**49[th] year Annual General Meeting Report** 

**Sunday 16.11.2025 at 2pm** 

**SMS (UK) 2, Salisbury Road, Manor Park, London E12 6AB.** 

## Agenda: 

**President’s Speech:** The President Mr. S.Niranjan welcomed and thanked all 49 attendees of  the meeting. He extended special thanks to the Trustees, Project Secretaries and all members of the Management Committee for their  help and support in ensuring the smooth running of the organisation. 

**48[th] year Annual General Meeting Minutes** : The annual report was read  by the General Secretary, Mrs.Sutharsini Vakeesan who also answered  all the questions raised by the attendees. The report was proposed  by Mr.M. Jeyakumar and seconded by  Mr.V.R.Ramanathan and  accepted by all the members. 

**48[th] year Financial Report** : The report  was presented by the Treasurer Mrs.Amirtha Thiyagalingam.  All  income and expenditures were clearly explained. The report was proposed  as accurate by Mr.Yoganathan and seconded by Mr.Vamanananthan and accepted by all the attendees.. 

**48[th] year Annual Report** : The report was presented by the General Secretary highlighting  the Charity’s achievements, the motivation of the Project secretaries and the outcomes of the nine ongoing  projects. 

Following this,  Mrs.Baby saroja kanagasabesan was elected as the Pro-Temp Chair. She announced, Mr. Manickam Inthusekaran, as the new President and Mr.Dharma Rabindramohan as the General Secretary. The trustees, Project Secretaries and the committee members were then elected. 

Our Charity’s income is less than £500,000 for the current financial year. 

## **Our Objectives are:** 

a) The advancement of education of the public in the philosophy, precepts, and practice of Hinduism and in particular Saivism. 

b) The relief of sickness and preservation of health, in particular among people affected by Tsunami or any natural or unforeseen disaster in Sri Lanka or any part of Asia and Africa. 

c) The relief of financial hardship and in particular among people affected by the Tsunami or any natural or unforeseen disaster in Sri Lanka or any part of Asia and Africa. 

During the year the charity was able to achieve it’s objectives  by undertaking and executing various projects through its different sections and the several project secretaries. 

## **The main projects   this year:** 



- The charity has continued to  provide  cooked meals to homeless individuals at Seva Street, Stratford (UK) every Wednesday of the month. 

-The charity initiated and sponsored the distribution of sensory toys to Haven House Children’s Hospice and dry food to Richard House Children’s Hospice, with the intention of continuing this support during the Christmas period. 

- The charity supported the recent flood relief efforts in Sri lanka by donating clothing and basic necessities. 

- The charity plays an active role in the Council-Led (Newham)  Vitamin D distribution programme for residents aged 60 and above. . 

- The Charity has financially supported underpriviledged  and needy children in Sri Lanka, mainly through the enlightenment Circle,  which is an arm of the charity. 

## **Achievements:** 

- The charity continue to undertake various projects in the UK for the benefit of elders, vulnerable people, youth and children through elderly centre Social Service, Funeral service (Last Rites), NTA School, Yoga Centre and Temple. We continue publishing periodical magazines and conduct Cultural and Art Classes etc. 

- The charity continues to help the vulnerable, underprivileged, poor and needy people in  Sri Lanka, India and Indonesia mainly through Enlightenment Circle, which is an arm of the charity. 

- Fund raising activities were undertaken through the efforts of the Board of Trustees, and Management Committee  Members of the charity. 

In relation to all the above projects, The Charity has taken into consideration the Charity Commission’s Public Benefit Guidance when making any decisions. 

## **For the next financial year …………** 

- The charity aims to continue and expand its current support activities while exploring further development opportunities. 

- The Charity  actively looking into new fundraising initiatives with a focus on supporting diversity and reaching a wider community. 

Yours sincerely 

Mr.Dharma Rabindramohan 

General Secretary 



Saiva Munnetta Sangam (UK)
Regi stered Chari ty 292085
2 Salisbury Road. Manor Park. London E12 6AB
Tel
020 8514 4732
Emai I
smsuki nfo@
mail.com
www. saivamunnettasangam. com
Web
Financial Statements for the year ended
st
31 August 2025
Accountant's cover letter
Accountant's report
Executive committee's report
Income and Expenditure Account
Balance Sheet
Notes to the Financial Statements

SAIVA MUNNErrA SANGAM (UK)
LEGAL AND ADMINISTRATIVE INFORMATION
Tru•t••¥
Mr S Nirani
S V8kgwi
MrnA Thia9drv
Mr C Sltrww￿lal IDeceaB•J on 31 July 20251
Mr4 N SLw¢rNlron
Mr V Ramanath•n
17 Novotyl)
2024)
(Apwnw 17 Noverrkner
2024)
{Awrynt•J 17 Novomber
20241
(ApFafit￿ 17 November
20241
Mr M J•yAkum•r
Charlfy numb•r
Prfn¢lp•l •ddrn
2 ￿181￿ Ro•d
E12efvB
Crystal Pdac•
Idty)
SE19 2AS

SAIVA MUNNErrA SANGAM (UK)
STATEMENT OF TUSTEES. RESPONSIBILITIES
FOR THE YEAR ENDED 31 AUGUST2025
Tho Iru8t888 Prn88nt thelr annual f•F¥)rt aThl stai•m￿ for thè >w ￿d0d 31 Aryust 2025.
Th• Ilnan¢¥q18tatom￿ hove t*on b) acclyd￿ vAlh tho aceountiw pc41dos $4t c#rt Ir) noto 0110 th8
flnanclal Btatwnwl$ and vAth tha Charitys 9ov*Ydng th)(ur￿n[ the Charit￿$ Ad 20114nd'A￿O￿nf•n9 aTh
R•porbng by Chwiti•8: ststar￿n* of Rwommendod Practico to th8rlli95 preparlng th8lr geeoLrnlg
8cCOrdan￿ th• FIn￿(la1 appknt4• tn tr• UK ond Rowtlic of Irel•nd (FRS 102).
(effectyvo 1 January 2019).
11 Is Iha poNcy of tho Ch*lty that ￿TeS1T￿ted funtls whk*t h8ve been designated for a spK4fic u88 $lM)uld be
maintained al a levol equivalènt to betsveen three and r￿fith.8 9XpwKlllu￿. The tru$tee$ cnnolder that reserves
Ot th18 level vlu gn$urè tha( In lh• event of a drop in fundlNd. thay be abla to eonljnue th• Charfty'8
curront a¢Vvllo8 ￿19 Con$•Jernt[￿ Is given to ways In th addllional funds may b8 rai$8d. Thr8 level of r8serv88
ha8 b90n through￿ th• >wr.
Tho truste68 have assessed thg malor rf5ks to vthkth tho dwity18 •xpo8ed, WKI wo laU￿0d that systems are In
ace to mlUg8to oyp)sw• to tho maky [￿ks.
Tho tNst•8s are regponsw for kYDp8ring Iho Tu8t0è3' Rwrt ar#J the Iln8nt*l 8ts1amants In aC1x￿anCe
ppllc•bl¥ law and Unoled Ktrydom Acrnunlhg StqThJard8 lun1￿j KlwJ(¥n Gon•Tally Accoptod kncMJntlng
The law appllcablo to ¢harltso8 In Englar￿ and Wal8$ r¢qLdrns thg truste98 to prgpar8 financial 8talamonts for 80
flnandal year whith 8 Ituo and lalr Mew ol the State of affth of th• Chartty and of tho Inconkng resouKo$ and
applicxtson ol r•styJreos fvrtty fw thot year.
In prgparfng Ilnoncw 8tatomonty th• tru8t••8 requkod to:
. ￿19(4 Sult￿8 8¢counUr8 Pol￿0$ *KI th•m t￿,
. ob8erve the methr￿S prfn*les In the Chartdos SORP:
. mak• ￿dg•rnents esUm8tes that 8re Tea8onablo ￿￿knt..
. State wthoth¢r 8pplea￿a acc￿nting standard8 b••n folknb*l. ￿bJ0(a to any ffAt¢rtal dOpW￿ra• dI•d0￿d
explalned In thg flnon¢ig18ts1ements: and
. wtpar8 the flnanclal 6101￿n￿ts ￿ thg gohg rA¥wn b4818 *18 to Wg•umo that the tha
will eontbnuo in cs)oTation.
The twsleg8 orn respon*blo for k99pkng wffiryant a¢%OuntW￿ rocords that d￿¢1010 with roasonat4• ac¢uraty at any
Ilm Ihe finar#io1 p0s￿On ol the Charlty enable them to gn$LXO that thg fmancAal stst8mgnts comply vnlh the
CharflgsAct 2011. th8 Charity IA¢¢omts gnd Rep￿￿) R•wlations 2￿8 &)d the provisions of the tru6t deed. They
are al30 rP5p￿S￿l18 kn 5afeguardkny lh¥ Chailly •r¥J lakltvJ re￿101￿8 step3 for Ihe
prevenuon and d¢lgdi(Jn of fraud and other iffegularitigs.

SAIVA MUNNEThA SANGAM (UK)
TUSTEES. DECLARATION ON UNAUDrrED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
In TO￿￿0n to th• flnandal st818m8￿ sot ￿t on Pa￿ to 13:
. The trustts¥ apwovè Ihès• fflnanc4al statements and ¢￿fim1 that thoy arg Tgsponslblè for Ih•m. induding
8electing Ihè •pproprlats a¢ty)unling pok4•S. ¥pFAyi￿ Ihwn wislstonty and maKng, on 8 raasonabje and
p￿dent ba$i$, th8 judw)ènts und•rf￿ng them. They ha¥0 boBn tho wng coneem ba￿5 on ihe
gmunds that the ChArity wll cr￿n￿O In operatm.
. The trustee8 cg)nffim thal they have made aVal￿bIe to ￿ AcC￿ntary, 811 lh9 Charivs act￿ntIng rn(xyd$
and tnvided all the InfOrM￿r￿ ￿8￿$ary for thg r9)m￿lation ofthe finandal ststgments.
. The trustees o)nfimi that to the bèst d th•r kno• And bgllef, th• ae<thnVng rocuds rnfiect all
n$9¢￿0￿8 ofth• Charfty for th• y4•r WK1￿ 31 Aiwst 2025.
On boh•lf of tho boa
Mr S N1￿8n
.Tru4t••
21. 10.

SAIVA MUNNErrA SANGAM (UK)
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF SAIVA MUNNETfA SANGAM (UK)
I rIp￿ to the trustsos on my tho Irf￿￿4#1 statemenls of SAIVA MUNNETTA SANGAM {UKI {the
Ch8rfty1 frytho ond￿ 31 August 2025.
R••pon#lbllAkn WMI ba￿• of r•port
AB bvstern of Ihg Chirfty Y(￿ are for th• ol th• finan¢aal •tat￿n0n1* In a¢xx)r(lartc• *lth
th• req￿rements Oft￿ Ch•rldos 2011.
++•
I r8port In re$pgc* of my examlnauon of th• Chèrfvs finan¢lel $tstem•nts caThl&d out under sectkn 145 of th•
Ch1rltl9$ A¢t 2011. In Cal￿ng out my exarnvwtion I ha¥è th• Dkèctlons gvèn by thè Charity ccrnls￿Ort
under B•¢lk*n 1445Xbl crf th• Chwiti06Ad 2011.
Ind•p•nd•nt •Mmin•rf• •tat•m•nt
Styice tho Chadty's gross Incorne oxceedod £250.000, tho IntFwndonl èxamlnw must bè A membér of o body
118ted Sn ￿eliOn 145 of the Charilles AL* 2011. 1 cxmfmi Ihat I ￿ qu8lffjed to undertake the 8xamination bgcause I
am • member ofTh¢ hssodallon olA¢(y￿nIfjng Tethrdd4ns (AAT), 1$ Ilslod Ix)dto¥.
Ycw att￿￿¢)￿ L8 drawn to the lad that th8 has proparwj th8 finandal 81Btem8nts kn a¢rAxdon¢e wlth tho
levant vor8k)n 01 th8 Statomont <rf R•comm•nd8d Pradjco appficabl• to chaiilies pr•paring Ihabr nnandal
8tatements in with tho Flnandal Remvltng St8nd8rd apph'cable In th& UK and R0publi¢ of Ir•land (FRS
1021 In proforenco trJ tho Ac•>Xmtlry and Reporung ty ChwlUe¥'. st9twn￿I ol R1￿mM9n(w Pr•cIlr￿ i•8ugd on I
Awll 2005 vthich 1$ roforrnj to in the èxtanl regu￿l￿n8 Ixrt h•J boon wlhdrawn. l und8rntarKI that ihl$ has
b•en done In order tho flnanclol 814t•m￿ to wovld• a and vlew In acc¥xdan¢e UK G•nwa¢ly
A¢¢8pt•d A¢￿Un￿ Pracbco.
I havo completod rny oxomln¥llon. I t1￿{ no mattern haw ￿n• io my attonthin In oJnnaclk)n wlth th•
exam1r￿tiOn giwng me cause to belknve that wi any malerlal Trsr•¢L'
accamljng rOCc￿￿8 not kgpl In re6pect of Chwlty a8 rgwrod by 8eCtkm 130 of lh• ChorlUe8Ad 2011.
• financial ststoments do not acc(xd ￿￿th Ihoso re￿d$. or
th• fin￿d81 statgm8nts do not ccxrwy w6th lh• aFWlc&tA• Ct4)¢emlng th• lomi Ind e4Mtonl of
occounts 8•t out In tho Ch8rt1I68 (AetCAmt8 #nd Report81 Regulat1￿9 2008 Othor Ihan any rgqulremonl that the
accoun1# gfve a true ond faw y￿W whlch Is not o mattor cona6dernd a¥ pgrt of an Indep￿￿￿1 ex8nxnation.
I ha￿ 4nd have (xxne ¢Jthet maltsrs In wlth th¢ examlnatkn lo wh1¢* alt¥n¢k)n
$I￿Uld be drawn In INS rwrt In ordgr lo en•t4e 8 undgrstanthng of the finandal $18tements lo bè reached.
CKVaMn
AJ Accountsn
43Anedèy Roa11
Cry$tsl Pala¢•
London
se192AS
Datsd.. .Q21.1RRQ25..

SAIVA MUNNErrA SANGAM (UK)
STATEMENT OF FINANCIAL ACTivrriES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2025
Tot•1
fvnd#
2025
fund¥
2024
fund•
2024
2025
2025
2024
D￿9t10￿? and1•gad•s
Prci8dA(*vitie8
Oihor Incom•
Invo8kn¢nts
16,&50
125.861
445
35.340
18,356
35,311
1W,274
134.778
8,855
1,175
35.340 43,564
36,311
183.161
14,902
43.564
84.413
8,410
13.727
Tatsl Incom•
176.c￿2
72.823
250,82S
214,828
62,110
276,938
ndI￿r• o
Pr(¥gclkntivilio•
125.fA3
75.718
201,361
148,734
64.830
213,564
Other ExF*n(Ibn
59,149
59.149
71,310
71.310
Depredadon
29.566
28,135
28.135
Tot•1 •xp•ndltur•
214.&
76.718
zw,oifj
240.179
313.(WJ9
N•1 •xp•ndltur• lor th• y••rl
mgv•nwm In Ibnd•
iJo,&ryo)
(2,895)
(392)11
(XJJI)
(2,720)
{36,0711
Fund b8lan(xs al 1
2024
820,1eo
12.487
832,647
863.511
15,207
868,718
Fund balan¢•• at 31 August
2025
781804
793.396
820.100
12.487
832,647
Th• Slot￿￿1 offln•ndal 0th4tl88 Incl￿$ all g•ko and lo¥w rwnls•d In tha yaar.
Tha 8taterrtht olfir￿d81 acuvltkn kndudob al gatn8 and1088es recogrused In th8 >wr. Al IrKOTh and •xpgndiiur•
d¢rlvo from contlnulng actith.

SAIVA MUNNEThA SANGAM (UK)
BALANCE SHEET
ASAT31AUGUST2025
2025
2024
TarwJiblo a$￿ts
12
703,126
730.efj1
Curront M¥•ts
DebtOTS
Caih at bank in hand
13
26.OC6
76,7
102,71
Cr•dltor•: amounts f4lllDg du• t*lthln
on• y••r
14
(720)
{7201
N•t cun•nt •S8•ts
90,270
101.988
T¢)tal J•••ts l•M curr•nt IIthUItI••
793.3
832.647
9.592
783.804
12.487
820,180
Unr•8trid•d fvnd•
793.398
832,847
1.10. 2S
Mr S Nlra
Pr••ld•nt
Mr8 S Vake￿ft
MIBA Trwag4ing8m
H¢n.Troa8

SAIVA MUNNErrA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Accounltho poll¢l••
Charfty Inlorni•tlon
SAVA MUNNEfTA SW4GMA OJK}18 an wlngypNatod Ch￿lty in E￿1•r￿1 Walos. Th• Ch8rity8
Pthi¢lW addr888 is 2 Saltstsjry R￿J. Loth. E12 6A8.
1.1 Ae¢ountbw eonv•ntloft
Tho fin￿thI statom8nts h•v• b88n wepared In a¢rAxdw vAth Ihe Charitys goveming do¢umen( thg
Ch8th8 Act 2011. FRS 102 7ho Fknanaal Re￿￿1¥d StAThJard applicaNo in the UK and Republic of Ireland.
and lh• Chorlti•s SORP 'Acc￿￿ting and RèF#YtwvJ by ch￿￿08.. Statom￿l ol Recomrngndod Prgctic
apF41¢abl8 to charftles proparfng thw ac0￿nts kn acc)xdanL> wlth the Finarwial Rèportin9 Slandard
appli(ablg In UK arNJ Roputlic rA Iral￿d IFRS 102).. The Charfty is a Publk ￿neffit Enlty a¥ dgfingd by
FRS 101
The statements have doparted Irom Ihe ChaTiti"gs <A&￿nIS and RO￿rts) R&3ulatlons 2008 only lo
tho extent requIr￿a to p￿Ide 8 In* and 1•6r vlvAt. Th1$ d￿TtsjrO has Invc4ved folky•Ang the Statement of
R¢¢omm•nd•d PracOc8 ILY chankn'•s FRS 102 rather than the Ver81￿ of tho Statement ol
R¢¢M)m•nd•d Practk• ¥ththlth18 r•f•ff•d to in ts Regul•lth8 tmrt ha8 vAthdrn4￿.
Tho fin8llrAal Jtatem•nts •r• pr¥p•r•d in stsrfkng. 18 tho funcknd +)Jfforw of tho Charfty. Mcfflelary
•rrwnt• In kn••e flnarKA•l •tatwnort8 lo th• n￿r•￿t £.
Th• fln*neld •t•t•m•nt• h4v• b••n pr•par•d und•r lh• hl¢te*feAI e*xI convanb￿. Ime4JW to Indud• th
rwaluotjon ¢y properoès and to IrK4ud• In¥eslmwl prowU&8 and c8thn financk?I I￿trum¢ntS at falr
v4luel. ￿ndpAlaccoUn￿rv￿ pollrJ•# ath)pknJ aro sot bfjl￿,
12 Golng cone•m
Al bkn tim• of aFvoving Ihg finandal stgtem8nt& th• intyt••g have a reaeonèblo •xpgCtaYon that Ch8rtty
has adequate res¢wrco5 to ¢[￿tin￿O tho frxe88fjaU6 fijture. Thus the trustees
eontlnu• to 4dopt th• golng eone•m ba#1# ol •eeoun¥ng in pr•p•rtry th• fingndAI ttAt4mont•.
1.3 Chirftabl• fufid•
UNestrict•J fvnds v• avalatl• use at the d*¢xolh)n tru81•08 In fvrthw8nr* of thotr chwltaL40
Rè8trfcted fund8 are 8Ut4•X 10 spec￿¢ cond￿On¥ by donors or grantors as to hthv they may ￿ usod. Tho
purposes arKI usej of the Te5tricted fuTrJ3 We sgt rArt Jn nrA•s to tho finwNial 8tatsm8nts.
Endu*￿￿•nt fvnds we 8ubi8Ct to SP8cth thot tho rnust be m•tntslnad by the
Chadty.
1A In¢om•
Inwrn 18 roc4nl8ed *then tho ChwEty IJ legally wrfilknj to M 8ft¢r wy pofvmanr* ¢ondttbn8 h8vo bgon
all￿nts can be m6a8ured reli**. a￿j it is t￿1￿* that Incom6 be rac4lved.
of the sknation. un]e8s c£¥)dillMs r•qUr￿ tlelerral of the arr￿￿nI. IrKome tax r0¢Ov8rab￿ in
rel8llon to donatlons received undw GiftAkl or d8ed8 of covenant is r8c(gni8ed at the tlmo of Ihe donaoon.
L8gados arg rg(qrM8ed on receipt Cr othewse If Charity ha$ Th)tified of an imp8nthng dMrfbLrtion,
the amount 18 k￿. and rece￿1 i8 Oxpeded. If the amount 18 not known. tha Iggacy is troatèd 88 a

SAIVA MUNNEThA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
A¢¢wntln9 pollcl••
IContinu•dl
1.5 Ex￿￿ra
Expendtturo Is reco9ni8éd c￿ce thor8 18 & legal ￿ (x>nstruth t¢ tron$f¢r •o)noml¢ bon•fi¢ to a
Ihlrd pwty, Et Is wjbabto that a transfer of econL¥nk b*)ofj1s b• wulred kn s¢ttJ¢m¢nt, th¥ am0￿1 of
t￿ ot4lg8tkn can be mO•SLw•d r¢ll•bly.
ExpoTrJlbJre 4$ by adlwty. Th6 costs of eath admty mado up of tho totsl of direct ts)8ts and
8hared cost$. In¢￿ding support u)8ts In urrf1wl4￿ng oath a¢bMty. Oiroct costs attr11￿tablft to a slnglg
athity wo 4llo¢ot8d dlroctly to that activty. shar￿ ct)8t# **Mch C￿"bUt& to more Ihan onè activtty and
oupport costs whl¢h arn not attn'trthtle to 8 sin￿8 acti￿ ar• beh¥een trmxe advltle8 on 8 basls
c￿n￿¥tent Iho U88 ol T￿oUr￿. Cantr81 staff costs aro dlocatod on tho basi8 of timo BPOnL and
preryation ¢haffJe8 are allocated on Iho wuon oftho assot's ￿￿.
1.6 T•nglbh fix•d M4•t•
TorvJiblo flxed a88ets are iniloly mtasurnd at c¥*t and wb8OqL*Ity me88ur•J at cost or v4u•llon. not ol
d¢pre¢iath'on and any Inylrm?nl k)3ses.
Deprodatlon 18 Tfjcow18ed ￿ ¥$ lo vhlle off Iho cosl or val￿¥¢￿ cl a•￿1$1••6 Iholr va￿0$ over thelr
uMlul Ilv•s on the boses..
Lgnd and Bulldkngs
Kaknuna Buildkngs
Torrpl• Bulldlng
SoLthend Hut
FLxluro8 and llttlThJ8
IT Equlpment
Chorlot
25% strdlpm Ing
25% slr8Wt I
2.5% Stra￿ht Ih•
2.5% Iw
10.CK
10.cl
10.(￿￿
Gdd J6vKI
Thè galn or kigs fAt8lng on Iho dlsFThd of an as89t16 dotwmlwJ as the dlfferwKY bo￿*89n the sale procood8
1.7 C••h And ca•h •qulval•nts
Cash #nd cash equiv8l¥nts IncbJd• ¢•sh In harml. d•p)slt8 held at cxll *llh banks, other SI￿rt-leM7 Ilquld
Imie8tsnents vAth orfglnal motudU¢s of threo Tr￿the ￿ leBB. arKI bank overdr8ft8. Bank oveTdr8ft8 are 8h¢)wn
vAthln bom•Ango In ¢uff•nt liabdlllos.

SAIVA MUNNETfA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Donat10￿ Ind 1•9a¢l•s
Unrnffjtrlrt•d Unro8trict8d
funds
furHI3
2•28
2024
GiftAids
Mèmbarshl) f806
88nk Inlwost
Uelwll￿ & Idd domlion
Oth•r Donatlof
7.242
2.840
26.008
2,951
1,234
4,100
1.020
3.700
1.779
16.356
35,311
ProJ•¢t AAlvlU••
2025
2024
Soclal SeDA
Rellgl¢)US
Publl¢atton
Sonlor Centrt
N0fvarTam￿ A¢ad•my
8,767
93,590
4.165
4,020
6,385
8,934
04,413
27.479
84.291
2.765
2.318
10.C>OO
7,925
Enlighlenment Cird•
190.274
183,161
Analys18 by fund
Unre$tdctsd fvnd$
R¢strfc￿j fund$
125.861
64.413
134,778
48,383
1W,274
183.101

SAIVA MUNNEThA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Total
funds
funds
2025
2024
2024
2024
445
8.410
1.175
1.175
13,727
8.410
13.727
8.410
8.855
1.175
13,727
14,￿2
Inv••lm•nts
2025
2024
R•ntd Incomo
H411 Hlr•
25.630
9,710
33,444
10.120
35,340
Tol81
funds
fvnd#
frjnds
2025
2023
202$
2024
2024
Sod•l Swl
Religityjs
PubJl¢•tk
Na￿ar Taml A¢adwny
80as ProlerAB
E￿ight￿mertt Cirde
S•nk•r C•ntro
Ragasangamarn Events
24.535
92,864
5,499
13,809
8.381
24,b35
92.864
5,499
13,809
8.381
52.875
3.646
11.955
90.671
5.628
10,451
10.063
,671
5.628
10,451
10.063
66.820
52.875
11.955
125.643
75.718
8)1.361
148,734
213.564
125,643
75.716
201.￿1
148.734
64,830
213.564

SAIVA MUNNErrA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
2025
2024
24.101
5,002
4.011
4,597
3,928
522
1.334
8.835
33,978
5,130
3.812
6,984
4.068
854
1,185
7.103
Rates
Ir￿￿ne0
Llghl a Hèal
R8P8ir8 & Maintenw
Postago & Stalxin•ry
Tolophono
k 11
Chadtst4•
Act￿ntanCY
L¢gal & Prof08INd Fo•
Bank Chary89
Sundry Exp6Mes
Wule Colle¢llc
Aandu Vltha Cdobrnllo
1.399
720
175
3.241
720
170
978
82
S16
2,945
776
2.212
59.149
71.310
59,149
71.31Q
Charfty the yo8r.
D•y•¢l•llon
fvnds
fund3
202S
2024
BuShJng Dowodati
Kalmund Bulklng Dqwwithon
Southend Htst Dew•dakn
Fumliurè & Flttlry D•pr•dalon
Temple Assets Dewedath)n
Charfot Depredatlc
17.150
2.231
152
2.087
5.686
16,655
2,231
1S2
678
5.985
2.434
29.566
28.135
10-

SAIVA MUNNErrA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
10 Employ•••
The averap nun*•rof ￿rIr￿j Ihe >wr'.
2025
Numb•r
2024
Numb•r
Employm•nt co•t•
2025
2024
Wages and s￿4￿0$
Aevdrtty c08ts
16.725
7,376
27.108
6,870
24.101
33.978
11 Twtl•n
Th8 tt•18 oxeryt fmm t8xaticfi a¢llvltlo8 bocwJ80 Al it8 Inc4)m• & oppfiod for th8ril•bi• pury>o6eB.
11

n I?£
11

SAIVA MUNNEThA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
13 D•1
2025
2024
Amwnts falllnq du• orvè y•ar.
GNIAkl Recdvabl•
26,CW]6
14 Cr•dl¢ov¥: am•ynts talllng du• T*lthln on• y••r
2025
2024
7x1
720
IS An￿￿1• of n•t b•lw••n fvnd•
Tot•1 UN06trIC￿j Ro6trS¢Xod
funds
fundi
24
2024
Total
lund8
2025
fuThdB
2025
2025
2024
Fund bdanca8 at 31
Augu8t 202$ ore
pre8¢nted by.
Ib￿ aBBets
Currnnt ass￿￿(￿#b11
703.126
80,878
703.126
90.270
730,861
101.980
730.661
101.986
9.592
783,804
793,396
832.047
832.647
11 R•lthd ￿rtY tr•n••cdon•
Thorn wer• no dI8d¢•*￿ fdatwl pwty tr￿c¥On$ (Krkng yew12024. ncffj•
13-

Saiva Munnetta Sangam (UK)
Regi stered Chari ty 292085
2 Salisbury Road. Manor Park. London E12 6AB
Tel
020 8514 4732
Emai I
smsuki nfo@
mail.com
www. saivamunnettasangam. com
Web
Financial Statements for the year ended
st
31 August 2025
Accountant's cover letter
Accountant's report
Executive committee's report
Income and Expenditure Account
Balance Sheet
Notes to the Financial Statements

SAIVA MUNNErrA SANGAM (UK)
LEGAL AND ADMINISTRATIVE INFORMATION
Tru•t••¥
Mr S Nirani
S V8kgwi
MrnA Thia9drv
Mr C Sltrww￿lal IDeceaB•J on 31 July 20251
Mr4 N SLw¢rNlron
Mr V Ramanath•n
17 Novotyl)
2024)
(Apwnw 17 Noverrkner
2024)
{Awrynt•J 17 Novomber
20241
(ApFafit￿ 17 November
20241
Mr M J•yAkum•r
Charlfy numb•r
Prfn¢lp•l •ddrn
2 ￿181￿ Ro•d
E12efvB
Crystal Pdac•
Idty)
SE19 2AS

SAIVA MUNNErrA SANGAM (UK)
STATEMENT OF TUSTEES. RESPONSIBILITIES
FOR THE YEAR ENDED 31 AUGUST2025
Tho Iru8t888 Prn88nt thelr annual f•F¥)rt aThl stai•m￿ for thè >w ￿d0d 31 Aryust 2025.
Th• Ilnan¢¥q18tatom￿ hove t*on b) acclyd￿ vAlh tho aceountiw pc41dos $4t c#rt Ir) noto 0110 th8
flnanclal Btatwnwl$ and vAth tha Charitys 9ov*Ydng th)(ur￿n[ the Charit￿$ Ad 20114nd'A￿O￿nf•n9 aTh
R•porbng by Chwiti•8: ststar￿n* of Rwommendod Practico to th8rlli95 preparlng th8lr geeoLrnlg
8cCOrdan￿ th• FIn￿(la1 appknt4• tn tr• UK ond Rowtlic of Irel•nd (FRS 102).
(effectyvo 1 January 2019).
11 Is Iha poNcy of tho Ch*lty that ￿TeS1T￿ted funtls whk*t h8ve been designated for a spK4fic u88 $lM)uld be
maintained al a levol equivalènt to betsveen three and r￿fith.8 9XpwKlllu￿. The tru$tee$ cnnolder that reserves
Ot th18 level vlu gn$urè tha( In lh• event of a drop in fundlNd. thay be abla to eonljnue th• Charfty'8
curront a¢Vvllo8 ￿19 Con$•Jernt[￿ Is given to ways In th addllional funds may b8 rai$8d. Thr8 level of r8serv88
ha8 b90n through￿ th• >wr.
Tho truste68 have assessed thg malor rf5ks to vthkth tho dwity18 •xpo8ed, WKI wo laU￿0d that systems are In
ace to mlUg8to oyp)sw• to tho maky [￿ks.
Tho tNst•8s are regponsw for kYDp8ring Iho Tu8t0è3' Rwrt ar#J the Iln8nt*l 8ts1amants In aC1x￿anCe
ppllc•bl¥ law and Unoled Ktrydom Acrnunlhg StqThJard8 lun1￿j KlwJ(¥n Gon•Tally Accoptod kncMJntlng
The law appllcablo to ¢harltso8 In Englar￿ and Wal8$ r¢qLdrns thg truste98 to prgpar8 financial 8talamonts for 80
flnandal year whith 8 Ituo and lalr Mew ol the State of affth of th• Chartty and of tho Inconkng resouKo$ and
applicxtson ol r•styJreos fvrtty fw thot year.
In prgparfng Ilnoncw 8tatomonty th• tru8t••8 requkod to:
. ￿19(4 Sult￿8 8¢counUr8 Pol￿0$ *KI th•m t￿,
. ob8erve the methr￿S prfn*les In the Chartdos SORP:
. mak• ￿dg•rnents esUm8tes that 8re Tea8onablo ￿￿knt..
. State wthoth¢r 8pplea￿a acc￿nting standard8 b••n folknb*l. ￿bJ0(a to any ffAt¢rtal dOpW￿ra• dI•d0￿d
explalned In thg flnon¢ig18ts1ements: and
. wtpar8 the flnanclal 6101￿n￿ts ￿ thg gohg rA¥wn b4818 *18 to Wg•umo that the tha
will eontbnuo in cs)oTation.
The twsleg8 orn respon*blo for k99pkng wffiryant a¢%OuntW￿ rocords that d￿¢1010 with roasonat4• ac¢uraty at any
Ilm Ihe finar#io1 p0s￿On ol the Charlty enable them to gn$LXO that thg fmancAal stst8mgnts comply vnlh the
CharflgsAct 2011. th8 Charity IA¢¢omts gnd Rep￿￿) R•wlations 2￿8 &)d the provisions of the tru6t deed. They
are al30 rP5p￿S￿l18 kn 5afeguardkny lh¥ Chailly •r¥J lakltvJ re￿101￿8 step3 for Ihe
prevenuon and d¢lgdi(Jn of fraud and other iffegularitigs.

SAIVA MUNNEThA SANGAM (UK)
TUSTEES. DECLARATION ON UNAUDrrED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
In TO￿￿0n to th• flnandal st818m8￿ sot ￿t on Pa￿ to 13:
. The trustts¥ apwovè Ihès• fflnanc4al statements and ¢￿fim1 that thoy arg Tgsponslblè for Ih•m. induding
8electing Ihè •pproprlats a¢ty)unling pok4•S. ¥pFAyi￿ Ihwn wislstonty and maKng, on 8 raasonabje and
p￿dent ba$i$, th8 judw)ènts und•rf￿ng them. They ha¥0 boBn tho wng coneem ba￿5 on ihe
gmunds that the ChArity wll cr￿n￿O In operatm.
. The trustee8 cg)nffim thal they have made aVal￿bIe to ￿ AcC￿ntary, 811 lh9 Charivs act￿ntIng rn(xyd$
and tnvided all the InfOrM￿r￿ ￿8￿$ary for thg r9)m￿lation ofthe finandal ststgments.
. The trustees o)nfimi that to the bèst d th•r kno• And bgllef, th• ae<thnVng rocuds rnfiect all
n$9¢￿0￿8 ofth• Charfty for th• y4•r WK1￿ 31 Aiwst 2025.
On boh•lf of tho boa
Mr S N1￿8n
.Tru4t••
21. 10.

SAIVA MUNNErrA SANGAM (UK)
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF SAIVA MUNNETfA SANGAM (UK)
I rIp￿ to the trustsos on my tho Irf￿￿4#1 statemenls of SAIVA MUNNETTA SANGAM {UKI {the
Ch8rfty1 frytho ond￿ 31 August 2025.
R••pon#lbllAkn WMI ba￿• of r•port
AB bvstern of Ihg Chirfty Y(￿ are for th• ol th• finan¢aal •tat￿n0n1* In a¢xx)r(lartc• *lth
th• req￿rements Oft￿ Ch•rldos 2011.
++•
I r8port In re$pgc* of my examlnauon of th• Chèrfvs finan¢lel $tstem•nts caThl&d out under sectkn 145 of th•
Ch1rltl9$ A¢t 2011. In Cal￿ng out my exarnvwtion I ha¥è th• Dkèctlons gvèn by thè Charity ccrnls￿Ort
under B•¢lk*n 1445Xbl crf th• Chwiti06Ad 2011.
Ind•p•nd•nt •Mmin•rf• •tat•m•nt
Styice tho Chadty's gross Incorne oxceedod £250.000, tho IntFwndonl èxamlnw must bè A membér of o body
118ted Sn ￿eliOn 145 of the Charilles AL* 2011. 1 cxmfmi Ihat I ￿ qu8lffjed to undertake the 8xamination bgcause I
am • member ofTh¢ hssodallon olA¢(y￿nIfjng Tethrdd4ns (AAT), 1$ Ilslod Ix)dto¥.
Ycw att￿￿¢)￿ L8 drawn to the lad that th8 has proparwj th8 finandal 81Btem8nts kn a¢rAxdon¢e wlth tho
levant vor8k)n 01 th8 Statomont <rf R•comm•nd8d Pradjco appficabl• to chaiilies pr•paring Ihabr nnandal
8tatements in with tho Flnandal Remvltng St8nd8rd apph'cable In th& UK and R0publi¢ of Ir•land (FRS
1021 In proforenco trJ tho Ac•>Xmtlry and Reporung ty ChwlUe¥'. st9twn￿I ol R1￿mM9n(w Pr•cIlr￿ i•8ugd on I
Awll 2005 vthich 1$ roforrnj to in the èxtanl regu￿l￿n8 Ixrt h•J boon wlhdrawn. l und8rntarKI that ihl$ has
b•en done In order tho flnanclol 814t•m￿ to wovld• a and vlew In acc¥xdan¢e UK G•nwa¢ly
A¢¢8pt•d A¢￿Un￿ Pracbco.
I havo completod rny oxomln¥llon. I t1￿{ no mattern haw ￿n• io my attonthin In oJnnaclk)n wlth th•
exam1r￿tiOn giwng me cause to belknve that wi any malerlal Trsr•¢L'
accamljng rOCc￿￿8 not kgpl In re6pect of Chwlty a8 rgwrod by 8eCtkm 130 of lh• ChorlUe8Ad 2011.
• financial ststoments do not acc(xd ￿￿th Ihoso re￿d$. or
th• fin￿d81 statgm8nts do not ccxrwy w6th lh• aFWlc&tA• Ct4)¢emlng th• lomi Ind e4Mtonl of
occounts 8•t out In tho Ch8rt1I68 (AetCAmt8 #nd Report81 Regulat1￿9 2008 Othor Ihan any rgqulremonl that the
accoun1# gfve a true ond faw y￿W whlch Is not o mattor cona6dernd a¥ pgrt of an Indep￿￿￿1 ex8nxnation.
I ha￿ 4nd have (xxne ¢Jthet maltsrs In wlth th¢ examlnatkn lo wh1¢* alt¥n¢k)n
$I￿Uld be drawn In INS rwrt In ordgr lo en•t4e 8 undgrstanthng of the finandal $18tements lo bè reached.
CKVaMn
AJ Accountsn
43Anedèy Roa11
Cry$tsl Pala¢•
London
se192AS
Datsd.. .Q21.1RRQ25..

SAIVA MUNNErrA SANGAM (UK)
STATEMENT OF FINANCIAL ACTivrriES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2025
Tot•1
fvnd#
2025
fund¥
2024
fund•
2024
2025
2025
2024
D￿9t10￿? and1•gad•s
Prci8dA(*vitie8
Oihor Incom•
Invo8kn¢nts
16,&50
125.861
445
35.340
18,356
35,311
1W,274
134.778
8,855
1,175
35.340 43,564
36,311
183.161
14,902
43.564
84.413
8,410
13.727
Tatsl Incom•
176.c￿2
72.823
250,82S
214,828
62,110
276,938
ndI￿r• o
Pr(¥gclkntivilio•
125.fA3
75.718
201,361
148,734
64.830
213,564
Other ExF*n(Ibn
59,149
59.149
71,310
71.310
Depredadon
29.566
28,135
28.135
Tot•1 •xp•ndltur•
214.&
76.718
zw,oifj
240.179
313.(WJ9
N•1 •xp•ndltur• lor th• y••rl
mgv•nwm In Ibnd•
iJo,&ryo)
(2,895)
(392)11
(XJJI)
(2,720)
{36,0711
Fund b8lan(xs al 1
2024
820,1eo
12.487
832,647
863.511
15,207
868,718
Fund balan¢•• at 31 August
2025
781804
793.396
820.100
12.487
832,647
Th• Slot￿￿1 offln•ndal 0th4tl88 Incl￿$ all g•ko and lo¥w rwnls•d In tha yaar.
Tha 8taterrtht olfir￿d81 acuvltkn kndudob al gatn8 and1088es recogrused In th8 >wr. Al IrKOTh and •xpgndiiur•
d¢rlvo from contlnulng actith.

SAIVA MUNNEThA SANGAM (UK)
BALANCE SHEET
ASAT31AUGUST2025
2025
2024
TarwJiblo a$￿ts
12
703,126
730.efj1
Curront M¥•ts
DebtOTS
Caih at bank in hand
13
26.OC6
76,7
102,71
Cr•dltor•: amounts f4lllDg du• t*lthln
on• y••r
14
(720)
{7201
N•t cun•nt •S8•ts
90,270
101.988
T¢)tal J•••ts l•M curr•nt IIthUItI••
793.3
832.647
9.592
783.804
12.487
820,180
Unr•8trid•d fvnd•
793.398
832,847
1.10. 2S
Mr S Nlra
Pr••ld•nt
Mr8 S Vake￿ft
MIBA Trwag4ing8m
H¢n.Troa8

SAIVA MUNNErrA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Accounltho poll¢l••
Charfty Inlorni•tlon
SAVA MUNNEfTA SW4GMA OJK}18 an wlngypNatod Ch￿lty in E￿1•r￿1 Walos. Th• Ch8rity8
Pthi¢lW addr888 is 2 Saltstsjry R￿J. Loth. E12 6A8.
1.1 Ae¢ountbw eonv•ntloft
Tho fin￿thI statom8nts h•v• b88n wepared In a¢rAxdw vAth Ihe Charitys goveming do¢umen( thg
Ch8th8 Act 2011. FRS 102 7ho Fknanaal Re￿￿1¥d StAThJard applicaNo in the UK and Republic of Ireland.
and lh• Chorlti•s SORP 'Acc￿￿ting and RèF#YtwvJ by ch￿￿08.. Statom￿l ol Recomrngndod Prgctic
apF41¢abl8 to charftles proparfng thw ac0￿nts kn acc)xdanL> wlth the Finarwial Rèportin9 Slandard
appli(ablg In UK arNJ Roputlic rA Iral￿d IFRS 102).. The Charfty is a Publk ￿neffit Enlty a¥ dgfingd by
FRS 101
The statements have doparted Irom Ihe ChaTiti"gs <A&￿nIS and RO￿rts) R&3ulatlons 2008 only lo
tho extent requIr￿a to p￿Ide 8 In* and 1•6r vlvAt. Th1$ d￿TtsjrO has Invc4ved folky•Ang the Statement of
R¢¢omm•nd•d PracOc8 ILY chankn'•s FRS 102 rather than the Ver81￿ of tho Statement ol
R¢¢M)m•nd•d Practk• ¥ththlth18 r•f•ff•d to in ts Regul•lth8 tmrt ha8 vAthdrn4￿.
Tho fin8llrAal Jtatem•nts •r• pr¥p•r•d in stsrfkng. 18 tho funcknd +)Jfforw of tho Charfty. Mcfflelary
•rrwnt• In kn••e flnarKA•l •tatwnort8 lo th• n￿r•￿t £.
Th• fln*neld •t•t•m•nt• h4v• b••n pr•par•d und•r lh• hl¢te*feAI e*xI convanb￿. Ime4JW to Indud• th
rwaluotjon ¢y properoès and to IrK4ud• In¥eslmwl prowU&8 and c8thn financk?I I￿trum¢ntS at falr
v4luel. ￿ndpAlaccoUn￿rv￿ pollrJ•# ath)pknJ aro sot bfjl￿,
12 Golng cone•m
Al bkn tim• of aFvoving Ihg finandal stgtem8nt& th• intyt••g have a reaeonèblo •xpgCtaYon that Ch8rtty
has adequate res¢wrco5 to ¢[￿tin￿O tho frxe88fjaU6 fijture. Thus the trustees
eontlnu• to 4dopt th• golng eone•m ba#1# ol •eeoun¥ng in pr•p•rtry th• fingndAI ttAt4mont•.
1.3 Chirftabl• fufid•
UNestrict•J fvnds v• avalatl• use at the d*¢xolh)n tru81•08 In fvrthw8nr* of thotr chwltaL40
Rè8trfcted fund8 are 8Ut4•X 10 spec￿¢ cond￿On¥ by donors or grantors as to hthv they may ￿ usod. Tho
purposes arKI usej of the Te5tricted fuTrJ3 We sgt rArt Jn nrA•s to tho finwNial 8tatsm8nts.
Endu*￿￿•nt fvnds we 8ubi8Ct to SP8cth thot tho rnust be m•tntslnad by the
Chadty.
1A In¢om•
Inwrn 18 roc4nl8ed *then tho ChwEty IJ legally wrfilknj to M 8ft¢r wy pofvmanr* ¢ondttbn8 h8vo bgon
all￿nts can be m6a8ured reli**. a￿j it is t￿1￿* that Incom6 be rac4lved.
of the sknation. un]e8s c£¥)dillMs r•qUr￿ tlelerral of the arr￿￿nI. IrKome tax r0¢Ov8rab￿ in
rel8llon to donatlons received undw GiftAkl or d8ed8 of covenant is r8c(gni8ed at the tlmo of Ihe donaoon.
L8gados arg rg(qrM8ed on receipt Cr othewse If Charity ha$ Th)tified of an imp8nthng dMrfbLrtion,
the amount 18 k￿. and rece￿1 i8 Oxpeded. If the amount 18 not known. tha Iggacy is troatèd 88 a

SAIVA MUNNEThA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
A¢¢wntln9 pollcl••
IContinu•dl
1.5 Ex￿￿ra
Expendtturo Is reco9ni8éd c￿ce thor8 18 & legal ￿ (x>nstruth t¢ tron$f¢r •o)noml¢ bon•fi¢ to a
Ihlrd pwty, Et Is wjbabto that a transfer of econL¥nk b*)ofj1s b• wulred kn s¢ttJ¢m¢nt, th¥ am0￿1 of
t￿ ot4lg8tkn can be mO•SLw•d r¢ll•bly.
ExpoTrJlbJre 4$ by adlwty. Th6 costs of eath admty mado up of tho totsl of direct ts)8ts and
8hared cost$. In¢￿ding support u)8ts In urrf1wl4￿ng oath a¢bMty. Oiroct costs attr11￿tablft to a slnglg
athity wo 4llo¢ot8d dlroctly to that activty. shar￿ ct)8t# **Mch C￿"bUt& to more Ihan onè activtty and
oupport costs whl¢h arn not attn'trthtle to 8 sin￿8 acti￿ ar• beh¥een trmxe advltle8 on 8 basls
c￿n￿¥tent Iho U88 ol T￿oUr￿. Cantr81 staff costs aro dlocatod on tho basi8 of timo BPOnL and
preryation ¢haffJe8 are allocated on Iho wuon oftho assot's ￿￿.
1.6 T•nglbh fix•d M4•t•
TorvJiblo flxed a88ets are iniloly mtasurnd at c¥*t and wb8OqL*Ity me88ur•J at cost or v4u•llon. not ol
d¢pre¢iath'on and any Inylrm?nl k)3ses.
Deprodatlon 18 Tfjcow18ed ￿ ¥$ lo vhlle off Iho cosl or val￿¥¢￿ cl a•￿1$1••6 Iholr va￿0$ over thelr
uMlul Ilv•s on the boses..
Lgnd and Bulldkngs
Kaknuna Buildkngs
Torrpl• Bulldlng
SoLthend Hut
FLxluro8 and llttlThJ8
IT Equlpment
Chorlot
25% strdlpm Ing
25% slr8Wt I
2.5% Stra￿ht Ih•
2.5% Iw
10.CK
10.cl
10.(￿￿
Gdd J6vKI
Thè galn or kigs fAt8lng on Iho dlsFThd of an as89t16 dotwmlwJ as the dlfferwKY bo￿*89n the sale procood8
1.7 C••h And ca•h •qulval•nts
Cash #nd cash equiv8l¥nts IncbJd• ¢•sh In harml. d•p)slt8 held at cxll *llh banks, other SI￿rt-leM7 Ilquld
Imie8tsnents vAth orfglnal motudU¢s of threo Tr￿the ￿ leBB. arKI bank overdr8ft8. Bank oveTdr8ft8 are 8h¢)wn
vAthln bom•Ango In ¢uff•nt liabdlllos.

SAIVA MUNNETfA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Donat10￿ Ind 1•9a¢l•s
Unrnffjtrlrt•d Unro8trict8d
funds
furHI3
2•28
2024
GiftAids
Mèmbarshl) f806
88nk Inlwost
Uelwll￿ & Idd domlion
Oth•r Donatlof
7.242
2.840
26.008
2,951
1,234
4,100
1.020
3.700
1.779
16.356
35,311
ProJ•¢t AAlvlU••
2025
2024
Soclal SeDA
Rellgl¢)US
Publl¢atton
Sonlor Centrt
N0fvarTam￿ A¢ad•my
8,767
93,590
4.165
4,020
6,385
8,934
04,413
27.479
84.291
2.765
2.318
10.C>OO
7,925
Enlighlenment Cird•
190.274
183,161
Analys18 by fund
Unre$tdctsd fvnd$
R¢strfc￿j fund$
125.861
64.413
134,778
48,383
1W,274
183.101

SAIVA MUNNEThA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Total
funds
funds
2025
2024
2024
2024
445
8.410
1.175
1.175
13,727
8.410
13.727
8.410
8.855
1.175
13,727
14,￿2
Inv••lm•nts
2025
2024
R•ntd Incomo
H411 Hlr•
25.630
9,710
33,444
10.120
35,340
Tol81
funds
fvnd#
frjnds
2025
2023
202$
2024
2024
Sod•l Swl
Religityjs
PubJl¢•tk
Na￿ar Taml A¢adwny
80as ProlerAB
E￿ight￿mertt Cirde
S•nk•r C•ntro
Ragasangamarn Events
24.535
92,864
5,499
13,809
8.381
24,b35
92.864
5,499
13,809
8.381
52.875
3.646
11.955
90.671
5.628
10,451
10.063
,671
5.628
10,451
10.063
66.820
52.875
11.955
125.643
75.718
8)1.361
148,734
213.564
125,643
75.716
201.￿1
148.734
64,830
213.564

SAIVA MUNNErrA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
2025
2024
24.101
5,002
4.011
4,597
3,928
522
1.334
8.835
33,978
5,130
3.812
6,984
4.068
854
1,185
7.103
Rates
Ir￿￿ne0
Llghl a Hèal
R8P8ir8 & Maintenw
Postago & Stalxin•ry
Tolophono
k 11
Chadtst4•
Act￿ntanCY
L¢gal & Prof08INd Fo•
Bank Chary89
Sundry Exp6Mes
Wule Colle¢llc
Aandu Vltha Cdobrnllo
1.399
720
175
3.241
720
170
978
82
S16
2,945
776
2.212
59.149
71.310
59,149
71.31Q
Charfty the yo8r.
D•y•¢l•llon
fvnds
fund3
202S
2024
BuShJng Dowodati
Kalmund Bulklng Dqwwithon
Southend Htst Dew•dakn
Fumliurè & Flttlry D•pr•dalon
Temple Assets Dewedath)n
Charfot Depredatlc
17.150
2.231
152
2.087
5.686
16,655
2,231
1S2
678
5.985
2.434
29.566
28.135
10-

SAIVA MUNNErrA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
10 Employ•••
The averap nun*•rof ￿rIr￿j Ihe >wr'.
2025
Numb•r
2024
Numb•r
Employm•nt co•t•
2025
2024
Wages and s￿4￿0$
Aevdrtty c08ts
16.725
7,376
27.108
6,870
24.101
33.978
11 Twtl•n
Th8 tt•18 oxeryt fmm t8xaticfi a¢llvltlo8 bocwJ80 Al it8 Inc4)m• & oppfiod for th8ril•bi• pury>o6eB.
11

n I?£
11

SAIVA MUNNEThA SANGAM (UK)
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
13 D•1
2025
2024
Amwnts falllnq du• orvè y•ar.
GNIAkl Recdvabl•
26,CW]6
14 Cr•dl¢ov¥: am•ynts talllng du• T*lthln on• y••r
2025
2024
7x1
720
IS An￿￿1• of n•t b•lw••n fvnd•
Tot•1 UN06trIC￿j Ro6trS¢Xod
funds
fundi
24
2024
Total
lund8
2025
fuThdB
2025
2025
2024
Fund bdanca8 at 31
Augu8t 202$ ore
pre8¢nted by.
Ib￿ aBBets
Currnnt ass￿￿(￿#b11
703.126
80,878
703.126
90.270
730,861
101.980
730.661
101.986
9.592
783,804
793,396
832.047
832.647
11 R•lthd ￿rtY tr•n••cdon•
Thorn wer• no dI8d¢•*￿ fdatwl pwty tr￿c¥On$ (Krkng yew12024. ncffj•
13-