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||2025|2024|
|---|---|---|
|INCOME|||
|From voluntarysources|||
|Donations from members|55,562|26,950|
||55,562|26,950|
|From assets:|||
|Interest receivable|126|209|
||55,688|27,159|
|TOTAL INCOME|||
|EXPENDITURE|||
|ON CHARITABLEOBJECTIVES|||
|Ecclesial operating costs|11,362|8,862|
|Preaching expenditure|1,234|689|
|Donations to good causes|||
|- Overseas|17,492|12,497|
|- United Kingdom|12,199|5,212|
||42,287|27,260|
|ON CHARITY ADMIN EXPENSES|||
|insurance and sundry charges|277|252|
|TOTAL EXPENDITURE|42,564|27,512|
|NET (DEFICIT)/SURPLUS|13,124|(353)|
|Funds at 30 September2024|23,296|23,649|
|Funds at30September 2025|36,420|23,296|





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|AT 30 SEPTEMBER2025|||
|---|---|---|
||2025|2024|
||E||
|FIXED ASSETS See Note 1|532|709|
|CURRENT ASSETS|||
|Prepayments and other debtors|5,899|5,294|
|Cash at Bank|35,049|22,333|
|||26,627|
|TotalAssets|41,480|28,336|
|CURRENT LIABILITIES|5,060|5,040|
|Total Net Assets|36,420|23,296|
|Represented by|||
|ACCUMULATED FUNDS (See page 3)|36,420|23,296|
|Note 1: Fixed Assetsand other assets|||
|TangibleAssets|Equipment||
|Cost at 30 September 2024|6,752||
|Disposals|||
|Additions|||
|At 30 September 2025|6,752||
|Depreciation at 30 Sept 24|6,043||
|Charge for year|177||
|Depreciation at 30 Sept 25|6,220||
|NBV at 30 sept 2025|532||
|NBV at 30 sept 2024|709||



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