REGISTERED CHARITY NUMBER: 1106220
udrted Financial Statements for the Year Ended 31 December 2024
PILGRIM CHRISTIAN CENTRE
Lee & Caiytal partr￿rS Ltd
charte￿ ce￿ed Accountants
30 Groveland Way
New Malden
Surrey
Kf3 5BT

PILGRIM CHRIS
CENTRE
Contents of the Financial Stateme
for the Year Ended 3
mber 2024
Report of the Trustees
1 to 2
Independent Exarrinefs Rewt
Statement of Financial Adiwtss
Balance Sheet
Notes to the Financial Statements
6 to 10
Detai18d Statement of Finanaal Activities
11

PILGRDd CIIRISTIAN CENTRE
of the Trustees
for the Y&qr Ended 31
The truslees present their rerth the finarKial StateM￿S of the d￿rity for the year ended 31 De￿rnber 21r24. The
trustees have adopted the provisions of AccountirvJ and Reporting by Charities: Statemerrt of Recommended Practi
applicable to tharities preparing their a(yx)unts in aC￿ar￿ v￿th the Finan(aal Reporting Standard applicable in the UK
and ReputAic of Ireland (FRS 102) (effecbve 1 January 2019).
OBJECTIVES AND ACTMTIES
Objectives and aims
The principal obje(l of the charty is advarKE the Christian Failh. ft seeks to do this localty within its immediate geographic
neIghbO￿h0Od area. Ixrt also a(Yoss the UK and Internati￿lY with vafiOUS UMtacts that the tharity has.
Slgnlficant activSties
The prinapal fund raising athryty of the church is the offerings and donations made by the members of the churth
congregation. The fund raised are used to suppcyt missionary work, both in the United Kingdom and abroad. to give
scholarship support to students, and general]y to give support arml aid to those Sess well off in the ￿MmUnty.
Publlc benefft
The trustees have had due regard to the Charity Commission's g￿￿al gUKlar￿ on public benefft when revi8wing the
Charilys obJ'eclives.
The trustees strongly bdieve that the meeting tOgett￿ for the worship of God and Jesus Christ. preathing arKI Bible
teaching, as YRII as meeting in S￿11 groups for all ages to expkxe the Christian faith, as well as working in and wilh our
communty is for public benefiL
FINANCIAL REVIEW
Reserves policy
Total inc(xne re￿iVed for Ihe year amounted to £77.510 (2023 £83.857). is the lotsl in(x)ming resour￿.
Total expenditure amounted to £70.973 (2023 £77.02n that left net In(￿ni￿ resources ts the period of £6,537 (2023
£6.830).
The truste8 applied and sham ￿ntinUe to apply acwmulali￿S of income to d￿ritable ouses after n)aktng suc*t provision
for all expenditure on trusL
FUTURE PLANS
For 2025 the Church aims to continue to mairrtain its existing activities and adapt those activi￿ where n￿ssary according
to the day-ttFday needs of the congregation. Funds given y￿11 continue to be spent broadly in line wtth the current pattem of
expenditure.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Govemlng document
The charity is controlled by ts governing dwment. a deed of Iwst and ￿)nStituteS an unin(¥)rporated tharity.
REFERENCE AND ADMINISTRATIVE DEfAILS
Registered Chaiity number
1106220
Principal address
21 Ston8croft Close
Hove
BN3 8BP
Rev E W Song Pastor
Ecsong
Ms E Yang
Page I

PILGRIM CHRISThIN CENTRE
rt of the Trustees
for the Year Ended 31 December 2024
REFERENCE AND ADMINISTRATIVE DEfAILS
Independent Examiner
Byung Hun Lee
Lee & Capital Partners Ltd
Chartered Certified Acojuntants
30 Groveland l•lay
New Malden
Surrey
Kf3 58T
Approved by order of the board of trustees on 29 0(knber 21Y25 and signed ts behalf by:
Rev E W Song - Trustse

Ind
dent ExamineVs R
PILGRIM CHRISTIAN CENTRE
¢ Trustees of
Independent examinerfs report to the trustees of PILGRIM CHRISTIAN CEKfRE
I report to the tharity Irustees on my examination of the aca)unts of PILGRIM CHRISTIAN CENTRE (the Trusl) for the year
ended 31 December 2024.
Responsibilities and basls of report
As the charity trustees of the Trust you are resp)n￿1)le for the preparation of th8 accounts in accordanc8 vAth the
requirements of the Chaiities Aci 2011 Cthe W.
I report in respect of my examination of the Trusfs a¢￿Unts (2rried out urKler sertm￿ 145 of trE Act and in carying out my
exanwnation I have followed all applicable Diredions given by the Charity Commission under Section 145(5)(b) of the Ad.
Independent exarnlnefs statement
I have completed my examinalion. I confirm that no material matters have to my attention in connection with the
examination giving me cause to believe that in any material respett
acAxunting re￿)rdS were not kept in respect of the Trust as required by Sedion 130 of the A(*: or
the accounts do not ac(xNd wilh those records: or
the accounts do not wmrAy with ts applicable requirements o)nc£ming the fonn and ca)ntent of a0￿Unts set out in
the Chariknes (Ac¢)Junts and Reports) Regulations 2008 other than any requirement that the a(X*)unts give a true and
fair view which is not a matter considered as part of an independent examination.
I have no COn￿mS and have awss no other matters in conneclion Nlith the examination to attention should be
drawn n this report in order to enable a proper understanding of the ac(x)unts to be reached.
Byung Hun Lee
Lee & Captsi Partners Lld
Chartered Certified Ac0￿ntants
30 Groveland Way
New Malden
Surrey
Iff3 5BT
29 October 2025
Page 3

PILGRIM CHRIS
Statement of Financial Activities
for the Year En
l December 2024
31.12.24
Unrestricted
fimds
31.12.23
Total
fimds
INCOME AND ENDOWMEpifs FROM
Donations and legacies
76.723
83.314
Investment In￿)me
787
77.510
83,857
EXPENDITURE ON
Charltable activities
Church activiti8S
Support costs
50,539
20.434
58,019
19.008
T¢)tal
70.973
77.027
NET INCOME
6,537
6.830
RECONCILIATION OF FUNDS
Totsl funds brought forward
72.756
65,926
TOTAL FUNDS CARRIED FORWARD
79.293
72,756
The notes forni pwt of these financial statements
Page 4

Balance Sheet
31 December 2024
31.12.24
Unrestricted
funds
31.12.23
fimds
FIXED ASSETS
Tangible assets
2.118
CURRENT ASSETS
Cash at bank and in hand
81.683
75,365
CREDITORS
Amounts falling due within on8 year
(4.508)
(4,699)
NEf CURRENT ASSErs
77,175
70,666
TOTAL ASSETS LESS CURRENT UABIUTIES
79.293
72.756
NET ASSETS
79,293
72,756
FUNDS
Unrestricted funds
79,293
72,756
TOTAL FUNDS
79.293
72,756
The financial statanents vme approved by the Board of Trustees and auth￿ised for issu8 on 29 O¢thber 2025 and were
signed on ts behaff by:
E Yang - Trustee
The notes forn) pt of these financial statements
Page 5

PILGRIM CHRISTIAN CENTRE
Notes to the Financial Statements
e Year Ended 31 December
AccouKnNG POUCIES
Bas18 of preparlng flnanclal statements
The financial statements of the charity. which is a wblic benefft entity und8r FRS 102. have b*n prepared in
accordance with the Charities SORP (FRS 102) 'A0￿UntIng and Reporting by Chaiities: Statement of
Recommended Pra￿1￿ applicable to Charl￿S weparing their ac(yJunts in a￿X)rdar￿ with the Financial Reporting
Standard applicable in the UK and Republic of Ireland (FRS 102) (effedive 1 January 2019),, Financial Reporting
Standatd 102 The Financial Reporting Standard applicable in the UK and Republic of Ireland and the Charities Act
2011. The finan(aal statements have been prepared under the histor1￿1 cost (x)nvention.
Income
All ino)me is recognised in the Statement of Financial Activib￿ (xTr charity has entiilem8nt to th8 funds, it is
probable that the income will be r￿e1Ved and the amwnt on be measured ref￿bty.
Expendi￿re
Liabilities are recognised as experKliiure as soon as there is a legal or corthidrrfe obligatKin committing the tharity
to that expendilure, it is probable that a transfer of ecxxMTh beneffts will be required in settlement and the amounl
of the obliga￿n be measured retiabty. Expenditure is a(x£rtJnted for on an acJJuals basis and has been
dassified under headings that aggregate all (xist related to the category. Vthere costs cannot be directy attributed to
particular headtngs they have been alktsted to activ1b￿ on a basis consistent ￿ryth the use of resources.
Grants offer￿j subje(* to cxJrKlili￿s which have not been met at the year erKI date are noted as a commitment but
not accnEd as expenditure.
Tanglble fixed assots
Depreciation is probided at the following annual rates in order lo write off each asset over its estimated useful life.
Plant & machirw . 25% on reducing balance basis
Fixiures & fittings '. 250h reducang balan￿ basis
Computer . 250A on reduang balance basis
Motor vehide: 25% on reducing balance basis
Taxatlon
The charity is exempt from tsx on ts d￿ritable acalvi￿s.
Fund accounting
Unreststhd funds (xn be used in accordan￿ with tr* tharitable 0tr4ectives at Ihe disuetion of the trustees.
Restr[{￿d funds can only be used for particular restri¢Xed purFM)ses within the Ob￿￿$ of the ctsity. Restrictions
arise when speofied by the donor or Wh￿ funds are raised for particAJlar restri￿ puryx)ses.
Further explanation of tt* nature and purpose of ead) fund is included in the notes to the finaniiaj statements.
The charity operates a defined ContribuilL￿ pension s(*Eme. Contribulions payable lo the charitys pensDn 8d￿me
are (*orged lo the Statement of Finanoal AclIvi￿ in the p￿iC￿j lo whith tty relate.
Page 6
Continued...

PILGRIM CHRISTIAN
Notes to tbe Financial
ents- continued
for the Year Ended 31 Decem
2024
INVESTMENT INCOME
31.12.24
31.12.23
Deposit account interest
787
TRUSTEES. REMUNERATION AND BENEFrrs
31.12.24
31.12.23
Trustees, salaries
Trustees, pensions paKI
12,000
360
12.000
12,360
12.360
There were rK) trustees. expenses paid for the year ended 31 De(xMtr￿ 2024 nor for the year ended
31 December 2023.
STAFF COSTS
The average monthly number of employees during ts year was as folkY￿s."
31.12.24
31.12.23
Staff
No employees r￿￿ed emoluments in excess of £60.IJX).
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTivmES
Unrestricted
fimds
INCOME AND ENDOWMENTS FROM
Donations arKI Iwies
83.314
Investrnent inujme
543
Total
83,857
EXPENDITURE ON
Charltsble activities
Church activibes
Support costs
58.019
19.008
Total
77,027
NET INCOME
RECONCIUATION OF FUNDS
Total funds brought forward
65.926
TOTAL FUNDS CARRIED FORWARD
72,756
Page 7
continue(L..

to
Financial
tatements. continued
Ended 31 December 2024
TANGIBLE FIXED ASSErs
Plant and
machinery
and
Motor
vehicles
Computer
equipment
Totals
COST
At 1 January 2024
Additions
2.423
735
6288
5.160
1.792
15,663
735
At 31 Decanber 2024
3.158
6,288
5,160
1,792
16,398
DEPRECIATION
At 1 January 2024
Charge for year
1.931
307
6214
19
4.471
172
957
13,573
707
Al 31 December 2024
2,238
6233
4.643
1,186
14.280
NET BOOK VALUE
At 31 Decembar 2024
517
628
2,118
At 31 Decemb8r 2023
492
74
835
CREDrroRS: AMOUNTS FALUNG DUE ￿ThIN ONE YEAR
31.12.24
31.1223
Taxalion and social security
(958}
5.657
4,508
4,699
MOVEMEpif IN FUNDS
Net
movement
in funds
At
31.1224
At 1.124
Unrestrfcted funds
General fund
72,756
6,537
79,293
TOTAL FUNDS
72,756
6,537
79,293
Net movement in funds. indLKled in the above are as follm:
Incoming
Movement
in funds
expended
Unrestricted funds
Genwal fund
77.510
(70.973)
6,537
TOTAL FUNDS
77,510
(70.973)
6,537
Page 8
continueiL..

RIM CHRISTIAN CENThE
Notes to the Financial Statements- contln
the Year End
ber 2024
MOVEMENT IN FUNDS . conllnued
C(xnparntives for movement In funts
Net
movement
in fimds
At
31.12.23
At 1.123
Unrestricted funds
General fund
72,756
TOTAL FUNDS
72.756
Comparative net movement in funds, induded in the atM)ve are as foHows:
Incoming
Resources
expended
Movement
in funds
Unrestrlcted funds
General fund
83.857
(77,027)
TOTAL FUNDS
83.857
(77,027)
6.830
A currant year 12 M￿lIhS and prior year 12 months (rxnbined posth￿ is as folkms:
Net
movement
in funds
At
31.12.24
At 1.123
Unrestrlctad funds
General fund
13,367
79.293
TOTAL FUNDS
13,367
79,293
A current year 12 months arKI prior year 12 months ￿)￿knIned net movement In funds, induded in the above are as
foll¢yNs:
Movement
expended
Unrestricted funds
General fijnd
161.367
(148,OCX))
13.367
TOTAL FUNDS
161.367
(148.OCK))
13,367
Page 9
continueAI..

Notes to the Finan
tatements- continued
for the Year Ended 31 Decemb 2024
RELATED PARTY DISCLOSURES
There were no related party transadicffts for the yw ended 31 December 2024.
Page IO

CENTRE
Detailed Statement of Financial A
vities
forth
ear Ended 31 December 2024
31.12.24
31.1223
INCOME AND ENDOWMENTS
Donatlons and lagacl88
Donations
78,723
83,314
Investsnent Income
Depostt account interest
787
Total Incomlng re80ur¢es
77,510
83.857
EXPENDITURE
Charitable activities
Trustees, salari8s
Trustees, pensions pakj
Wages
Speakers
Missionary support
Grants to individuals
12,(
12.000
360
16.200
500
28.459
16.21)0
19,479
50,539
58,019
Support Costs
Management
Rent
Printing, postage & statity￿ry
Other church costs
Motor expenses
Travelling
Subscription
Compuier cost
Repairs & renwals
Plant and machinery
Fixtu￿$ arKI ffttings
Motor vehtdes
Computer equipment
2.130
253
4.124
2.887
5.667
1.671
6.110
5.286
372
1,619
1.392
307
19
172
175
25
230
278
19.570
17.851
Flnance
Bank tharges
101
Accwntancy and legal fees
1,056
Total resources expended
70.973
T7,027
Net Income
6,537
6,830
This page does not fomi part of th¢ stattrtory fllwjcial statements
Pagell