ABn4AI Report lor the year eaded 31 2022
The Greek Orthoth Ccrfnmunity Trpjst of St Cyril and St Methodio& l75 SuttoD Ro
Huthwaits. Sutton in AsltheK Nottin8bwn NG17 2NE is re8i*red with th6 Charty
CornmissM)ners (No. 1055773) and wnstitut&J by Deed of Tn
Chtiirnwi (ex offi¢io)
His Eminence TheAr¢hbidy) of Thyateirn and
Great Britain
Chaimi
Mr Soph(￿1¢5 PbilipN
S Papxaoul4 M EraklLUS. J Pericleou4
C Xi(Awow L PouQirri A Tsiolas.
T Kelltris.
The AdmAnistr&ticffl Cornminee is olected w two y¢•rn at the ann￿￿ m¢¢tin8 at which th•
trust's ￿l￿nts aT¢ we5ental to the Churth C(￿M￿lty.
R•vlffl of ¢kn CbArityts a¢¢lvld¢• d•rlD¥ th¢yw emd•d 31 De¢ember 2021
The Charity Trust continues to wvide religious c¢remonies to the Community aryj $UpF￿ to
the Gyttk Schwl forthe adv8n¢eme4rt of ￿lucatIo￿ d&￿ing and dram& A pro8ramme of
S￿la1 events rai8ryJ fundin8 forth¢ Chwity whith continue5 to meet its objeAives and provide
religious 5¢rYi¢¢s to the members of the Commuiuty. iAnd ftdjll￿ to 14 New StreeL
HUth￿1t¢, wuired on 26 Jgnts￿ 2018 for a totsl cort of £125,740 to fa¢ilitste the
PArth8 for members of the CLMJullunty and wible futur¢ devel(qmWDL
/frO
Fty aThl on bewof tknAthninithlioo Committe<
DAte: 28 November2023

THE GREEK ORTHOi)OX COMMUNrrY TRUST OF STS CYRIL
Receipts and PaymentsA¢¢opnts Year to 31 Detembtr 2022
2022
General Fund:
Income Receipts from
voluntary Sour￿$.
Donations and religious
ceremonies
Fund raising events and
Appeals
Rents received
58,921
55,734
61.864
58.308
6.141
7,090
2,968
4,IXIO
GiftAid Relief
JRS. Grant
TOTAL RECEIIryS
66J21
PAYMENTS
Priest's remuneration
Charitsbl¢ Activity
Direct Expenses..
Other Expendituiri:
Cost of land
Fund raisins events
Donations
Repai￿ and renewals and
improvements
Bank charges and loan
Int¢r¢st
Fixture4 Fittings
Rates refvnd
Capitsl loan r¢payments
TOTAL PAY￿￿￿Ts
20,864
16,700
26,030
16,729
2.089
1.641
2.260
.945
i Jio
8.950
7,047
3.575
12.058
5,635
9204
(8,492 )
71
Excess of receipts (¢xpendituTe)
for the year
Bxnk And bAlaAtt•
31 D¢¢¢mber 2021
( 4J42)
11.789
B&llk and cash balances
at 31 December 2022
40957
45299
NOTE: Bank 108n of £IOO.iKX) w&$ raised to purchase land adjawlt to 14 N¢w Str
Huthwaite.

THE GREEK ORTHODOX COMMUNITY TRUST OF S]3 CYRIL
AND METHODIOS OF MANSFIE[￿, SHEF￿LD AiYD DISTRICT
Ststement of Amets *nd Uxbllhies ￿ ai 31 De¢ember2022
2022
21121
Ass¢ts
Bank and Cash Balances
Bank CunMt Account
40,957
45299
Cost of land adjacent to 14
New StreeL Huthwait¢
74
12
Total
A66ffj97
171039
Other Non-monetary Assets
Buildin8S. together with various fixturc5 ond fittings at 175 Sutton Road, HuthwaiK which
have been wnsecrnted by the Gr¢ek Orth(Mlox Archdiocese of Thyateira and Great Britsin and
are also US￿ by the Community Trust to provide acwmmodation for the local Gr¢ek
language school and meeting faciliti¢s for the congregation of the l(Kal Greek Community.
Liabilities As at 31 December 2022
General Fund-
77.591
77,228
Bank Ii>aNq:
- U8¢d to ￿ls1 in the purchase of
land adjacent to 14 New Stre¢L
Huthwaite..
TOTAL
166,697
171039

INDEPENDEN[ EXAMtNER'S REpoirr TO THE TRUSTEES OF THE GREEK
ORTHODOX TRUST OF STS CYRILAND METHODIOS OF MANSFIELD,
SHEFFIELD AIYD DISTRICT
I report on the Receipts and Payments Accounts of the Trust for the year ended 31 December
2022, which are set out on pages I to 3 inclusive:
ReSp￿tIve Respomiblllths of Tr•Jttts ELqmiDer.
The charity's trustees are ￿Sponsible for th¢ preparntion of the accounts. The charity's
truste¢s consider thai an audit is not required for this year and that an independent
examination is needed.
It18 my rfJpowAbllfity lo:
examinc the accounts (under ￿tion 145 of the 2011 Act)
Follow the proeedures laid down in the General Directions given by the Charity
Commissioners (und¢r section 145 (9) of the 2011 Acl
State whether parti¢uiar matters have come to my attention.
Ba8L4 of IDdepende•t ELqmlDer'i Ststemettt•
My examination WLS carried out in acconlance with the General Directions given by th¢
Charity Commissioners. An examination includes a review of the accounting records kept by
the charity and a comparison of the accounts presented with those T￿s. It 81so includes
consideration of any Un￿$U81 items or disclosures in the accounts. and s¢¢king explanations
from you ￿ trnstees CO￿¢ming any such matters. Th¢ procedures undertaken do not provide
all the evidence that would be required in an audiL and Cl￿se4uentty. I do not express an audit
opinion on the view given by the a¢eounts.
IDdepeDdent Examiner'x St*temeDt:
In connection with my examinatio￿ no matter has come to my attention .
l. Which gives me reag)nabl¢ cause to ￿l1¢Ye that in any material respert the wuirem¢nts
to keep ￿cOUntIng Tcwrds in accordance with section 130 of the 2011 ACL and
lo prepare accounts which acwrd with the acwunting recor(Is and to comply with the
accounting requirements of the 2011 Act have not been met: or
2. To which. in my opinion. atiention should bc drawn in ordcr to fflable a prop¢r
understanding of the a￿O￿lts to be reached.
STOU F.C.CA
Chartered Certified Aceountant
204 Fr8n¢is Street
DERBY DE216DF
28 November 2023