REGisfERED CRIARITY NUMBER: SCOA3958
R¢pDrt ofthe Trn#tttJ and
UD4udited FlnoJn¢i•l Ststeortots for the Yur Ended 31 Martb 2024
for
Ramgarthl• Auodalloo of GI%￿oW
Stevenson & Kyks
Ciwttred Accountwnts
25 Sandyford Pla¢¢
Glasgow
G3 7NG

Ramgarbla ABwdAlknn of Gl*sgow
CoDlents of the Fln*neiAI State*éDts
for the Yeir Ettded 31 March 2024
Pace
Referentt abd Adml•lknifv¢ Dclalll
Report of the Tru8teeJ
Indtp¢ndemt Ei*miller'8 R¢prt
St•lemeDt of FIMnd•l Acdvliles
S¢atewit olFluAd•l P￿(1
Notos lo the FlnAn¢hl Stateme*ts
Detalled Ststememt of Flo•eel•l Aetfviti

Ra•yrbfi• Asgo¢lailo• of Glww
Reference AdwlDhirsdve Del•ns
for the Year EDded 31 m￿ch zOZ4
TRUSTEES
PRINCIPAL ADDRKSS
Guw Non•k STr1 h T¢mple
19-27 ow Str¢¢t
Gllls8OW
G12 JJJ
REGISTERED CIIARITY
UMBER
SC013958
INDEPENDENT KXAMINLR St¢v¢nTh & Kyks
Chrtwed Accoun￿nts
25 SandY(￿d Pla¢¢
Glas8QW
G3 7NG
PaBe I

R•mgarthla Al￿¢1￿both OCGI
Report of the Trwjle
for the Ymr Emde4 31 21Y24
Th¢ trustces present their report with the fift￿claI 5taiemcn15 of the chirity for the year ended
31 March 2024. The trnstees have Bdopted the provisi(￿$ of Acc()unting and Reportill8 by Charities:
Stst¢meArt of Reemended Practice applicable to charities Preparin8 their accounts in a¢¢ordance with the
Finan¢iaJ R¢portinB sI￿dard applicable in the UK knd Republic of Jrel•nd (FRS I IY2) (effective l JuNuary
2019).
OWECTIVES AND ACTiYrriES
ObJectlvt8 a•d 41ms
The Trustccs, r￿ts$ for the year w45 to continu¢ to rn•tnlain and develcp the f4¢ilitl¢s at tli¢ Sikh Gurdwarn
and provide T¢Ii8lOIIS #liviti4s. FUrth¢M￿re. the Executive Commiltrc are 8ttll in the pro¢¢ss of gainlng
accreditati¢)n for the Sikh GuTdMfara to become an rK¢tedi¢cd ¢cntrr to Provide education of the Punjabi
language al an ordinary and advanced I¢￿1.
STRucfuRE, C.OVERNANCE AND hfANAGEMENT
GOVERNANCE AND MANAGEMENT
The Ixccutivc Committe¢ m¢d5 at least oncc every c41cndar rnonih and uTjde￿kes ¢ontrol and yeneral
mana8emenl of the charity. The r.xe£utiv¢ Committee is Also rexpthsibk for makin8 decisions on &ll
activitie4 8nd matteT5 of th¢ Al5￿11t1￿￿, including hi)w funds Are utilised. All ¢ommittee members give their
tim¢ generously and T¢ccive no remun¢ralion of fin*Kial benefits. The A&s(KIaiion 1$ govrrned by a
conslFtution. The Constiiulion ineludes S￿cIr￿ m¢&sur¢$ for the AS￿latIOn lo devrlop op¢ralional controls
and gov¢rnance arranEement5.
Reeruilmemt aDd •ppolDtthED¢ of new Iru*¢e
The process of *p￿IntMent ro thc Executi￿ Lommiitr¢ is based on ele¢lion ol. Offiec Bcarer5 at the
Association's Annual Gcneral MectinB as (rtrtliued in Ih¢ Constituiion. oifi¢e Bearers serve 0￿1¢¢ for a two
year ierm And ire eli8ibJ¢ for re-¢l*tiorn All m¢mberA of the Assceiation are encourn8cd to #and for
eleetN)Tr to the Ex¢¢utive Commitle¢.
DtelslrJD m•kl•g
The Ex¢¢utive Committee has inbpyoved its fIn￿CIal manag¢mcnt ary￿sements with regular mi¢w8 of the
rinkneial stslements of the Associalion.
Appfov¢d by order of the boArd of trustees on l July 21r24 and signed on its behalf by:
Page 2

l•dtpeudent Ex*mlBer's Reporl to the Trnsteei ol
R*mEArhl* of Gjwow
I le￿rt on the ￿ounts for the year ended 31 Marth 2024 set (Mrt M pap fow to eight.
Respeetfve respollslbilitla Of¢r￿￿￿ and exAmlDer
The charitys trusiees are r¢$Fw5Jknk the pr•ioo of the xcounts in accord*nc¢ wilh tht terms of ihe
Charilies and Trustec Invcslmcnl (Scthd) Act 21KJ5 tk Ch4riti¢8 Accounts (Scotland) Resulati￿$
2006 (a8 amended). The ch•yiWs trust¢¢s ¢ottsi&t thttt the Ludit requirtmenl of lie8ulation ICKI )(a) to (c) of
thc A¢count5 Regulatio￿$ does not apply. It is my Jesp0￿5}bl1ty to ¢xathine the occounts as requir￿ un&r
Se¢tiQA 44(IX¢) of the Act and to state whahef partis)Jl•r m•ffcrs havc come to my attention.
ol the Independeat ex*m1•e￿O Ytport
My examination was arTied out in a¢cordfin¢e with Resulalion I l of the Charilies Accounts (Scotland)
R¢¥ulaiions 2006. An eMMin￿lOn in¢lwk$ a review ol the ac￿￿￿tIng Tecords kept by the clwity and
comparison of the accounls PTu¢nled with those reu)rds. It a150 iniludes con5idèrnlion of any unusual ii¢nis
or di8¢losur¢$ in the accounW and seeking explanations from yju a8 trustees conccrning any Sueh matters.
The protedureg undertaken do noi provide all the ¢vidence thal would be TC4uir¢d in th audit. Jnd
on$equcntly I do not expTCSS an I￿￿11 opinlon ￿ the view 81￿n by th¢ I￿￿ts.
IndtptDdent ex*miner'i MtemeAI
In C(￿nec110￿ with ￿Y examinatio￿ no m•tter ha5 come lo my Attenlion .
( l) which ¥iv¢5 m¢ Te450Mbk cause kn believe thal ift any m8*ri•l re5pcc¢ ihe Kquircments
to keep accoun(In¥ I￿OrdS in &￿rdance with Seclion 44(IX•) of the 2005 A¢¢ and Re6ulation 4 of th¢
2Q06 A¢￿)unIS R¢8ul•ti0ts8: and
to prepar¢ xrounts which x¢ord with the xcountin8 r¢cordJ and to comply with Ke8ula¢ion 8 of the
2006 Ac¢ounts Rc8ulitions
have not beem met. or
(2) to w11i¢l￿ in my opini(M4 aitenlion should be drnwn in OTdcr to ¢rnbk a propcr und¢rstsndin8 of the
a¢￿￿nts to be reache4
Stcvcnson & Kyles
Chartered Awountants
25 qandyford PlaL
GlasBOW
G3 7NG
Pi8e 3

Ramyrhi• of Gl
Stste¥￿t olFiD*nei*l Aerfvit
for the Ye•r KDded 31 March 2024
2024
Total
funds
UDrestriclEd RestrKted
nd
fund
2023
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and le8acies
64.114
64,114
53,314
Other trnding ￿tIVitIeS
Ekv¢stment income
3.297
20
3.297
20
2,956
20
Toeal
67,431
67.431
58.290
EXPENDITURE ON
Raising furKIs
59.822
59,822
54.503
NET INCOME
Transftrn between f•nds
7,609
7.750
3,787
(7,750)
N¢t mov¢m¢nt In fw•di
15J59
(7,750)
7.609
3,787
RECONCILIATION OF FUNDS
Total funds brought forward
163.897
7.750
171.647
167,860
TOTAL FUNDS CARRIED FORWARD
179,256
179.256
171,647
The notes fth7n part of these finan¢ial 5t4tements
Pa8e 4

R*m£*rhla Asgoel*tio• OtGIww
31 M*rch 2024
2024
Totsl
funds
2023
Totsl
nds
UnTestricted Restrid¢d
fund
CURRENT ASSETS
C45h at bank and in h￿d
179.256
179,256
171,647
74ET CURRFTr4T A&8ETS
179.256
179,256
171.647
TOTAL ASSETS LESS CURRENT
LIABILITIES
179256
179.256
171.647
NET ASSETS
179,256
179.256
171.647
FiiNDS
lJnrestrict&4 fund$
Restricted funds
179.256
163.897
7,750
TOTAL FUNDS
179256
171,647
The financial 51alements were apwov¢d by Ihe B￿rd of "I'ruths auihorised for issue on l July 2024
and were .8i8n¢d on its bphalf by..
notes foym prt of thes¢ fina￿la1 statements
Pa8e S

for the Year EDdtd 31 M*rch 2024
ACCOUThNG POLICIV
B•Aii of prepAAmE the Ilm￿￿￿ Jtaiem¢thts
The financial statements of the charity. which is a ￿bIle benefit cntity under FRS 102, havc b¢en
prepared in accordknc¢ with thc ChaTiti¢s SORP (FRS 102) 'A¢¢ounting and Reporting by Ch￿itIes.
Stsiement of Rw)mmend+xI Practice applicabk to ¢harities prepanD8 their accounts in accordance
with the Financill Reporting Siandard applicable in the UK and Republic of Ireland (FRS 102)
(cffective l )￿vary 2019),. Financi81 Rel￿1￿$ Stsndard 102 The Fin•n¢ial Rew)rting Stsndard
applicable in the UK 4nd Ryblic of Ir¢l•nd' ond the Charilics aTrJ Truste¢ Investment (Scotland) A¢t
2005. The financial stat¢ments have wepared under the historical cos1 convention.
All income is reco8nised in th¢ Ststenxnt of FinJnci&l Activitics orte the chrity has entitlemenl to
the funds, it is PTobabl¢ that the incomc will be rffeivcd and thc atzThnt can be measured rcliably.
ExpeHdlt¥re
Liabilities are re￿gnised as exFnditure as s(M)n as there is 8 Icgal or ¢onstNcliv¢ obligation
committing th¢ charity to that exP￿difurfy it 1$ probable that a tronsfeT of economic b¢nefits will be
requir¢d in settlement and thc amount of the obligalion can be mcasured reliably. Exp¢nditur¢ is
accounted for on a cash basis and has been classified under headings thai 488r¢8ale ill cost r¢latcd to
the ¢ale80ry. Where W$15 cannot be directly attributed io partieulaT he￿ing8 they have been allo¢ated
to ￿tiviti¢$ on a basis consist¢nt wilh the usc of r¢sour¢es.
Taxatlon
Th¢ tharity is exempt tsx (m Its ¢haritsble Activilies.
Unrestricted fund5 can b¢ in ac￿rdance wilh the chaThabl¢ obj¢¢tiv¢s at the dlscretion of th¢
trustees.
Restricted funds can only k u5¢d for particular restricted purposes within the objects of Ihc charity.
Rcstriltions •ris¢ when specified by thc doTh)r or whcn funds are raised for particular restri¢t¢d
purposes.
Further ¢xplanation of the natUTe and pu4)ose of ettch fuTha is included in the notc$ to th¢ financial
ststements.
OTHER TRADING ACTIVITIES
2024
2023
Ladies 5atsAn8
3.297
2,956
Pa8e 6
continu¢d.,,

RaMgA￿l￿ Aswellli￿ of GIWW
Notes to Ihe Fln*neial Staternmts - condnu¢d
for the Y￿r Ended 31 M•r¢b 2024
INVESTMENT ￿COmE
2024
2023
D¢posit acwunt interest
20
20
RAISING FUNDS
R*islD8 donitlons g*d l¢gaei
2024
2023
Support costs
59.822
54.503
TRusfEES' REMUNEIL4TION AI¥D BENEFITS
There w¢re no trustees, r¢muncTation or other twKfits for th¢ year ended 31 Marth 2024 nor for th¢
yw cnded 31 Ma￿h 2023.
TruJt¢eB' exp¢w
Thcre were no truste¢s expa)s¢s pid for the year ended 31 Maw¢h 2024 nor for the year ended
31 March 2023.
MOVEMF.NT IN FUNDS
N¢t
movement
in fvnds
Transfus
b¢tw¢en
funds
At
31.3.24
At 1.4.23
UDMtrl¢led fryAds
GeDeral fund
163.897
7.750
J792S6
R¢8trlcted fundi
Restricted fund
7.750
(7,750)
TOTAL FUNDS
171.647
179.256
Net movement in funds. included in the are Is follows:
Incoming
resourc¢s
Resources Movcmcnt
¢xpended
in funds
Unrestrlc¢ed funds
Gcnerdl fund
67.431
(59.822)
TOTAL FUNDS
67,431
(59.822)
7.609
Page 7
continued...

Rmyrhla Awothilom ofGl*sgow
Nots lo the FluxelAI SiaieMbeDlJ- ¢ontlDued
fi)r the Year E*drd JI M•rch 2024
MOVEM￿ IN FUNDS- ¢owJlln4ed
CompAY*tivu for move*ent la hods
Nct
movement
in funds
At
31.3.23
At1.4.22
UDreJtrk¢ed fund8
GeneTal fund
16D.I 10
3,787
163.897
ReBtrlcted fun
R¢$tricted fund
7,750
7,750
TOTAL FUNDS
167.860
3.787
171,647
Comparativ¢ net mov¢ment in funds. included in the above ar¢ M follows:
Ine4)ming
Tcsour¢es
Resources
expcnded
Mo¥¢ment
in funds
UDMtri¢ied fuAds
Gcn¢rnl fw)d
$8290
(54,503)
J.787
TOTAL FUNDS
58,ts)
(54,503)
3,787
General fund - Ihis fund is foT the day to day Tunnin8 of th¢ or8anigalion.
Restrict¢d fund . this fund is for the installalion of security ¢quipnent.
RELATED PARTY DISCiA)SURFS
There were no Telatrd party knn54￿ions for the year ended 31 M4rch 2024.
Pasc 8

R*m8arhla Aw)d•tiOll 0[GI•s￿￿
tktalkd stste￿nI of Fl•*nclal Artivltkj
for ihe Ymr Exded 31 Maytb 2024
2024
2023
INCOME AND EIYDOWME
DonAtIon# And le8*tie*
Donations
64,114
55.314
Other tr￿Ill£ attlvlt
Ladies s8tsan8
3,297
2,956
InveA(methl l•eome
Dew)sit account irtterest
20
20
To¢il ljcomlry ruollr¢es
67.431
58,290
EXPENDITURE
Support ¢oJts
GDverno0¢¢
Wa8eS
11.193
1,334
4.895
25,553
1,556
250
4,749
l2,326
1,812
4,522
14.066
1,325
758
6,292
6,070
2,722
2,301
1,904
405
Insurance
l.i8ht And
l elephi)N¢. pos¢ #nd statloKry
Advertising
Repairs and r¢ncwils
A￿O￿nI￿￿Y and leyl fres
Donations
Cleanin8
Ration and food
Cla55 ¢05ts
TrAv¢I
2.246
2,388
5,279
379
59.822
54.503
Total resources expended
59,822
54,503
r4rf imeome
7,609
3,787
This pa8e thxs not forni part of the 5tstutory financial ￿al¢ments