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2021-03-31-accounts

Shri Hindu Gujarati Samaj (Registered charity, number 516498) Financial statements for the year ended 31 March 2021

Page Contents 2 Legal & financial information 3-5 Trustees’ annual report 6 Independent examiner’s report 7 Income & expenditure account 8 Balance Sheet

9-11

Notes to the accounts

Shri Hindu Gujarati Samaj Trustees’ annual report for the year ended 31 March 2021

Full name Shri Hindu Gujarati Samaj

Registered charity number 516498 Principal address S.H.G.S Centre 45 Upper Abbey Street Nuneaton Warwickshire CV11 5DH

Executive Committee and Charity Trustees (include all at date accounts are prepared (signed) and any serving during 2020)

Mr Rajendrakumar N Patel, President Mr Deepak K Panchal, Secretary Mr Viratbhai Patel, Treasurer Mr Manu Patel

Bankers HSBC Bank plc 20 Newdegate Street Nuneaton

Independent examiner Nirdesh Sandhu 47 War Lane Harborne Birmingham B17 9RJ

Governance and management

The charity is operated under the rules of its constitution.

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Shri Hindu Gujarati Samaj Trustees’ annual report for the year ended 31 March 2021

Aims and objectives

The Samaj provides a range of supported facilities and services which, while sensitive to the cultural and religious minority needs of the Nuneaton Hindu Community, it is open to all local residents in need.

The priority areas of provision are:

To provide equal opportunities to residents of the Samaj in Nuneaton, irrespective of their cast, creed or religion, for social and cultural purposes.

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The Samaj is not a party in any political organisation.

To render possible assistance to the poor, disabled and destitute and mental health awareness to all the members of the Samaj.

To develop the members’ knowledge socially, culturally and educationally.

To promote unity, better understanding, good will and social advancement of the members and outdated customs.

To act as a National Forum and Central Organisation in Nuneaton to assist all residents of the Samaj and to organise youth activities for all.

To promote facilities for the gathering and activities of the Samaj for all members of all creeds.

The Samqj is affiliated with other Organisations and Associations.

To make regulations for any proposals which may be so acquired.

Equal opportunities policy will apply for Samaj activities, election and all criteria and aim of the Samaj.

Shri Hindu Gujarati Samaj Trustees’ annual report (continued) for the year ended 31 March 2021

Executive Committee Report

18t April 2020 — 31S March 2021

,

The Executive Committee as trustees of the charity have continued to uphold and maintain persistence in honouring our cultural and religious identity through its constitution. As a coherent voluntary management team we have, during our office term which has also seen some major changes and have successfully played a major role in presenting our Community as one of the Leading Ethnic Minority Groups in the county of Warwickshire. We are providing services for older members through our Day Care Centre with facilities for religious and social activities. Although there was some decline in number attendance and any activities were place on hold for time being with the advice from Government.

This current financial year, due to COIVD restrictions, we have not been able to provide social care to our Day Care users, as old and venerable users where unable to come to the Centre.

During these pandemic times, our affiliated membership members are still able to give us a good support by holding small group religious festival with social distancing maintained throughout.

Social Services are still able to support us in furlong payments to the staff in running of the Day Care Centre.

The umbrella group with in our committee is running well and have provided much of assistance needed in marketing, financial support and funding needs of our business.

The Sam4qj is still foreseeing in facility improvement of the building and to ensure the needs for the users are met in all aspects.

Phase7 for furnishing the fourth floor is still on hold, as we We have now envisaged that there are going to be some restriction to be put in place by the Government due to outbreak of pandemic throughout the country (Covid 19).

Shri Hindu Gujarati Samaj Trustees’ annual report (continued) for the year ended 31 March 2021

The executive committee would like to thank for the guidance and continual support from all of our members, local authorities and police, Warwickshire Community and Voluntary Action group, Community Education Service, Nuneaton Borough Council, Warwickshire County Council and Social Services.

As the Executive Committee and its volunteers are on a continuous learning path, we would welcome the contribution and support on the basis of sharing knowledge, skills and experience.

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D Panchal Secretary Shri Hindu GurjaratiSamaj

The charity’s policy on reserves

The charity has sufficient levels of reserves to cover three months trading.

Signed on behalf of the charity's trustees:

----- Start of picture text -----
Signed (YH Dated iol 12%
V Patel Treasurer (Shri Hindu Gujarati Samaj)
Signed i ee Dated 19 p1/2022
D Panchal, Secretary (Shri Hindu Gujarati Samaj)
----- End of picture text -----

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Independent examiner’s report to the trustees of Shri Hindu Gujarati Samaj for the year ended 31 March 2021

| report on the accounts of the charity, which are set out on pages five to eight.

Respective responsibilities of trustees and examiner

The charity’s trustees consider that an audit is not required for this year (under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

:

Basis of independent examiner’s report

My examination was carried out in accordance with the general directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention:

  1. which gives me reasonable cause to believe that in any material respect, the requirements:

  2. e to keep accounting records in accordance with section 130 of the Charities Act; and

  3. e to prepare accounts which accord with the accounting records and comply with the accounting requirements of the Charities Act have not been met; or

  4. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

SignedNIKDe DateROABR—9§ RQ ID Nirdesh Sandhu, MSc, FCCA .

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----- Start of picture text -----
||||||||||||| |---|---|---|---|---|---|---|---|---|---|---|---| |Shri|Hindu|Gujarati|Samaj| |receipts|&|payments|account| |for|the|year|ended|31|March|2021| |2020|Designated|2021| |Total|AMOL|General|Total| |Funds|Funds|Funds|Funds| |£|Note|E|£|£| |Receipts| |11,125|Collections|9,365|9,365| |41,186|Grants|Received|2|23,250|23,250| |1,500|Membership|Fees|-|-| |409|Donations|-|Navratri|-|-| |225|Collections|Navrati|-|-| |2,735|Raffle|&|Donations|Dawali|-|-| |655|Hire|-|-| |-|Other|624|624| |122|Interest|131|131| |57,957|Total|receipts|32,615|755|33,370| |Payments| |18,618|Wages,|NI|&|pension|&|casual|13,588|0|13,588| |6,558|Casual|labour|9,021|0|9,021| |2,274|Diwali|Expenses|-|-| |1,543|Telephone|421|140|562| |2,910|Heat|&|Light|1,893|631|2,524| |1,966|Water|885|295|1,179| |3,850|Food|-|2,273|2,273| |1,706|Mileage|&|Transport|Costs|-|-|-| |97|Stationery,|printing|&|postage|-|-| |1,670|Repairs|&|Renewals|168|168| |-|Maintenance|-|-| |3,206|Insurance|3,463|3,463| |2,421|Accountancy|1,478|1,478|2,955| |400|Activities|Expenses|-|-| |965|Cleaning|594|198|791| |3,678|Depreciation|Equipment|549|2,673|3,222| |330|Sundry|-|18|18| |-|Premises|Hire|-|-| |52,193|Total|payments|3|28,428|11,336|39,764| |5,764|Net|receipts/(payments)|4187|-|10,581|-|6,394| |60,898|Cash|funds|at|start|of|this|period|-|7,414|74,076|66,662| |-|Transfers|between|funds|-|-|-| |66,662|Cash|funds|at|end|of this|period|-|3,227|63,495|60,268|

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Shri Hindu Gujarati Samaj Balance Sheet as at 31 March 2021

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2020 2021
£ Note £ £
Fixed assets 4
401,184 Freehold Property 400,542
- Centre Additions -
17,201 Equipment 14,621
418,385 Total fixed assets 415,163
Current assets
126,106 Building Society 127,012
Debtors
Investments
5,575 Cash at bank and in hand 1,500
131,681 total current assets 128,512
Liabilities
Creditors:
0 amounts falling due within one year 0
131,681 Net current assets 128,512
Creditors:
- amounts falling due after one year - -
550,066 Net assets 5 543,675
The funds of the charity 6
483,404 Community Building Fund 483,404
74,076 General Fund 63,495
- 7,414 Anmol Centre Funds - 3,224
550,066 total funds 543,675
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These financial statements are accepted on behalf of the charity by:

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C.. isis oo 3
Signedae
V Patel Treasureril(Shri Hindu Gujarati Samaj) Dated <<| 2%
Signed DOE Dated /%/a/ 2022.
D Panchal, Secretary (Shri Hindu Gujarati Samaj)
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Shri Hindu Gujarati Samaj Notes to the accounts for the year ended 31 March 2021

1. Accounting Policies

a) General

These accounts have been prepared under the historic cost convention and in accordance with the applicable accounting standards and the Statement of Recommended Practice.

b) Income & Expenditure

These accounts have been prepared on the receipts and payments basis which summarises all money received and paid out by the charity during the year in question.

c) Depreciation

Depreciation is provided on Equipment and Musical Instruments and Centre Building additions on the reducing balance method at the rate of 15% per annum, based upon the expected useful life of these fixed assets and their anticipated residual values. No depreciation is provided in respect of Freehold Property.

2. Grants & donations

Unrestricted Designated Total
£ £ E.
WCC - Day Care - 23,250 23,250
SCC Day Care - 0 -
- 23,250 23,250

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Shri Hindu Gujarati Samaj

Notes to the accounts for the year ended 31 March 2021

3. Allocation of costs
Dawali expenses Direct - -
Telephone, heat, light, water Allocated 75 eas.
Food Direct
Mileage & transport costs Direct
Stationery, print & post Direct
Repairs & renewals Direct
Maintenance Allocated 75 20
Insurance Direct
Accountancy Allocated 50 50
Activities Direct
Cleaning Allocated 15 25
Depreciation Direct
Sundry Direct
PremisesHire Direct
Centre Centre Equipment Total
Building Additions
4. Fixed Assets
Cost £ £ £ £
At 1 April 2020 419,509 - 49,793 469,302
Additions - - - -
Disposals - - - -
At 31 March 2021 419,509 - 49,793 469,302
Depreciation
At 1 April 2020 18,325 - 32,592 50,917
Disposals - -
Charge this period 642 - 2,580 3,222
At 31 March 2020 18,967 - 35,172 54,139
Net book value
At 31 March 2021 400,542 - 14,621 415,163
At31March2020 401,184 - 17,201 418,385

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Shri Hindu Gujarati Samaj

Notes to the accounts for the year ended 31 March 2021

5. Analysis of net assets by fund

Community Building General ANMOL Total
funds funds funds funds
£ £ £ £
Fixed assets 400,542 7,415 7,206 415,163
Net current assets 82,862 56,083 - 10,433 128,512
483,404 63,498 - 3,227 543,675

6. Funds analysis

Opening Receipts (Payments) Transfers Closing
balance balance
£ £ £ £ £
Designated funds
Community Building Fund 483,404 - - - 483,404
Anmol Day Centre - 7,414 32,615 28,428 - 53,629
475,990 32,615 28,428 - 537,033
Unrestricted funds
General Fund 74,076 755 11,336 - 86,167
74,076 755 11,336 - 86,167
Totalfunds 550,066 33,370 39,764 - 623,200

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