UJAPATI ARYA ASSOCIA
ST
GISTE
ED CHA
515332
ACCOUNTS FOR T
NDED31ST DEC
2025

Page 1
GUJARATI ARYA ASSOCIATION - LEI
ACC
YEAR ENDED 31ST OECEMBER2025
STER
CONTENTS
Charity information
Trusts8s R&port
Independent Examinef8 Roport
' ststernent of F[nan¢l￿ Activitie8
Balance Sh8et
No186 to Ihfj aocounts
7-10

Page 2
GUJARATI ARYA ASSOCIATION- LEICESTER
Truste
8lpln Chauhan
lfj'sh0rbh￿ G Solan
Prawnbhai B Parmar
prav1nbh￿ M Parmar
Vijay J Rolhod
Mana
Presldent
Vlo• Prnsldont
S•¢rttary
As$l$L Secretary
Treasurer
A•slst Tr￿Su10T
Cultural Secretary
Asst. Cultutral S￿retary
Stor•ke•p•r
em
Dhirajlal Chauhan
Kokllg Pormar I ragronédl
Amralbhai J Chauhan
T8Nla Chauhan
B8btbbhai N Rèthod
Navin C Parmar
Hershey Champ8neri
nd J Chauhan
Jaodl¥h Gopal
Charlty NuMb•r
515332
Charlty Communlty C•ntr•
49 Hll¢*ard Road
Leicthr
LE4 5GG
Charlty Offtc
49 Hityard Road
Lelce61er
LE4 5GG
Indpendent Examlner
Par88h J Parmar
Bankers
N8tsve8t Bank FIC

Page 3
GUJARATI ARYA ASSOCIATION
LEICESTER
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31ST DECEMBER 2025
The TTU8te85 8ubrnrtthgir gnnual rsport 8ntJ th$ ffnanool statements for the year gnded 3181 Deeambgr 2025
The members have aéopted the provI￿on$ of Staternent of Recommend￿ Practice ISORPI" Accounbng
and Reporb"ng by Charthes" issu8d in March 2005.
Inlstratlve Informatlon
GUJARATI ARYA ASSOCIATION- LEICESTER
515332
49 Hildyard Road, Leicester. LE4 SGG
Pa￿h J Parmar
Natr￿t Bank p
Charity Narne
Chanty Numbar
CFtarity Addra$8
Indpendent Examiner
8anker8
USTE
The Trustse8 during the year under ikniwerè..
Kishorbhai G Solan
Pravinbhai 8 Parmar
8Spln Chauhan
Vijay J Rathod
Pravin M Parmar
Prèsident
Vl¢$ Prgddent
Secretary
A88E8t. Secret8ry
Treaeurer
A8sBI. Treasurer
Cultural Seoretsry
A$8t. Cuftulral S¢¢rotsry
stoiekeeper
Dhirajlal Ch8uhan
Kokila PamiaT I rwgn8dl
Amratbhal J Chauhan
Tanuja Chauhan
8gbubhai N Rathod
Nawn C Parmar
Hernh$y Champanorl
nd J Chauhan
J8gdl$h Gop81
Committee Members
lQ6hor M Chauhan
Prawn R Parmar
Hema Parmar
nodbhal K Ghadlall
Mr8 Induben B Rathod
Mr8 U8haben S Chohan
champa￿41 M Parmar
Pr8Jbha Pormar
Hke8h Chavda
Prabha Gopal
8indu Chauhan
Mukesh Bulsara I resbgnedl
Dlpak Duo¢h•ndo Parmar I reslgnodl
Hari8h Chauhan
Pun(t Solan
Sharmila Chawda
Mukèsh Chohan
Rahmika Jthhw•
Mina Chouh•n
Monica Chauhan
The Charty is governed by rt8 Con$lhulion dated 18ttt October 1980 and duly amended subs8qu8ntty.
The legal ownership oflhe Charitys moveabl8 and immovgabl8 prop8rty v8sts vilh the Tru8lee8 and th
mana￿n9 Committee in respon6iUè fof the managernent of day-IHlay matters,
R￿r￿￿￿ent and Appobnlment of Management Board
Thè Trusteos and the man8glno comrnittee are dected every ￿ year8 at it8 8nnud géner￿ meeting
New Truste88 end managing eommKtée art elected from the membership of the chgrty wrth due
congderab'on taken by members as to thelr Bultabilty tréfore b￿Trg dected in accordan¢g constitution.
Trus
A6 all trustees must be members ol tho Cttarity, Ih8y are all 18rnth.ar vllth the pra¢lScal work of the charty
and ol tts objectives. Appropriats tr•lnlng i¥ prowded a8 required for th￿r rolés as Trustees and
mana￿ng commrttee memb8rs.

.'Poge3A
GUJARATI ARYA ASSOCIATION
LEICESTER
REPORTOF THE TRUSTEES FO
THE YEAR ENDED 31ST DECEMBER 2025
Risk MaE7a
ernent
The Tru8tees and rnanaging committee are aware ofthe risks to fundin9 and rèmewthe srtuatr.on #t
Tru8tseslCommittee meebng. Appropriata plans to daal wth are in place and are COntinu￿ty
monrtored. Procedur8s ar• ￿80 in placè to monitor the Heth and Safety 01 all ofthe Charws
memb8rB and the users ofthe centre.
Tho chaAty18 open to the usual financia ri5ko of any Organ￿8￿On and the charty hag introduced contro18
to minbrnkrye the8e risk8 8uch a8 kn ￿gnatureS being rèquire(1 lor p8ymentfrom the bank 8¢¢ounts.
The treasurer provides monthty finaneial 5tat8rn8nts which are explained to the management committee
alld are op8n for membeffs inspecllon al any ttme.
anisational Structurn
(?ujarat' Arya Association L8icester has 8 *ru$t board cowprLging ofd8ct•d 5 m•mb•r6. and management
commrtiee of23 electod mambars who rneet regularly and are reSpon￿￿e lor the the 8trat8glc drection and
pollc.y of the Society.
"rhe Management Commlttè8 work a8 a tsam with 8 schema of d8legatton in F48CO to •n8ura the chartty daliv6
¢ nd m8intsin8 the 3eMce8 Bpecnled.
Oble¢tlve¥ 4rKI A¢tlvltl•$
The charty's object and its principal r6 th•t of S?￿n9 mdnly but not exdu8fvdy the Bocid , ¢uKur•l and
rahgious needs of Gujarab" Mo¢hi cornrnunty ortglnalng Irom 80uth western Gul8rat and now living In
Ld¢e51er&ttire and Bvirounding area8.
Achlevements and Performance
Th8 TDJ8ts88 con8id8rthat thè performan¢& ol tho Charity y•ar has b•on ￿t￿lActOry.
The Charity IB grateful for the effort8 of itB rnanagement cornrnlttee, co opted mernbe￿ 8nd oth¢r volunleor8
who are involved in providing their 8arvice to promote charty'8 objects'ves. It has not b8en posslt4¢ to qugn
volunteor hour8 provldod In the yoar.
Flnan¢l•l R6vl•w
The Stat6rnent of Financial Acbwlles 8how8 net surplus for Ihey8ar of
Datalls of mov•mant8 In Fix8d A880ts ar8 86t out In nots 8 to the Accounts.
The Fioehold land ond buildngs h8va not b8en valv8d but tt ￿ mantained in good repoli •nd worth 8ub8tsnlaly
more than ts cost valua.
Principle Funding Sour￿$
Funds are collected through hiring of the comrnunity Cèntro. organi8lng r¥lglou8 gnd cullurd feslNEJ8 and
voluntary donation8 to finance chanty8 athM'e6
Investment Pollcy
he tru8t88s havo inv68ted moni88 in inlere8t beartng deptsBf( aeeounts, vthlch th8y Intand to continue In th
foie6eeabl8 future.
Yl88•rv•s Poll¢y
l., is thts poly of tho chartyto meintsin unre8tn.cted fundB. whlch are the fr¢è re8er¥88 of tho ch8nty 81 a level
which required to megt its objectives of appr0￿MatelY Sr￿ months unre8tsict8d expandituro.
Thi8 provide8 sufficient fvnd8 to cover rnanagemgnl and admlnhtrabvo ¢08ts for the charty.
The Board rewiews this periodically.
£49,588
(2024 £50,1.

Page3B
GUJARATI ARYA ASSIXIATION
LEICESTER
REPORT OF THE TRUSTEES FOR THE YEAR ENOED 31ST DECEMBER 2025
Plans forfuturo yrlods
The charity plans conts"nuing the aCtiV￿.8S oulined above in the ensuing y98r8 ¥ubjectto obtsinlng 8at48factory
funth'ng arrangèmènts. Tho Charity having pur¢hB6ed edjoining fr8ehold building8 18 in the proce58 of obtsining
has bank borrowngs.
ResponsIblliti￿ of Management Board
STATEMENT OF TRUSTEES. RE
The tru6ts•s are required under the Charth"es Act 2011 to pr8par8 financia ststam8nts for èach finaneia yéar which
gwe a true and lair ¥new olthe financial actsv￿.e￿ of the charrty and of its finan￿al poeffjon al the end of that yaar.
In preparing those financial statgrn¢nts, the trustees ar8 required to
- 8elect 8UItHtle accoun￿Ng poll¢le8 and then appty thèm eon8i8tenUy,
- makèiudggmgnts and gsts'mates that ara fèasonotle and prudent.,
- state whether awicablè 8eeounln9 Standards and stst8m8nts ol recommended practlce have
been followed, Subject to any departure8 di8clo8ed and exr￿91n$d in the fin8n¢ial $tst•mfjnts,'
- prépare th8 finanual ststernents on the going concern ba￿$ unlo68 rt rd
inappropiiale to pre8ume that the charlty will continue in opei8lon,
The truBlees are rosponwble for malntalnlng prop8r accounlng reeords whleh d￿¢108* wth reasonable ac¢ur8¢y
al anyb.me thè flnancill p0S￿On ofthe charty and which 8re 8ufficient to 8ttow and ex￿aIn the charlty'& transac￿.0￿
and to •nolJ• th•m to en6ur8 that the financial 8tatsments cornpty with applicat49 law and r•gulation$ (tnrJ•r the
Charme8 Act.
They are al￿ r8sponsiYe for 88feguarding tha a8•ets of the charty and hence for ts￿ng reasonable Btepglor
thè pr8venllon and deledon of fraud and other irregulgrkn'es.
The tru81ees are also responwt40 for th? ¢ontsnts ¢fthe trustees report and the re8pon￿￿lty of the ac¢ountsnts in
relatson to the tru8teeB' report Y6 limited lo examining the report and *n6uring tha( on th¢ la¢• ol the r•port thore
ar8 no ineon8i8tenc188 Vhth the fjgure8 d8clo8ed in the finaneAal 8tstements.
Approval
This i•portwa8 apwoved ty the TnJ8t board on 7th Jun• 2028
and Signed on it8 b8
Pravlnbh41
Tru$ts•
Parmar

Page 4
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
GUJARATI ARYA ASS
CIATION
LEI
ACCOUNTS FOR THE YaqR
EMBER 202
I report on tha aeeounts of Gujar8ti Arya A660C4ation {LoIC86tsrl for th8 yaar wdad 31st Dac&mbèr 2025
which are set out on page8 5 to 10
Respeotlve r¢sponslbllllles of Tiugtees, Managemont Cornmitt8è arKI $xamlner
As the charitys trustees and Mana9gment Commrttee you are responsible lor thg preparaton ofthe accounts.,
Th& ¢harWs twslee8 consider that an auttht rs not r￿U1red for thIB year (under section 144121 of the
Chanties Act 20111th& 2011 Act) and that an independent examin￿.0￿ 18 nead￿, Th& Charws
gross income thd not exceed £500.000 and l am qu8lrfied to undettské thè èxaminabon ty bang
a qualffied member ol Association of Chartered Certified Accountant8.
Having been 8alv6fted that th¢ ¢h•iity Is not Subject to 8udt and 18 81iglt4a for indèpandant axaminth.on
Iti8 my r£8pon81txlity to..
to examlne thé a¢¢ounts under 8ec*'on 145 ofth8 2011 A¢t,'
lo follow tho pro¢¢dures laid down in th• G•n•ral Olrection8 gwen by the Chfjrity Comrn
sectlon 1451SKbl of the 2011 Act,. and
on und8r
to State whether parts'cular matt8r8 have come lo my attention.
l.luls of Indep•nd8nt examln•*s r•port
kAy 8X8mlnatton wo9 ¢grried In accordance wth the G$n&ml Dlrttclon gNen by tho Chaiity
CommI8￿On.
An oxamlnalon Indude8 o oflh• a¢￿￿nting record& kept by th• eh&rty and a ¢ompad80n ofthts
aecounts weBented wth those racord8. It includes Con￿d•ratIOn of any unusual Itoms or dfvdosure$
in the occounts , and see￿.ng explanation8 from you a8 Iru8lee8 concerning any 8u¢h matt¢r8. Th•
procedure5 undertaken do not provlde all the ￿(jen¢$ that would be requlred In an aud¢ and
¢¢nswuenUy, no opinloD16 gfven as lo whether the account8 pregenl a'lnjè and lalr Mew, and the
report18 limrted to tho80 rnatter8 eet out In the 8tatsment b81ow.
1nd•￿Ddènt exaffllnerfs statem•nt
In th• conne¢tr'on wrth rny examin8tion, no rnatter ha8 come to my attention,,
111 whlch gNes mè r8880nat4e cau8e to bdbv¢ that, Sn any material r88p8c( th¥ requlrem•nt6'.
to kgop aKounting recordj In •¢¢ordanco wth section 130 of tha 2011 Aet, and
to prepare accounts which accord wth thé 8¢countsng record8 and to comFty wf(h th
accounting requirements of the 2011 Act have not baen met., or
121 to which , In my opinion , att8nts.on Should be drawn in order to enable e proper underBtandlng of the
ac¢ounts b8 reached.
Paresh
P4rmar
Indppende
t Examlner
iti) June 2026

Page 5
GUJARATI ARYA ASSOCIATION
LEICESTER
STATEMENT OF FINANCIAL ACTWMES
TH
EC
MBE
0e￿gnatsd
Llnr•stnct•d unre8tii￿ed
Notss
Totsl
2025
INCOME AND ENDOWMENTS FROM
2024
other In¢omSng Res¢ur¢
Donats'ons and gffts
Charitable Athltkn5
Fund rai8ing Venture8
Grant receNed
InveBlrnenl Sn¢om*
3,410
3,410
4,086
96.588
,588
105,648
1,813
1.613
484
Total Income
101,611
101,611
110,218
EXPENDITURE ON
Charltable actlvlUe5
Cèntra runninG COBtB
39.780
39,780
39,688
other •xp•ndlturo
Fund-rarwng costs
8,281
8.281
10,740
Management and adminhlr8tion
3,897
3,897
9,383
Governance COBts
285
28$
285,.
Total
52,023
52,023
80.074
RECOKILIATION OF FUNDS
NET INCOME ￿XPENDITuRe
Balance from provlous year
49,588
826,843
49,588
48,225
50,144
898,081
119,582
Funds carrled forward
119,582
876,231
995,813
948.225
Th• notes on pag88 7 to 10 form part ol Ihgse a¢¢¢unts

Page 6
JARATI ARYA ASSOCIATION
BALANCE SHEET AT 31ST
LEICESTER
2025
2024
i".XED ASSETS
Taiigible Assets
Invth)ent
NOTES
1,097,159
12,000.
1,100.755
12.000
1,109,1"9
1 112755
URRENT ASSETS
Debtor8
Cash al b8nk and in hand
8,228
140,698
10
109,289
148924
Credltor5- amounts lalllng du•
within on• yèar
5,164
18,713
N•t curr•nt a•••t•llllNbllltkn•l
143,760
90,578
TOTAL ASSETS
L¢¥s', Loan
TOTAL ASSETS LESS LIABILITIES
1,252,919
1,203,331
1257,1061 1257,1061
995,813
946,225
12
rUNDS
u*¥ignat•d Unre•trlct•d tsnds
13
119,582
119.582
4lnreslrlct•d funds
878.231
826,843
995813
946 225
ACCOUNTS APPROVED ON 7th June 2026
SIGNED ON BEHALF OF THE ASSOCIATION BY:
Dhirajlal Chauh•n
President
Babubhai N Rathod
TREASURER
Amratbhai J Chauhan
HONORARY SECRETARY
The nots8 on pages 7 to 10 form part ofthese accounts

Page 7
GUJARATI ARYA ASSOCI
ESTER
NOTES TO ACCOUNTS FOR THE YWI
NDEO 31ST DECEMBER 2025
1. ACCOUNnNG POUCIES
Thè pnntypal a¢¢ounb"n9 poliass 8r¢ 8ummaiised below. The accounting policies have been appli8d
eonsistenly throughtsutthe year and in the preceding year.
lal Basls of accountlng
Basi5 01 preparing the financ￿1 statem•nts
The [￿ar￿￿1 statements ol the charity, whlch18 a W￿1¢ bènell 8nUty uTrJer FRS 102, have b1￿ pr•par•d In I￿ordIr￿9
th th8 CFofftk85 SORP IFRS 1021'Accountlng and Repjrtlng by Ch8rf1188.' Staten￿l of R0￿mM￿ded Praclce
ppl￿atAetD chaittle5 preparh)g thB* firwclBI staternenl8 In 4ccorderu wtth the Flnanclal RepgrtiTrJ Standard gwl*gble
In ts UK and Repu￿￿ of Ireland IFRS 1021 lelfecllve l J•)￿ry 20161,, FlnJn¢l•l Rewtlng Standerd I￿2.The Financlal
Reportlng Sland81d ap￿1¢ab￿ In uK￿d Ropuwk of Ire￿1￿ EFA, Ihe and th• ChaiitMAct 2011. The firAnclol
6taknen18 been pr6pgr•J und¥ th? N8t¢n"Ml cost 0)nV￿1¢•.
Ibl Fund acwuntbng
Unre51rkted funth a￿ avallabk for uae atth* dh¢retlon ol the ￿nI￿rneDt Ctfflmltee in furthrw
of the g8r*ral obleclves of charbty
DeBlgn*ed funds are urnstrbted funds ￿rMar￿ by the M&nagem8nt CommNle• fLY parucukr
purpo￿￿. Durlng the yw ended 318t December 2018 re¥rict8d lunds were ￿tated as d•S￿nated unr68trlct•d lunth.
RèBtrtcted ftsrdB are 8thlecl8d lo reBtrkkn8 on 1h*8%￿d￿Ur0 Imposed bythe donor orthrough
the term8 01 on ap￿￿.
Icl Income
All Inccffl8 L8 ro￿gnI•8d In th• Stat•rrhinl of Fln8ncLql ACIfvttl￿ or￿•th* ch•rfty hqs sntKI•TrrfJnl toth8 fund8, It IB
aNe Ihatthe InGomo Ylll be rKewed and the amount can be mea8ured rellabw.
The follthrwj 8podfi¢ In pjrucukr arèappll+J to L*Jorkn• ollncom•.'
111 Where irKome18 reG￿ved by wolqT3nt8, ¢SThtton8 grfts Bnd ro knGI￿Jed In full
In the Staternentol Finn￿4 Ad1vit￿¥ re¢efvatrAv. Grtrts, wh•ro rè n
¢Ond￿lOn•1 on drfv•ry ola 8p•dflc p•rftymgnc• tyth• ¢h•rfty, ￿ recognl•ed vth•n lh•
charty become8uncondKlonallyenlilkd lo the grant.
(2> Tha valuo of Yo￿ded by volunts•rg haB not bmn Includ•J In Ih•B• flnarKhl stal8rn8ntB
(31 Inccfne grants, where rebDted to pertorTronc• ind 8p￿ d81fvera￿Os, ir• account•a for
88the chorlty e￿n•t￿ rw to¢oMha•rakn Lyi rt• F4rform•nc•.
1¢> Expendltiir•
Ll*illli¢s are re¢ogrf8¢d a6 oypondllure as s¢on 41 Ihw• 1$ i10g￿ or ¢¢￿•t￿¢t￿l oNlgatknn comr1￿tting Ihe charity lo
th81 txw)¢#turè, tt18 wobablèthal a tran8far ot eeommlc ￿ne￿Il ￿11 b& r•qulr¢d In teW*Mnl Jnd tho amount of t
obl1￿lIon can mea6ur8d r8118bty. Expendttur¢ b accounled lorm an ¥cruBl• and h&ts been da￿￿l￿d
he8dlng8 that wegate all co8t re18ted lo the calegory.Whero c08t8caMOt be threcty•Mbut•J to yrloJlir heathry•
Ihey have been all￿818￿ lo act￿lI￿a8 on 8 ba￿8 c￿￿tent wlth the w of re80urce8.
lffj Fund accountlng
Unre￿rIE￿d fLthids aw Wdilabk for u80 81 the d18cr8tknn elthe Maw8rr*nl Cunrnlttee In ft¥th6rarK
ol the ger*ral oile¢tlve8 of th¢ dayca￿ ¢eNre
De8lgn8tsd funds 8r• unrethf*&l futYl$ earmithd byth• Manaq•)wit Commlttw for •fjcu1aw
purposes.
Re8trIBt￿ fvnds are $uble¢ted to oTrth￿.r exF￿￿'ture imFX)¥ed bylh&dorK)r orthrryj
the tertnsolan ap￿.

Pgge 8
GUJARATI ARYA ASSOCIATION- LEICESTER
NOTES TO ACCOUNTS
CEMBER 2025
FOR TH
(Q TANGIBLE FIXED ASSETS AND DEPRECIATION
Depre￿atioll on fixed a88ets have been wovided on follov4Sng bsBeB in orderto
wnt8 off the co8tover their estimated u8efvl lives.
Freehold land and building8
Propety atterations
2%
Fi¥Lures and wuipm8nt
20%
Given the natur• of fraghold buildings and its expg¢te<l longevty, the tru8tees con8iderthe
depreciation Y¢ill be not material in respect of the year end in aggregate.
Accordingty no deprecialon Is prowded.
. Igl GOVERNANCE COSTS
. Thi6 includes c￿ts ofthe preparat￿n and examinat'on ol 8tslulory account8, the costs oftwstee
me8ting8 and cost ol any legal athce to tru8te88 on goV¢rn4n￿ or constitutional mattgrn.
Ihl STAFF COSTS
No remunef8tion wa8 paid to trustees.
Volunteers ￿r& pad honorarium in the amount of £5,99312024 £7,190)
3. Fund ial8lng venture•
2025
2024
In¢omo from hall hlre aro88
Rent receivatrle
Incom8 from r81iglou8. 8ou81 & cuttur4 acy¥Atto8
Other Incorne- Souvenir Adverts
45,686
38,210
14.492
45,880
37.985
17.318
I1b￿ltmanl Incom•
2025
2024
Bank intore8t Toceived
329
5. Olr•ct Charltabl& expendlture
C8ntr• runnlng costs
Volunt8ern honorarium
Rates & watèr
Llght and heat
Insur8nce
Cleaning and refu&è
Building mantanancè and rap￿r8
Depreciation
5,993
S,S12
12.960
4.609
3.642
3,368
7.1
11,938
4,399
4,167
4,389
3,987

Page 9
GUJARATI ARYA ASSOCIATION - LEICESTER
NOTES TO ACCOUNTS FOR THe
YEAR ENDED31ST DECEMBER2025
ORT
6. Fund-Tai5inr expèndlturn
2025
2024
Religious , ¢uf¢uT81 & 80¢i81 acb"M14es •xpendluro
Donations made- M8cmillan Appeal and LOROS
6,458
6,534
10740
7. Manag•m•nt and Administratton
. Postage. ststs"onery and prlnting
ouvenir printing
Tèlaphon$
.Affili8ts"on fees and mo8th.ng eypen808
Le9al le
Bank charg88
Bank loen intsr8et
29
423
5,040
575-
541
150
2,536
441
134
Gov•rn•nc• colts
Trusts¢8 Indornnlty InBur8nce
285
285
8. FIXED ASSETS
Fre8hdd
Prop•ty
land & bld￿ AJteration8
Fi>Xur•8 &
equipment
Totsl
Coll
At 1BI January 2025
1,094.097
135,733
101,312
1,331,142
At 318t OaceiTrb•i 2025
1094 097
135733
101312
1331 142
DeprecIa￿O￿l
At 1st January 2025
Provided in the year
At 318t December 2025
130,840
99,547
881
100428
230,387
133 555
233 983
Not book valuè
At 31st Decerriber 2025
1094 097
1097 159
At 1st J8tyua.'y 2025
1 094 097
1 100 1.54

Page 10
GUJARATJ ARYA ASSOCIATION . LEICESTER
NOTES TO ACCOUNTS FOR THE
FOR THE YEAR ENDED 31ST DECEMBER202
Investment
2025
2024
1 Supei A. Share in G A A {L￿Cester) ￿mited 01 £1,000 aach
19 A. Shares in G A A l L￿CeSter) Limited of £500 each
15'B' Shore6 in G A A l L￿ceSter) ￿rnrted of £100 each
1.000
9.500
1,000
9,500
12024- 15 8,1
The charity holds shares In GAA {Le￿6￿rI Llmtted, a ¢ompany In¢orkxJrated In England wh08e
membership ￿ re8tn.cted to the ChonW8 member8 onty. The company wa8 8pecthcaW formad to ra
funds from it8 tsha￿ tssue and to 8881st Charty to pur¢h88è Its Frèehold land and building8.
9. DEBTORS AND PREPAYMENTS
2025
2024
Du¥ wthin on& year
8,226
8226
10. CASH AT BANK AND IN HAND
Ca8h at b8nk- current account
Cash at bank- S￿n9$ account
48,684
83,245
46 044
109289
140698
*•1 f:REDITORS: amount• falllng due wlthln one year
Tr8dé cradftorn
H811 hire dep08tt8
Eye cemp donatton
13.545
4.947
221
3,477
221
12 CREDITORS: amounts 14111ng du• aftor on• y•ar
Loan from G.AA. l L81Ce8￿ l ￿mit
257,106
2S7 106
257 106
q& FUNDS- OESIGNATED UNRESTRICTED FUNO
Bulding
Fund
Totsl
Baance at 18t January 2025
Balance al 31st Dècambar 2025
119582
119582
1195e2
119582
13. FUNDS- UNRESTRICTED FUND
Balance at 18t January 2025
Net SUr￿u3
Balance at 3181 December 2025
826,643
49,588
876 231