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2024-03-31-accounts

SKLP Samaj, Mardy Street, Grangetown Cardiff Charity No:513920 Year 2023 12024 Trustees Lalji Jadva K6Tai Ramesh Govind Kerai Lalji Ruda Siyani Bhanbai Moh8n Premjl Pravin Lalji Pindora Durlng the flnancial y8&r the followhn8 8Ctfvities and events have taken pLa¢e: In June 2023 we h8d 8 lund-rai8lng event for the rap8irs / Rengw roof at the building On ihls d8ywe had Ilve music and 8 culturalevént,where our In-hou88 bandfrom th8 8ge$ of 5 years to 65 y88rs old, performèd. Thls band 81$0 performed for othor gvent$ throughout the year, includlng Hlndu Fe$tlv818, l.e. Dlwall. Navratri and Ind18n Independence Day We have SÈkhl Mllan la Ladle8 Group) who undart8kes ¢ultUf81 and cultur91 and r8118iOU8 8Ctlvlrle8 throughout the year. We had lun¢tlons held by BAPS (Hlndu templ8 In London) ￿thIn ourfaclllty. We havè had numerousfunctions held for Engagements, Blrthday Partle8, W8ddlng8 wlth the u88 of our Kltchen lor thè food. We 81so h8ve good connectSons wlth Shree Swamin8ray8n Templ8 next door provldlng multiple evonts and sports. We elso have 8 CommunltyVolleyb8llTeam and thlsyear have 9nter&d a Crl¢k8t T8am In 8 locel League with p8rticlpantsof approx. 50to 70 members. Afterthe money r818edforour Root Fund. we have rèn8wed the rooftothe front ofthe building. The trust8es declare that they h8ve approved the Tw$teas report above. signed on bah81f of the Charlty's Trustees of SKLP Samaj:" Laul Jadva Karal Ramesh KeJhra Date 20" Janu8ry2025

30/12/2024

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Balance Sheet 2023-2024 - As of 31/03/2024

As of 31/03/2024 (in U.K. Pounds Sterling) (Cash Basis)

31/03/2024
Account Balance
ASSETS
Cash and Bank Accounts
HSBC 31403230 -Cheque Book Account 5,664.23
HSBC 71403249 127,833.12
Cash Main 1,633.54
TOTAL Cash and Bank Accounts 135,130.89
TOTAL ASSETS 135,130.89
LIABILITIES & EQUITY
LIABILITIES 0.00
EQUITY 135,130.89
TOTAL LIABILITIES & EQUITY 135,130.89

30/12/2024

Page 1

Income / Expense 2023-2024:2

01/04/2023 through 31/03/2024 (in U.K. Pounds Sterling)

01/04/2023-
CategoryDescription 31/03/2024
INFLOWS
Donation Income 12,839.32
Entertainmaent Income
Childrens Activities Income 31.62
General SamajFunctions Income 7,759.12
TOTAL Entertainmaent Income 7,790.74
Football Tournament 6,640.00
Grant Income 1,900.00
Hall HiringIncome 3,456.50
Interest Income 1,734.57
Membership Income
Other MembershipIncome 1,050.00
TOTAL Membership Income 1,050.00
Roof Donation 46,169.00
Tax Gift Aid Claim 7,067.35
Youth Activity INCOME
Other Youth ActivityINCOME 466.50
TOTAL Youth ActivityINCOME 466.50
TOTAL INFLOWS 89,113.98
OUTFLOWS
Bank Charge 205.43
Catering Kitchen 1,938.35
Deposite Refund 100.00
DONATION EXPENS 6,537.59
Entertainment Expense
Children Activies Expense 479.19
General Samaj Function Expense 1,167.19
Other Entertainment Expense 858.27
TOTAL Entertainment Expense 2,504.65
Equipment 2,250.73
Insurance 1,444.50
Plates And Utils Kitchen 72.00
Profesional Fees 72.00
REPAIRS AND RENEWALS 3,060.63
Stationary 22.99
Subcription 35.00
Telephone 762.92
Travel 2,003.02
Utilities
Electric Lights & Heat 3,862.54
Gas Lights & Heat 124.02
TOTAL Utilities 3,986.56
Youth Activity EXPENS
Other Youth ActivityEXPENS 739.85
TOTAL Youth ActivityEXPENS 739.85
TOTAL OUTFLOWS 25,736.22
OVERALL TOTAL 63,377.76