NANAK DARBAR NORTH LONDON
REGISTERED WtTH THE CHARrrY COMMISSION NO: 275315
ACCOUNTS
FOR THE YEAR ENDED
31 MARCH 2022
INDEX
General InfoThnation
213.
Report of the Tnjstees and Committee of Management
Balance Sheet
R￿1P*S and Expenditure Statement
Notes to the Acmjnts
Independent Examinerfs Report on the Accounts

NANAK DARBAR NORTH LONDON
REGISTERED WITH THE CHARITY COMMISSION NO: 275315
REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31" MARCH 2022
ChairmanlPresident
Mr.MSNatt
Secretary
Mr. J S Kang
Treasurer
Mr. H S Ahluwalia
Registered Office
136 High Road
New &)uthgate
London
N11 IPG
Bankers
Bar¢lays Bank
2 Adermans Hill
Palmer Gr￿n
N134PH
Reporting Accountants
JSP Accounlanls Limited
Registered Auditors & Accountants
Fi￿t Floor,
10 College Road
Haffow,
Middlesex
HA1 1BE

NANAK DARBAR NORTh LONDON
REGISTERED wrrH THE CHARITY COMMISSION NO: 275315
Govemed b
constitution
ted in 1975 and as L3st amerEded in Janua
2005
Rg
ort of the Trustees and Committee of Mana
ement
The Trustees and Commrttee of Managefflent prewt their rewrt and the Financial Statements
for the year ended 31 March 2022
1. Objectives and Actlvlty
The charity was formed and registered in 1975. The latest amendment to the constitution is
dated 2 January 2005. The principal objectNes are the advancement of the Sikh religion, lo
impart religious and cultural knowkdge and lo inculcate the benefits in the local community
within the Londoll Borough of Barnet. Bren( Camden, Enfield, Haringey and Islington.
2. Trustees and Administration
Trustees are dected bFannualty and hold office until re-elecled. The present trustees are..
Mr H S Gupta
Mr R S Ananad
MrRSNatt
All the properties and assets ￿k)nging to the charty are vested in the Trustees who hold all
deeds and documents, trues and securities for safe custcmty and preservation. The disposal
or otheNise of assets and the day lo day management of the Charity is in the hands of the
Committee of Management The Offi￿[S and members are elecled annually at the Annual
General Meeting. AJI work done by the Trustees and members of the Committee of
Management is voluntsry and no remuneration or other payment Whats￿Ver is made tr)
them.
3. Responsibility of Tn￿teeS and Committee of Management
The Trustees and Commrttee of management acknowledge their responsibility for keeping
prO￿r accounting records and preparing the accounts there from, and also for the safe
keeping of the assets in compliance with the w0vis￿￿5 of the Chafitses Act 1993.
The financial position on the financial adNities for the year is as shown in the attached
Financial Ststernents.
The Chartty ujrrenty owns:
136 High Road. New Southgate- The main Temple and abode for priests
2. 138 High Road, New Southgate- Atx)de for priests and car park.
3. 134 High Road. New Southgate- Communtty Hall and Puniath" School

134 High Road, New Southgate is mainly used as a Crmmunty Hall. The Tudor Trust made
a grant in 1997 of £40,000 towards the refutbishment costs. Other costs have been financed
by donations and interest free loans frcffi members of the temple. The loans have since been
repaid and the amount transferred to r2pital Teserve.
4. The Charity finances and runs a Punja￿. School for the I￿aL commun.rty and al present has
over 100 student5 at various stages of leaming.
5. Reporting Accountsnts
JSP Accountants Limrted, the reporting accountants to the charty have expressed their
willingness to continue to act in this t2pauty.
By Order of the Board of Trustees
And Com
ittee of Management
Mr.JSKan
Secretary
Dated:
k4_ G4- ZOL

NANAK DARBAR NORTH LONDON
ST
BALANCE SHE￿ AS AT 31 MARCH 2022
Year 2022
Year 2020
Fixed Assets
Freehold land and buildings
1,4*,127
1,491,508
Current Assets
Cash in Hand
Barclays Bank- current
Barclays Bank- deposit
1.213
76,401
80 724
2,373
46,677
158 338
Represented by:
Balance Brought Forward
Net Surplus for the Year
Transfer lo Freehold Account
1.621,274
28,572
4.619
1.644,991
{29,0981
?4- 0 4_ 2o>V
These accounts were approved by the commttt* of Management on ........
on it5 behalf by..
and signed
MrMSNatt
President
MrJS Kang
Hon. Secretary
Mr. H S Ahluwalia
Hon Treasurer

NANAK DARBAR NORTH LONDON
RECEIPTS AND EXPENDITURE STATEMENT
FOR THE YEAR ENDED 31" MARCH 2022
GENERAL FUNDS RECEIPTS
Year 2022
Year 2021
Offerings and Donations
Other ReCeIpt￿￿eddingS
Akhand paths
Membership Subs¢riptKJns
Bank Interest
Gift aid
RefurFds, Gas, Payphone & other
81.220
3,056
6,659
111
39,543
1,750
3.921
37
92,690
45,301
DEDUCT PAYMENTS
Rates
Light and Heat
Insuran
Printing, Postage and Stationery
Telephone
Repairs and Maintenance
Cleaning and laundry
Preacher5 and Presentations
Kitchen Expenses
Equipment
Bank Charges
4,386
9,763
3,270
206
2.006
2.037
4,502
33,197
2.172
469
17,555
3,278
301
2,773
369
40,320
SURPLUS ON GENERAL FUND
30,682
122.747)
BUILDING FUND
Sundry Donations
Building Expenditure
7,547
1.251
{4.619)
15,3811
CULTURAL AND SOCIAL
Sundry Donations
Less.. Expenditure
PRESIDENT APPEAL FUND
Collections
Less". Donations
4.249
770
970
OVERALL SURPLUSIDEFICIT
098
Iou4 f

NANAK DARBAR NORTH LONDON
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2022
The a¢￿￿nts are prepared on a historical cost basis. The Income and Expenditure is
reoyded as incurred and account taken of any accnjed income or expenses.
Payments for light and heat, laundry, telephone and langar are net of receipts and
donat.ons for those specffic purposes.
All books for the library, utensils for the krtchen, general equipments and fumtture are
charged lo expendtture for the year of purchase and not capitalised. Inventory is kept ty
the committee but needs to be updated.
Improvements and work5 to premises are added to costs of protwties.
Costs lo date are as fdky•ts'.
134 HwJh Road. London N11
136 High Road. Lonthn N11
138 HwJh Road. London N11
248,394
441,770
805 963
£1496 127

NANAK DARBAR NORTH LONDON
REGISTERED CHARITY NUMBER 275315
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEESI MEMBERS ON 31" MARCH 2022
The accounts for the year ended 31 March 2022 are set oui on pages 4 to S.
As the chariws trustees you are reskKJnsible for the preparation of the accounts", you consider
that the audit requirement of section 43(2) of the Charities Act 1993 (the Act) does not apply. It is
our Tesponsibiltty to state, on the basis of procedures $￿tfied in the General Directions given by
the Charity Commissioners under section 43(7} (b) of the 8cL whether particular matters have
come to our attention.
Our examination wa5 c2rried out in accordance with the General DIrect￿nS gNen by the Ch2rity
Commissioners. An examination includes a review of the accounting records kept by the Charity
and a comparison of the accounts Pfesented with those records. It also includes Gonsideration of
any unusual items or disclosures in the accounts and seeking explanations from you as trustees
¢on¢eming any such matters. The prccedures undertaken do not provide all the eviden￿ that
would be required in an audit, and consequently we do not expres5 an audit opIn￿n on the view
given by the account5.
In connection wtth our examination. no rnatter has ¢Xffiè lo our attention.
(1) Which gives us reasonable cause to believe that in any material respect the
requirements
To keep accounting re￿rdS in accordance with sectM)n 41 of the Act,. and
To prepare accounts which accord with the accountsng records and to comply wth
the acc￿nting requirements of the Act
Have not Lw met or
To which, in our opinion. atteniKJn shoukJ be drawn in order to enable a proper
understanding of the a￿unts to be re¥hed.
{2)
JSP Accountants Limiled
Registered Auditors & Acwjntants
First Floor,
10 College Road
Harrow,
Middlesex
HA1 1BE
Dated: ......-