REGISTERED CHAiiifY NUMBER: 510980
GURU RAMDAS SINGH SABHA
ort of the Trustees and
4t
Unaudited Financial Statements for the Year Ended 31 December 2023
AMCI ASSOCIATfi S LTD
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GURU RAMDAS SINGH SABH
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Table of Contents
Page
Report of the Trustees
Independent Examinees Report
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements
7tolO
Detailed Statement of Financial Activities
11

GURU RAMDAS SINGH SABHA
oi* of tbe Trustees
for Ihe Ye&r Ended 31. December 2023
The trustees present their report with financial statements of tbe charity for the year ended 31 December 2023.
Thc trt￿te¢s have &doptsd the provisions of Accounting and Rcporting by Cbaritics: Stal¢ment of Reconimended
PT&Ctice applicable to charities preparing their aceouDls in AccoTd￿CC with tbe Financial Reporting Standard
pplicllble in the UK 80d Republic of Ireland (FRS 102) (effective I" January 2019)
TRIJC
GOVERNAN￿4 AND MANAGEMEN
Governlllg document
The charity is ¢ontroll¢d by its govcrning document, a deed of rtn￿t and cons11tstr￿ 8n unin¢otporated charity.
I FIRVNCE Al￿ ADMINIgTRATIVE DETAIIS
Reglstered CbNrity Dumber
510980
Pi4llclpol address
495 MOSELEY ROAD
BALSALL HEATH
BIRMJNGHAM
WEST MIDLANDS
B12 9BX
Trustees
ANtL SNGH
SBWA SINGH
GLRVAL SINCYH
DAIJBET s￿GH
GUIIMBET SSNGH
YDdÈpendent Exgmlner
QLAK HussAfN
AMCI ASSOCIATES LTD
133 TAME ROAD
WITTON
BIRMtNGHAM
WEST MIDLANDS
B6 7DG
Approved by order of the boatd of In]st￿3 on 11 November 2024 8Dd signed on its bebalf by:
GURM8ET SINGH. TRUSTEB

Inde
endent Examlller's Re
ort to the Trustee$ or
GURU RAMDAS S
GH SABHA
Independeut ExamilleT'S report to the trustees ofGuru Rftmda5 SitLEh Sabha
I rcpart to the charity ttustecs my ex&mination of th ac¢oullts of Ramdas Singh Sabha (Ihe Trnst) foT
the year ended 31. Decembcr 2023,
Respollslbilitles And basly of report
As the charity Iruslees of the Trust yoll are Tesponsible for the preparntioll of the accounts in accordon¢e with the
requiTements of the Charity Act 2021 ('thc Act,).
Ireport in respect of my examin&tion of tbe Trn$Vs accolmts carried out under Section 145 of Ihe A¢t and In
cairying out my examination I have followed all Ihe applicable Directions given by the Charity Conunission
undei. Se¢tion 145(5){b) of the Aot.
Independent exftminor's St&lement
I have completed rny ¢xaminotiOD. I ¢onfm Ibat no mat¢rial matt¢ts bave come to my attentioll in connection
with Ih¢ examination giving me cause to believe that in any material reSP¢Gt:
acoounting recordB were not kept in re8pecl of the Tn￿t as required by Section 130 of the Ael., or
the accouttl8 do not accords with ih&8e records; or
the aGcounls do not comply with tbe appli¢ible Tequircments ronceming the form ond content of thc
ccounts set out in thc Cbarilies (Accounls and Reports) R¢gulation5 2008 other then any Tequirernenl that
the accounts givo a true and fare viow whicb is not a njatter considered as part of an independent
examination.
I bavc no concenis and have comc &cr038 other ll￿tter8 in collllection with the ¢xamination to whiGb att￿tiOtt
should be drawn in this report in order to en8blc a prop¢T understanding of the accounts to be reached.
IHQLAK HUSSAIN
AMCI ASSOCIATBS LTD
133 TAME ROAD
WITTr)N
BIRMNGHAM
WEST MIDLANDS
B6 7DG
Date:

GURU IIAMDAS SINGH SABHA
St&tement of Vinallcial Aelivitles
for the Yekr Ellded 31st December 2023
3111212023
Unrestricted
funds
3111212022
UDrestrict¢d
fiuid$
Notcs
INCOMEI AND ENDOWMENTS FROM
Donations find legacies
EXPKNDITURE ODI
Raising funds
4.440
1,279
AdmilllslrAtion QXPBn8e8
33,336
28,298
Totsl
NEI T INCOME
13,390
18,283
RECONCILIATION OF FUNDS
Total funds brought forwArd
164,906
146,623
TOTAL FUNDS CARRIKD FORWARD
178 296
164,906

GURU RAMDAS SINGH SABHA
Balance Sheet
as at 31" December 2023
3111J2023
3111212022
Noies
FIXED ASSETS
Tangible Fixed As8ets
48.954
50,804
CURREI NT ASSETS
Cash at bank and in band
130,092
115,626
LESS CUR￿1 NT LIABILITIES
Amowit fallill8 du¢ within one ycar
750
1.524
NET CURRENT ASSETS
129,342
114102
TOTAL ASSETS LESS CURRENT LIABILITIES
178,296
164,906
ASSETS
178,296
164,906
FiTrIDS
UnrestriGled fimd8
178,296
164,906
TOTAL FUNDS
178.296
164,906
Thc financi&l statements were approved by the Board of Tntstees and aut1￿11&ed for igsue on 7th Novemb
2024 and were sigucd on ils b¢half by:
GiJRMEBT SINGH . TRUSTEE
The notes fotrn part of these fiDancial statements

GIJRU RAMDAS SINGH SAB
Notes to the Financiol StAtenJents
or Ibe Yo#r llded 31. J)ecember 20
I. ACCOUNTING POLICIES
Basis of pr•pArlDg tbe tln4ndxl 8twtements
The financial slatcments of tb¢ charity. which is 8 pub]iG benefit entity und¢r FRS 102, h&ve been
pr¢pared in accordance witb the ChariLies So1￿ (FRS 102) 'Ac¢ountinE alld R¢porting by Ch8rities.'
Slatanent of Reaornmendcd PraGlice applicable to ch8rilies prcpariug th¢ir acc4)unts in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Jreland (FRS 102) (effective I
January 2019),, FinAncial Reporling Sl&ndard 102 The Financial Reporting Stsndard applicablc in tbe UK
and R¢public of Ireland, and the Ch￿lty Act 2011. The fiu8u¢i&l stat¢ft￿ts have be¢4J pr¢pared under
bi8lorical cost convsnlion.
Income
All income is recognised in the statement of financial activities once the charity h88 entillcm¢nt to tbe
fimds, it is probable that the income will be [￿aLved and the amount coll be ineasuttd reliably.
xpeJhdl(ure
Liabilities are T¢cognis¢d a3 expenditure as 800n as therc is legal or aonstructive obligAtion con)mitting
th¢ charity lo that expendittwe, it is probAbl¢ that a transfer of economic benefits will be required in
settlemeal and th¢ amount of th¢ obligation van be mwured r¢li&bly. Bxpend1tL￿C IS accounted for on
accruals basis and has been Glassified under h¢&diw that &ggregal¢ Y411 c08t relate4J to th? ¢ategory.
Where ¢osts canftol be directly attribuled to p8rticular headings they h&ve b¢¢n Allocated to activities on &
basis con8i$tent with tbe us¢ of re30urce8.
TAnglble flxed assels
Depreciation 18 provid¢d at the ftjllowing annu81 rAl¢s in ordor to wrAte off each R8S¢t over its u56ful lifo,,
Freehold propety
MotOT Vebicl¢
20Y.
T8XAtI(>n
Th¢ charity is ex¢mpl from tsx on its Ch￿ttable activiti￿.
und accountlng
Unrestricted fimds can bo u8ed in accoJdance with the tharitable objeotives at the discretion of th¢
trustees.
Rutrficled fimds only be used for parttcular restricled putposes witbin the objects of th¢ ch8rity.
Restrictions arise when spccified by the dorK)T or when funds are rBised for p8rti¢ulAr restrict¢d purpos￿.
Further expl8Thation of the nature and pwpose of ¢ach fund is illGluded in the notes to the financial
statements.

GURU RAMDAS SINGH SABHA
Not￿ to the Flnancial Statements
Dr the Year Ended 31" Detember 2023
2. TRUSTEES, REMUNERATION AM> BENEFITS
Th¢re were Do trustee's Temwieration or oiher benofits for the year ended 31 December 2023 nor for the
Ye￿ ¢nded 31st December 2022.
Ti'ustees, expen8¢8
Th6iL w¢re no trusteu'5 ¢xpen8es pAid for the year ended 31. December 2023 nor for ih¢ yoar ended 31st
D¢cember 2022.
3. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIKS
Unrestricted
fjjnds
INCOME AND ENDOWMENTS FROM
Donations and lega¢ic8
EXPENDITifAE ON
Raising futtd8
1,279
Admiuislration expenses
28,298
Total
NET INCOME
18,283
RECONCILIATION OF FUNDS
Total funds brought foThard
146,623
TOTAL FUNDS CAIUiIED FORWARD
164,906

GURU RAMDAS SINGH SABHA
Notes lo the FinAnclal SlatemeDts
for the Year Ended 31" December 2023
4. TANGIBLE FJXED ASSLI TS
Freehojd
property
Motor
Vehicles
Totals
Cost
Balanc¢ blfivd
43,404
7,400
50,804
Dispos&ls
AddilioDs
Balance clfvd
43,404
7,400
50,804
reciation
Balance blfivd
Provision for depreci8ti0Th on di8POS81
Cbarge for the year
B81ance clfivd
1,850
,850
1,850
1,850
NB V 3111212022
43404
7400
50804
NBV 3111212023
43404
5550
48954
CREDITORS . AMOUNTS FALIJNG DUE WITHIN ONE YEAR
3111212023
3111212022
Othcr or¢ditors
750
750
1,524
6. MOVEMENT IN FUNDS
At
0110112023
Nct movenwt
in fi￿d$
At 31112r2023
Unrestrlcted fllnd5
G¢neral fiu]ds
164.906
13,390
178296
OTAL IfuNDS
164,906
13,390
178,296
Net movement in fll￿d￿ induded in above are a8 folloME:
Incoming
R￿OU[CcS
Expended
Moverneot in
Funds
Ullrestrl¢t¢d ￿lld8
General fuods
51,166
(37,776)
13,390
TOTAL FUNDS
51,166
(37,776)
13.390

GURU RAMDAS SINGH SABHA
Notes to tbe Illnallcial Statemeuts
foi. the Y¢gr Ended 31" December 2023
6 MOVEMENT JN FUNDS- ¢onthiued
Cornppratives for movemeht funds
At
0110112022
Nel movement
in fullds
At 3111212022
UDrestrleted fullds
General fi￿d8
146,623
18,283
164,906
TOTAL FUNDS
146,623
18,283
164,906
Net movement in fund8, included in abovo are &s follows:
Illcorning
re50urce4
Resources
Expended
Movemeut in
Funds
UDrestrlcted thnd8
General funds
47,860
(29,577)
18,283
TOTAL FUNDS
47,860
(29￿77)
18,283
A current year 12 rnonlh8 and PTior year 12 montbs combin¢d position is a5 follow8.'
At
oiioir2022
Net movement
in fiwd8
At 3111212023
UDrestrlcted fullds
General fi￿dS
146,623
31,673
178,296
TOTAL FUNDS
146,623
31,673
178,296
A current year J2 months ond prior year 12 months combined net n￿vem6n1 in funds, inGludcd in the
above aTO as follow8:
Re80urces
Expend
Moveffjent in
r￿QUr¢e8
Unrestrlcted funds
Gener81 fAllMts
99,026
(67,353)
31,673
TOTAL FUNDS
99,026
{67,353)
31,673
7. RELATED PARTY DISCLOSURES
There werc no re]at¢d party transaotions for the year 31 D¢￿mber 2023.
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GURU RAMDAS SINGH SABHA
Detailed Statement of Financlal Actlvlties
for the Year Ei nded 31, Dece)Dber 2023
3111212023
3111212022
INCOME AiYD ENDOWMENTS FROM
Don4dons And legades
Gift8
(i)
47,861
47.116n
47,860
DonalLOnS
51,166
Total Incomlng resources
51,166
JIXPKNDITURE ON
Other tradlng ACtlvlti¢8
Pur¢b8ses
4,440
1,279
ChArltgble acllvltlej
Wag¢s
Rates and water
5,980
191
9,561
27
Insw'ance
Light alld beat
Telephone
Sundries
Mu8iCi8ns gnd ¢ntertain¢rs
R¢pair8 And mainten8nce
Doprcciation . motor v¢bicles
1,293
6,978
533
1,632
7,776
247
539
469
2,600
6,642
1,850
26,606
642
20.354
Support Costs
Management
Wages
5,980
6,420
Governanee eo&ts
A¢¢ountsncy and legal fees
750
1,524
Totol resources e￿ellded
37,776
29,577
14EI T JNCOM
13,390
18,283
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