REGI￿RED COMPANY NUMBER: 05156475 (EnRlond aDd Wales)
RECISTERED CHARITY NUMBEIL. 1105173
USTEES
UNAUDfTED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30Th SEIryEMBER 21124
BLESS NE
D E & Co Limitcd
charte￿XI Acwunl#DL8
IS Bridgc Ro￿d
WcllingloD
-rellord
SbropshiTe
TFI IEB

BLESS NETWO
coiirENfs OF THE FINANCIAL sfATEMEr<rs
for the Ye
nded 30t
tember 2024
Page
Rqborl of tltt Tn
Jndepcndent Examin¢r's Report
statement of ThaTr¢lAI Aclivitl¢s
Bylynce Shcet
Notes lo tbe Flnancial Slalem¢Dts
8 to 12
Detalled Statsmtnt of FiD¥ndAI Acti￿lIc5
13 to l4

ORK
REPORT OF THE TRUSTEES
e Year Elld￿l
S tember 2024
The Inislees who ale alyo di]ector3 01.th¢ cbaFity for thc purposes of the Companies Acl 2006. present IbeiT TCPUrt with Ihe fillallcial
yIateD￿nts of thc charity for the year ended 30th Sq)lember 2024. Thc kn]s't￿8 have a(lopied thc provisions of AccL)UlltiDg and
Reporting by Charitics: 8thtement ofReComU￿￿dCd Practice applica)le to charitics ptepaTitig their acwwils in accordancc wilh Ihc
TrillallcÉiil Reporting standard applicable ill UK and Rqjublic of Irclalld (FRS 102) (effeclive l Jwjuary 2019).
ORJECTIVES AND AcfiviTIKS
Objectives and acllvili
The objeclivc of Thc Bl¢ss Neiwork (gless). is thc advancetnent of the Christian faith thr()ughout EUTOPC in accord8ncc with Ihc
articles of faith scl oul in the CoMpan￿S Articl￿ of association. Bles9 uscs a rangc orpro8ramm￿ to mobilise Cbristsan inth"vidudly
nd gTuw)s to cn8a8e in ￿levant and mi¥siunal stsate8ies in CODlcrnporary F.ur(Ipean cullure. Recognising ibe place ol Ihe local
churc'h atthe heart of Chn"slian mission, Ttunkns of ]31ess bascd in france are supporting tbe plMlllinB of new churches.
Chgrity's Mt55lon Ststement
The1Sless Network exists to explore alld express thc way of Jegusby RLlivatiDg the values of his Kingdom in Ihe culknJreB of Europc.
ACHIEVEME￿ AND PERFORMAI¥CE
Charitable activitiL
OUT local Work iu fTancc c4)nluiued 8trot)gly tluough Ib¢ year. We are s￿}llg gww1h in Ihc lochl church coumullity. wilh re8ular
gttLhwinBS now Lylab]iNl￿ in Cacn ond Vilied6mer. Thc group tneetiDB in Livarol TqUCStcd. as fTOm Seplcmbcr 2024. to be
rclea8ed froni eng¥gcmcnl with our organi8alion so ay lo gTOW as an inde￿ndent cunBt¢galion. This was agrLYd twd Ihe gTOUP bas
beell bandcd over fijlly lo the leadeT5hip of ThiL7ry Melissa Eudelinc. Otsr regular supp)rl of the rcfuEL* comrnuDity IJ the city
of WDS pluced on pause in July 2024. duc lo i￿￿eS aroulld both funding and sIra￿8Y. We cunlinuc to ￿￿[Ch for Was to ¢Dgagc
ith individuals living and workiug on th¢ Pwu'ilL. de Cucll. includiD8 the tratrlcked wom¢ll based the
Wc ]Mve ￿ntIti￿ed lo dcvclop our ".Scven Storie￿ trnining pro8Tammc, offeriD8 bolb ￿sidC￿lIaI COUTses al Bethani¢ and off-site
input into loc41 churches, includiD8 a 8i8nificanl visit to Pasadell4 USA.
The Ble8stivMI eventWVlS 8Bain Well-￿tendLY1 and well-reccive
lle ￿]mmer prOgran￿ al laethaDie were led aDd managed by Ryan aud KaT¢ll Hall with Jon aDd Anna Whitc, &nd were both busy
alld frniiful. The AtLlier W￿kS wcrc particularly impa¢tfvl. both on outside participaDts aDd on the loca] church. as wD8 the llow
gular viyit of frolltier Church from Pa5adctia. C8lifoTnia. The InNlces IRAVC invcsled signifiLYnl limc in 2023 itt f[￿ther devcloping
Ihe relmlionship with Ryan Kttrcu Hall in-litie with Blesy, slalcd aim ofibeir takill8q￿ Ihc ll]Jwemelll olljethanie.
FINANCLIL REVIEW
Vlnanri41 posltion
Core NiiniD8 co&15 are Colllinimlly kept under Teview alld w¢re 4% lowu in 2013-24 • 10 2022-23 8gainst 1% higher
incomc. il ig acknowledged thal thc knL8le¢s and volwitea tcam cover expeTrses inCUTred on behulf of Blesi. None of thc Inistecs or
volunteers receivc any r¢mi]neration.
'I'h¢ 0￿sts￿dIng loan from GeTrrd & CIuJs5i¢ Kelly of£73.039 was Tenegotiated lo l Oclobcr 2029. Part repaymcllly may b¢ m
when cash 1% available. Anot1￿ loan 01£5,000 was al80 exl¢llded lo March 2029.
A8 <?I' l May 2025, 'The 131LWS' Neiwork look ovcr th¢ qKraliollal inc(Trull cxpcn5C5. Ms4cts' and liabililies ol. 11$ I;rcrnch PHTtncr.
Association vI￿e pour les (VPIA). 'lThis [￿VIlL¥l iu a ymall inter-clwity b81all￿ of £"852 jn favour of tbe Bless Nclwork,
which il covered by mmkillg equival¢nt gmt to VPIA. or the net loss for the year of £6.658. VPLA 0￿[8110￿$ Hccounled for
£2242 (May lo Scplemb¢r 2024).
'IThc charity's activitie¥ uf providin8 foo(L ckjthes. fThch le&sons other suppurt lo tcfugecy 8nd niigrnnls were sw4pEnded at tlie
cnd of Jullc 2024. This will nol sigllifEcJlllly ¢haDge the fiDallcia] nulls of The Bl¢s9 Network (Det illcomc in the cuThent year was a
I￿S 01£213).
Page )

THE BLESS
REPORT OF THE TRUSTEES
for the Yea
nded ￿th
tember 2024
VINANCIAL REVIEW
Re%eiwes policy
The policy on reserves is to mainlain fuud8 equivalenl to keepiDg thc clwity (inc]uditig VPLA in Frauce) coeTationg1 for 3 llkollthg
before addilional incomc is Tequired fmm grants, dollatioTh% or contnliulion8 from Bless PTograD]m&% i.e. approximately £7,500.
Aclion 14 in hand to improve the rescTV¢S position by increasing Ihe kvel of ullrestricted 1nLX)n￿ via donation8 arjd fund-Taising,
by reducing the llcl operalijg Loyts of the charity.
Cvov¢rnlng document
The chaTity IS CODtsollcd by its goveTDiDg docu1￿L the MellK>raDdum and ATliGIcs of Associ&lion, and constithtes a lirnitcd
Lompany, limiicd by 8uarnntec. ay der￿ed by the Companies Act 2006.
Orgnni5allonAI structhre
Bless. ogtsbliylKd 8s a charitable Coll￿any in June 2(J04. is oveTSeen by a board of tsusIe￿. WIM) delegale owatlollal lasks lo a corc
leam of voluntea5. Ibe CA)re lea￿ livin8 mainly ID LX)mmwiily ID France. includ¢ trnsteeg Gerard und Chrissic Kelly, who lead this
team and opernte ￿ the link betw￿ il And the ITuslccs. Addilionttjty thele conlinucy lo be volwileer ,￿ps, opcrnting ill the UK Mnd
the Netherlands, as well as l.'rallce. &8sistiD8 ill thc developnicDI, in both Working praelie￿ 8nd valve5. of a F.urop¢ wid¢ Ill¢ss
nelwork.
RF.FV.RENCE AND ADMINJSTRATIVE DETAtLS
RexislL'red Company number
05156475 (F,nglalld and Wales)
Rcglitered Cbarlty number
1105173
Rwstered offtce
clo Ili5ing Brook Bapb'st Church
Burton Square
stsfford
SLttffordshirc
ST17 9LT
Ti'ustees
Mrs C BKelly
(i J Kelly
'r D Gwilliam
M J Young- Board L'haltll￿lI
Prol'J M Sthker
C LGwilliam
Mrs S C Harrillgton
CoTnpllny Se¢i%tsry
Indepcn¢Jent Examiner
D E Ball & Co LiDlited
Ch#rtered ALcouLÉants
15 Bridgc Road
Wellillgton
Telfoid
.8hropshirc
TFI IEB
Page 2

THE BLESS NETWORK
REPORT OF THE TRUSTEES
for the Y
nded 30th Sc
202
REfiRENCE AND ADMINISTRATIVE DETAILS
Baiilccr5
'I'lie Co-opei'ative Bank PIG
PO Box 250
Delf House
SouÉhii'&y
Skelmei￿a1e
WN8 C)WT
AppiDIFed by oidei" of the Ix)aid of Irustees 011 25th June 2025 and signed on its kh.?Ir i)y:
M J Young - 'fiu8tee
Page 3

EP
R'S REPOXY TO ThE TRUSTEES
TEIK BLESS NETWORK
IDdcp¢Dd¢Dt examiner's report to Ihe trnstees ofThe Bless Nelwo￿ Cthe Compan￿)
I report to ihc (bATity trnst￿ on myL'xamitiatsoll of Ihc ace4)ullts olihc coM￿Y for tbc year Lrymivl 301b S(ycD]b¢r 2024.
R¢xpuDsibilitr(s gnd orn7￿rI
A¥ ihe charitys ITuste￿ of ttLC LoD]pany (ar￿ also its di￿t0[S for the PUTPOS￿ of law) you aTe resp0￿17)1e for the
preparation ofthe accounts in acc4)Idallcc with thc rtx￿1￿￿U1ts of thc Con¥Jawes Act 21116 llhe 2(M)6 Acly.
Hjving sutisfied ￿Yself that Ihc ar￿)ll￿ts of thc cA)U￿1￿Y are noi reqll￿d to bB audilL%I under Part 16 of the 2IK)6 Act and are
eligible for indq)eudent exan)luatio￿ I reporf in rc4)￿1 ul my exumillali(m of your clwiiys accounts as Ca￿led out under knlion
145 01. thc Chiwitioq Act 2011 (Ihc 2011 Ad). In canying out my cxaMi￿lI0ll I havc fo)IowLxI Dirccliolls 8tven by thc Ch￿rItY
Con￿￿5s1o￿ under &Yiion 145(5) (b) of the2011 Act
Independent exwniner's ststement
I have compleled my exami￿tiOn I confllllj tbat no havc come to my atlention in co[ll￿.110n wilh the ¢xamination 8iviI]g
me cause to believe:
ttL(x)unting were not kept in res￿ ocihe Compny ￿ TEquirnl by SLtlion 186 of the2(K16 Act or
thc ttw)unLq do notaccord with those records; or
thc accoullts do not compty with thc ￿￿untIng rcqnircmcDtg of Scction 396 of thc 2006 Act Oth￿ than any Jwuircme
thai the accounts give a tfue and lairview which is nol a ll￿tter cimsidenl &% of an indepethl cxan)illalion' or
the acuJunls Iutvc ni)I b￿ft ijrwcd ID acu)rdanr£ with Ihe nK4h(¥Js and principles of Ibc Stst¢]nent of RecA)muiended
Practic¢ for aw)unliiig aDd Tq)OTling by c1w1tiL￿ (4)p]I￿]¢ b) clwib'e9 prq)aTill8 theiT aLXI)UDts in aux)r<lan¢c with the
I",inwicial Rcw)rting Stsndard4ipli￿k in tbe UK and Republic of I￿lalld (TRS 102)}.
I havc no conccrn4 and have come acros8 rAo other matters in cOnn￿tioD ￿ thc cxamination to which attention ybould b¢ drawu ill
this r¥iK)rt in ordcr to ctwblc a PTopcr uudcrsl8nding ol.thc #ra)UDts lo l)e ￿lLhLXL
Rw4s¢II Ball
D E Ball & Co Litnitcd
Chyrtered Accounlanls
15 Bridg)e Road
WelliT]gton
Tclfonl
Shropshire
'II.'I I LEJ
25th June 2025
Pa8e 4

STATLMENf OF FINANCIAL ACTIVITIES
for the Yegr End￿1 311È
er 21124
30.9.24
'I'otsl
Unrestricted Resthded
fulld
fi￿d
Tothl
funds
Notes
INCOME AND Eh'DOWMEIYTS FROM
Donations and Icgucies
20.810
20.810
10.146
Charitable acliviti(
Go2111&8S
Year2BIcsy
Ilethanie
Mattdgeinent & thiDistration
￿l￿S C'hu￿￿ (Fll)
4215
4,215
9,461
1.226
18.412
6573
13.648
6,53D
266
13.648
6,530
266
Total
46.113
46.113
45,818
EXPENDITURE ON
Raisillg fund¥
342
342
216
Chwrlt*ble thcllviti
Go2131ess
YLAQBless
Flethanie
Mttnagernenl & admini8lTalion
SOS Caen
Blcss Cburch (FR)
l.K91
160
13.181
24.458
6,678
6.001
1.891
160
13.181
24.458
C),678
6,(￿1
649
25,251
1.840
TotAI
52.771
52.771
54,769
NET INCOMKI(EXPENDITURE)
(6,658)
(6.658)
(8I)51}
RECONCILIATION OF FUNDS
Tolal lunds brougbt fO￿ard
75.659
177.438
253,097
262.(M8
TOTAL FUNDS CARRIED FORWARD
69.(M))
177.438
246.439
253,097
'rhe notes form part ofthcsc [￿￿Cial sE4teDKDts
Page 5

BALANCE SHEET
30th S tem
2024
Unrestricted
fijnd
Res'trict
fund
Tolal
runds
Tolal
(wids
Notes
FIXED ASSETS
Tmngible &8sets
195.535
177.438
172.973
CURREwf ASSETS
Debtois
Cagh al
5.-183
5,383
122
28.740
211.740
47,55CI
CREDITORS
Amounls falling due within ()nc year
(2.771)
(2.373)
(11258)
NET CURRE￿ ASSETS
26.367
26.167
TOTAL ASSETS LESS CURRENf LIABILTTIES
221.902
177,438
3W.340
409.998
CRED￿oRs
Amounts falling due Jfter morc ibkw year
{152,901)
(152.901)
(156,901)
NET ASSETS
f¢),(X)I
177,4.38
246.4.39
253.097
FUNDS
Ullrcytriclcd funds
RcstrtcÉed fund
io
69.001
177,4.38
75,659
177,418
TOTAL FUNDS
246.439
253,IW7
'17Le charitable Lomp￿lY is eutill￿ lu ¢xcnwtion from audit iujder .$￿Ilon 477 of thc Companie5 Act 2006 for the year ellded
30th Septembcr 2024.
The rncmbcrs have not rcquirul the cornpany to obtsin audii of its fmancia] sIalcn￿$s for thc YC￿ coded 301h Seplernb¢r 2024
in aCcordW]￿ with 8￿tion 476 o[U￿ Compunies Ad 21)06.
The I￿slI￿¥ aLknowkdgc thcir reSpoDs1￿II1ti[¥ (or
(a)
ensuring that charithblc ￿MPanY kws MccouDts'n8 Tec4)r<L8 that cotnpty wilh s￿{10￿5 386 und 187 01 the Loniptuii
ALI 211U6 And
preparillg linaiitiiul statements wbich give a true and fair vicw of Ihc stslc ol altréi￿ ol thL" chJril8ble company 114 Ilt the end
of eacb ftinancial year alld of IL¥ or dcficil for t￿b [￿￿¢18) y￿r in yccordance wilh Ihc wuirements of Section8
394 4nd 395 and whi¢h olhcrwise LOll)ply with thc rrquirenwnts ofthe Cfjuwanies Act 2006 Telpling to fman¥ial stalements,
yo lur ils 4)plicablc lo the clwilabk Collwally.
Ib)
The noles foEm part ofihcse f￿￿￿ClaI sthic1￿￿ts
PJg¢ 6
ci)nlinued...

THE BLESS IYETWORK
BALANCE SHEET- continued
30th Se
teihber 2024
These liiiancial statements have [￿en p1'ep￿rd in 2¢coidan¢e wilh thc ￿￿visIOnS applicable to ¢harilable co1npanj&￿ subjeLI to the
smcill compdni&s iegsme.
Tlie fii)Èllicial slcltenienls iieie approved by the Board of T173Stees and authorised for issue on 25th June 2025 and si&)tJcd oIi its
behalf by.
M J Youiig -'fi￿$1ee
The notes part of these finJnLial ￿aILTrents
Page 7

LESS NETWORK
NOTES TO THL FINAThCIAL STATEMElWfS
for thc Year En41(xl 30th Se
teRnbcr 2024
AccouiYrtNG POLICIES
B&sis ofpn¥gring the f￿0￿£￿81 statemtnts
Thc linynLi&l slatemenls of the cbatilablc cumpany. thich is a public lyenefii elltily UZMler l.'RS 101 ha￿ I)￿1 prq)ared in
accord￿ce wilh the Charities SURI, {I",RS 102) 'Accounting and Retthing by Chwilies". Slalemcllt of R¢¢omn)eJided
Praclice applicable to charitie5 prepating iheir accounts in acCOrdall￿ wtth thc fiDanL'ial Rwortillg StsDdaTd appliLable in
the UK ￿}d Republic of Ire]￿d (fRS 102) (effeLlive l JaDuary 2019),. fsnancial Re])ovling .Stall(]urd 102 The Trinallcial
Reporting stalld￿d appliL4Jblc ill Ihc IJK Republic of the Conywiies Act 2(M)6. The finunL'ial slatcmeDts
h&ve beell PfCP¥Tcd under the histuriclll Costc4)nV￿li0ll.
Income
All incotnc 18 TEC()gnised iii the Statement ol financial Activities oThcc the clwily Ims cntidanent lo the il 15 probuble
th&t Ihe income will be received IbL' an)owilcaD be measuTcd Teliably.
Exptndilur¢
Liabililic% ure recu￿1%￿{ a4 expenditure as won as lh￿r is a legal or Consts￿¢t1VC obligalion coryllnittiDg the charity lo thMI
cApcnditUTe. it is probable Ihat a Iransfcr of econornic bcnefits will bc wuired in seltlemenl alld thc Hmount of the
bli8altoJJ can be measured reliably. ExpL￿dIture is accounlcd for on an ￿n￿lS basis and bas bLYn cl&4gificd undeT
headillgs thai aggryegale all cnsl rc141￿ to the ￿te￿)ry. WheTC CA)51s cannol ￿ dircclly attributed lo parfiLu]ar headings they
have been allocated ￿ uclivitiLs on a Iydsis COnSiStenl wilb ibc use ol'ffsouriLg.
TAD%iblL fix￿1 ￿Sets
DepTecialion is PTovidcd ai the following annual tales ID ordcr lo off each #sxdover its es1imJlcd u￿f￿1 life.
Motor vebicles
Computerequipment
25% on Tcducing balance
33Yv on CA)sI
Taxatio
The charity is exempt from co￿[￿tiOn tsx VD il% ch*Tilable activities.
riund •ccounling
u￿￿tricted cats be used in ￿1rdanCe with the chaTitabk objectives at the digL'reiioii ofthc truslees.
Re91ric1￿ fvnds can ouly v￿d for pwlicular reytricted pu￿0$e5 wi1hiD thc obj￿'ts of the clwity. lie¥lriLIiu115 arise
whcll sp￿Ir7ed by the donor or wbeD funds arc rai8cd for particular restricted puTw)s¢s.
Fwther cxplanation of the nature and puTw8c of cuth lund 18 iDduded iD1he nole5 lo Ihc fJ5wJcial statements.
NET INCOMEI(EXPENDITURE)
Nel illcome/(¢xpendilurc) iy ststcd after cbar8inpJ(CTediiing):
30.9.24
l)cpreciulion - owJi(xl ¥y¢ls
727
969
PJ8e11
continued...

S NETWORK
NOTES TO THE FINANCIAL sfATLMENTS. conlinu¢d
(or the
ear EEde4130th S temb
02
TRUSTEES, REMUNERATION AND BENEFfTS
Ibere weTe llo In]steel rmuneration or ot7￿ lThefits for the year thded Ioih Sqbtelltht 21Y24 nor for th¢ y&4t ended
-10th ScptemlKr 2023.
Trnste&s' expcnses
There were no ttusiees. expcnsc5 paid for t￿ ycar eodcd 31)th SqAwllber 2024 nor Cor thc year endcd
30th sepi¢m￿ 2023.
COMPARATIVES FOR THE STATEMEhry OF FtNANCIAL ACTIv￿[￿s
Unrestricl
(und
R¢slTiCtcd
rund
Tolal
Juds
INCOME AND ENDOWMENfs VROM
l)onulions and legucies
10.146
10.146
Charlthble Actlviti
C702BIcsy
Year2E414x8
ljethallie
Mwiagen￿nI & administratir)n
9.461
1226
18.412
6573
9,461
1,226
18.412
6,573
TolAI
45.818
45.818
EXPENDITURE ON
EiaisiuB funds
216
216
Chlrltable a¢tlviti&s
Go2BI&sS
YcuQllless
Bcththnie
MtUW8etnenl & admituytration
SOS Caen
6583
649
20230
25251
6.583
649
25251
1.840
Total
54.769
54.769
NET INCOMKI(EXPENDITURK)
(8,951)
(8.951)
RECONCtLIATION OF FUNDS
'rol#l lunds broughi loNard
84.610
177.438
262,048
TOYAL FUNDS CARRIED FORWARD
75.659
177,438
253,097
Page 9
continued...

BLESS
TWORK
NOTES TO THE FINANCIAL STATEMENTS. continue41
ror the Year Ended 31)tb Se
lernber 2024
TANGIBLE FIXED ASSETS
F￿￿h0]d
propetiy
Motor
vcbiclL%
ComputCT
Tolals
COST
Al Isl October 2023 and 31hh scpteMl￿ 21Y24
370,7
9.118
380.814
DEPRECIATION
At 1st OL'tober 2023
ChaTge fi)r ye
6210
727
904
7.114
727
At 30th September 2024
904
7.841
NET BOOK VALUE
At 30th %eptembcT 2024
370.792
2.181
372.973
At 10th Sq)tcmber 2023
370.792
2.908
DEBTORS: AMOUNTS FALLtNG DUE WITHIN ONE YEAR
30.9.24
Othw debtor
5.383
122
CREDITORS: AMOtJNrs FALLING DUE WITHIN ONE YEAR
30.9.24
30.923
Other loanq (see nolc 9)
AccNed expcn9¢S
6,258
11.258
CREDITORS: AMOUNTS FALLING DUE AFTER MORE THAN ONK YEAR
30.9.24
30.9.23
l)ther Ii)aDs (Jee nole 9)
151901
156.901
LOANS
An analysis ofthe maturily of IoaDs is 8iven below:
Amounts falling> due withiii one yeuron denwd:
Other loally
5,000
Amowits falling du¢ betwe£n two and live yeats:
Other IoallS- 2-5 year8
152,901
156,901
Pagc 10
continuc(L..

BLFSS NETWORK
NOTES TO THE FINANCIAL STATEMENfs- continued
the Ycar Ended 30th
lembcr 20
io.
MOVEMENT IN FUNDS
Nel
mOVeD￿nI
in lunds
At
1.10.23
At
30.().24
Unrestricted fuDds
General ltsnd
75,659
(6,658)
69.001
Restri¢t¥d fund5
R¢slTiLted I,'und
177,438
177,438
TOTAL WUNDS
253.097
(6.6.$8)
Nel mov¢m¢nl iu funds. inc]udLxI in the aljove arc ￿ follows:
Incoming
Resourccg Movcrncnt
expelldcd
in funds
Uni'c5trftted (undy
GencTal fulld
(52.771)
(6.658)
TOTAL fuNDS
46.113
(52.771)
(6,658)
Impyratives for rnovcmeDt funds
Net
movemenl
iu full&4
At
1.10.22
At
Unrestrfcted funds
Gellcrnl tund
84.610
(8,951)
75,659
Restrlcted fund5
ReStridl￿ I",und
177.438
177,438
TOTAL FUNDS
262.048
(8.951)
253.(J97
Comparulivc ncl movenmit in funds. inclth in lh¢ alKWC urc ￿ follows..
Incoming
Resource5
exP￿ded
MoverneDI
in fuDds
Unre51ricled funds
(ienerdl fvnd
45.818
(S4.7(￿}
(8.951)
TOTAL FUNDS
45.818
(54,769)
(8.951)
PaEell
continued...

BLESS NE
WORK
NOTES TO THE FINLNCIAL STATEMENfs- colltinued
ror the
Ended 3111h Se tenther 2024
MOVEMENT IN FUNDS- LoDtinucd
A curnit year 12 rnonthq and prior year 12 months collth1￿ ￿l¥ll10n is as follows:
Nel
tnovellicnt
in fwids
At
I.IU.22
Al
3U.9.24
U￿.c$¢rlc1cll funds
Cjcneral fi]nd
84.610
(15.6(YJ)
69.001
Rc5tricted Cunds
R¢sInCl￿ Fund
177,418
177,438
TOTAL FUNDS
262,(M8
(15.6(B)
246,439
A CUTrenl year12 mouths and prior yCaT 12 It￿￿th8 cthnbimj net MOV￿￿1 in lull¢l8, included in ihc above we as followy..
Inwmi08
Movernenl
in fjJDds
¢xpthded
UDrcstri¢tcd funds
Cjencral (ulld
91.931
(107,540)
(15,609)
TOTAL FUNDS
91.931
(107,540)
(15.609)
Unrestilcted funds
'lThcy¢ represent funds held to mLI't the reservL% policy. Any yU￿lUS fvnds will be usd kn fulfil the ¢barilablc objectivey.
Delail8 of IK)th atc provided ill the Report ollhc Tn￿5.
Restrict￿ funds
I'hese rclulc to Ibe dO￿￿ted towu&8 the of the PrO￿rIy"BetlWj1c. aiHeurtevenL France.
Ji.
RELATED PARTY DISCLOSURES
'There were no relatwl pArty transactions for the yeaT ¢ndd 30th September 2(r24.
Page 12

THE BLESS NETWORK
DETAILED STATEMEivf OF FINANCIAL ACTIvrriES
ded 301h Se
tember 2024
-10.9.24
INCOME AND ENDOWMENrs
Donations And I￿A(leS
CFifts
Do[￿lI0￿5- gelleral
D0nations-13etlll￿ic
Church (France)
SO8 Ca¢n
3.671
5.Crf9
410
4.615
6.465
I,571
7,716
426
433
20.810
10,146
Ch*rltAble actl￿tt
Go2BIc¥s
YcuTrrime2FJI&ss
B¢thauic fAcililie8
MaDagenienl fee8
Church {I'rance)
4215
9.461
1,226
18.412
1.3.648
6.530
266
25 J03
35.672
Total iDcorning resourc¢s
46,113
45,818
KXPENDITURE
Ralslng donatioDs and le%acies
Publicilv alld PTomolion
Platfotm feey
69
273
216
.342
21()
Charitable activities
Rcnl, rates and w#ler
lllsurniice
Rcpllirj Jnd mainlenance
Motor and travel expcnK
CJiftx passed to third paTIi&%
Mi%sion LOSts- BeihaDie
Misyion Losts- CJo2Bless
Missioll ¢OSts- YellTfi'ime2111cs
MiyNion c0513- SOS Cacn
Mission cosls - Churcb l.'tan
Lhurch niuiiugcr
(irallls kn VIJLA l.TallCC
Suudry cxpeiises
Accoulltancy alld legal wlls
Carried forward
836
3.545
86
8,857
3.671
13.181
1.891
160
6.678
5.(Ml
1,020
1.538
4.441
703
51,(A8
2,916
326
6,462
,571
20,233
1,840
8,079
2,654
53584
T]iis ya8e doe5 not fonn part of the 5tstuk)ry fiDa￿Cial stsicmellts
P#gc 13

ss
DETAILED ￿ATEME￿r OF FINANCIAL ACTivrriES
c Ycsr Ended 311th Se tenther 20
30.9.24
CharKtwbl¢ aclivilies
Brougbl loNard
Bank uharg¢s
DepTSXiation olv¢hicle
51.648
5.1.584
727
969
52,429
54.55.1
Tc)thl resources cxpendcd
52.771
54,769
Net expenditurc
{6.658)
(8.951)
This pagc do￿ not fornipyrf of the 51afrtlory fmallcial slatLYncll15
Page 14