THE COMMUNITY OF
THE FRANCISCAN FRIARS OF THE RENEWAL
Registered Charity No. 1093506
TRUSTEES, ANNUAL REPORT AND ACCOUNTS
For the year ended
31" December 2025
S￿ILIL￿,(-.I￿C￿N FRIAR£
of th¢ Ilb.N P.W,Al.

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
ANNUAL REPORT Af4D ACCOUNTS
YEAR F.NDED 31 DECEMBER 2025
CONTENTS
PAGE
Trustees, Annual Report
Statement of Trustees, Responsibilities
Independent Examiner's Report
Statement of Financial Activities
Balance Sheet
Statement of Cash Flows
Notes to the Financial Statements
9-17

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
YEAR F.NDED 31 DF,CEMBER 2025
TRUSTEES, ANNUAL REPORT
The Trust¢es present their report for the year ended 3 1st DeceTnber 2025.
-rhe financial statements have been drawn up in aLcordance with the accounting policies set out in note I to
the financial statements and comply with the Charity'b constitution: the Chai'ities Act 201 I, as amended by
the Cliarities Act 2022, and the Stateinent of RecoM￿ended Practice.. Accounting and Reporting by Charities
(SORPI prepariiig Ilieir accounts in accordance with tlic Financial Rcporting Standard applicable iii the UK
and Republic of Ireland (FRS 102) issucd in October 2019.
CHARIT ABLE OBJECTIVES
The principal aims and objectives of the Community of the FT&ncigcan Friars of the Renewal (the
'Community") are (a) the relief of poverty, particularly among the destitute and Ibl the advancement ol'ihe
Christian religion.
ACTtVITIES AND PUBLIC BENEFIT
The Trustees confirn that they hav¢ followed the Charity Commisslon's guidance on Public Benefit. They
have adhered to the requiTements of Section 4 of the Charitics Act 201 l. ensuring that the ComTnunity's aims,
activitles and acliievem¢nls effectively support its beneficiaries and contribute to ihe public good.
The Community works primaTily with the vulner¥¢ble, including chTldren and young people, the poor and the
dcstiliite. The wider public also benefits from the Community's religious activities.
The Community Seeks to relieve poverty by providing practical help to the poor and destitute, particularly in
the forni of food, clothing, temporary slieltcr, ghowers and transport. On occasion financial assistance is
given for home utilities.
Many of those who seek assistance from the Community have difficulty Tnanoeuvring through the
govemmental social services. Hclp is, thus, regularly offered to fill out fom)s. offer references, provide a
mailing address and advocate on behalf of the less fortunat¢.
The members of the Community also seek to serve the poor and the wider public through prayer ministry.
providing spiritual instruction and encouragement.
Th¢ Community does not charge for any of its prartical or spiritual services. However, in return for the
provision of some spiritual services, beneficiarie5 often make a free Trvill contribution towards the
Community's expenses.
VOLUNTEF.RS
Tlie Community's foiindations iely heavily upon the assisiance of voliinteers foi. the running of the
apostolate8 and theii. work with the poor. St. Pio Friary {Bradfordl and St. Fidelis Friary {London} maintain
saiip kitchens, shower5 and clothing distr￿billIl1n possible only through the generous participation of
voluntc¢rs. St. Columba Friary (Derry) operates a dTOP-in centre/café with which the friars are assisted by
volunteers.
ACHIEVF.MF.NTS AND PF.RFORMANCr,
'rhe London foundation was able to oontinue its in Aou.%e liinch program on Tuesdays and Thursday5. In
addiiion, clothing. haircuts and sliowers were available on Wednesdays. In each of these areas, there was a
contiiiu£d marked incrcase in recipients.
Financial as5lStdnce continued to be offered for utilities, food and other essential miscellaneou5 items. All of
these were pi'ovidcd on a os i'egiteJieJ/ as needed basis.

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
YEAR ENDED 31 DF.CEMBER 2025
TRUSTEES, ANNUAL REPORT (L'onlinued)
In addition to the hands-on work with the poor, the friars were involved in evangelistic and spiritual care of
the poor through home visits. lelephone conv¢r5ations and street Ininislry. On a regular basis, friars and
volunteers would go oiit into the streets to search out and assist those living rough.
Monthly spiritual conferences, days of recollection, parish missions and annual retreats were offered lo ihe
general public. There were regular reqLiesls to Inake preseiitations to both Catholic and non-sectarian schools
on the life and work of the friars with th¢ less fortunate Inembers of society.
The Bradford commiinily continues to devclop its spiritual ministry in the heart of the city with the daily
c¢lebraliun of Mass. adoration and the availability ot spiritiial counsel in conjiinction with St. Pati'ick's
Mi_Esion Church. Monthly gatherings are offered for Christian formation. In addilion. similar to the l.()ndon
foundation, retreats, days of recollcction, parish missions and School visits are offered.
The friars have been able to re-establish its house soup kitchen three days a week. Similar to the experience
of London, the friar5 have noted a significant increase in those utilizing their services.
The friars in Derry have continu¢d to develop their ministry ol hospitality at the Si. Padre Pio Café. This
facility is a drop-in centrel café which offers a safe place for fcllowship, spiritual counsel, and a cup of tea.
In addition, the brothers work at a local Catholic secondary school offering counsel and SPiTltual guidance to
the students. Similar to the other facilities. the friars conduct parish mi55ions, days of recollection and retreats.
Once a month the Derry friars f&¢ilitate a Healing Service at the local parish. On a weekly basis, people
gather for discipleship training - prayer, teaching and so¢ializing - at the Apostolic Centre (St Pio House).
In all of the ministries and works of the friars a continued increase in demand for spiritual and material help
has been observed. Thes¢ works are possible through the generous support and assistance by numerous
volunteers and graciou5 b¢nefactors. Only throiigh this generous suppurt could the work of the friars be
Possible and maintained.
FINANCIAL REVIEW
The Community's financial support continues to come pi'imai'ily from donations. In 2025, tot21 inconie rose
significantly to £401.486, driven mainly by the reccipt of legacy income of £71,452 {2024.. £llil) and a
substantial increase in donations 10 £289,319 (2024.. £213,953). This represents a marked stren￿h¢ning of
the Community's income base compared with the prioi. yeai..
Total expenditure 2025 was £295,446, only l higher than in 2024, a rise that is well below inflation,
reflecting continued c05t discipline and stable operating aciivity. The overall resiilt for the year was a surplus
of £106,040 {2024.. deficit of £42,654), leading to an increase in total f'unds to £522,348 at th¢ end of 2025
12024.. £416,308}.
The Trustees tonsidei. Ihat there are no material uncertainties about ihe 'frust's ability t() continue ￿ a going
onLern.
RF.SERVES POLICY
Reservcs are divided into restricted reserves. whicli Inay only be iised for the piirpose for which the fiinds
were donated, and iinrestrict¢d r¢.%erves, which may be iiEed for any purpose approved by the Trustees.
Restricted Teserves comprise sums donated specifically for programmes and initiatives the TrLlStees have
idciitified as providing particular benefit% to Ihe coinmunity. 2025 sucli prograinines and initiatives
included.. poverty relief, pro-life activities, evangelism and spii'ilual retreatsldisciplc8hip days.
Tlie Trustees, unrestricted regerves policy is to liald siifficient funds to tover expenditLire for six Inonths.

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
YF.AR ENDED 31 DECEMBER 2025
TRUSTEES, ANNUAL REPORT (Lontinued)
UnT¢Stricled funds stood at £513.840 at the balance sheet date (2024.. £405,140), of which £131,606 is
represented by fixcd &ssets 12024.. £128,717). The remainder of £382.234 (2024.. £276,423) is considered
sufficient to support th¢ Ti'ustees. reserves policy.
RISK I￿NAGEMENr
The Trustees regularly review the key risks faced by the Community and, during their meetings, forniulate
Proposals to effectively address and Initigate these risks. Key risks and uncertainties include the lolltswing..
(a) Keduction in incorning resources
The Community is exposed to the risk of reduced ineoming resources. primarily driven by the
ongoing cost of living crisis. Continued, sustained inflationary pressiires have led to d decrease in
disposable income for Inany hoiiseholds, which may negatively impact the level of donations the
Charity receives.
Ib) Ineffective service delivery
The Community is exposed to the risk of failing to eff¢¢tively serve its comirunity and vulnerable
individuals as a result of crrors in the handling of funds or operational shortcomings. The Trustees
are committed to ensuring that funds are used solely for their intended purpose and aTe fully
accountable lo the people they serv£.
(c) Damage to reputation
The Trustees also recognise a risk of reputational damage that may arise from incidents related to
fraud, safeguarding, or health and safety. Such incident5 c(iuld undermine publi¢ Confidence and
affect the Chariry's sianding in the community.
(d) Operational risks
The Charity is expostd to various operational risks that could disrupt its activities. These include the
risk of cyber-attacks and data theft, Ihe potential 105$ of members, particularly in the event of hea]th
issues or relocations, and structural problems within the buildings used by the Community, such as
the friaries 2nd commiinity centTCS. In the event of such disruptions, significant resources may be
required to conduct repairs or replace stru¢tures.
STRUCTURE, GOVERNANCE AND MANAGEMENT
The Community is governed by a Trust Deed dated 29, July 2022 and last amended 25 July 2022 and is
a Regi5t¢r¢d Charity, Number.. 1093506.
The governance of the Community is vested in thc Trustees.. they have power to regulate the work and
Scope of the Charity's activitics in such a mannei. as they may deem expedient.
The Tru8tees are responsible foT the governance of the charitable and fundraising activiiies of the
Community. They meet regiilarly to discuss and review tlie Coinmunity's affairs.
New Trustees Inay only be appointed by the cxisling Trustees if they are decined lo possess the prerequisite
abilities to discharge their duties as Trustees cffectively and have a sound knowledge of the objectives of
the Community.
During tli¢ year no Tn]stee rcceivcd any reinLineration. The Cammunity meets the very Inodest living
expcnses of ils members, which inclLide Slime Trustees. Other ihan living expenses, thc Ti'ugtees confinn
that tliere wei'c no reldted party transactions dLiring the year.

THE COMfvIUNITY OF THE FRANCISCAN FRLARS OF THE RENEWAL
YEI AR ENDED 31 DFCLNIBER 2024
TRUSTKES, ANNUAL REPORT (continued)
REFERENCE AND ADMINISTRATIVE DETAILS
The prillcipal offic¢ is located at St Fidwlis Friary, Killir floo¢, Caiitllllg Towll, Loi)doii [16 ILX.
The ttames of all those who were the Charity'8 T￿￿teeS at the date the report was approved or who Aerved
as Tnistees in the reporting period were as follows:
r.h81rn)<ryn.' Fr Michael Kmiotek, f.FJl
'rrcasurknr.' Ilev BLmard Malic Murphy, CFR
Secretary: Fr Peter Sonyelum Ibisi, CFR
Other Trustee8'.
',Il':173.i. (:PR
Fr ("liriKtI)nSier JosLph McRride, C.FR
Lharlcs Ciiillift)rd
c￿Men de Tcramond
Br Mark Delarnii. CFR (appointed 9 October 20251
IILriiy iXi*Lk" IYi)*¥TILU l DiLLiiib¥l"
STATEP¥IENT OF TRUSTEES. RESPONISIBILITIES
The Charity's Trustees arc responsible for preparing the Report of the Tnjstees of thc Community and ihe
financial st31cm￿nI4 lil acco-idanco wilh aDDli¢aDi￿ iaiv Elid tiiiiicd IC115(titsri li￿allfIll￿1 g Staiidards i U7iifkn
Lkiigydoiii G¢iittidlly ikLLtpied èiL'Luwilillg Pl&￿1￿Le1 aypli¥thbl¥ iv ¥]h'ii'ilit% 121 Èiiblalld alld IV&l¢g
requires the Tn15tees to prcpare tillancial statements for each f￿anCIal year which (Tive a truc aDd fair
VILW iTrf th¥ st¢iie (Il- (il-luirs OÈ. thu Lliurily and ul. IhL inLomiT)¥ rL*vur¢¢s &pplic8tion ot resourL¢s ut
the Charity for that period. In preparing these fmancial statsmenls, the Truslccs artt Trquired to:
5eleci siiiiable auCl)￿llllkty P)licies and tlien apply tliem consTSla)ily-
obs¢Trc thc mcthodg and principles in the Charities SORP-
make judgements estimates that ar¢ [￿Sonable alld p￿￿ellt.
{&ilL iihetli¢r dyp1iL&bI￿ ULLtsunliiik? slJE]d(Irdb hJvL bL*Ai IylliJw¥Q subjeknL lo t￿> indlLiiul d￿PartI￿5
di5cIo8ed aiid explaiiied iii the financial statem¢nts'
prcparc the financial btat¢mentg on the going concern basis unless it is inappropriAte to presume that
the fhatily will continiie in oper8_tion.
Thc TIiLQccq arc rai￿}n￿1blC for kc.¢PTng pmpcy ￿tcnIjntin￿ recnrd% that arc qiifficicnt tn shnw .Ind ¢xplain
she Q".h2rity's transacriong #nd discl*se with reasonable acciiracy at tTme tli= financial position of the
Charity and enable them to ensure that the financial $tatementg comply with the Ch￿'itIeS A¢t 2011, as
amended by the Charities Act 2022, the applicable Charities (Accounts and Reports) Regulations and the
f Ehe Triist Deed. Th
tor tak¥n% redsolldble stepy tui. Ihc PTevvntEon'4nd deteL'tion ot Irdud and Other iYrYiiuluritie5.
The Trugle¢8 r&4poi1$ible for tlie iiiaintenancc and int¢grity of th¢ Lhai-irji the finaiicial iiiformatioii
included on the Charity's web8lte. Legislation In the United Kinydom goveming the preparation and
ier ir&)m le.gisl¢71i0SJ LJthcr jui.iSaiCTIOIIS.
4i2*Sellll:l.?tton of fiiiJiiciI11 siar6nTrknillb Ill&ly (iir
Sign¢d on behalf of the Thistccs on 30 Junc 2026
Bernard Maric Murphy. CFR

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
INDF,PF.NDENT EXAMINLR'S RF.PI)RI' TO THE TRUSTEF.S
OF THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
Responsibilities aDd basis of report
I report to the Trustees on my examination of th¢ accounts of the above Charity I'the Ti'ust,) for the year ended
31 December 2025.
As the Charity's Trustees, you are responsible for the preparation of the accounts in accordance with the
requirements of tlie Chai'ities Act 2011 {'the 201 l Act,).
I report in respect of my examination of the'l'rust's accounts carried out under section 145 of ihe 2011 ALI and
in carying out my exa]n￿natiOll. I have followed all the applicable Directions given by the Cliarily Commission
under section 145{5)(b) of the 2011 Act.
Independent examiner'5 Statement
The Chdrily's gl'oss income exceeded £25,000 and l am qwdlified to undertake the exainination by being a
qualificd member of the Institute of Chart¢r¢d Accountants in England and Wales IICAEWI-
I have completed my examination. I confirm that no material matter5 have come to Illy attention in connection
with the examination which gives me Lduse to believe that in. any material respect..
accounting records wcre not kept in respect of the Trust as required by section 130 of the Charities
Act- or
2. th¢ accounts did not accord with the accounting records; or
the accounts did not coinply with the applicable requiT¢ments concemingi the forni and content of
accounts Set out in the CharitÉes (Accounts and Report5} Regulations 2008 other than any
requii'ement that th¢ aeLounts give 2 'true and fail view, which is not a matter considered as part of
an indipendent examin81ion.
I have no concerns and have come across no ollier matters in connection with the examination lo which
attention should be driwn in this report in order to ¢nable a proper understanding of the accounts to be
reached.
Lorenzo Piccinni FCA
Fellow of the Institute of Chartered Accountants in England and Wales
Mainsail Accounting and Consulting Limited
37 Woodbourne,
Farnhain,
Surrey,
GU9 9EE
30 Jun¢ 2026

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
STATEMENT OF FINANCIAL ACTIVITIES
YF.AR ENDF.D 31 DECEMBER 2025
Unrestrieled Restricted
2025
2024
Note
Incoming re50urce5
Legacies
54,000
17,452
71.452
Donations
280.579
8,740
289,3 19
213.953
Charitable activities
40,715
40.715
35,783
Total ineome
375,294
26,192
401.486
249,736
Resources expended
Charitable activities
100,793
62,317
163,110
169,945
Support and governance costs
132,336
132.336
122,445
Total expenditure
233,129
62,317
295,446
292,390
Net income {expenditure)
142,165
(36,125)
106,040
(42,654}
Transfers between Fiinds
(33,465)
33,465
Net movements in Funds
108.700
{2,660)
106,040
{42,654)
Reconciliation of Funds
Total Funds brought forward
405,140
11,168
416.308
458,962
TOTAL FUNDS CARRIED FORWARD
513,840
8.508
522,348
416,308

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
ALANCE SHEET
31 DEcEI￿BER 2025
Unrestricted Restrlcted
2025
2024
FIXLD ASSETS
Tangible fixed assets
131.606
131,606
128.717
Totsl Vjyed Assets
171606
131.606
1 ?8,717
CURRF.NT ASS'II TS
Debtors
Cash at bank
12,231
386.111
198.3d?
14,1184
280,969
295.053
377,603
389,824
8,508
8.508
Tgtal currellt aESPt
CUPDL,￿lI LIABILITILS
Cretsiror5
17,6001
(7,600)
17,462}
NET CURRENT ASSETS
382234
8,508
390.742
287.591
,liET ASSFTS
13.84
8,508
522.348
416.308
FiJTrIDS
li
Eitsiricicd Incoinb fiinds
UJ]restrict¢d t.unds
513,840
513.840
405.140
TOT.4L C'll A ￿[,!,1 fcl:.NDS
717.8411
?? 148
dlh ROQ
Thaw tindl)¢ial 8t&t£n￿lI1¥ 8ppmvcd by thc I"ru%icos oli 3Q.lun¢ 2e26 aild 8igncd nii thcir b¢hal;'
Bemard Marie Murphy, C.FR

THE COMMUNITY OF THE FRANCISCAIN FRIARS OF THE RENEWAL
STATEMENT OF CASH FLOWS
YEAR ENDEI D 31 DECEMBER 2025
2025
2024
Net cash used in operating activities
104,942
(44,315)
Cu.sliflowsfrom investing aciivilies..
Purchase of tangible fixed assets (excluding donated
assels)
Proceeds from Sale of tangible fixed assets
(20.530)
200
Net cash provided by investing a¢Étvities
200
(20,530)
Change ID cash and eash equivalents in the year
105.142
{64.845)
Cash aDd cash equivalents brought forward
280.969
345,814
Cash and eash equivalents carried fonward
386,111
280.969
Reconciliation of net movement in funds to ￿tI cash
flow from operating activities
2025
2024
Net Inovement in funds
Deduct value of donated goods. facilities and services
that are capitalised
Add back depreciation
Add back los% on disP05al of tangible fixed assets
DeCre￿e {Increase) in debtors
Increase in creditOTS
106,040
{42,654)
(16,000)
12.384
527
1,853
138
(13,760)
11,090
11,713)
2,722
Plet eash used in operating aetivities
104,942
(44.315)

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THF FINANCIAL STATEMENTS
YEAR Ff4DED 31 DECEMBER 2025
I. ACCOUNTING POLICIES
Basis of accounting and #ssessTnent of going concern
The financial statements liavc been prepared in dLLordance the Statement of Recommended Practice..
Accounting and Reporting by Charitics (SORP) preparing their accoiints in accordance with the
Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 102) issued in
October 2019, the Charities Act 2011, as amended by th¢ Charities Act 2022, and applicable
Tegulation5. The Charity constitutes a public benefit entity as defined by FRS 102.
The financial statement% have been prepared under the historical cost convention with iteTllS recognised
at cost or transaction value unles5 Otherwise slated in the relevant notes to these financial statements.
The Trustees consider that there are no material uncertainti¢s about the Charity's ability to continue as
a going concem.
Funds
Restricted funds are fund5 which ar¢ to be uqed in accordi£ nce with specific instructiOT)S itnposed by
the donor or I'rust Deed. UnTestricled income funds Comprise those funds which the Trustees are frec
to use for any purpose in the furtherance of th¢ charitable objectives. Designated funds comprise those
funds which have been set aside by the Trustees for a specific purpose. further details of each fund
are discloscd in note I I
Grants and donations
Grant income and donations are only included in the SOFA when there is evidence of entitleinent lo
the gift, reeeipt is probable and the amount can be measured reliably.
In the ¢ase of perforniance related grants. income must only be r¢cognised lo the extent thai the
Charity has provided the specified goods or services as entitleTn£nt to the grani only occurs when the
perfonnance related conditions are mel.
Legaeies
The recognition of income from legacies is depcndent on establishing entitlement. the probability of
re¢eipt and the ability to estimate the amount receivable with sufficient accuracy. Evidence of
entitlement exists wh¢n the Charity has siifficient evidence that a gift has bc¢n l¢ft to them (through
knowledge of the existcncc ol'a valid will and the death of the benefactor) and the executor is satisfled
that the property in question will not be required lo saiisfy claims in the estate. Receipt of a Icg2Cy
mLlSt be reeognised when it Is probabl¢ that it will be received and the fair value of the aniount
receivable, which will generally be the expected cash ainount to be distribiited to the Charity. can be
reliable measured.
Tax reclaims on donation5 gifts
Gift Aid receivable is includcd in income when ihere is a valid declaration froni the donor. Any Gift
Aid amount recovered oli a doiiation is considered to be part of that gift and is treated as an additioii
to the same fund as the initial doiiation unle55 the donor or the terms of the appeal have specified
otherwise.
Donated goods, facilities and services
Donated goods are measiired al fair value (the amoiint for which the asset could be exchanged) unless
it IS linpractical lo do so.
ioods donated for on-going use by th¢ ChaTlty are recognised as tangible fixed assets and incliided
in tlie SOFA as incoming resouires wli¢n Teceivable.

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THF FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
I. ACCOUNTING POLICIES (conlinued)
Donated services and facilities are included in the SOFA when received at the value of the gift to the
Charity provided the value of tlie gift can be ￿e￿ured reliably.
Donated services and facilities that are consum¢d immediately are rccognised as income with an
equivalent ainount recognised as an expense undcr the appropriate heading in the SOFA.
The value of any voluntary h¢lp received is not included in the accounts but is described in the
Tn]stees' annual report.
Ineome from interest royalties and dividends
Thi5 is included in the accounts when re¢eipi is probable and the amount re¢eivable can be rne￿urtd
reliably.
Liability reeognition
Liabilities are recogni5ed where it is more likely than not that there is a legal or constructive obligation
ommitting the Charity lo pay out resources and the amount of the obligation can be measured with
reasonable certainty.
Expenditure
Costs to the charity include charitable activities, grants made, govcrnance costs and support costs.
Where ther¢ are no conditions attaching to the grant that enables th¢ donor chariiy to realisiically
avoid the commitment. a liability for the full funding obligation is recognised.
Tangible fixed #5sets for use by the Charity
All expcnditure on fixed assets in excess ot £1,000 is capitalised.
The Charity does not hold any fixed assets for investment piirposes.
Depreciation and impairment
Depreciation 15 caleulaied 50 as to write off the cost of an asset, less its estitnated residual value. over
the useful economi¢ life of that asset as follows..
Motor vehicle- 25Q/o reducing balance.
Property improvemenis- straight line over 20-25 yeaTS.
Furniture and equipment- straight line over l 0-30 year5.
Where any assets are impaired in value, provision5 are made to rediice tlie book value of such assets
to the recoverable amoiint.
Debtors
Debiors (incliiding trade debtors and loans receivable) are measured on initial recognition at
settleinent amount after any trade discounts or amoiint advanced by tlic Charity. Subsequelltly, they
are mtaslired at the casli or other consideralion cxpecied to bc received.
OperatinL leases
Operating leases relate to the rental lease for the Apostolic Centre at the Sl Coluinba Friary, Derry
and io the rent of the St Fidelis Friary in Canning l own, London.

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2025
2. INCOMING RESOURCES
Unre5trieted Restrieted
2025
2024
Legaeies
54,000
17.452
71,452
Donations
Donations and gifts
CJifi Aid
273,529
7,050
8,740
282.269
7,050
200,346
13.607
Total donations
280,579
8,740
289,319
213,953
Charitable aelivities
Mass and prtaching stipends
40,715
40,715
35.783
Total income
375,294
26,192
401,486
249,736
3. DONATF,D GOODS, FACILITIES
AND SF.RVICES
Unrestricted Restricted
2025
2024
Vehlclcs
Refurbishment work5
16,000
6,640
16,000
6,640
1,000
12,760
22.640
22,640
13,760
Use of Friary prelnises im Bradford and Northern Ireland
The Community occupies the fridries in Bradford and in Northern Ireland without paying rent. These preinises
belong to the respective Dioceses, which make them available for the Community's use in fuithei'ance of its
charitable purposes. In accordance with thc CharitEes SORI, no income has bccn recognised in relation to these
donatcd facilities because the value of the benefit to the Lharity cannot be measur¢d relidbly.
Other donated goods and serviees
Diiring the year, thc Cornmunity received a donation of a van, which is used for the general PUTPOSCS of the
Charily.
Additionally, the Community received donated services including the refurbishing of two shower rooms at the
St Fid¢li5 Friary in Canning Town. London. The value of tliese donated services has b¢en estimated based on
the best available illformalion, in line with the Cliarity's accounting rM)licy.
The Community also rettives regiilar donations of food and clatl)ing for distribution to beneficiaries. No
inLI)Ine or expenditiire has been I'ecognised in relaiion to these donated go()d% beLause their value cannot be
estiinaled reliably and the cost to Ilic donors is considered insignificant. The.%e items are typically siirplus goods
destined for disposal.
Finally. the Community also benefits from the servi¢¢s of Inany voliinteers who support the running of the
apostolates aiid woi'k will) the pool.. 'I'he value of tlie volunteei's time is not quantified for tlic purpo8e of Ihese
accounts.

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THE FINAP4CIAL STATEMENTS
YF.AR ENDED 31 DECEMBER 2025
4. EXPENDITURE ON CHARITABL
ACTIVITIES
Unrestricted Restricted
2025
2024
Direct charitable expenditure
Travel and me¢ting expenses
Miiiistry expen5e5
Alms for the poor and soup kitchen
Cominuiiity welfare
Evangelisation and Catholic Underground
38,911
56,579
38.911
62,585
23,560
5,303
12,099
34,120
72,269
27.010
1,814
7,726
6.006
23,560
5,303
12,099
Crants made {llote 6)
To fiirtlier pro-life activities
To further the work of evang¢lism
To furthcT the relief of poverty
4,040
15,106
1,506
4.040
15.106
1,506
2,050
19,950
5.006
100,793
62,317
163,110
169,945
5. SUPPORT AND C.OVERNANCE
COSTS
Unrestricted Restrieted
2025
2024
Support tosts
Repairs and maintenance
Utilities
Rent
Insiirance and taxes
Website costs
Accouiiting and independent examiner's fees
Legal fees
Bank fees
Loss on disposal of fixed assets
DepTeciation (note 71
21,348
44,663
17.679
14,865
4,505
7,602
7.786
976
528
12,384
21,348
44.663
17,679
14,865
4,505
7,602
7,786
976
528
12,384
18,152
41,272
17,600
12,328
5,000
6,000
9,796
1,207
11,090
132,336
132,336
122.445

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTFS TO THE FINANCIAL STATEMFNTS
YEAR ENDED 31 DECEMBER 2025
6. GIUNTS MADE
To institutlolls To individuals
Total
2024
Grants made by activity
To further pro-life activities
To furtli¢r the work of evangelisTn
To further Éhe Telief of poverty
4,040
15,106
1,506
4,040
15.106
1,506
2,050
19,950
5,006
20,652
20,652
27,006
Grants made by recipient
2025
2024
Institutions
Craig Lodge Trust
The Mark l O Mission
Maiy's Meals
St Edwards Catholic School
Aid to the Church in Need
Huinan Life International
Precious Life
St Helen's Primary School
Rachel's VineyaTd
NET Ministries
Good Counsel Network
River Christian Church
March for Life UK
The Right to Life Charitable Trust
Catholic Mothers Apostolate
Mother of Ilnfailing Help, l.ccds
Comunidade Sicrvas de Maria del cora7.on de Jesiis
The Order of briars Minor Conventual of Great Britain
The Cotnmunity of St John
St John's Convent, Kiln Green
St Micliael's Abbey, Farnboi'ough
7,000
3.000
1.506
1.500
1,000
1,000
1,000
1,000
540
506
500
500
500
500
500
100
8,000
5,000
2,506
1,000
1,000
300
300
450
750
500
500
500
2,000
1,000
700
500
500
Other grants
To individiials
1,500
20,652
27.006

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2025
Plant,
machinery
Fixture5,
Property and motor fittings and
improvements
vehicles
equipment
7. TANGIBLE FIXED ASSETS
Total
Cost
Opening balance
Additions
Disposals
186,690
12,750
16,000
{ 1,000)
19,216
218,656
16,000
{ 1,000)
Closing balance
186,690
27,750
19,216
233,656
Accumulated depreciation
Opening balance
Depreciatio
Disposals
78,089
8,614
6.750
1,777
(273)
5,100
1,993
89,939
12,384
(273)
C105ing balance
86,703
8.254
7,093
102,050
Net book value
Opening balance
108.601
6,000
14,116
128.717
C105ing balance
99,987
19,496
12,123
131.606
As permitted under Financial Reporting Standard 102 (FRS 102). the Charity has continued to adopt a policy
of not revaluing its tangible fixed a5bets.
8. DEBTORS
2025
2024
Prepayments and accrued income
Other dcbtDrs
3,006
9,225
2.685
11.399
12.231
14,084
9. CREDITORS
2025
2024
Accruals and deferred income
7.600
7,462
7,600
7,462

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBFR 2025
10. LEASING ARRANG'EMF.NTS
2025
2024
Minimun] lease payment5 on non-caneellable operating leases fall due as
follows:
Within one year
Bclween one and five years
More than five years
17,600
10,400
20,800
17,600
25,400
23.400
48,800
66,400
The lease commitments relate to the rent payable to the local parish for the iise of the Apostolic Centre at th¢
St Columba Friary, Derry and to the rent of the St Fidelis Friary in Canning Town, London.
11. FUNDS
List of material funds a￿d purpose
Fund name
I'ro-l.ife Fund
Poor Fund
Catholic Underground
Pur
ose and restrietions
To further Pro-Life activit
To further relief of
overt
To hold donations for the Catholic
Under
roiind
ro
ect
To furthcr evan
elism in communities
To hold f()r the re
airs of St Pio House
To hold donations for repairs at the St
Pio Fri
-ro hold donations for the Discipleship
ro
raTnme
T() hold donations for St Fidelis, regional
fund
To hold doi)ations for St Pio's regional
fund
To hold donations for the general
ur
oses of the Chari
Restricted income fund
RestTlCted income fund
Restricted income fund
F,van
eli5m
St Pio Huuse FLind
St Pio Improvemcnt Fund
Restricted incoine fund
Restricted incoine fuiid
Restrictcd income fund
Discipleship Fund
R£￿tricted income fund
St Fidelis Regional Servant Fund
Restricted income fund
St Pio Regional Servant Flind
Restricted incomr fund
Unreslricted Fund
Unrestricted

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THE FINANCIAL STATEMENTS
YEAR FNDED 31 DECEMBER 2025
Movements during the current reporting period
Fund name
Opening
balance
Income
Expenditure
Transferg
Closing
balance
Pro-l.ife Fund
Poor Fund
Catliolic Under
Evan
¢li5m
Disci
leshi
Fund
St Fidelis RcLFional
Sei'vant Fiii)d
St Pio Regional Servant
Fund
Unrestricted Fund
1,765
4,040
25,066
2,275
3.089
ound
8,508
8,508
2.450
27,205
6.006
24,755
4,701
(755)
1,305
755
600
(600)
405, 140
416,308
375,294
401,486
233,129)
295,446
33.465
513,840
522,348
On 5 June 2025, the Trustees wsed a resolution to transfcr the excess funds from the St Fidelis Regional
Scrvant Fund and the St Pio Regional Scrvant Fund to the Unrestricted Fund of the Charity with immediate
eff¢ct. The Tru5tces consider¢d tliis transfer necessary in order to support th¢ general charitable purposes of
the Charity and to ensure that these fund5 are applied appropriately in funherance of the Chai'ity's objectives.
All other transfeTS b¢tween funds during the year involved moving funds from the Unrestricted Fund to cover
deficits in certain restriLled funds. where expcnditiire exceeded the available balance. Tlicse movemenlx
ensured that the restricted funds had sufficient resources to meet their obligations.
Movements during the previous reporting period
Fund name
Opeming
balance
Ineome
Expenditure
Transfers
Closing
balanee
Pro-Life Fund
Poor Fund
Latholic Under
elism
St Pio HoL15¢ Fund
St Pio Ini
rovetnent Fund
Disci
St fidelis Rcgional
Seivant Fund
St Pio Regional Strvant
Fund
Unrestricted Fiind
57
11,691
864
6,068
2,050
32,016
501
27,175
1.993
20,325
round
8,145
8,508
21.107
22,685
4,000
22,685
4,000
4,004
755
2,699
1.305
755
600
600
422,773
458,962
227,056
249,736
227,949
292,390
16.740
405,140
416,308

THE COMMUNITY OF THE FRANCISCAN FRIARS OF THE RENEWAL
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2025
12. TRIISTEF. REMUNF.RATION AND EXPENSES
None of the Trustees have been paid any remLineration or received any other benefits from an employment
with their Charity or a related entity.
The Community meets thc very modest living expenses of its tncmbers. which incliide six (2024.. five)
Trustees.
13. RELATED PARTY TIUNSACTIONS
Other than living expenses. the Trustees confirm that there were no ]Elated party transactions during the
year.
14. ANALYSIS OF COMPARATIVE AMOUNTS
Unrestricted
Restricted
2024
Statement of Financial Activities:
Donations
Income from charitable activities
Expenditure on charitable activities
Siipport and governancc costs
Transfers between Funds
191,273
35.783
(105.504)
(122,445)
(16,740)
22,680
213,953
35,783
(169,945)
{122,445)
(64,441)
16,740
Net movements in Funds
Total Funds brought forward
(17,633)
422,773
(25,021)
36,189
(42,654)
458.962
Total Funds carried forward
405,140
11.168
416,308
Balance Sheet-
Tangible fixed ￿set$
tk.btor5
Cash at bank and in hand
Creditors
128,717
14,084
269.801
(7,462)
128,717
14,084
280,969
(7,462)
11.168
Total nel assets
405,140
11,168
416,308
IS. CONTROLLING PARTY
In the opinion of the Trustees there is no overall contTolling party.