OpenCharities

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2022-03-31-accounts

SORP reference SORP reference
Summary of the purposesof Para 1.17
the charity as set outinits
ovemin document
Summaryofthe main
activitiesinrelation to those
purposes for the public
Para
1.19
1.17 and
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benefit, in particular, the Cl..tbSEs/NC-U\Dit,JZ:,_yoeiA_cwiss€5-
activities, projects or services
identifiedinthe accounts.
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Statement confirming
whether the trustees have
had regard to the guidance
Para 1.18 11-l.s_41s-r,,Jz:,-rei.AS,~µr:.11/eu.~e
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CHA-ll.ar; C<lw\M1SS/0N ONf{e,;...ic.,-f,e,J1:;A;
issued by the Charity I\S.S"f"/l""t"~I>A-&.JE:-il-f'6'-0N--i...l.-.l'G
Commission on public ~V\e<:rS_f'f4>J 1r,,f:- A_liov~1,-J.S/C1rl1'c,F
benefit "IHI$c;..._,c,4Nc.o::.
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SORP reference
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Policy on grant making Para 1.38 0-1~'1501.,~N~;N"C-iR:1v--.,,,,ov.ie.f\1c-,,1&--ds
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Policyonsocial investment
includingprogram related
investment
Para 1.38 WcMZ.Ks_To_C:,wJt°L..&r"Gt>N_'11-16R~
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Para 1.38
Contribution made by
volunteers
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Summary ofthemain
achievements ofthecharity,
Para1.20 To_l.i;: ...l..c,-Jt,Yc#lf:t~G1,1!551.S'To_
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identifyingthedifferencethe Sv.Nb/Ji'f_C:N.GilUa,l/1iONA-,Jr:.Wf!Dr)JNC,_
charity's workhasmadeto /5.I<icNTS'THEJ·MW--- IS We::'b/11,,<>-c
thecircumstances ofits
beneficiariesandanywider
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Additional infonnation (optional)
Youmavchoosetoincludefurtherstatements whererelevantabout:
weGn..11,N1.ios1.-'1,Ac,,1<,Gli'i=.:D_111<e_ol!.J€G-,-
Achievements against
objectives set
Para1.41 11.re.sANt>•NCRGA~~IZ.._S6:-'lte_rr-(
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Performance offundraising
activities against objectives
set
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Investmentperformance
against objectives
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Other NllNt::.
Reviewofthe charity's Para 1.21
financial position at the end
ofthe _lleriod
1'-lvN1::,
Statement explaining the Para 1.22
policy for holding reserves NON~
statingwh_ythey are held
Amountofreserves held Para 1.22 NOl'-11::
Reasons for holding zero Para 1.22
reserves Not--\G.
Detailsoffund materiallyin Para 1.24
deficit NONE
Explanation of any Para 1.23
uncertainties about the
charity continuing as a going N oNE..
concern
Additional infonnation (optional) Additional infonnation (optional)
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The charity's principal
sourcesoffunds (including
Para 1.47 A-s_f&R._PA<tc:1 oF8'
any fundraising)
Investment policy and A$_,_ft=:IZPt1t,c_i OF&°
objectives including any
social investment policy
Para 1.46 A-ND .2.i!TF~-
adopted
A descriptionofthe principal Para 1.46 N cNE -
risks facing the charity
other
Description of charity's
trusts:
Type of governing document
(trust deed royal charter)
Para 1.25 U1'!S'Tl'f1,1.11_o_N
How is the charity Para1.25
constituted?
(e.g unincorporated NoNe:-
association CIO)
Trustee selection methods Para1.25
including details of any
constitutional provisions e.g.
election to post or name of
any person or body entitled
t=Lcc-1-.st:>_e1 _1\1\E:M6e-Rs
to appoint one or more
trustees
Policies and procedures
adopted for the induction and Para 1.51
training of trustees
The charity's organisational
structure and any wider Para 1.51 I
network with which the
charity works
I
I
Relationship with any related Para1.51
parties
other

Descriptionofthe assets
held in this capacity
Name and objectsofthe
charity on whose behalf the
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SIR!GtuRI._,GCi_f:AHA-1::U~
assets are held and how this
falls within the custodian
charity's objects
Detailsofarrangements for
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safe custody and
segregationofsuch assets
from the charity's own assets
Secu"-.Eb_S PtR=:t..'f_1Nou,(
GuR."fARf\1-s<3AR:-.

Typeof Name Address
adviser

Signature(s)
_Javd::___
l------{f~;t=l-~~JJI.IJ!l::==-------1---Qi:;p::::::::=::= ----1
_uffV/6€;'1S.f ,tfff<.__
Position (eg Secretary,
R
Chair,etc)L-._
L
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:....:....1,__-_ ___
DateI~-----------
2 0-01- 202...3

FO RTHE**YEAR ** **ENDED ** 31MAR CH2021
31March 31March
Note 2021 2020
£ £ £ £
Donations. MemberFeesand
General Income 1 30,809 53,271
OtherIncome
BuildingFundDonations 1,787 2,872
GiftAidClaim 8,149 14,036
Other InterestReceived 70 44
TotalIncome 2 40,815 70,223
GeneralExpenses
Wages- PriestsandSewaDar 4,636 6,044
Kirtan- Priests 2,665 4,688
Gasandelectricity 6,995 8,586
Insurance 2,272 2,017
Waterrates 391 749
Repairsandmaintenance 163 9,543
Telephone 317 233
Printingandstationery 180
Foodandgrocerypurchases 1,054 8,380
Cleaningandrefuse collection
Kamatee
2,126 2,528
3,247
Donations/Subscriptions
BankCharges
Sundries
423
165
618
(20,619) (47,401)
Capital Expenditure
BuildingImprovements
3a (55.776)
Net •urplus/(deflclt) ps,sso1 22,822

FO RTHE**YEAR ** **ENDED ** 31MAR CH2021
31March 31March
Note 2021 2020
£ £ £ £
Donations. MemberFeesand
General Income 1 30,809 53,271
OtherIncome
BuildingFundDonations 1,787 2,872
GiftAidClaim 8,149 14,036
Other InterestReceived 70 44
TotalIncome 2 40,815 70,223
GeneralExpenses
Wages- PriestsandSewaDar 4,636 6,044
Kirtan- Priests 2,665 4,688
Gasandelectricity 6,995 8,586
Insurance 2,272 2,017
Waterrates 391 749
Repairsandmaintenance 163 9,543
Telephone 317 233
Printingandstationery 180
Foodandgrocerypurchases 1,054 8,380
Cleaningandrefuse collection
Kamatee
2,126 2,528
3,247
Donations/Subscriptions
BankCharges
Sundries
423
165
618
(20,619) (47,401)
Capital Expenditure
BuildingImprovements
3a (55.776)
Net •urplus/(deflclt) ps,sso1 22,822