FULL GOSPEL REVIVAL CENTRE
REGISTERED CHARITY NUMBER
1099321
FINANCIAL STATEMENT
FOR THE YEAR ENDED 31st MARCH 2025
Solutlon8 Accountants & Flnancl•l Servlces Ltd
149 Radford Rtsad, Nottingham NG7 5EH, TetrF8x 0115 8224993
W￿￿.801U￿OnS￿Ce0UfilantS.C0.Uk, e-mall Inlo
solutionsa￿0untantS.cO.uk

FULL GOSPEL REVIVAL CENTRE
FINANCIAL STATEMENT
FOR THE YEAR ENDED 31st MARCH 2025
CONTENTS
PAGE
GENERAL INFORMATION
TRUSTEES & INDEPENDE￿ EXAMINATION REPORT
2&6
STATEMENT OF FINANCIAL ACTMTIES
BALANCE SHEET
NOTES FORMING PARTS OF FIMANCiAL STATEMEKrs
9t012

FULL GOSPEL REVNAL CENTRE
FOR THE YEAR ENDED 31st MARCH 2025
Rev S E Thc4nas
Rev H Eth*ards
J R Jeffers
Tw$te0
Truste8
Twstee
Twste•
Ch•rfty Y•gtstr•tlon Numb•r
1099321
R•glst•r•d Offl¢•
97 84th* Stre•t
Nottlngham
NG2 2EE
B•nl¢•v¥
Tse BU￿neSS 88nkJng
Ind•p•nd•nt Examln•rn
8eerb81 & Co Chartered Accountants &
SolUt￿n8 Accountants & Flnancial SeThxes Ltd
149 Rad￿ Road Nottingh￿ NG7 5EH
Page 1

Full Gospel R¢viv41 Centre Trnstees.
ADnual Report 2024125
l. Church Information
Church Name: Full Gospel Revival Centre
• Registered Charity Number. 1099321
Address: 97 B￿hLeY Stree( The meado￿ NG2 2EE
2. Puryose & Mlssion:
Our mission is to emEdy love. serve others. encourdge tsansfomiation. and model
stron& effective leadership. We aim to ernpower both our church congregation and
the wider communtty by creating an environment where people can grow spiritually.
ex￿rienCe support and Compassio￿ and be equipped to make a positive irnpact in the
world around them.
3. Governance:
The church 15 ov¢r5¢en by a IK)ard of four trustees:
Revered Samuel Thomas - Chair
Pastor Howard Edwards- Tr￿Surer
Monica Peddle- Secretary
Ronald Jeffers
No changes in trusteeship OCCUTred. Tr church relics heavily on volunteers who
serve in worship, men's women's and children's ministry. outreach, and
administration.
4. Objeetives and Activities:
The charity continued to pursue its core objective of advancing the Christian faith
through worship, discipleship. outreach. and community engagemenL To achieve this,
the following key activities were delivered throughoui the year.
Weekly Sunday services
An annual summer BBQ. open to the church and wider community
Youth ministry expansion, including new Sunday School teachers
Monthly prnyer and fa#ing gatherings ¢ncournging spiritual growth and unity
Hosting a Men'& Women'& Youth and an Annual Convention
Conducting a bapli5m for new believe
• Weekly discipleship groups and teaching bible study sessions
Community outreach initiatives
Ongoing evangelism outreaches
i£adership training and developmcnl

5. Activities & Achievements of the Year
This year saw significant development across our ministries and projects. Below is a
summary of the main achievements:
Sunday Anendan¢e: Average weekly attendance remained steady wilh peak servic¢s
reaching over 70 attendees during special events.
New weekly coffee mornings
Established a homework support club for local children,
Delivercd a Structured training programme r¢sultin8 in volunteers improving
leadership skills to run various ministries.
Held regular all-nighi prayer meetings
• Building Improvements: Successfully installed new lighting in the main hall,
improving safety and usability of the premises. New heating System purcha5C.
Sunday school bouncy castle activity and sport.
6. Rlsk Management
The trustees regularly review the major risks faced by the church, includin8
saftguardin& financial controls and health and Saf￿Y. Procedures are in plaLY to
managc and rcducc these risk& including a safeguhrding policy for children and
vulnerable adults, DBS checks for relevant volunteers, financial oversight and annual
reviews of insurance coverage. The trusttts are satisfied that appropriate system5 are
in place lo mitigate risks and ensure the church operates safely and r¢sponsibly, PAT
tesiing 10 ensure all eltttrical equipment's are safe to used.
7. Flnanclal Summary:
During the year the church received a grant of £5,000 from Another Way Community
Grant - Violent Reduciion Partnership to support our youth ministry. including the
launch of a weekly homework club. A Near Neighbours grant of £3,770 was also
received to complete a youth ministry project called Sound and s￿la] focused on
improving young people's mental health.
8. Tlthes and offerlng Income:
In the recent fiscal year. total in¢ome from Tithes & offerings amounted to £97,9221-
which reflected decrease of 3 /0 as compared to previous year.
9, Expenses:
Giving remained stable and fundrdising activities were done. Major expenses included
building repair5, first aid training and the purchase of E4 defibrillalor to improve health
and safety on the premises.

10. Future Plans:
t£adership traintng for new leaders
Plan santhuary refurbishment
Support men, women and youth with ministry gifts to serve as servant-leadet5
Equip, emp)wer and rele￿ lay leaders ¢0 serve as ministy parffiers iM)th inside and
outside the local church
Improve community fflaiions
Refurbish the church mission house and our church hall.
I l. Publlc Benellt:
The trustees confirni the church operates for the public benefit.
Approved by the trustees on:
Slgned on behalf of the ¢rnstea:
Name: Howard Edwards
Posltlon: Chair of Trust
Slgnature: H. Edwards

FULL GOSPEL REVIVAL CENTRE
REGISTERED ¢HARrrY NUMBER 1099321
FOR THE YEAR ENDED 31st MARCH 2025
the Unitsd KiThJdom Accounlry StandaA15 IUnff*d A¢wJnb"rwJ Practlcel and
tiCab￿ law ano reWatw4.
whith gNs a knJ• and lalr ¥lvAt of the •t•le ofaffakns of thai*yory1 ofts wiiTrJ rejour￿ aTrJ
Ofn￿ljI¢0l ol ch•iity fofthot [￿. In Ilw fmncid tr* trlty1￿ •r• rnq￿r•d to:
' •eL8ct suItab￿ &counbty p)1th8 and then IFply t1￿M rAintht•ity.
. obaeN• tha m•the•a$ ar#J prfncws In IM Charit*s SORP".
* rnakèjudgement$ and ￿tIm￿leS Ih¥t arg rgoson8bk and
* 8t•t• Whether*p￿￿Ob* a¢counl*ig $tsndords ha¥• outr4•ct lo #ny mal•rfal ¢J•p•rtu
dlKlow(l and ?xpknIr￿d in th• fww)cièl stht•rn￿kn.' aThJ
' prnpora thé fmanthl 8t•t•menls an IM gck4 cuK•m unkn•s il 18 thjt the
chadty ￿11 eMtlnu• In bullr￿8.
•ny Ihg fin8noal posilion of chan'ty and en•bk b)em to Insure thal fin•ncwl $l•tem•nts coffoty
with Ih? Ch#rlties **12011. Chadtss I*£¢￿untI 8r#J R•portsl R¢gul•ltrJn$ 2￿, •nd thB of th•
ci)nsOlullon. Tho tw#t￿ arg •ho wpon$ibb Iw uf¢9u•rdir4 the a588ts oi th• chaiity and h•no fortsklrvd
Tho trIMt•￿ arn r•wniibto lor th• m•uilen•rK* and A)w'ty ol tho corpor•kn •rKI fY*•nci•l Inforrnatlon
clud8d on th• charil•b* Incorpor4tsd org•n*•lkn. L•91$L•t￿n 9owmMvJ tho prwrnkni aftd c
tknnd•l •tht•rnnts rn•ydNlor trtyn1o91$*l¥)n In
Appro¥ad by th• tr￿1081 oftm charlty¢n.................... IhJMI w tt•beh•W ty.
hyward Ethm
Tr￿10•

FULL GOSPEL REVIVAL CENTRE
Independent Examlnerfs Report
FOR THE YEAR ENDED 31st MARCH 2026
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES
I rewt m1h¢ac£t￿ts0lthe£W. whth ** 7 & 8.
R6•peCtI￿ rwpomlbllltknsol tnAtqq• •Dd Ex•mlwr
1. E¥Amheth8 uK*J 145 ¢￿￿￿2011 *4
th•2011
Q44tr NAV
a8￿ N8¥eed Arnh¥d IFM. Fer & rl) behaff of
B••rW & Co Ch8rt•r8d Accountynts &
Solulofi8 Accounlanls & FIna￿l¥l Ser¥iw Lll
149 R8dford Road Notbngharn NG7 5EH

FULL GOSPEL REVIVAL CENTRE
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31st MARCH 2025
Nots Unreltrlctsd Re•trfct
Funds
Fund8
Tot*1
Fund8
2025
Tot•1
Funds
2024
INCOMING RESOURCES
Inc¢mlng R•Sou￿•$ Irom Q•n•rntsd Fund•
Voluntary Income
Invastment Income
88,859
10,393
870
87,529
10.393
91.018
1114X
Totsl Incomlng Resourc••
870
RESOURCE8 EXPENDED
Charllable actl¥Alles
Gift & Donallons
Other CharKable Purp08
Governan¢o fy)Ils
380
29,784
67,611
380
29,784
87.811
270
17.493
81395
Totsl Éxp•ndltur•
97.775
Net (Exp•ndltur•l
7231
870
147
1,218
Inve81rngnl Idoffidl$ysu￿1U$88
Ilot Mov•m•nt In fund• b•for• Trnn•f•v•
Gr088 Tran81?r8 b¢lwa8n funds
Ilot m¢Mrrwnt In fund•
723
870
147
1.286
Total funds brought fO￿ard (FY.2024J
9.730
160
87
159,171
Totsl lund• c•rrl•d f•)￿1rd
Th8 noley on page 9 to 12 fom an Inlegfal part of this ffinandal 8lalemgnt.

FULL GOSPEL REVIVAL CENTrE
REGISTERED CHARITY NUMBER 109g321
Balance Sheet as at 31st March 2025
Tawy￿Asse￿
148.610
148,610
ISJ219
sh at bank kn haTrJ
Other Detlors
65.921
2,641
2.641
62.2
Crndlt¢x¥.' AMOU￿ F*lllng
.7S7
10
160.
11
Unrestrided FuTrts
Rgstrthj F￿08
1￿.cO4
10.6
1SO.727
TOTAL FUNDS
160,f04
congiderth81 rK4 feqwwJt* trds Lwthrw4•)7 14412l¢Ylh*L￿￿thosMa2O1l th6t an
TrUSTEE
R8¥ S E

FULL GOSPEL REVIVAL CEPmlE
FOR THE YEAR ENDED 31st fAARCH 202S
ACCOUPfflNG POUCIES
1.18as15 of pr•paraUon
FrBroal R8pukng si*hJardakwk* ui tr¢ UK*k1 Repthkof IFRS 1021. leffeill¥e 1 J￿
20191. IChwlti¢S SIy¢P IFRS10211,Il* Fmarfial Re[￿ Stsr*Jwd apk**J* ￿ thB UKaTrJ Rwkolkeland IFRS 1021 aTrJ
thathrWAd2011.
Ineornlng
R8¥Ou￿0••xP0￿d9d
Tan9fole thada88•ts
Buibjino
I5%￿ Cojt
Th8 Bulhllw at 117 88trd8y N&2EE wa& JY)7 atth8fA￿o1£23o.r￿.
Stralght Wn8 to8esas rn)tod in WA8.
INVESTklENf INcoMe
I￿oI11NGlIOuTG0INGTr RESOURCES

NO￿ lomlng part ofthew flnan¢lal statomonts IconUnu•dl
FOR THE YEAR ENDED 318l MARCH 2026
INCOMING RESOURCES
y￿￿￿￿ryth¢orn•
73.513
8,178
71.050
7.443
870
225
7.88S
&ftAid T*
evi￿rn4 Fund
176
870
4.713
137
18.659
4.7
137
sU￿lner￿m•
870
91.016
P.703
0,703
9.818
8•nk
10.393
•7.052
10.428
101.444
IncthTdr4 r&X¥j￿1
8711
41 AESOUR¢E8 EIPENDED
¢hifft•bt•A¢tl¥W
270
Trnn8WrtalbJn
Prwrnmrno8
Ho•ph•iity
Sp•dfi¢ eulklm Imwo¥•men
2,490
1,040
7,187
2Jth)
859
4203
7.187
29.784
29,784
17.495
StBff costs
Staff TrnIn￿ Coit
Lt9hl 8 H•01 & W•tsr & R•io1
7.600
928
21.503
3.143
1.091
7.200
028
21,101
3,143
1,091
42.914
2,75S
Prfniinp, po$i•ge & Stalonery
Sundry COAI
C￿nIng Expen80
In8uranc4 and
Accounlaw Fee
Legol & Prolèulonl f•••
General Expens9$
Rop•ir¥ •nd lknlnhn•n
Mtstorvehldo Rurtning
Offic8 Equlpm•nl I
Oepredatson
88nk Charg85
Mort989e Inl•ro11
eoo
8,632
1.300
2.031
6.013
3.418
6.241
1,300
2,031
6,013
3h18
1.314
l.O•S
4M09
1,510
6,212
2,184
1,218
1232
4AOg
1.003
1,005
4,809
02
95
100,158
97,775
7,77S
N*1rKoffrf•Xp•￿W•)
870
147
10

Not•s fonnlng part of the4e financial stat•mènts leontinu•dl
FOR THE YEAR ENDED 318¢ MARCH 2028
TRUSTEES. REMUNERATION AND BENEFITS
nthoikf Murdb2024 31#M*tth2029.
STAFF COSTS
2026
2024
iID
15
10
Fixeo ￿*￿ETs
COSTotv￿uATION
ulldlng
230.000
F￿￿&1￿ChInary lÈtdor¥•hl¢b)
35A81
Tot41
276
At31stMHrch 2026
230
00
Dwaelallo
A￿￿Mu1a￿j
ChapJ8 for the
On 015pwLs
Atjlgt Ma￿h2o25
71￿0
4&10
35,663
11,oeo
123,723
4.809
81
1l8tPMkV•￿I
CIoAity Bdar
14BAQO
151000
216
153311
Cash & ca8h equlvalents
C88h8lbank
65.921
CReoiTORS: AMOUNTS FALLING Due ￿￿H1N ONE YLIR
315
10 CREDITORS: AMOUNTS FALLING DUE AFTER IAORÈ THAN ONE YEAR
9onk Lc•Tr
e*nkLoBft
P8ge11

N¢>t•s fonnlrwJ olthv5•11nan¢lal *lalefft•rts (coth￿dI
FOR THE YeAR ENDED 31st IAIRCH 2025
11 IAOVEAIENT IN FUNDS
At 114124
AtJinAo
150.727
(T231
150n)4
9.7x1
170
147
TOTALFUIIDS
Expnd•d
97M2
.776
870
870
TOTALPUNr•
147
P•9• 12