REGisfERED COMPANY NUMBER: C4976143 (England and Wales)
REGlSfERED CHARITY NUMBER: 1101648
Repcrt oftheTNstees
Unaurfrted Rnancia SL*ementsftythe Year Ended 31st De¢embeT 2024
The Newland thrisiian Trust
ttymond Accountsnts
offi￿ Fl.
Bevertey Enterprise Centre
Beck View Road
Bevedey
Eastyorkshire
HU17 OI[

The Newland Christian Trust
Contents ofthe Knan(ial Ststemet
forthe Year Ended 3tst December 2024
Page
Report ofthe Trustees
I to 2
Independent Examin*s Report
Statement of Rnan(ial Athitles
Balance Sheet
Cash HLwSLitement
Notes tothe Cash Statemffit
Notes to the RnanLial Statemeftts
8 to 13
Detslled Statement of Financial Acli¥itses
14

The Newland Christian Trust
Rewt ofthe T￿Stee$
fly the Yw Ended 315t De￿nber 2024
The trustees who are also directors of the chaiity the purpo￿ of the Companies Art 2rx)6, present their report with the
financial ststements of the chèrtty for the year ended 31st December 2024. The trustees have adopted the prowsion5 of Accounting
and Reporting by Charities.. Statement of Recommended practi￿ applicable to charities preparing their accounts in accordance
with the Financial Reporting Standard applicable in the UK and Republic of I￿land IFRS 1021 leffecttve ijanuary 20191.
OBJEcfivES AND AcrivrriES
Artivities. athievements and publlc benefft
The activity of the Charity is detemiined by its Articles of AsKoation. These were last revised in 2020 in preparation for the
departure of 'the Church. from the Churth of England and its estsblishment as a network of three Anpjican churche5 in Hull, ￿0 of
which a￿ affiliated to the Angtican Mission in EnPjar￿ IAMIEI. It is anticipated that the third church will become a member of AMIE
later in 2024. The revtsed Articles of Association state that fthe Church's objects are the advancement of the Christian religion in
accordance with the Ststement of Faith.. The Statement of Faith is based on the Global Anglican Future Conference IGAFCONI
Jerusalem Dedaration of 2CM)8 IhttpS.'I/￿￿.gafCon.orv13bOut/jerusOIeM-dedarationj. During 2024, some of the key actiwties have
been tr) continue to establish the Structu￿$. policies, prO￿5$eS, and ways of working in the network of churches.
During the year under review, the Charity has fits objecbves in a number of ways in order to carry out its aims for the public
benefit. It has continued Its work WTth children, students. younger adU￿S and sen￿￿ of all ages and b3ck8rounds. Grovrth has been
seen in all these diffèrènt ministry areas. across all three churthe5 in the network There is also a thriwng ministry amongst
Internationals including those from a Muslim background. There has been consolidation of the compassion ministry which, amongst
other things, di5tTibutes food and financial gifts￿OanS to those in need. All the activities of the Charity are open to anyone who
Wlshes to participate and are aimed at improving their spiritual arKI xKial welfare. In order to undertake all this work. the Charity
provides the financial support for the employment of men and women. who lead work in these areas across the three churches.
The Charity also relies on its volunteers who contribute their time, skills. experience as well as financially.
The activity of the Charity takes pla￿ within the surrounding communities where strong links and relationships - both within and
without the churches - are well established. Two of the netwo￿ churches hold Sunday services in I￿1 schools. The third seNice Is
held in a small church in the midst of a housing estste, with significant soaal deprivation. Mid-week activities take place in the
Christ Church Centre1548-552 Beverley Road, Hull) and other l(Kal communrty venues. The provision of the Christ Church Centre is
one of the primary ways in which the Charity undertakes its actmbes and provides supporL The renovation of this building was
completed in February 2020 and is for the use of groups from aCTOSS the network of churches. Ml the faalities are of an
exceptionally high standard and enable us to support the Charitrfs aims. The Centre has access and facilities for users with
disabilities.The Centre also provides desk arKt computing faciltties for staff.
The Charity also supports a number of 'rnission partners, l)oth at home and overseas. for the a(fvancement of the Church's objects.
In October 2024 a team from across the network of thurches vistted a miwon pather in Cape Town, South Africa. to support in
person the work of this mission partner.
Support of staff and Ktivitses
The Charity is primarily funded by the donations of Churth members with some support from other charitable trusts for particular
projects, which together enable èmployment of staff to wor* wth families. Child￿Tr. students and adtslts of all ages. Financial
support has also been given to provide for tethnical and ￿ systems that are required in support of all the above activities. The stsff.
volunteers and tsvo part-time cleaner5 supervise the daY-t￿daY organisation and maintenance of The Newland Christian Centre.
Grantmaklng
Grant making policy
The Board of Directors, whenever possible. wnsider favourably pro￿ding o* grants to those indiwduals engaged in the ministry
work acr05S the network of thurches in Hull and also to provide financial support to mission partners in both home and over5ea5
mission fields. A Family Fund, estsblished during 2020, provides financial gTfts or loans to those in significant financial need.
The Charty has recèived donations where requests have been made ￿ support of spectfic actiwties. The Trustees have been able
to respond positively to these requests.
Note that appmval has been granted by the Chartiy Commission for a MIn￿lty of Board Members to be salaried. Thi5 reflects the
role and responsibilities of Church Mini5ter5.
STRATEGIC REPORT
srRucfuRE, GOVERNANCE AND MANAGEMEP
Governing document
The charity is controlled by its 8ovemin8 documen¢ a deed of trusL and constitutes a limited company, limlted by guarantee, as
defined by the Companies Act 2(Ml6.
Page I

The Newland Christian Trust
Report oftheTrustees
forthe Year Ended 3tst December Z024
REFERENCE AND ADMINISTRAnVE DETAIIS
Reglstered Company number
04976143 (England and Wales)
Registered tharity number
1101648
Registered offi
552 Bevedey Road
Hull
HU6 7LG
Trustees
Rev P Birnie Minister Of Religion
Dr M Buzza University Lecturer Ireslgned 1.9.20241
Rev S Mckay MinisterOF Religion
TJ Mitchell
A C OveNoorde (resigned L9.20241
G shaw Arting Head Of School (resigned 1.9.20241
V I Whitton Retired
M K Wong Retired
R Tearle
Reverend AJohn5ton (appointed 1.9.20241
T 8en5tead lappointed 13.5.20241
J Belham (appointed 11.11.20241
G J Cresswell (appointed 13.5.20241
Independent Examiner
Rebecca Dymond
Dymond Accountants
Office Fl,
Beverley Enterprise Centre
Beck View Road
Beverley
East Yorkshire
HU17 OJT
Report of the trustees, incorporating a strategic report, approved by order of board of trustees, as the company directors, on
and signed on the board's behalf by:
Rev S Mckay- Trustee
Page 2

Independ•t Examlnerfs Report to the Trustee5 of
The Newland thristian Tru5L
Independent examinerfs rep(*t tothe trustees ofThe thrislian Trust I'the Ccmnpanv'l
I report to the charitytrustees on my examination of the accourrts of the Company for the year ended 3tst December 2024.
Responsibilities and basis of rei
As the charity's trustees of the Company land also tts direLtors for the purposes of company lawl you arè responsible for the
preparation of the accounts in accordance wth the requirements ofthe Companies Act 21Th Ilhe 2￿6 Act'l.
Having satlsfied myselF that the accounts of the Company are not required to be audtted under Part 16 of the 2OJ6 Act and are
eligible for independent examination. I report in respect of my examination of your charity's accounts as carried out under Section
145 of the Charttie5 Act 20111'the 2011 Act'l. In carrying out my examinats.on I have followed the D1￿CtionS given by the Charity
Commlsslon under Section 145151 Ibl of the 2011 Act.
Independent examinerfs statsment
Since your charity's gross income exceeded £250,000 your examiner must be a member of a listed body. I can confimi that l am
qualified tr> undertake the examination because l am a member of the Institute of Chartered Accountsrrt5 in England and Wales,
which is one of the listed bodies.
I have completed my examination. I confirni that no matters have come to my attention in connection with the examination giving
me cause to believe..
accounting records were not kept in respect of the Company as required by Section 386 of the 2¢J)6 Art,. or
the accounts do not accord with those records; or
the accounts do not Comp￿ wrth the accounting requirements OF Section 396 of the 2CI)6 Act other than any requirement
that the accounts give a true and fdirview which is not a matter considered as part of an independent examination,. or
the accoLFnts have not been prepared in accordance wrth the methods and principles of the Statement of Recommended
Practice for accountrng and reporbng by charities lapplicable to charities preparing their accounts in accordan￿ with the
Financial Reporting Stsndard applicable in the UK and Republic of Ireland IFRS 10211.
I have no contems and have come across no other matters in connection with the examination to which attention should be drawn
in this report in orderto enable a prc4)er understsnding of the accountsto be reached.
Rebecca Dymond
Dymond Accountants
Office Fl,
Beverley Enterprise Centre
Beck Mew Road
Beverley
East Yorkshire
HU17 OJT
Date:
2&TrK.2KQ...kcJthu 901&-
Page 3

The Newland (bri￿lan Trust
Statemwt of Financlal Activltles
for the Y&¥ Ended 31st December 21Y24
31.12.24
Total
nds
31.12.23
Total
funds
Unrestrictèd
funds
Restricted
fijnds
Notes
INCOME AND ENDOWMENTS FROM
Donatlons and legacies
610,596
610,596
525,453
Othertrading activtties
76.799
8.977
85,776
20.417
Totsl
687395
8.977
696.372
545,870
EXPENDITURE ON
Raising fund5
53,986
53,986
72,157
arltable attivities
Operational Costs
488,189
5,599
493.788
458,401
Total
542,175
5.599
547.774
530,558
NEf INCOME
145.220
3,378
148,598
15,312
RECONCILIATION OF FUNDS
Totsl funds brought fonyard
1.054,979
11.217
1.066,196
1,050,884
TOTAL FUNDS CARRIED FORWARD
1.2(Q.199
14.595
1,214,794
1.066,196
The notes fom) part ofthese finanaal ststements

The Newland ChT1511an Tn&t
31st December 2024
3L12.24
Totsl
funds
31.12.23
Total
fvnds
Unrestrirted
fijnds
Restricted
funds
Notes
FIXED ASSETS
Tangible assets
li
675.048
675,048
675,715
CURRE￿ ASSErs
Debtors
Cash at bank
12
3.105
530,753
3,105
545,348
942
399,355
14.595
533,858
14.595
548,453
400,297
CStEDITORS
Amounts falling due within one year
13
18.7071
18,7071
19,8161
NET CURREpif ASSErs
525,151
14,595
539,746
390,481
TOTAL ASSEfs LESS cuRRETr￿ UABILMES
1.2(Kl,199
14.595
1,214.794
1,066,196
ASSErs
1.2(X),199
14,595
1,214,794
1,066,196
FUNDS
Unrestricted funds
Rèstricted funds
14
1,2LX),199
14,595
1,054,979
11,217
TOTAL FUNDS
1,214,794
1,066,196
The charitsble company is entitled to exemption from audit under Section 4T1 of the Companies Att 2(YJ6 for the year ended
31st Decembèr 2024.
The rnembers have not required the company tr) obtain an audwt of its financial ststements for the year ended 315t De￿mber 2024
in accordan¢e with Section 476 of the Companies Act 2C
The trustees acknowledge their responsibiltties for
lal
ensuring that the charitable company keeps accountln8 records that comply wrth SeLttons 386 and 387 of the Companie5
Act 2006 and
preparing financial ststements whith give a true and fair Mew of the state of affairs of the charitable company as at the end
of each financial year and of its surplus or deficit for each finanual year in accordan￿ with the requirements of Sections
394 and 395 and whlch otherwise compty with the requirements of the Companies Act 2CX]6 rÈlating to financial
statements. $0 fdr as applicable to the charitable company.
Ibl
The financial statements were apprcNed by the Board of Trl￿e$ and authori5ed for issue on ..................
were signed on its behal* by..
S Mckay- Trustee
The notes form part ofthese financial 5tstements

The Newland thr￿lan Trust
Cash Flow statthn￿t
for the Year Ended 31st December 2024
31.12.24
31.12.23
Notès
Cash flows from owating artivi
Cash generated from operatlons
145.993
26.525
Net cash provided by operating athtties
145.993
26,525
Cash flows from investing activitie5
Purchase of tangible fixed assets
123,7401
Net ￿sh provided byllused in) irwesting actiwtse5
123,7401
Change in cash and cash equlvalents in the
reporting period
Cash and cash equlvalents at the beginning of
the reporting period
145,993
2,785
399.355
396,570
Cash and cash equivalents at the end ofthe
reporting period
545.348
399,355
The notes fom) partof these financial ststements
Page 6

The Newl•MI Christlan Trust
Notes to the Cash Howstatement
for the Y&v Ended 31st December 21Y24
RECONCILIATION OF INCOME TO CASH FLOW FROM OPERATING AcmimES
31.12.24
31.12.23
Net income for the reporting P￿7(MI las puthe SLitementof Ananoal ￿￿1¥[be5)
Adjustments for:
Depreciati(Trn charge5
Ilncreasel/decrease In debtors
(Decreasellincrease in creditors
148.598
15,312
667
12,1631
11,1091
1,436
7,011
2,766
Net cash pro¥lded ty opuattons
145.993
26,525
ANALYSIS OF CHANGES IN NEf FUNDS
At 1.1.24
Cash flow
At 31.12.24
Net cash
Cash at bank
399,355
145,993
545,348
399.355
145.993
545,348
Total
399,355
145.993
545,348
The notes fomi part of these financial statsments
Page 7

The Newland thYi51ian Trust
Notes to the financial Statements
lorthe Year Ended 31st De(￿ber 2024
AccouMllNG pouaES
Basis of preparingthefinanoal ststements
The financial statements of the charitable Company, whith is a public benefft entity under FRS 102, have been prepared in
accordan￿ with the Charities SORP IFRS 1021 'Accounting arKI Reporting by Charities.. Statement of Recommended Practi
applicable to charities preparing their accounts in accordance with the Financial Reporting Stsndard applicable in the UK
and Republic of Ireland IFRS 1021 leffective l January 20191., Financial Reporting Standard 102 The Financial Reporting
Standard applicable in the UK and Republic of Ireland, and the Companies Act 2(M)6. The finanoal ststements have been
prepared under the historical cost convention.
Income
All income is recognised in the Statement of Financral ActP4itJes once the charity has entitlement to the funds, it is probable
that the income will be receNed and the amountcan be measured reliab￿.
Expenditure
LlabilttÉes are recognised as expenditure as soon as there 15 a legal or cornstructive obligation committing the charity to that
expendI￿re, it is probable that a transfer of economic benefits will required in 5etdement and the amount of the
obligation can be mÈasurÈd reliably- Expendr(ure is acts)untèd for on an accruals basi5 and has been classified under
headings that ag@￿gate all cost related to the category. whe￿ costs cannot be directy attributed to particular headings
they have been allocated to actiwties on a basis consistentwtth the use of resCHjr￿s.
Tangible fixed assets
Depreciation is provided at the following amual rates in orderto write off èach asset over its estimated useful life.
Freehold pmperty
Fixtures and ffttings
Motor vehicles
2% Cost
20% on cost
2(PA on cost
Taxation
The charity is exempt from corporation tax on its charitable actiwtses.
Fund accounting
Unrestricted funds can be used in aCCordar￿e ￿￿th the charrtable obiectrves atthÈ discretion of the trusteès.
Restricted funds can only be use(1 for parbcular ￿stricted purposes within the objects of the charity. Restrictions arise
when specified bythe dorKJr orwhen funds are raised for particular restricted purposes.
Further explanation of the natu￿ and purpose of each fund is i￿luded in the notes to the financial statements.
Pension costs and other p05t-retirement beneffts
The charitsble company operate5 a defined contribLrtion pension scheme. Contributions payable to thè tharitable
companvs pension scheme arè char8e(I to the Statement of Fina￿la1 kbvities in the period towhich they relate.
DONATIONSAND LEGAaES
31.12.24
31.12.23
94,204
516,392
82.239
443,214
Donations
610,596
525.453
Page 8
continued...

The Newland ChristianTrust
Notes to the finan(ial Statements. continued
ftr the Ye4W Ended 31st December 2024
urHER TRADING AcrivtTIES
31.12.24
31.12.23
Fundraising events
Other Income
44,666
41.110
3.013
17,404
85,776
20,417
RAISING FUNDS
Investment man4ement costs
31.12.24
31.12.23
Youth work costs
ChÉSdren's work costs
Event costs
Rent
Repairs ar￿ renewals
Training
4,249
1,514
2,840
4,090
4,185
38,233
14.412
8,397
27.491
8,719
6.125
53,986
72,157
CHARITABLE ACTivrriES C05rs
Support
costs (see
note 61
Direct
Totals
Operational Costs
5,722
493.788
suppO￿r COSTS
Govemance
Finan
Totals
Operational Costs
5,313
5,722
NET INCOMEIIEXPENDtruRE)
Net income/lexpendlture) is stated after chawngjlcredrbngl..
31.12.24
31.12.23
Depreciation- owned assets
667
1,436
Page 9
continued...

The Newland Chri#ian Trust
Note5to the Financial Ststements- continued
fortheyear Ended 3tst December 2024
TRusfEES' REMUNERATION AND BENEHrs
There were no trustees, remunerdtion or other beneffts for the year ended 31st t)ecember 2024 nor for the year ended
31st December 2023.
Thère were r
trustees, experw paid for the year ended 3tst De￿mber 2024 nor for the year ended
31st December 2023.
srAFF cosrs
31.12.24
31.12.23
Wage5 and salaries
Socsal sècurity costs
Other penslon costs
316,782
21,920
29,215
307,792
17,235
28,072
367.917
353,099
The average monthly number ofemployees during the year was a5 follows:
31.12.24
31.12.23
14
Trust knistants
No employee5 received emduments in excess of£60.rm.
io.
COMPARATIVES FOR THE STATEME￿ OF HNANaALAcnvmES
Unrestricted
funds
Restricted
funds
Total
fijnds
INCOME AND ENDOWMENTS FROM
Donation5 ar￿ legacies
522,382
3,071
525.453
Other trading activitiès
11.931
20,417
Totsl
534,313
11.557
545.870
EXPENDITURE ON
Ralsin8 funds
72.157
72.157
Charitable activllles
Operational Costs
451,342
7,059
458,401
Total
523.499
7.059
530,558
N￿INcOmE
10,814
4.498
15,312
RECONauATION OF FUNDS
Total fi1r￿S broughtfoThvard
1,044.165
6,719
1.050,884
TOTAL FUNDS CARRIED FORWARD
1,054,979
11.217
1,066,196
Page 10
continued...

The Newland (hristian Trust
Notes to the Finantial Statements- continued
the Year Ended 3tst D￿ember 2024
ii.
TANGIBLE AXED ASSEtS
Fixiures
and
fittings
Freehold
property
Motor
vehides
Totals
COST
At 1st January 2024 and 315t De￿mber 2024
819.251
3L963
10.250
861,464
DEPREOATION
At 1st January 2024
Charge for year
150.933
24.567
10,249
185,749
667
At 3tst De￿mber 2024
150.933
25,234
10,249
186,416
NEf BOOK VAWE
At 3tst De￿mber 2024
668,318
6.729
675,048
At 31st December 2023
668.318
7,396
675,715
DEBTORS: AMOUNfs FALLING DUE WtTHIN ONE YEAR
31.12.24
31.12.23
Prepayments
3,105
942
13.
CREDITORS: AMOUNTS FALUNG DUE WtrHIN ONE YEAR
31.12.24
31.12.23
Trade creditors
Social security and other taxes
Other credttors
Accrued expenses
277
4,364
2.626
2.549
6.157
2,550
8,707
9,816
14.
MOVEMENT IN FUND5
Net
movement
in funds
Transfers
between
funds
At
31.12.24
At l.L24
Unrestrirted funds
General fund
Future Fund
L054,979
106,313
38,9J7
38,907
138,9071
1,2¢XJ,199
1,054.979
145.220
1,200,199
Restrtcted funds
Family Fund
IL217
3.378
14,595
TOTAL FUNDS
1,066,196
148,598
1,214,794
Page 11
continued...

The Newl•KI ChrlstlanTrust
Note5 to the Fin￿11a1 5tsteM￿ts- continueil
for the Year Ended 3tst D￿Mb¥ 2024
MOVEMENT IN FUNDS- ¢tyttinued
Net movement in funds, included in the above are as follows:
Im)ming
resources
Resour
expended
Movement
in ftjnds
Unrestricted funds
General fund
Future Fund
1542.1751
106,313
38,907
38,￿7
687.395
1542.1751
145,220
Restricted fvrKIs
Family Fund
8.977
15.5991
3.378
TOTAL FUNDS
696.372
1547,7141
148,598
Comparatl¥esfor movement in fund5
Net
movement
in funds
At
31.12.23
At 1.1.23
Unrestricted funds
General fund
Future Fund
1.044,165
10.614
2￿
1.054,779
200
1.044,165
10.814
1.054,979
Restricted funds
Famity Fund
6.719
4,498
IL217
TOTAL FUNDS
1.050,884
15,312
1,066.196
Comparative net movement in fvnds. indude(l in the above are as follows:
Incoming
resour
Resources
expended
Movement
in fund5
Unrestricted funds
General fund
Future Fund
534.113
2CIJ
{523.499)
10.614
20D
534.313
1523,499)
10,814
Restrirted funds
Family Fund
IL557
17.059)
4,498
TOTAL FUNDS
545.870
1530,558)
15,312
Page 12
continued...

The Newland thristianTrust
Note5 to the finan(ial Statern￿- continued
for the ye￿ Ended 31st De(ember 2024
MOVEMENT IN FUNDS- continued
A current year 12 months ar￿ prior year 12 months combined p￿ItIon is as follows..
Net
movement
in fur￿5
Transfers
between
funds
At
31.12.24
At l.L23
Unrestricted fund5
General fund
Future FurKI
lJ)44.165
116,927
39.107
38.907
138.907)
1.199.999
2tx)
1.044.165
156.034
1,2(YJ,199
Restricted funds
Family Fund
6,719
7,876
14,595
TOTAL FUNDS
1,050
163.910
1.214,794
A current year 12 mont￿5 and prioryear 12 morrths combined net movement in funds. induded in the above are as follows:
Incoming
resources
Resour￿5
expended
Movement
in funds
Unrestricted funds
General fund
Future Fund
1.182.601
39,107
11,065,674)
116.927
39,107
L221.708
I1.￿5,674
156,034
Restrlcted fvnds
Fami￿ Fund
20.534
112.658)
7,876
TOTAL FUNDS
L242.242
11,078.332)
163.910
15.
RELATED PARTY DISC105URES
There were no related partytsansactions forthe year ended 31st De￿rnber 2024.
Page 13

The Newland (hristi• Trust
Detailed Statemert of Finanaal Artivibes
forthe Year Ended 3tst Iyecember 2024
31.12.24
31.12.23
INCOME AND ENDOWMENTS
Donations and lega(i¢s
Gift Aid
Donations
94,204
516,392
82,239
443,214
610,596
525,453
Othertrathng artfvltles
Fundraising events
Other Income
44,666
41.110
3,013
17,404
85,776
20,417
Total incoming resour
696,372
545,870
EXPENDITURE
Investment manwent costs
Yovth work costs
Chlldren's work costs
Event Costs
Rent
Repairs and renewals
TraSning
4,249
1.514
2,840
4.090
4,185
38,233
14,412
8,397
27,491
8,719
6,125
53,986
72,157
Charitable activities
Wages
Social securty
Pensions
Rates and water
Insurance
Light and heat
Telephone
Donations
Sund¢ies
Fixtures and fittings
Motor vehicles
316,782
21.920
29,215
4,204
2,968
6.914
1,874
50,430
53.092
667
307,792
17.235
28,072
3,744
2,304
17,504
1,814
34,868
37,637
667
769
488,066
452,406
Support costs
Finan
Bank charges
298
Accountanry and legal fees
5,313
5,697
Total ￿SOurceS expended
547,774
530,558
Net income
148,598
15,312
This page does not form part ofthe statutory financial 5tstements
Page 14