recelved for Installa￿On of hot & cdd drlnking watgr equlpmenl al Ihg
Oshwal Centre.
I￿[1￿ 8wamlvatsa5y8 for Ind[•: Thlo wa8 fvnds coll￿ted at Paryushan Ythere 50% w88 to be uliH8od for food In
India for tha needy.
IW Repurpo$od for mgdlcal R060arch: Covkl furKllng balance was repurposed for medlcal re3ea¢h

Dow*n Envdcy1Tr. 6C9C63eLk258￿489l-8A￿>K¢cD3A2CB55
O$IW4AL ASSOCIATION OF The UNITED IUNGOOM
NOTE8 TOTHE FINANc￿L STATEMeNT8
FOR THe YEAR ENDED 31 DKEMBER 2024
10 lal Armtysls of Funds Conllnuod - 2023
31.1120
(Xrtgolng T￿￿•15
31.112023
R•gtrktgd Funds
Dwasar IAèinloTh8n¢o
1111 JWya-Anthnpll Fur#1
Rèll81 Fur*1
(NI Jamnagar Medt¢al C•n
Iv) Ber40 sthoL4
Ivll wa￿ Fthr
Ivlll S￿hAt$9￿ forlrtrJl8
R¢pu* f￿m￿l￿oI Rog•a
>)7
16.970
108.654
{48.400)
77.224
5.445
23.589
8,649
7.818
8,452
5.516
649
7.018
8,452
5.516
lo￿2
{10.e4J2)
167,923
159.xfjl
130,493
553.110
UnT•8trlctgd Fund8
Totsl Funds
1878.015
10 Ib} Anw ofFund• ty N•tA•g•1•.2ty14
Net Cuffent
Funds
2024
Funda
2023
A880ts
Restrktsd Fund9
g0.Of8
101,914
5.445
23,589
30.018
101.914
JivdAya-Anukwnpa Fw
Rolbf Fund
Jamnagar Pledk41 Can4)
M8c¢hu &¢¥a Sc*oL4
Watsr Fltor
77.224
S.445
8.649
7.818
8.452
7.618
8.452
7.818
S.518
Swam￿ts8￿￿ for In
191201
191.201
136.493
21959,463 22.553.110
UnT•Strf¢t8d Fund&
18 102 538
18 102 538
10 (cl An•￿19 of Funds ty Ilot Ag•rfs- 2023
Total
Funds
2023
Natcurrgrt
Fund*
2022
R8thcl•d Fund8
JNWO. FUNI
Rolkf Fund
JamnagorlAedleal C81110
Macthu Bwoja S¢hool
Wakr Hter
Repyrp08ed for Mod￿[ Re899th
Swaml¥atsJtya for Ind
77224
SA45
23.589
77224
108.854
5.445
8,049
7.818
5.516
8.649
7.618
5.516
S￿10
136.493
136.493
21553,110
167.W23
22.471867
Unrestsl¢tsd Funds
17 Ce9.912
17
819

Oows¥Jn Erw•lLV10.. 8C9C638D-258W914AB>gCCC03A2C853
08HWAL ASSOCIATION OF THE UNITED KINGDOM
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
11 NET DEBT
At 1 Janu•ry
2024
Cash IIow8 At 31 D9cgmb•r
Cash at bank
5 580 337
2 379 257
3,201.080
12 FINANCIAL INSTRUMENTS
2024
2023
Flnandal a889ts mea¥ur8d al amortised rnsl
9.890
85.299
Flnanoal liabilMl88 measured al amort188d cost
Ftnancl81 a8$819 mgasurgd al amortlsed cost comprl8e trade debtor8. a¢¢ruod Income and other d•btorB.
Flnanaal Ilabililles measured al amorllsed ¢ost¢ompd¥e of attrual$ and olh0T Cre￿Il0r8.
392,616
342.740
13 POST BALANGE SHEET EVENTS
Shakll Contro refurblsh¢ment L8 awectsd to bè Gompletsd In mid 2025.
Th8 8818 prtce of£2.2 mlllion has been agreed ￿th the current198seholders of WindmS11 Rood. Croydon
prop8rty. We ore ¢Lwrenlty going thTough thglegal proce￿ to complate the $ale 88 soon as wssibl&.
14 RELATED PARTY TRANSACTIONS
Reigled partios knclude charlty trustses arbd dose rei•llves. Donation reCeI￿d dudng th• year from related
partles ar8 a8 bg1(M'.
2024
2023
Total Donation8 received
13.612
11.655
16 CAPITAL COMMITMENT
Al 31 Docombor 2024 therg was an outslandlng ¢ommllment of £369,650 Véllh r88PgCt to Shakll Centr8
TedeVelown￿.