REGISTERED CHARrrY NUMBER: 276370
APM Accountants Limited
Chartered Cerbfied Accourrtants
283 High Strert
Binningharn
Èst Midlands
B66 3NJ

Shri Paramhans Advart Mat-UK
e Fin8ncMI
Ended 31 March 202
Report of th8 Trustees
1 to 2
Independent Exanwnefs Report
ststement of Financial Actrirlie8
Balar￿a Sheet
Not88 to the Finanaal Statem
6 to 10
Detailed Statement of Fin8neAal Activitss
11 to 12

Shri Paramhan
The trustees Fxesent their report blith ￿ financial statements of the charty for the year ended
31 March 2023. The trustees have adopted the wovigons of Accounting and Reportin9 by
Chankn'es.. state￿nt of Recommended Pract￿ applicaLI8 to charities preparing their accounts in
accordance wtth the Financial Reportiry Standard applicable in the UK and Republic of Ireland
(FRS 102) (effective 1 January 2019).
OBJECTIVES AND ACTMTJE8
Objectlves and alms
The Principal objectiv8 of th8 tanple 18 to advan￿ religlon ty spreadlng and preachrig the spiritual
t8athlngs of Pararnh8r￿ Shrl Shri 108 Shri Swami Advalt Anand￿ Maharaj ji Sanyasi.
Stsff and Volunt•er•
The trustees wish to record th￿'T apkyeciation to all Voluntews for their devol￿ work. Wthout th18
commitment the work of the trust could not continue.
FINANCIAL REVIEW
The trust has raised £114,627 during the year endeAJ 31 Mard) 2023 indLKlirkg int8re8t received on
maturity of deposits. The trust has exFthled £99,602 in the year which includes a depreciation of
£7,264 in the finanaal accounts baving a net surplu$ of £15,025 at th8 end of the year.
STRUCTURE, GOVERNANCE AND MANAGEMEMr
Governlng document
The charity is controlled ty its govwning document. a deed of trust and c￿nstitUteS an
unlncorporated chatity.
REFERENCE AND ADMINISTRATIVE DEfAILS
Rogl8tored Charlty number
276370
Prlnclpal addre88
4143 8rondesbury Park
London
NW6 7AY
Trustees
MrMSPAnand
MrA Y Mahatma
MrA PAnand
Mr S K Gulhati
MrADGhai
Mr R S Nangla
Mr V K Mehra
Mr L K Sadarangani
Mr H Babbar
Mr G C Chopra
Mr R Mehra
Shri Param Hans Advait Mat- UK is a regk8tered chaty administered by 11 trustees. trustees
are appointed by the existing trustees. A priest ￿deS in the temple aThl he performs the various
religious ceremonEs including day to day administration.
Page 1

Re
ortofth T
REFERENCE AND ADMINISTRATIVE DEfAILS
Independent Examlner
APM Accountants Limited
Chartered Certffi￿ AcLountants
283 High Street
Smethwick
Birmingham
West Midland8
B66 3NJ
Approved by order of Ihe board of trustee8 on .. ... . . .
behalf by:
..y..>J.......... and svJr)gd on
Mr V K Mehfa - Trustse
Page 2

Inde
nde
min
Re
rt to the Trustees of
Independent examlnerfs report to the trustees of Shrf Paramhans Advalt Mat4JK
report to the chanty trustees on my examination of thè accounts of Shri Paramhans Advait
Mat-UK (the Trust) for the year endwj 31 March 2023.
Responsibilities and basis of report
As the charity trustees of the Trust you responsible ts the preF0ration of ts accounts in
aGwrdarKe with ￿ requrwngnts of the char￿e8 A(* 2011 Cts Arf).
I report in reS￿￿t of ry examination of the Trusfs accounts carried uTrJer ￿tiOn 145 of the
Act and in ¢arying out my 8xaminab.on I have follow&1 all applicaU8 Dr&lions given by the
Charity Commission under seCt￿n 145(5)(b) of ts Arl
Independent examlnevs statsment
I have completed my examinats'on. l o)nfirni that no matwial matters have come to my attents'on in
connection with the examinab.on gibing Me cause to believe that in any matsrial resp8Ct:
account'ng record8 ww8 not kept In respect of the Trust as required by S8ctlon 130 of th8
Act., or
the accounts do not accord with those records,. or
th8 accounts do not compty vth the applicable requirements concerning th8 fomi arKI
content of accounts set oul in the Charib'es (Accounts and Rewrts) Regulations 2008 other
than any r8quirement that the accounts give a In* afKI fair ifjew whKh 18 not a matt8r
considered as part of an ir*Yependent examination.
I have no concerns and have come across no other matters in connecb'on with the examination to
which attention should be drawn in this report in order to enable a proper undèt8tandiFvJ of the
accounts to be reac1￿.
MAR FCCA M&4
APM A￿Ountants Lwnited
Chartered Certmknj Accountants
283 High Streel
Smethw'ck
Bimiingham
West Midlands
B66 3NJ
Date..
Page 3

hriP
for the Year Ended 31 March 2023
31.3.23
Unrestricted
fund
31.3.22
Total
fu￿18
Notes
INCOME AND ENDO¥ThIEMfs FROM
Donations and legaues
104,645
95,736
Investrnent income
9,982
7,105
Total
114.627
102,841
EXPENDITURE ON
Other
99,602
55,895
NEf INCOME
15.025
RECONCILIATION OF FUNDS
Total funds brought forward
2,771.615 2.724,669
TOTAL FUNDS CARRIED FORWARD
2,786,640 2,771,615
The notes fomi part ofthese financjal statements
Page 4

hriP
31.3.23
Unresln'ct￿l
fund
31.3.22
Total
funds
FIXED ASSErs
Tangible assets
1.831.996 1,787,303
CURREKf ASSErs
Debtors
Cash at bank arKI In ha￿1
2,941
953.278
4,455
981,139
956,219
985,594
CREDITORS
Amounts falling due V￿th￿l one year
(1.575)
(1,282)
NEf CURRENT ASSErs
954,644
984,312
TOTAL ASSETS LESS CURREKr
LIA81LITIES
2.786,640 2.771,815
NEf A88Ers
2,786,640 2.T11,615
FUNDS
unrestrict￿ furth:
General fund
2,786,640 2.771,615
TOTAL FUNDS
2,786,840 2,771,615
The finan
'al statements were 8pprrNed by the Board of TnJ8tees and authorised for Issue on
..Zo&3...... and were signed Its behaff by..
Mr A P Anand - Trustse
The notes fom part of these financial statements

Shri Paramhans Advait Mat￿K
ar Ended 31 March 2023
ACCOUNTING POUCIES
Basls of preparlng the financlal statements
The financial statements of the charity, vthich is a public tjenefft enbty under FRS 102, have
been prepared in accordance with the Charities SORP (FRS 102) 'Accounting and Repoitng
by Charities.. Statement of Recommended Praclice applicab￿ lo (*arities preparing their
accounts in accordance viith the Financial Reporting Stsrbjard applicable in the UK and
Republic of Ireland (FRS 102) {effedive 1 January 2019),. Finanual Repoiting Stsndard 102
'The Financial Reporting Standard applicable in the UK and Republic of Ireland, and the
Charities Act 2011. The financial statements have bèen Kry>ar&J under the historical ￿$t
convention.
Income
All income is recognised in the Statement of Financrdl Activ*i'es once the charity has
entlU8ment to the funds. li Is prtsbab￿ that the Incorne ¥MII be and the amount can
be measured reliabty.
Expèndftur•
Liabilities are recognL*l as exwMYitur8 as soon as there Is a leg81 or constructive obligation
o)mmrtting the charity to that expenditure, it is probable that a transfer of economic benefits
wlll b8 required in settlement arKI the amount of the otAigation can be measured reliably,
Exp8nditure is accounted for on an accruals basis and has been claSSrf￿ under headings
that aggregate all cost rdated to th8 (*gory. ￿*there c08ts cannot b8 dir?￿Y attributed to
particular he8diTrJ8 IW hav8 allo(thJ to actsvthe8 on a cA>n8i8tent with the use
of resourc88.
Tanglbl• Ilxéd a••ets
Depreciation 1$ prov*J•l at the followiry annual rats8 In ordw to ￿lIe i)ff each asset over Its
88tlmated u8eful Iwe.
Freehold pyoperty
Improvements to property
Fixtures and fittings
Motor vehicbs
. not wovideAI
rK)t providgj
10% on redu(ang balance
10% on reducing balan
Taxatlon
The charity is exempt from tsx on Its chamatjle acllvltle8.
Fund ac¢ountlng
Unrestricted furKJs can be used in aCt(thn(￿ *ith Ihe tharitable ottyectsves at the dl8crètion
of the trustees.
Restricted funds can onty be used for partKular reStrIrt￿ wrposes within the objects of the
charty. Resthctions arise whèn speofied by the donor or funds are raised for
parb'cular restricted wrF•)ses.
Further explanation of ￿ nature and purpose of each fv￿1 i8 indud8d in the notes to the
f￿anual statements.
Page 6
continued...

hriP
Fin
INVESTMEKf INCOME
31.3.23
31.3.22
Depos￿ account interest
9,982
7,105
TrUSTEES REMUNERATION AND BENEFITS
Ther8 were no trustees, r8rNnwation or other t*neffts for thè year 31 March 2023
nor for thé year ÈThJed 31 March 2022.
Tru8tee8' expgnwo
There were no truste88' expenses paid for ts year 8nd￿j 31 March 2023 r￿r for tha year
ended 31 March 2022.
COMPARATIVES FOR THE STATEMEpif OF FINANCIAL ACTIVITIES
Unreslricte
fijnd
INCOME AND EF￿WMENTS FROM
Donations arKI legacie8
95,736
Investment income
7,105
Total
102,841
EXPENDITURE ON
Other
55,895
NEf INCOME
RECONCILIATION OF FUNDS
Total funds brought forward
2.724.889
TOTAL FUNDS CARRIED
FORWARD
2,771,615
Page 7
continued...

hri Paramhan
No
TANGIBLE FIXED ASSErs
Improvem￿ Fixtures
ffttings
vehic
Totals
COST
At 1 April 2022
Additions
862,134
852,623
51.957
229.822
56,994 2,001,573
51,957
At 31 March 2023
862.134 904,580
229,822
56,994 2,053,530
DEPRECIATION
At 1 April 2022
Charge for year
187.298
4.252
26.972
3.012
214.270
7.264
At 31 March 2023
191,550
29,984
221,534
NET BOOK VALUE
At 31 March 2023
862.134 904,580
38,272
27,010 1,831,996
At 31 March 2022
862.134
852.623
42,524
30,022 1,787,303
DEBTORS: AMouKfs FALLING DUE wrrHIN ONE YEAR
31.3.23
31.3.22
Prepayments
2,941
4,455
CREDITORS: AMOU1￿ FAWNG DUE wrrHIN ONE YEAR
31.3.23
31.3.22
Trade creditors
Other credltors
1,573
1,280
1,575
1,282
MOVEMEKf IN FUNDS
Net
movernent
In funds
At
31.3.23
At 1.4.22
Unrestrlcted funds
General furKJ
2,771,615
15.025 2,786,640
TOTAL FUNDS
2.771,615
15,025 2,786,640
Page 8
Continued...

Shri Paramhans
for the Year Ended 31 March 20
MOVEMENT IN FUNDS - conllnued
Net movemerrt in fun(ts, in¢lud8d In the at#)ve are as follthys:
Incomitvj Resources Movement
resources expended
in funds
Unrestrlcted fund8
General fund
114,627
{99,602>
15,025
TOTAL FUNDS
114,627
{99,602>
15,025
Comparatlvos for movement In fundl
Net
At 1.4.21
in fundg
31.3.22
Unrestrlcted fund•
Gèneral fvnd
2.724,669
46,946 2,771,615
TOTAL FUNDS
2,724.669
46,946 2,771,615
Comparathie net movement In funds, Included In the above are as A)Ilows:
Incoming Re80urce6 Mov8m8nt
resour(x expended
In fund$
Unrostrl¢ted fund#
General fund
102,841
{55,8951
46,948
TOTAL FUNDS
102,841
(55,895)
A current year 12 mc*ths and wior year 12 n￿nthS combin&l ￿s1￿.0n is as follows..
movement
in funds
At
31.3.23
At 1.4.21
Unrestrkted funds
General fund
2.724,669
61.971 2,786,640
TOTAL FUNDS
2.724,669
61.971 2.786.640
Page 9
continued...

Shri Paramhans Advait Mat-UK
MOVEMENT IN FUNDS - conllnuod
A current year 12 months and prior ￿ 12 months combined net movement ￿ fvnds,
inclLMled in the above are as foll(r44s:
Intx>miro Resources Movement
resourcth expended
in funds
Unrestrfcted fund8
General fund
217.468
(155,497)
81,971
TOTAL FUNDS
217.468
(155,497)
61,971
RELATED PARTY DISCLOSURES
TI￿re I￿re related party trar￿lon$ for the year ended 31 March 2023.
Page 10

hriP
ailed Sta
men
fFin
Year Ended 31 March 202
31.3.23
31.3.22
INCOME AND ENDOWkEWd
Donatlons and legacies
Gifts
Donations
104,643
95,736
104,645
95,736
Investm•nt Income
Deposit account intere8t
9,982
7.105
Total Incomlng rnaourc••
114,627
102,841
EXPENDITURE
Other
Rates & Water
Light & Heat
Insurance
Repairs & Renewals
Legal & Professional fee8
Charitabb Donation
Fixtures and frttlngs
Motor vehicles
3,462
14,264
4,958
13.979
10.646
1,720
4,252
3,012
1,912
3,919
8.276
4,725
3,347
56,293
37,112
support co•ts
Managoment
Postage and stat￿nery
435
242
Flnance
Bank charg8S
137
35
Other
Travelling Exp
Motor Exp
Cantean Expenses
11.862
4.928
17.299
4,988
3,725
7,409
33,889
16,102
Other 2
Sundries
Carri&J forward
6.051
6.051
This pa98 thes not fonn part of the stabjw financial statements
Page 11

mh
ns Athait Mat-
Fin
al
31.3.23
31.3.22
Other 2
Brought fO￿ard
Garden Maintenance
Telephone
6,051
277
1.740
120
1,424
1,624
Governance costs
Accountancy and fees
780
780
Totsl resources expended
99,602
55,895
Not Incomo
15,025
46,946
This pa9e dt*s not form part of the statutory financial statsme
Page 12