Pr••bleMr• Ran1￿*18 I Chth No 1105585
RENEWED PRESBYTERIAN CHURCH
IGREJA PRESBITERIANA RENOVADA
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30TH JUNE 2025
CHARITY NUMBER. 1105565

RerTh•da I Chvthf 1105S35
INDEX
P3ge
Truslogs, Aftnual Rer#Ni
lThJependont Examinefs Rorx)rt
Stolen￿nI ol Financi81 Activths
Balance Sheef
Notes to the Financi￿ S￿lem￿n
Page 2 0110

Prethlen8nw Rerv••l• I ChBnty No 1105M5
TRUSTEES. ANNUAL REPORT
YEAR ENDED 30TH JUNE 2025
The trust￿ are pleased lo present th*"r report and financial statements fw tho year ended 3(Xh
June 2025 for the chanty. Ill￿1a Presbitenana Renov•Ja {also knu•m as Renewed Pr8$bytertan
Church). with Chanty Number 1105565.
Tru5tsoS
The Irusiees who sep48d during the year V•*re".
Mr Marcos Souza Franco
Mrs ClaLKlineia Panato de Souza Franco
Mr Eduardo Pollasln
Principal Addr•ss
27 Hazeldean Road
London
NW10 8QT
Stru¢tur•, Gov•rnan¢• and Manag•m•nt
The chanty's govoming document Is a trust deed adopted on 4th August 2004, as amended by
supplemental deed on 4th December 2C￿8. The charrty is gov8med by a board of Injstees who
meet regularty to review and plan adivrties and to monitor the chanty's financial position. New
trustees are appointed In accOrdar￿e wrth the provisions of the trust deed. The trustees ensure
that appropnate safeguarding and risk management procedures are in place.
Charltabl• Obj•¢ls
The objects of the organisalion are-
1. The advancement ol the Chnstian faith in accordance wrth the Slatement of Faith throughout
the world as tha Irusto88 may see frt from time to time.
2. The roliof of poverty.
The trustees confimi that they have had due regard lo the guidance issued by the Chanly
Commtssion on Fmjblic benefrt b8for8 deading what a¢tivrti&s the charity should undertake.
Actlvitl•s- How th• Charlty Sp•nds its Mon•y
The charity's activities centre on..
The regular holdirvJ of Christsan worship $er¥ices.
Reaching out lo the needy in the communty the message of hopo and love.
The chanty Is engaged in General Chantable Puws, Education and TrainiTrJ, Prevention
and Reliel ol Poverty. and Oveisea5 Aid and Famine Relief. Ils beneficiaries Include children and
young ￿ople, other charilies and voluntary bod￿5, and the general public The chanty provides
its support by making grants lo organisabon5 and by providing services directly
Achi•v•m•nts •nd P•rtomian¢•
Dunng the year the charity ¢ontinued to hold Tegular Christian worship services. providing a place
ol spinlual growlh and community sUPPOrt Church conferences and events were organised to
assist In the development ol Indi¥Kluals wrthin the congregation and the WM1er communrty. The
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P¥ryqbrtenw• Ren￿1th 1 Chmrty 1105565
chanty maintained its commrtrnenl to SUp￿tir￿j rn1￿0n work and reaching out to those in ne&J.
l>)th locally and overneo$
Financial R•vi•w
The lotal voluntary Income of the chanty for the year amounted lo £52.409 Tolal exp8ndilure for
the year was £56,428. resulting in a nel deficrt lor tho ￿n0d of £4.019 The pnmary areas of
exp8nOilure were building ienlal Gosts, the runnirKJ ol Church events, and a mission t￿￿ring. Th8
tNslees have carefully managed Ihe charty's resources Inrougnout ihe year.
The closing bank balance as at 30th June 2025 was £4.637
Int•rnal Charity Flnanelal Controls Pollcy and Proc•dur•s
The Iruslees maintain a policy ol Intemal finanoal controls lo safeguard the Chanty's assets and
ensu￿ the aruracy of 115 financial fecofds All income and expenditure requires aulhorisation by
at least one Iruslee. wrth bank transadions wuinng dual signaiory approval where wadicabFe.
Financial records arg revtewod by the trusto0$ at each l)oard mwtin9 and r8conciled lo bank
statements on a regular basis.
Flnanclal R•s•rv•s Polley and Proc•du
1115 th• policy of the charity lo maintain unrèslncled rwr485 eour¥alent to approximatety three
months of unreslrided expendilure. pro¥￿ing sufficient funds lo cover any unforeseen or
emergency Costs. The twstees review Ihe level of reseNes al least annually and lake sl&PS to
restore reseNes to the target level where they fall below it. Any surplus lunds held above the
target level will be considered for application towards the chanlls chantable objects.
Engaging Ext•rnal Spak•rn at Charity Ev•nts Polley and Proc•dur•8
The chanty may engage external SFeakers at its events where doing so athances its chantable
objects. subject lo prior approval by the Iruslees. Al speakers are assessed to ensure their
conlenl is consislenl wrth the charity's Ststement of Faith and values. and any associated costs
are agreed in advance and property aulhori$eO The chanty wll not make payments to exlemal
speaker5 Wrthout appropnate documèntation and trustee swn-off.
Risk Manag•m•nt
The Irusle8s have assessed the major risks to wh.ch the charity is exposed, in particular those
related lo rts operations and finances. and are satisfied that systems and procedures are In place
to mrtigate exposure to the wincipal risks.
Trust•0 R•sponsiblliti•s
Under the Chanlies Acl 2011. the trusl88s are required lo prepare a stalem&nl of accounts for
each finanoal year which gives a Irue and fair ¥￿W of the slate of affairs of th8 chanty. In
prepanng those accounts. the Iruslees are required lo..
1. Select $uitat4e accounts'ng polioes and aP￿Y them consistenuy
2. Make judgements and estimates that a￿ reasonable and prudent.
3. Slate whether applicable accounling standards and slalements of rectynmended pradice
have been follov•*d, sutyed lo any departure5 disclosed and explained in Ihe accoiints
4. Prepare the finanual statements on a going concem basis unless it is inapwopriale lo
presume that the chanty will continue In operation.
The trustees are responsible for kee￿n9 proper accounting records thal disclose wrth reasonable
accuracy al any time the financial position of the charrty and lo ensure that the financial
statements comply Ihe Chantbes Att 2011. They are also responsible for safeg¢Jarding tho
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assets of the chanty and hence lakn'ng reasonable steps for the preVent￿n and detection of
tra￿￿ and other
larrties.
Signed
Name. Mar¢os Franc
Position.. Trustee
Date. ni. 01-202
Pa9• 5 0110

lor•Ja ReThy4•Ja I Chanty No 1105
INDEPENDENT EXAMINER'S REPORT
To th• Trust••s of Igr•Ja Prvblt•rl•na R•no¥•di
I rep)rt on the accounts of the charity lor the year ended 3(Mh Jur*J 2025. set CArt on the lolknMng
pages, which have been kyepared on the basis of the accountir#J shovm in the not?$ to
the accounts
R•spectiv• R•sponsibiliti•s ol Trust•os and Examin•r
The chanty's trust￿ are responsible for the preparation of the accounts. They cons￿Or that the
audit requirement under section 144121 of thè Charities Act 2011 does not apply 11 is my
responsibility to..
Examino tho accounts under section 145 of the Charities Act 2011 Ith• 2011 Act).,
Follow the pro¢￿￿r•S laid down in lh8 Genèral Directions givon by the Charity Commission
under setxion 1451Sllbl of the 2011 Act. and
State whether particular matters have come to my attant￿n.
Basls of th• Ind•p•nd•nt Examin•fs R•port
My examination was carried out in accordance wrth the General Directions given by the Chanty
Commission. An examination includes a ￿VIeW of the accountirvj records kept by the chanty and
comparison of thè accounts presented wlh those records. It also includes ¢onsideralion of any
unusual items or disdosures in the accounts. aTrJ seekin9 8xplanabon5 from the trustees
conceming any such matters. The procedu￿$ undertaken do not wov￿8 all Ihe evidence that
would be required in an audrt, and consequently I do not express an audrt opinion on the view
given by the accounts.
Ind•p•nd•nt Examin•r'$ Stat•m•nt
In ￿nneCtIOn wrth my examinatson, no matter has come lo my attention.
(1) which gives me reasonable cause to tse1￿¥e that in any material resF¢Ct the truslees have
not mel the requirements to ensure that..
{al proper accounting records are kept in accordance wilh section 130 of the 2011 Ad.. and
bl accounts are pr8pared which agree wrth tho acwJntirKJ recwds and comply wth tho
accounting requirements of the 2011 Act. or
{2) to which, in my O￿niOn, attenlion should be drawn in order to enable a proper understanding
of the accounts to bo reached.
Name.. Walmir Gusmao
Oualffications.. ACMA. CGMA (Chartered Instrtthe of Management Accountants)
Address." 7 Wickirffe Avenue. London, N3 3EL
Date
Paq• 6 0110

Ftreat•kn I ClwTr No 110S9J£
STATEMENT OF FINANCIAL ACTIVITIES
For th• y•ar oJnd•d Ioth .Ji•n• ?025
Note
R*slricio0 E
To131 £
INCOMING RESOURCES
Voluntary In¢omo- Trthes and
Offenngs
Invgstmenl Incom
$2.409
52,409
Total In••mlng R•souro•s
52,409
62,409
RESOURCES EXPENDED
Cost ol charItab￿ Aclivit
56.428
56,428
Govemance Cosis
Tot•1 R•sourc•s Exp•nd•d
56,428
61.428
N•1 klov•m•nt In Fund$
14,0191
14,0191
RECONCILIATION OF FUNDS
Total Funds trKoughl al 1 Juty
2024
8.656
8,858
T•tsl Funds Mrrl•d f•rw*rd •t JO
Jun• 2025
4,837
4.137
All r6c•r¥*d during Iho year ￿ Unr￿11￿. T￿re &r• no mstnded funds. All iTh)¥•n?•nt$ in funds
4nO all rncojnised gains end losses arn in¢lud8d 8bove
Thtr not•$ on th• accounts k¥m part dlh•s• •¢ccunts
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Ren¢N•d• I Ch•nty ND 1105
BALANCE SHEET
As at Jlxh June 2025
2025 f
CURRENT ASSETS
Cash 81 bank an¢J In hand
4,637
Debtor5 and prepayments
T•l•l Cvrr•nt A55•ts
4.137
CREDITORS: amounts falllnq du• wlthln on• y••r
Cr•dilor¥ and aCCn￿
N•t CuTrnnt Ass•ts
4N7
Er ASSET8
4.137
REPRESENTED BY
Unrestnct8<1 Funds
4,637
Restricted Funds
TOTAL FUN08
4,137
Tlw• arn no fix•d ossels or rnsbthd funds Th￿ 4V• no crndrt(ws LYolh•r
Approved by the trustees on .
. and signed on thw'r behall by..
Signèd..
Name.
PosrtK)n'. Truslee
Franco
Tl* nolos I1￿￿e fLYm pwl ofih8$8 a¢counls
PthJ• • al 10

NOTES TO THE FINANCIAL STATEMENTS
For th• y•ar •nd#d 30th Jun$ 2025
Not• 1- Accounting Poli¢i•s
The financial statements have been wepared undef Ihe Recthpts orKI Payments basis. which is
appropnale for a chanty ￿th gross incorne below £250.000 per annum that is not required to
prepare accwals accounts, In accofdance wrth the Chanties Act 2011 and the Chanties SORP
IFRS 1021
Incomlng R•sour¢•s
All voluntary Income. ¢ompnsing lrthes arKI offenngs receNed from mefflb8rn and supporter4. is
rocogniwd on a receipts Oasis when received by tho chanty.
Resou￿•$ Expended
Expenditure is recognis•J on a payments ba￿8 ¥then payment ts fflade. ExperKliture has been
classffieo according lo the purpose lor ¥¥hich rt was incurred.
Funds
All funds of the chanty are unrestncled general lunds available lor use in furtherance ol the
charrtable obiects There are no restn.aed or deS￿nated fuThJs
Flx•d Ass•ts
The(e are no fixed assets held by the chanty as * 3Cth June 2025
Nots 2- Analysls ol Incom• by Fund Typ•
All Income received dunng Ihe year is classified as unrestnctod. There are no resln.cled lunds.
Incon￿ Type
rrthes and Offenng5
T•t•l V•luntsry In¢om•
Reslncled I
Unresiricled £
Tolal £
52.409
52.409
$2,409
62.40•
Nots 3- Inv•stm•nt In¢om•
No investment Income was received during the year (bank Interest. nil)
N¢)to 4 - Cost of Charltabl• A¢tlviti•s
2021
Building Rent
Church Events
GrOCen￿ I Church Events
MissK)Tr Offenng
33.650
10.984
5.732
4.255
Subscnp￿S
T0￿phone and Intsmet
T•l•l
1.193
814
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lgrw PrBthl•nw Renry4*1o I Ch•nty No I IOSSSS
Noto 6- Gov•rnanc• Costs
No govemance costs were Incurred dunryj the year ended 30th June 2025.
Not• 6- Stsff Costs
There were no employees during the year ended 30th June 2025. No Injslee receivod any
remuneration. beneftts, or rewnbursement of expenses dunno the year.
Not• 7- Cr•ditors
Therg are no creditors or a¢crual$ out6tandin9 a$ at 30th June 2025.
Not• 8- Tru$t•• Transactions
No tru5t8e received any ￿muneratiOn or reimbursement ol expenses during the year. There were
no other related party transactions
P•g• 10 crf 10