×

SMILE FOUNDATION

Regd. Off : V-11, Green Park Extn., New Delhi - 110016


BALANCE SHEET AS AT 31ST MARCH, 2025

(Amount in Rs.)


PARTICULARS


SCHEDULE


AS AT
31ST MARCH, 2025


AS AT
31ST MARCH, 2024

SOURCES OF FUNDS




CAPITAL FUND

 



Corpus Funds:




Corpus Funds


406,272,344

406,272,344


Reserves & Surplus:




General Reserve Fund


482,762,824

382,525,037

Current Liabilities & Provisions:

 



Sundry Creditors for Expenses


923,305

1,557,275

Restricted Grants - For Execution


75,552,254

87,935,973

Statutory Dues Payble


3,913,706

991,333

Other Current Liabilities


2,144,678

6,175,744

TOTAL


971,569,110

885,457,706

APPLICATION OF FUNDS




PROPERTY, PLANT & EQUIPMENTS

 



Tangible Assets & Intangible Assets:




Total Net Block of Tangible Assets &

 

270,807,048

264,498,954

Intangible Assets




Less : Net Block of Tangible & Intangible

 

233,878,024

226,955,685



Assets acquired out of Restricted Grants


36,929,024

37,543,269

Net Block of Tangible Assets & Intangible




Assets




CURRENT ASSETS, LOANS AND ADVANCES




Deposits:

 



Deposits with Banks


891,762,812

803,753,108

Security Deposits


9,678,210

5,464,075

Balance with Revenue Authorities


12,529,016

10,506,446

Loans & Advances:

 



Project Advances


3,395,954

881,480

Restricted Grants Receivable


10,043,775

20,642,223

Other Advances


6,892,313

6,279,103

Cash in Hand


338,000

3,88,000

TOTAL


971,569,110

885,457,706

Significant Accounting Policies & Notes to
Accounts forming part of Balance Sheet

 

AUDITORS' REPORT

As per our report of even date annexed

For and on behalf of board of trustees of
SMILE FOUNDATION

For M.K. Kuchchhal & Co.
Chartered Accountants

(Manoj Gupta)

FCA/Prop./M.No.086669
Firm Regn. No.007670N

Sd/-
Sr. Director Operation
(Subroto Roy)

Sd/-
VP- Finance & Governance
(Pratap Kumar Ray)

Place : New Delhi

Date : 24th October, 2025

Sd/-
Executive Director
(Puneet Bali)

Sd/-
Trustee
(Santanu Mishra)

Sd/-
Trustee
(Praveen Gupta)

SMILE FOUNDATION

Regd. Off : V-11, Green Park Extn., New Delhi - 110016

INCOME AND ITS APPLICATION ACCOUNT
FOR THE YEAR ENDED ON 31ST MARCH, 2025


(Amount in Rs.)



PARTICULARS


SCHEDULE

FOR THE YEAR ENDED
ON 31ST MARCH, 2025

FOR THE YEAR ENDED
ON 31ST MARCH, 2024





INCOME




  1. (I). Voluntary Contributions

    (including for specified programmes)

  2. (II). Other Incomes Interest Income

Other Miscellaneous Income


 

1,512,703,928

1,162,850,112

 




59,837,776

54,338,533


92,492

325,064


59,930,268

54,663,597

Gross Income Available for Application (I + II)


1,572,634,196

1,217,513,710



 


 


 



APPLICATION OF INCOME



  1. Income Applied for Execution of Various



Mission Education Programme

28,36,25,461

22,16,75,548

Training & Research Programme

82,49,739

52,64,348

Child for Child Programme

1,43,06,403

1,20,53,113

Skill Development Programme

18,85,11,457

15,08,95,218

Scholarship Programme

29,48,30,450

20,56,08,262

Smile on Wheels Programme

52,23,74,103

37,93,33,551

Swabhiman Programme

5,00,17,331

2,13,80,681

Relief & Diseaster Programme

65,87,565

57,99,716

Nutrition Enhancement for Children & Women Prog

19,43,692

1,74,73,374

Community Development Programme

57,46,408

 

Other Social and Welfare Programmes

7,60,137

47,97,381

Total (I)

1,37,69,52,746

1,02,42,81,192

II. Administrative & Other Expenses

9,29,90,961

10,98,11,924

Total Income Applied (I + II)

1,46,99,43,707

1,13,40,93,116

Net Surplus / (Deficit) before

10,26,90,489

8,34,20,594

Depreciation & Taxes



Less : Depreciation

24,52,702

23,56,986

Net Surplus / (Deficit) before Taxes

10,02,37,787

8,10,63,608

Less : Provision for Tax

-

-

Net Surplus / (Deficit) for the year


10,02,37,787

8,10,63,608

Significant Accounting Policies & Notes to
Accounts forming part of Balance Sheet

10

AUDITORS' REPORT

As per our report of even date annexed

For and on behalf of board of trustees of
SMILE FOUNDATION

For M.K. Kuchchhal & Co.
Chartered Accountants

(Manoj Gupta)

FCA/Prop./M.No.086669
Firm Regn. No.007670N

Sd/-
Sr. Director Operation
(Subroto Roy)

Sd/-
VP- Finance & Governance
(Pratap Kumar Ray)

Place : New Delhi

Date : 31st October, 2023

Sd/-
Executive Director
(Puneet Bali)

Sd/-
Trustee
(Santanu Mishra)

Sd/-
Trustee
(Praveen Gupta)

DISBURSEMENTOF FUNDS 2024-25

INCOME 157.26 AMOUNT IN CRORES

Note: The total Administrative and Fundraising cost is 15.41%, of which 6.39% was recovered through project execution and the net Administrative and Fundraising cost is 9.02%.