CHARrrY REGISTERED NUMBER . 1097758
COMPANY REGISTERED NUMBER 04645456
RIVERSIDE CHURCH TAUNTON
STATEMENT OF ACCOUNTS
FOR THE YEAR ENDED 31ST MARCH 2025
Tove Accountancy Ltd
Office 6. Town Hall
86 Watling StrÈÈt East
Towcester
Northant5
NN12 6BS

RIVERSIDE CHURCH TAuNfoN
LEGAL AND ADMINISThATIVE INFORMATION
Reglstered Charlty No.
ICr37758
Re8lstered Company No.
04645456
Trustees
Mr Ketth Packer (Chairl
Mr John Hilton (Treasurer)
Mr Nigel Glover
m￿ Gine Glover
Mr Michael Taylor
Mr Richard Bayliss
Resigned Ilth September 2024
Appointed Ilth November 2024
Correspondence address
Rlverslde Churth
The Exchange
Hamilton Road
Taunton
Somerset
TAI 2EQ
Independent Examlner
Tove Accountancy Ltd
Office 6. Town Hall
86 Watling Street East
Towcester
NN12 6BS
8ankers
Uoyds Bank
31 Fore Street
Taunton
Somerset, TAI IHN
Constltutk+n
The charity converted to a CIO on 16th February 2024
Governln8 Document
The charity ￿ controlled by Its 8overnln8 document,
memrandum and articles of association dated 23rd
A board of Trustees administers the charity and meets on a re8ular
basis throughout the year.
Area of Operation
Somerset and ZambSa
Oblectlves
The advancement of the Christian far(h and the wofship of God in the County of Somerset and elsewhere
by any means whatsoever. The relief of persons who are in conditions of need. hardship. or distress or
who are aged or sick and the advancement of education on the basis of Christian principles.

R￿RsIDE OIURCH TAUNfoN
TRUSTEES REPORT
FOR THEYEAR EPIDeD 31ST MARCH 2025
l. Strurture, Governan￿aN1 Mana8emoftt
lal The charit¥ ￿ mana8Èd bya board of Trustees set ouit*low'.
Mr Keith Packer lchairrn￿)
Mrjohn Hilton IT¥easurerl
Mr Nieel Glover
Mrs Gine Glover
Mr Michad Toylor
Mr Rich•rd Bayliss
Iles*ned Ilth September 2024
Appolmtsd Ilth November 2024
2. objective5 and Actovltles
The adv4ncement of the Chrtstlan In accordancewlth the Ststement of Farth lat
Schedule l of the ConstliutK)nl and the Misslon Ststem•fit lat Schedule 2 of the Con5tTtutionl.
RMk Mana8emertt
Ibl The Trustees artivety revlew Ihe major risks which the charlty faces oth a regular basis and
telieve that maintainlng the free reseNÈs ststed in the resÈfft5 policy, combined ￿th the
annual revkw of the controls overthe key financial systemsu[r￿d out on an annual ba515.
will Pfovlde sufficient resources In the èvent of adverse cond￿On$. The Trustees have a150
exam5nÈd other operatlonal and business risks whith they fKe and confirni th4tthey h
established system5 to mrtiRate the slgnrflcar5t rt5ks.
Irl The Trustees met orb Six ￿r*s1on$￿￿rin8 the and also met*lth the Operat1￿41
leadershlp team of the thurch.
Idl The church has ¢ontinued to be a member of the Harvest ￿lIance nets¥th ol thurch•s.
The church has also continued to networkwith other kn¢al ¢hurche5 and or8ants•tlMs.
lel The Exch•n8e is the main 8atherin8 place for R￿e￿ide Churth attNrtiÈs. The chur(h
gathers there regularfy. and the bylldirw Is used for manyotherxtJvit*S either bythe
¢hur¢h lor the benefit off th• lttal communityorby l¢xal dubs and ory•nisatK•n5. The
number of people participatinÉ in the chUrch'S￿rShip seNces h•$ 8rowA dunng the
period of the report.
lfj The church's Supp￿ for, and IlTrkwlth. Zamblan churthes has contknued no ¥lsrts
were rnade durin8 th* ptriod of the report.

RIVERSIDE OIUROI TAUNTON
TRUSTEES AEPORTcopmNUED
FOR THE YEAR ENDED 315T MARCH 2025
5. Flnanclal ftevlew
The charity made a deficf( in the year of £29,10912024- surplus £15.219. The charlty made an
operatingdeficit in the year IrK•t Includi￿ the gain5nosse5 on irwe5tmentsi
01 £30.38612024- surplus £119391.
Total income intre3sed by 36%12024 reduced by&8%1. Gfftsarxl offeringsand 6rftA￿ I￿reaSed by 16%
12024 reduced by 16.7%).
Buildin8s lettines increased by 5% 12024 irKrn•s*d by54%1.
Total Èxpendlture Inueased by 129%12024 reduc￿ ty 19.7%1 wnpared tothe prevlous year.
At the yeor.end. the tharlty held funds totsllirq £256,65212024 £285.2011. of whkh £53512024 £1.5551
was held in restn¢ted funds.
6. In¥e5trnent Poli¢¥ and Ptrfonnan¢t
P￿maryfU￿dS are held in a bank account to enab￿ twxcess. Afund reseTh*è ts hekl In
medium rlsk Investment policy.
7. Reserles Polry
At thÈ ￿ar-end theth¥ltys cash reservestotalled £19.85612024. £48.6621 INet ￿trenta$Sets I
restridÈd funds). Thls arnountsto aPpr0￿Mate￿ 5momhs' unrestrKted eypendrture.
The*rustee5 ccffjsiderthese reseiwes to be adeou•te forthe ￿d5 ofthe charity.
8. Publi¢ B•n¢fft
The TrtJstÈes have noted the CharityCommts5ion's pU￿￿he5 Ruldan¢e on tht Publk Btnefft
guir¢me#t under ihe Charitles Act 2011. The charity carries out a range of acMv*s in
accordance wlth its charftsble alms. Theyconsklerthat the acti￿leS descnbed beknw
provide benefit to those who worshlp atthe Church to the wlder community in Taunton and
surrounds and Indeed to the United Ki￿d&M •nd worfd.

RIVERSIDE CHURCHTAuiifoN
sfATEMENT OF TRUSTEES, RESPON51Biur
FOR THE YEAR ENDED31ST MARCH 2015
TrusteÈs' Responslblllties
The charity tru51ees a￿ ￿$￿SIble forpreparin8 a trU￿ees. annual rep(rtand finarKial 5tatrments in
accordance with applrcable lèw ènd Un+ted Xifigdom Accounting siandards IUK General￿Accepted
Accounting Practice). The law applicable to charities in EnÉL8nd and Wales requiresthe tharitylJust
to prepare financial ststements for eath year which a true and fairwvwof the sta* ol afts1￿ olthe
charity and of the Incomi￿ re50urcesand Op￿￿10Th of vesourtes. ol the thèrityforthat perh)d.
In preparithgthelinancial ststernents. the tru5tee5 ore required to'.-
Selert suitable accouThting polioesand then app￿thern consistertty.
Ob5er¥e the methods and prt￿lp￿ in the applKable char￿e5 SORP,
Make judgernents and estinates whith are reasonable and wudent..
stste whether applkable attounttn8 stsndards have been fdlowed. 5ubiertto any mattrtsl
departure5 which must be di5c105ed and explalned in the financial statements.
Prepare financkil statements on the going concern basts unless rt is inappropriate to
presume that the charitywill continue in existence.
The trustees are responsible for keewng proper accounting records. whl¢h dls¢losÈwlth rtasonab
accurncyat anytime, the financl81 p￿th1on of*he Char￿and to enable them to en5Lire thotthe
flnancial statements tornpty with the Chanties Act 2011 and the applicable thanties regulatlOll5.
They are also responyble for sale8uardln8 the assets of the Char￿ and takJn8 TeasonaNe slep5 forthe
preventioTh and detection of Iraud and other irre8ularities.
518ned Declaratlon of Trvstee5.'
8ned
Prlnt Name
John milton-T￿Stee

INDEPENDErir EXAMINER'S REPORTTO THE TRUSTEES OF
RIVER510E CHURCH TAul￿ON
I report to the trustee5 on my examinatiot) of the accounts of the above thartty for
the year ended 31st March 2025 as set on the following pages.
Re¥)onsibilities and bas15 of report
As the charity's trustee5, you are responsible for the preparation of the accounts in accordance
with the requirements of the Charities Act 20111.the Arfl.
I report in respert of my examination of the Trust'5 accounts carried out under section 145 of
the 2011 Act and in carying out my examination. I have followed all the applicable directlons
given by the Charity Commission under section 14515llbl of the Art.
Independent examlnerfs statement
I have completed my examination. I confirm that no material matters have come to my
attention in connection with the examination which gives me cause to believe that in any
material respect'.-
the accounting records were not kept in accordance wth section 130 of the Charitie5
Act,. or
the accounts did not accord with the accounting records.. or
the accounts did not comply with the applicable requirements concerning the fomi
and content of accounts set out In the Charities (Accounts and Reports) Re8ulatlons
2008 other than any requirement that the accounts ￿'ve a 'true and fair. view which
Is not a matter considered as Part of an independent examination.
I have no concerns and have come acr055 no other matters in connection WTth the examination
to which attentlon should be drawn in thls report In orderto enable a proper understandln8 of
the accounts to be reached.
DOMA Rowan Gold
Dated
15.08.25
Donna Rowan Gold
For and on behalf of..
Tove Accountancy Ltd
Office 6 Town Hall, 86 Watling Street East. Towcester. Northants, NN12 685

sfATEMENfoF FINANCIALACtIVmES
2024
1024
nds
Funds
F¥nOs
Fund5
INCOME
Donations and Legacie5
Chadtable ActNwe
InvÈ5tment Inccthe Bank interest
s7.1￿5
IS.176
210
72.627
15,176
210
44,737
14,387
327
5.1(Kl
49.837
14,387
327
Totsl IrKome
$62
8B.QU
Yj￿51
64,551
ExpeNDITURE
Ch•rrtalAe Act￿￿e$
52.634
65.765
118.398
47,In
4.439
51,611
Total W•ndStw•
X634
65.765
47.172
SL611
Net ièlns/lLossesl on Inveslrnents
1377
L277
1975
1975
Net Incomellexwndlturel
21.C84
150.2021
129.1091
15.254
661
15.915
Trnnsfers bettveen fvrtds
149,1821
49.182
17691
Met mov•m¢nt kn fundi
Transp0yr￿n diFI b/f
Movement In iambla des1￿￿1￿ captsl
128.08BI
11,0
I29.1￿>
14.485
1891
1.430
15,915
1891
124(rf8
L0201
29.109
13.79)
1,430
15,220
Total fiJnds brouihtforw•rd
283.647
L555
285.X+2
269￿57
125 269,982
Tot& fur#ls¢ard•dfonvard
25S,559
2S6.093
183,647
L55S 285,202

RIVERSIDE CHURCH TAUNTON
8ALANCE SHEET
FOR THE YEAR ENDED 31sr MARCH 2025
Note
2025
2025
2025
2024
Tangible Fixed A55ets
Tangible Assets
Investments
2CKJ.000
36,261
236.261
200,(X)O
34.984
234,984
Current Assets
Debtors
Cash at bank
and in hand
io
12
8,486
13.532
13,324
38,499
22.018
51.823
Current LSabllltles
Amount5 falling due
within one year
li
11,627)
11,6061
Net CurréTrt Assets
20,390
50,217
Total assets less wrrent liabilities
256,652
285,201
Funds of the Charlty
Restricted funds
Unrestflcted funds
535
256,117
1,555
283,646
Total Funds
256,6S2
285,201
Trustees responslbllltles In relatlon to flnanclal statements
Charity Law requires the Trustees to prepare financial statements for each financial
year which comply with the regulations set out in the Charrties Att 2011.
On behalf of the trustees
Signed
Trustee
Date
Print Name
John Hihon- Trustee

RIVERSIDE CHURCH TAul￿ON
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31sr MARCH 2025
I. BASIS OF PREPARATION
1.1 Basi5 of accounting
These accounts have been prepared under the historical cost convention with items
recognised at cost or transaction value unle55 OtheThvise stated in the relevant notelsl to these
accounts. These accounts have been prepared in accordance with the Statement of
Recommended Prattice.. Accounting and Reporting by Charities preparing their accounts
accordance with the Finanaal Re￿tIng Stsndard applicable in the UK and Republic of Ireland
IFRS 102) issued on 16 July 2014 and with the Charities Act 2011.
1.2 Goln8 concem
There are no material uncertainties related to events or condTrtion5 that cast significant doubt
on the charlty's ability to continue as a going concern.
1.3 Change of acwuntlnk pollcy
The accounts present a true and falr vlew and no changes have been made to the accounting
pollcies adopted.
1.4 Changes to ac(ountin8 estlmates
No changes to accounti￿ estimates have occurred in the rep)rtin8 period13.46 FRS102 SORPI.
1.5 Materlal prlor year errors
No material prior year errors have been identified in the reportin8 period13.47 FR5102 SORPI.
2. ACCOUNTING POLiaES
2.1 Income
Recognltlon of Income
These are Included in the Statement of Financial Activities ISOFAI when..
• the charity becomes entitled to the resources.
it is more likely than not that the trustees will recelve the resources,. and
the monetary value c3n be measured with sufficient reliability
Offsettlng
There has been no off5ettlng of assets and liabilities. or income and expenses. unless required
or permitted by the FR5102 SORP or FRSIO2.
Grants and donations
Grants an(1 donations are only inclu(Jed in the SOFA when the general income recognition
crlteria are met15.10 to 5.12 FR5102 SORPI.

RIVERSIDE CHURCH TAUNTON
NOTES TO THE Accouiifs ICONTINUEDI
FOR THE YEAR ENDED 31ST MARCH 2025
Debtors and prepayments
Gift Aid receivable is tncluded in income when there is a valid declaration from the donor.
Any Gift Aid amount recovered on a donation is considered to be part of that gift and is treated
as an addition to the same fund as the initial donation unless the donor or the temis of the
appeal have specified otherwise.
Prepayments are valued at the amount prepaid net of any trade discounts due.
Volunteer help
The value of any voluntary help received is not included in the accounts but is described in the
trustees, annual report.
Income from Interest
Thlsls included in the accounts when receipt is probable and the amount receivable can be
measured reliably.
Cash
Cash at bank includes short term hlghly Ilquid Investments wlth a short maturity of three months
or less from the date of acquisition or opening of the deposit or similar account.
Z.2 Expendlture and IlJbllltle5
Llability recognltlon
Liabilities are recognised where it 15 more likely than not that there is a legal or constructive
obligation committing the charity to pay out resources and the amount of the obli8ation can
be measured with reasonable certainty.
Grants wlth perforniante eondltlons
Where the charity gives a 8rant with conditions for its payment bein8 a specific level of seNice
or output to be provided, such grants are only reco8nised in the SOFA once the recipient of the
grant has provided the specified seryice or outPLrt.
Grants payable wlthout perforniance condltlons
These are only recognised in the accounts when a commitment has been made and there are
no condltSons to be met relating to a grant which remain in control of the charty.
Redundancy cosl
The charity made no redundancy payments during the reporting period.
Deferred Income
No material item of deferred income has been included in the accounts.
Provisions for liabilitie5
A liability is measured on recognition at Its historical cost then Subsequently measured at
the best estimate of the amount required to settle the obligation at the reporting date.

RIVERSIDE CHURCH TAUNTON
NOTES TO THE Accoupifs IcopinNUED)
FOR THE YEAR ENDED 31ST MARCH 2025
Pensions
The charity operates a defined contribution pension scheme and the pension charge represents
the amounts payable by the charity to the fund in respect of the financial period. Pension
contributions are charged to the Ststement of Financial Activities as they become payable.
The fvnds of the chaTIty
Funds held by the charity are..
Unrestrlcted funds
These are funds that are not sublect to any restrlttions regarding their use and are available
for applicatlon within the charltable objectives for the general purposes of the charity-
Restrlrted Income Funds
These are funds which can only be used for particular restricted purposes wlthin the objectlves
of the charity. Restriction5 arise when specrfied by the donor or when the funds are raised
for partlcular purposes.
Flnanclal Instruments
The charity only has financial assets and liabilities of a kind that qualify as basic financial
instruments. Basic financial instruments are Initially recognised at transaction value and
subsequently measured at their settlement value.

RIVERSIDE CHURCH TAUMTON
NOTES TO THEACCOUNTS
Tanglble l¥ed assets for use tythe charlty
Freehold propertv
Freehold property has been measured at h￿11(al c05t. deprriation has charged a5 the woperty 15
maintained to suth a stsndard that the e#imated re￿dUd1 value is not iessthan the cost.
Tangible lixed assets are capitalised if theycan be used for mort than year. and cost at least £1.￿￿.
Flxed asset in¥eslments
Investments are intludÈd at current marketvalue at the balance sheel dats. Any eoin or loss on revaluation
tsktn to the Statement of Financial Activitie5.
3. INCOME
2025
2025
Total
FwKIs
Total
Fund5
Funds
Funds
Funds
Il Don•tlons and Legacles
Gifts and offerlngs
GIft￿￿ t•x refunds
IS.%2
63.962 42.320
8,665
7,517
72.6Z7 49A37
57A*S
62
bl ChrStable actlvtti
Pastoral Care
BuIldi￿S Lettlngs
15,176
IS.176
15,176
15.176
14,387
14.387
cl Investment incfme.. Bonk Interest
Bank interest
Investmeffl ialns
210
1.277
1,487
210
1.277
1,487
327
327
Total Inrom•
74727
15.562
89.2￿ 64.551

IIIVERSIDE CHURCH TAuiiropi
NOTES TOTHEACCOUPIT5
FOR ThIE YEAR EN￿D31ST MARal 2025
4. EXPENDITUI¢E
1025
2014
Total
Funds
Fur￿$
Funds
Funds
Expendiiure on thafftable A£thrt￿eS
Charitable givinE
Employment eosts
10089
19.453
6,654
17.543
19.453
9,530
20.074
Youth and Child￿n.$ work
Premises. relreshmersts and cleani
Premises". repairs and maintenance
Premises". utlllty costs
In$uranre
Ttlephone and internet
Payroll and adrninistrativt costs
Printing post and stationery
Subscrtptlons an*Y Iltences
Website costs
Equiprnent
Training £ik%ts
Gifts to speakers
Pèstoral care
Bank charges
Accountin8 and Independent ex•nlnatior
Svndry expenses
1.705
2.516
61.3SO
$30
1516
2.239
59.111
7,193
3.693
2,630
1.027
810
117
2,939
1.079
566
2.939
1.079
2L
224
SS3
224
SS3
635
520
70
1.387
746
146
1.316
386
246
246
1,501
267
170
267
170
1.2LXI
219
219
65.765
118398
SL612
Total 41tp•nd￿Yf*
52,634
65,765
118398
5L612

RWERSIDE QIURCH YAUIIION
NOTES TO THEAccoupifs
FOR THE YEAR ENDED315T MARCH 21125
S. DETAILS OF CERTAJN TfEl¥15 OF EXPENDifuRE
S.1 Feesforexarninatitin ol the accounts
20
2024
Independent examinerfsfee5
Other fee5 paid tolhe independent exèmw)er
6. PAID EMPLOYEES
6.15taff Costs
Salaries and wages
Sotlal security costs
PensioTh cost5 1defir￿ contrlbutlon scheme)
Other employee benefits
Total staff costs
19.224
17.278
228
226
19A53
17,$04
No employees rncéfved emptoyee beneffts lexduding employer peTr￿On tostsl foi the reponing
perlod of rnore than £60.
6.2 Average head count In the yt•r
Charftable actmtles
7. OONAn014S PAYABLE ye•tsrthan £lWI
2024
Zambia
Haryest Thhe
5M61
L931
1.320
8,713
S,841
1.639
1320
8.8LK)
Grantsto Ind￿bdUaIS Insthukn urth£ifAXI
Grnnts to Indwuals & Instftutions
8.831
730
Total
17.543
9.530

NOTES TO THE ACCOVNIS
FOR THE YEAR ENDED 315TMARCH 2025
. TANGIBLÉ FIXED Ass￿5
2014
Freehold land and buildin8s
9. IPIVESTMENTS
Standard Llfe- Elevate Cash. Elevate GVI
2Q14
Balan£e brought forward
Gainlllossl In the year
Balan¢• carrled fon¥ard
34.984
1,277
36.261
31￿9
2,975
34.984
Ith DEBTORS AND PREPAYMENrs
2024
Prepayments
Glft Aid refund5 due
Pastoral Care bans
8tJildin8s lettifi8S
Other
3.561
4.C85
3.425
8,473
830
1.425
8.486
13,323
11. C￿Dif0R5 AND ACCRUAiS
Acuuals
Other uedltors
1.627
706
1.606
1.627
IZ. CASH AT BA14K
20Z4
Uoyds Ban* A¢courf$
Cash in hand
13.432
Ic
13532
38,414
85

RIVERSIDE CHURCH TAuKroii
140TES TO THE Accoupirs
13. ANALYSIS OF NET ASSETS BETWEEN FUND5
Funds
Funds
Funds
Funds
Fund Balance5 at 31st March 2025 are rewesented by:
Tangible Fixed Assets
Current Assets
Creditors." amounts falling due within one year
236.261
21,483
11,6271
236,261
22.018
11,6271
535
256.117
535 256,652
14. DESIGNAYED FUNDS
ThEre were no re5tri(ted fvrKls thefifi¥ncwl period.
IS. RESTRicfED Ful￿$
Current flMnd•l ye
Tr•nsfers
Fund
between balantys
Fund
b¥￿￿¢¢5 blf Inc¢xn•
ew￿lIUre
clf
Zambia Fund
Food Box
HardshSp Fund
Chflstmas Glfts
Roof fund
C•nteen
139
15,4621
259
125
291
119
291
1281
9.188
11.1631
159.1111
48.923
1.555
15.562
165.76SI
49.182
535
Pr•¥lousllnarfl•l y••r
Tran51ers
Fund
bet¥mn b•l•w
Ewidllure funds
clf
Fund
lance5 blf I￿X
Zambia Fund
F(￿ Box
Haidship Fund
Christmas Glfts
Roof fund
3.628
13A891
139
125
291
125
291
19501
769
125
5.1(Ml
14.4391
769
1,555

RIVERSIDEOIURCH TAUMTON
IIOTES TO THE Accourirs
FOR THE YEM ENDED 31ST MARCH 202S
ANALYSIS OF FUNDS
Current yeaf
fvnds
Totals
F6xÈd assets
Current assets
Current Liabilitie5
236261
2L4183
IL6271
236.261
22.018
11.6271
S35
Net Assets
256.117
535 2S6.652
Preyiousy•ar
fund5
lund5
Totsb5
Fixed assets
cu￿nI assets
Current Liabllities
234.984
50,268
11.6LkSl
234.984
51823
IL6061
I￿55
Ilet Assets
283,646
1.555 285.201
Z•mbS1 Fund: Established to pmiide rtlitf of ptrsons who are in condit•)nsof need or distre55 in Zambia.
Additional Bilts totallin8 £25912024. £nill were tran51erred from the unre5tdcted hJnd& A balarKe of £n
12024- £1391 was carrl•d lor*•id.
Food Box: Gifts speci¥lly8NeA to the Food Box. A balante of £12512024- £1251 Is tarfed
forward to be spent In the current year.
Hard$hlp FUNI.. Gifts spe¢lfi¢ally 8l¥efi to indviduals in need in thè communrty. A balant* of £291
12024- E2911 15 carried forward to be spEnt in the current year.
Chrlstmas Glfts: £1.28112024. £1811 was ratsed to g￿e 8lfts to vartous Indlvlduals In need at Chrlstmas.
Atotsl of £1,160 wa5 Spent.
Roof fund: £9.18812024- £1.IxKII was reetNed the year towards the roof fund. £59.111 was spent on roof
repair5. The shortfall 01 É48.923 was transferred frorn ge￿ra1 funds, leaving a nil balance carried fonvard.
Canteen.. É30 was8l¥en in respect of r*w canteen mugs. The same amountw¥ spont.

RIVERWE OIURCH TAUNT(*4
P407ES TO THE ACCOUNTS
FOR THEYEAR EMDED 31ST MARCH 2025
IS. PAYMENfs TO TrUSTEES
Gine Glover is a trustÈe ané received £nil12024 £31818r0s5 salary duringthe year as a deaner.
Stuart Glover spouse of Gine Glover la Trustee) and son of Nigel Glover la T)iJsteel receNed a eft)￿ salaryof
£13.84812024- £13.7661 arsd £ 22812024- E2261 ernployer pensioTh a5 Church AdMiTh￿rator.
The charitable companies. gtweming d¢Kument allow5 for the empknymeni of trusteesldire¢¢tys as a5
the majority of trusteesldirectors are not ernplijyed.
Corffllcts of Interest are tsken ir*to attount in all discusslons In relatton to the eMp￿Y￿*nt of the abjve
tru5tee5/directors with trustees/dire(tors ¥Athdowing from any meetin8 where their employment is dis¢usstd.
The tru5tees' insurance includes trustees indernnity insurance.
The followAn8 tru5tee5' reirnbursements were ￿ld for the year ended 31st March 2025..
2014
169.30 Wisiiiw speakers and courier fees
677.34 Messy chuich refreshrnents and rnatersals
667.20 Canieen. Communion wine and Chrisrmas grfts
O New member5 lunch with Leadership Tebm
J Hikon
K Packer
Nl8el Gl¢i¥er
M Taylor
2550
1,393.89
28.74
42.73
I,4￿.86
1.513.84
No further remuneratlon dI￿¢￿V or indirectly out of the funds of the charity was pald or p•yible forth* year
to any trusteeldirector or any person or per$0Th5 known to be con￿rted with any ol them.
16. LEASE OR HIRE PURCHASE AfjREEME14TS
No finance leases or hire purGha5e 4reements were undertaken in the finarKkl perlod.