APPENDIX I
oscr,_
Period start date
Year
Period end date
Month
Year
Doy
01
12 22
To
30 11 23
Office of the Scottish Charity Regulator
Reference and administration detsils
Charity name
Other names eharity is known
by
Rggistsred charlty number
Charity's prlnclpal address
SAHARA
SC045367
Names of the charlty trustees on date of approval of Trustees, Annual Report
Tru8tee name
Office (rfany)
Datss actod rf
(or body} entillgd to
10
11
12
13
14
15
16
17
18
19
20

APPENDIX 1
Reference and administration details
Names of all other charity tntstees during the period, if any. (for example, those who resigned part way
through the financial period)
Structure, governance and management
Type of goveming document
Sahara is Scottish Charitable incorporated Organisation. It was registered
l January 2015
Trustse recruitment and appolnlment
Trustees a￿ recruitment by recommendation
Objectives and activities
Charitable purposes
As stated in the goveming document
Summary of the main activities
in relation to these objects
Sahara brings people Sahara will bring people together who have been
isolated and suffering poor mental health. 5t will be an opportunity to
engage with others., build relationships and learn skills from experts Wlthin
the South Asian commltnity and wider.

APPENDIX 1
Achievements and performance
Summary of the main achlevements of
the charity during the financial perlod
Relaunch the charity, apptying for grants and funding.
We have sel up groups to help
bring people together who have been isolated and suffering poor mentsl
health. It will be an opportunity to engage with others.. build relationships
and learn new skills.
Financial review
Brief ststement of the charity's policy
on reserves
Details of any deficit
Donated facilities and serrfices lif any)

APPENDIX 1
Other optional information
Declaration
The tntst•88 dg¢larg that they have approved the tru5tee5' report abovg.
Slgned on bèhalf of the charity's trustees
Slgnature(sl
Full nam•($l
Position le.g- Chair)
Chair
Date 28.12.2023

Independent Examiner's Notes on Sahard
Receipts & Payments Ststement
01 December 2022- 30 November 2023
ststement of Res
nslbllltles of Trustees & Inde
nd¢nt Examiner
The charity's trLJStees are responsible for the preparation of the accounts in accordance with the terrrts of the Ch8ri1res
and Trustee Investment (Scotlandl 2005 A¢t and the Charities Accounts (Scotlandl Regulations 2006. The charity
trustees consider that the audit requirement of Regulation 10{11 {dl of the Accounts Regulations does not apply. It is my
responsibility to examine the accounts 8$ required under seCt￿n 4411} {cl of the Act and to state whether parttcular
matters have come to my attention.
Basis of Inde
ndent examinetrs ststement
My examination is carried out in accordance vrith Regulation 11 ofthe Chanties Accounts {Sco￿and) Regulations 2008.
An examination includes a review of the accounting records kept by the charity and a compari80n of the a￿OUnts
presented wsth those records. It also includes conshlerats.on of any unusual Ttems or disdosures in the a¢wunts and
seeks explanations from the trust*s conceming any such matters. The protsdures undertaken do not provide ￿1 the
evidenc8 that would be required in an audit and, consequentty, I do not express an audit opinion on the accouftts.
Inde
ndent ex
mi
erfs staternent
In the course ef my examination, no matter has come to my attention
which gives me reasonable cause to believe that in any rnalerial respect the
requirements:
to keep accounting records in accordance with section 4411) {al of thé 2005 Acland Regutation
4 of the 2006 Accounts Regulations. and
to prepare accounts which accord wf(h the accounting reconls and compiy with Regulation 9 of
the 2006 Accoullts Regulations have not beer¢ m< or
2. to which. in my opinion, attention should be drawn in order to enable a proper understsnding of th& accounts
to be reached.
Business Lagè Stsldtsons Ltd
TIA SHAH & CO
331 Pai51ey Road West
Glasgow
G51 1LU
Shah & Co
AcThJnl￿ & Ta¥ Consultants
33f Paisley Road West
Glasgow, G51 ILU
rgl 0741427 3880 F8x 0741427 4075
Shah 8 Co is a trèthg namoci
Busjness Edge ￿￿tiOnS Ltcf.

Sahara
Receipts & Payments Ac¢ount Statement
01 December 2022 to 30 November 2023
30.11.2023
30.11.2022
Receipts
Grants
9,968.00
Donation received
150.00
TOTAL RECEIPTS
10 118.00
Payments
Staff Cost
Travel Cost
Printing & Stationery
Charty Dinner
Sundry Expense
Rent
5,079.57
483.40
1,303.84
2,474.36
105.90
635.10
TOTAL PAYMENTS
10.082.17
Surplus l (Deficit)
35.83

Sahara
ststement of Balances as at 30 November 2023
30.11.2023
30.11.2022
Cash and bank balance at stsrt of the year
7,177.17
7,177.17
Surplus(deficltl for the year
35.83
Cash and Bank balance al end of year
7.213.00
7.177.17
INVESTMENTS
OTHER ASSETS
Llabilitie8
Contlngent liabilitles
Depreciation
TOTAL NET WORTH OF CHARITY CIFWD
7,213.00
4.577.92
Signed on behalf of Sahaia
Date..
s 12ZS

Notss
1- There was no charge of depreciation for the year.
2- No Trustee has received any remuneration during the year.