RBGISTERED CHARITYNUMBER.. 510980
GURU RAMDAS SINGH SABH
R ort of the Trustees and
Unavdited FAnancial Statements for the Year Ended 31 December 2024
AMCI ASSOCIATES LTD
iufo
amci-associates.co.uk
v￿￿.am¢1-asSOQlates.co.vk

GURU RAMDAS SJTr4GH SABHA
Table of Contents
Page
lieport of the Trn8te£s
dependent Examinerfs Report
Statement of Financial Activities
Balance Sheet
Not¢s to the Financial State￿ants
7tolO
DetaRled Stat¢m¢Tht of Financial Activities
11

U RAl￿DAs SINGH SABHA
ort of the Trnstees
for the Year Ended 31 Decernber 1024
Thetrnstse8 presenttbcir report with fillanGi81 statements of ih¢ ch&Tity for th6 year ended 31st December 2024.
Thcttwtees have pdopted the provisions Df Accounling aTLd Reporting by ChAr&tics.' State￿ent of
RecoJllllKndrd Prnclice applicable to charities PTtparing their Accounts in acoordallcE with the FinaT)¢ftal
Reporting Stalldard Bpplicable theUK a￿] Republio of Ireland (FRS 102) (8ffeciiY6 Isl janll￿ 2019).
STRUCTURE¢ GOVERNANCK
MANAGEMENT
CDY¢rnlng document
The chority is controlled byits governing document. a de￿ of trust and constitutcs en uiiinworated cbarity.
RENCE AND ADMINISTRATIVE DETAIIS
Registsred Charlty Duwber
510980
PriDcip81 addres$
495 MOSEIEY ROAD
BALSALL HEATH
BIRMANGHAM
B12 9BX
Trustees
AN]L SINOH
SEWA SINGH
GIEiVAL StEIGH
DAIJBET SINGH
GURMEEf SNGH
Illdependent ExamlDer
QLAKHUSSA
AMCI ASSOCIATES LTD
133 TAMB ROAD
wrrroN
WEST MtDLANDS
B6 7DG
Approved by order of theboard of ttuskes on I l April 2025 and signed on its I￿1￿]f by.
GURMEET SINGH- TRUSTEE

Inde
endent ExHrniner's Re
ort to the TivsteES of
GURU RAMDAS SINCH SABHA
Jlldependenl Exan)iner's report to the trustee5 of Guru Ramd2s Slngh Sabha
I report to the chatity lEUSt¢￿ on wcxamination of the acCo￿￿ts of Guru Ramdas Sitjgh Sabha (tbe TA￿L> foi
the ycar endtd 31 Decetaber 2024.
RespoDsibilitie5 and basis of report
As the GhaTity truslees of th¢ Tn￿t you are responsible for theprcparation ofthc acCO￿ts in accordance witb
the Tequirements of the CbarityAct 2021 Clbe Aety.
I report in TESPCCt of my exami￿0￿ of th¢ Tn]se8 a¢covllts catried out under Section 145 of the Act and in
carrysng outmy cxaEt]inaiion I have followed all the applicablE Directions given by the Chatity Comti)issioll
utsder SeBtion 145(5)(b) of the Act.
Independent ￿￿￿thiel.1S Statement
T hav6 completed my examinatio￿ I GODfinn that no material tnatters have con￿ to my attention ttL txinne¢tio
with the examination giving me cause to believe that in anymaterial re￿)￿t.
accoullting rec￿1￿ were notkept in respect of tbeTtust28 requiTcd by ScGtion 130 of the ACL or
the acc￿ll￿tS do not acco￿8 with these records. or
the acc4)unts do llot complywith the appLcable Tequi￿￿￿ couwDing Ihe forni 8lld conlent of the
accouuts set out in th¢ CljatitiG% (Accounts and Repots) Regulatiolls 2008 Dther thcn Hnyr¢quireraeot
that the Rc¢oiuils gtve a trllc viewwhiGh is not a mattel cO￿ldered aspart ofall i]thp¢nd¢nt
xamination.
Ibavo no concerns alld have comeAcross Ao ofb¢r mattu5 in connection with the exaMi￿￿on to wljich
attention 8houldbE drawn in tbis reportill order to C￿&b]e a properunder5tandthg of the a¢o(xmts to be reached.
QLAKEfussAJN
AMCI ASSOCIATES LTD
133 TAM6 ROAD
WI￿ON
BtRMtNGHAM
WEsf MtDLANDS
B6 7DG
D&te'.

GURU RAMDAS SINGH SABIIA
Statement olF&nanciAI ActivAtte%
f&r the Year Ended 31. DecenLber 2024
3111212024
31112tt023
UnreslTiCtcd
Notes
Unrestticted
fi)ndB
INCOMK Af4D EM)OWMRNfs FROM
Donatio￿8 alld l¢gaoi&s
50,585
51,166
Grants
4500
TotRi
55.085
51,166
EXPtTr4DTIURE ON
Raising fi￿a$
4,750
4,440
Administratioll expenses
34.186
33J36
Tot81
38,936
37,776
NET INCOME
16.149
13,390
Rfi CONCILIATION OF Ft1Tr4DS
Tthal funds brougbl foEward
178.296
164,906
TOTAL FUNDS CARRIED FORWARD
194,M5
178,296

GURU JiAMDAS SINGH SABH
Balauce Sheet
8S &t 31. Decewber 2024
31112r2024
3JIIY2023
Not
FIXED A&8ffS
Tangibl£ Fixed
47,104
48,954
CURRENf ASS£I TS
Cash ot bank and in hand
148,091
130.092
LESS CUIiRKwf IJABILTfIKS
AllloU￿ fallitig due withiu ¢￿eYear
750
750
NET CURRENT ASSETS
147.341
129.342
TOTAL ASSETS LESS CURRENT IJAB]tJTIES
L94.445
178.296
14fi T Assrrs
194.445
178
96
Unr&8tticted fimds
194.445
178,296
TOTALFUNDS
194.445
178296
TILe financi81 Sthtements w￿e approvEdbythe Board of Trustees and authorlscd for is8u¢ oll Il April 2025
alldwcrc 5igllcd its behalf by..
fj,-a- f,_
GURMBET SllqGH- TRUSIEE
Th# notu fornipart of these financial st4ternents

GURU RAMDAS SINGH SABHA
otes to theFlnanelal Statements
for tlie Year Ended 31. December 2024
I. ACCOUNTfE4G POLICJEI S
masls of prep8rlnE tbe fiJk4Dcial staterne￿ts
Ths fi08ncial st&temellL8 of the chL-.ty. wbich is a public benefil elltity ￿thFRs ID2, have bcell
pieparEd in accordance with the Clwities SORP (FRS 102)'Accounting and Reporting byCharilLCS:
Statement of Recon]mendedPtadice applkcable to charAti6g prep8t5ng theira¢counts in acoordallcewith
tIL¢ Financial Reportittg Standard applicablc in the UK 8nd Republic of Ireland (FRS 102) (Effcclivo I
January2019)l FIna￿CIal Reporting Stslldard 102 The Financial Repothig Stsndard applirAble in the
UK Rcpllblic of treland, and the CharityAct 2011. The financial 3tatemeDts havo beenpreP￿ed
under bistoricai cost conveDtion.
Ineome
All into￿ is rccognised in the ststctllBnl of financial activiiieB once thc charityhas entitlsment lo the
fithds, it is PTob&ble thatthe ill(Xbme will bc received the Rnx)ullt bc nwured reliably.
E￿endItllre
Liabilities arc recoEniscd as ¢xpettditure SODll there 18 leg&l or consttuctivc obligation Com￿liting
the chartty to tbat expondituie. it is probable that a trAn8fer of gcouon)i¢bcnefits willbe requtred ill
setLleJtLellt and a￿O￿t of thc Obli￿tion van bemeasured reliably. Expendityre is ￿ll￿ted for ()ll ao
accruals basis and has b¢cn Gigssifird und¢rhtadin8s that aggreg&t6 ¢0st rdated to the category.
Where ¢Dsts oannol bB diteGtJy &ttcibllfrd to partiuts headillgs theykne been ailotAtedto activtÉies on
basis cowislent witb tbe use of r￿¢&8.
Tangible ￿ed x$5ets
Dqireciatiott isprovided ftt the followiDg #nJwalJatcs in ordu tOv￿j1e0ff ea¢b assrl overAts usefvl Irf
Frcehold pmperty
Motor Vehicle
25%
T&xAtIo]E
The charity is exempt from t8xon its Gbatitable a&ivitie&
Fund AceountlDg
Utirestricled fimds caa be uged in a(wrdaJce with th8 charitsble objectiK8 at the dis¢redon of the
RcStrictedfi￿dS can (mly bc used for particUlar￿￿trI￿edpUTpoSes withill thE objects of thc charity-
Kestrtctiolls arise v4hBn 8pEcified by ttLC dollor orwhen fvnds #re raised forparti¢ularTe8tKi£tcd purpos￿.
Fwlher explwtion of the nature alld PU￿￿Se ofeath fillrf is inGluded in the notes to the fJnanci&l
statements.

CURU RAMDAS SINGH SABHA
Ntstes to tILe Flnanelal Statemeuts
or the Year Ended 31, December 2024
2. TRUSTEES, IIEIIIUNERATION AND BKNEFrrs
Therc were no trustee's ren)Un￿atiOn or otbErbell6fits forthe year ended 31 D￿mber 2Q24 nor for the
year ended 31 Decem1￿ 2023.
Trllstees, expellsos
The￿ WeEE no trustee's expells￿ paid fDr theyear ejthd 31. D<￿nb¢r2024 nor forthe year ended 31.
December 2023.
3. COMPARATIVES FOR THK STATJIMENT OF FINANCIAL AcfiviTIES
Unrestricted
funds
INCOME AND IN)OWMETrrrs FROM
Donations and legacies
51,166
EXPENDITURE ON
R&isitig fullds
4,440
Administration expeDses
33336
TrtrtaL
37,776
INCOME
13,3
IIECONCJLIATION OF FUNDS
Totsl funds brought foThtard
164,906
TOTAL FUNDS CAR]UED FORWARD
178.296

GURiI RArffl)AS SINGH SABHA
otes to the Fin8nci41 Statements
for the YeAr Ended 31 December 2024
4. TANGIBL]Q FI￿D ASSKTS
Freehold
prnP￿ty
Motor
Vehicles
Totals
C05t
BalancE blfwd
43,4(M
7,400
50,804
Disposals
Additions
Balance dfwd
43,404
7.400
50,804
reci&ti
Ba18llce blfwd
Provision for depwiattoll oll diys81
Charge foT the y
Bala1￿C elfwd
1,850
1,850
1,850
3,700
1,85
3,700
NBV 3111212023
43404
5550
48954
E4BV 3111212024
43404
3700
47104
CIiEDrroRS . AMoirr4TS FALLIIYG DUE WITHtN ONE YEAR
3111212024
3L112120
OthEr creditors
750
750
750
750
MOVEMENT IN FufqDS
Al
01￿1￿024
N¢t￿0v￿]￿e￿t
in funds
At 3111212024
Unrestricted
Getter￿ funds
178.296
16.149
194,445
TOTAL FUNDS
178,296
16,149
194,445
Nel moyement infithd4 included in above are &8follows:
lllcomiDg
resouw
Resources
Bxpcnded
MoY¢m¢nt in
Funds
Uorestrlcted funds
GetLernl ￿lld5
55,085
(38,936)
16.149
TOTAL FUNDS
55,085
(38,936)
16,149

CI]RU RAMDAS SINGH SABHA
otes to thaFiuaneial Slalementg
for die Year Ellded 31, December 2024
6 L￿0vEmE￿ NT IN FUNDS- rontinued
Comp8r8tives for movement ill funds
At
OimV2023
Netll]oveuLettt
in fimds
At 3UIV2023
Unre%trlcted fullds
Ge¥&eral £unds
164,906
13,390
178.296
YOTAL Fuf4DS
164.906
13,390
178296
Net movement in thnd$, included in above ate as fo]lows:
Resources
ExpcllLtcd
Movement ill
Ullrestrieted fllnds
General funds
51,166
(37.776)
13.390
TOTAL FUNDS
51.166
(37,776)
13,390
A curtBnt year 12 nu)nths alldNioryear 12 JSUbDthg rmibit]e41 positioll is as follows.,
Netmovement
in funds
Oimill023
AL 3111212024
UDre5tr1cted fuMd8
Gett￿&1 fiwd8
164,906
25,039
189,945
TOTAL FUNDS
164,906
25,039
Isg.945
A cullent year 12 monÉb3 and prioryepr 12 montbs CD]Lthined ll¢tuyfft￿l1n fi￿ds, includ￿ xtt the
above ar6 08 follows:
Jncoming
Movement itL
Fullds
Expcnded
UnreBtrActed funds
General funds
101,751
(76,712)
25.039
TOTAL FUNDS
101,751
(76.712)
25,039
There We￿ no relatcdpaty traosacti¢ms for the year ended 31° Dec￿nber 2024.
io

CURU RAMDAS SINGH SABH
Detalled St&tÈmellt of Fin8Lrial Aetivitles
for tbe Y￿r JQDded 31 Deecniber 2024
3111￿024
31112f2023
INCOME AND ENDOWMEf4TS FROM
Donations aDd legades
Donaliolls
50.585
51.166
Grants
LAIGal Authority GTants
4,500
Total IncominÈ resource
55,085
51,166
XPENDITUBE ON
other tradlng &ctÉvities
Purchascs
4.750
4,44D
ChAritsble acthElties
Wages
R&tes and WAler
6.450
48
5.980
191
1,293
6,978
533
539
Jnsutatloe
1.388
7.678
399
Light and h¢et
Tclephone
Sundries
Musicians and enlertainets
Repairs and maillten8llf¢
Depie¢iation'. wtorvehicles
173
2.800
5.200
1.850
25,986
2,600
6,642
1,850
26,606
Support Costs
MallagemEnt
6.450
5,980
GovernAn¢e costs
AccDunlaThcy and legal f¢es
Rv[¢￿e￿bIP fr6
750
750
1,750
750
T￿ts] resources expeuded
38.936
37,776
IYET INCOME
16,149
13.390
Rni CONCJIIATION OF fuNDS
Totsl fi]nd$ brougbi foThYard
178,296
164,906
TOTAL FUNDS CARRIED foRWARD
194.445
178,296
li