REGISTERED CHARI￿ NUMBER: 1106B74
R• ort of Ihe Trust•8s and
Unaudltod Financlal Statem
nts
de
ber2
McDade Roberts Accountants Limiled
Chartered Accountsnls
316 Blackpool Roa(J
FU￿0d
Preston
Lancashire
PR2 JAt

Th•F
C•n
Conténts f the Flnanel I
atem
Year En
D•e•mbor 2
Page
R•port of the Trust•g8
1 10 3
Indepondonl Examlnor's Report
Stat•m•ftt of Flnanclal Activltlos
stst•mgnt of Flnancial Position
Notés to the Flnan¢lal Statem•nts
7 to 12

The Frèedom C•
Re
of th• TrLtsts•s
Y•ar En¢led 10 Dgc•mb8r 2023
fort
We are onee again indebted to Lydia House Trust for the use of the bullding on a Sunday for our services on a
no charge basis. Our weekly offerings have been off￿led due to people not carry¢'ng cash although we havè
tried lo mitigate this by having a card machine available for people to use after the servicè. Our service numbe
have continued lo grow with new families joining our Sunday worship seNices.
Leadership and Staff
The trustees Corporately hold re$ponsibilrty for the financial health of the church bul the day to day responsibility
is held by the senior pastors and assistant pastors. Their role is one of spiritual leadership, dirertion and the
logistical anil administrative responsibilities are held by the vision team. Trustee meetings are attended by the
trijstees afid the senw pastors. Due lo the high usage and eventual breakdown of the senior p8Stors car during
the year we were also able lo gift £10.000 towards getting Ihem a more reliable car.
The tfustses are conllnulng to look lo be able to transition the senior pastors to 8 more wid8r role and during
2024 wll be advertising for a lead pastor to support the staff and leadership as the church moves forward.
Foreign Mlssions
The senior pastors did nol travel during the year to the Far East on behalf of the fr88domcentre but travelled lo
the United States for a GonfeieiiG¢. 011￿¥ uyoiii we enstjyed the mlnlsiry ol varlous leaders from Inoia dunng Ihe
year.
Freedom Tots. Kids arKI Youth
This ministry has exploded in numbers and we a￿ Indebted to the leaders of thes8 groups for the work they do
with the young people on a weekly basis.
In closing
The Irustees w￿uld like lo say o huge thanks for the support of am the partners to the charity give their lime
and their reSoU￿eS in such a wonderful way. We would also like lo place on record our deepest thanks lo the
Senior PaslorslFoundèrs. The Vision Tearn and the Assistant Pastors for their generous $8rwce and support.
The charity is blessed lo have such a wonderful group of volunteers lo support all that the charity is
endeavouring to achleve.
Signed by Mrs. Susan Mcvicar
Chair of TriJ8t6J*
OBJECTIVES AND ACTIVITIES
Objectives and aims
The freedom Cent￿ aims to promote the advancement of the Christian religion in Great Britain and throughout
the world.
P￿01

Th• Fr8•dom Centre
Rè rt of the Trust•O$
for tho Year Endèd 10 Decefflber 2023
FINANCIAL REVIETII
Flnancial posltlon
Income for the year was £91,6￿ which w8s a 12% decrease on the prior y8ar. The ¢harity rem81ns reliant on
generous contributlOn5 8nd regular giving from individu81s bul the move towards a cashless society does impact
on coNeclitins received.
Expenditu￿ for the year increased to £115.019 which was an increa8A nf 10.6Yo on th8 wor year gnd togethor
with the decrease in income resulted in a defi¢il for the year of £23.329.
The trustees contlnue to review costs carefully wlthout Cutting unduly
Closing funds were £30.444. Thege are unrestricted and maintsined in order to fund working capital needs, to
fund unexpected expenditure, for example ￿en projects overrun or unplanned eveftt5 occur and to fund
shortf8lls in income. vthen Sncome does not reach expected levels. This was the case thi$ year.
This approach is based on an understsnding of the income streams and their risk profile. the degree of
commitment lo expenditure and the overall risk environment in which the charity operates.
Reserves policy
The charity holds unrestrfcted funds al the year end. These are maintsined In order lo fund working capital
n¢¢ds. tr) fvnd unexpeGted exp¢r)diluie, fvr exatnple vthen prolecis overrun or unplanned events occur and to
fund shortfalls in income, when income does not reach expected levels.we are pleased lo say income was up in
this past year and we have eamiarked the increase in unrestricted funds to update equipment and giving lo
other charities who have 8imi18r aims lo ourselves.
This approach is based on an understanding of the income $treams 8nd thetr risk profile. degree of
commitment to expenditure and the overall risk 8nvironment in which the charity operates.
Reslricled funds:_
All restricted funds were spent during the course of the year under review. no balance remained al the year end.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The tharily is ￿ntrOlled by ils govemin9 document. a deed of trust and constslules an unincorporated charlty.
Recrultment and appointment of new trust••s
Trustees are voluntary posilioris. New ttustees are appointed by existing trustees through an open recruitsmenl
process.
REFERENCE AND ADMINISTRATIVE DETAILS
Règlst•r•d Charity nUrn￿r
1106874
Princlpal addrè83
Suite 212, City House
131 Friargale
Preston
Lancashi
PRI 2EF
Page 2

The Freedom C•ntre
f the Tru
Tru8t•o5
Mrs L Phillips
Mrs C Woods
Mrs S A McVIc8r
Dr E Adegoke lappointed 161212024)
Ind•pendènt Examlner
McDade Roberts Accountsnts Limited
Chartered Accountants
316 Blackpool Road
Fulwood
Preston
Lancashi
PR2 3AE
EVENTS SINCE THE END OF THE YEAR
The charity re￿iVed 8 significant one off donation of £23,C¥)O post year end. This genercmjs don8tion has
helped lo replenish reserves after the deficit of the year.
Approved by order ol the b08rd of trustees C￿ ......................,,..................... and slgnèd on ils behalf by..
Mrs S A Mcwicar - Truste8
Page 3

Inde endent Examingf¥ Re
rt to th• Trustses of
The Fr••dom Centre
Indopondent examlngr's report to the trustees of Tho Frgodom Centre
I report to the charity Irusle8s on my examination of the accounls of The Freedom Centre {Ihe Trust) for thé year
ended 10 Decembér 2023.
R•sponslbilltles and basis of rèport
As the charity Iruslees of the Trust you are responsible for the prep8ralion of the accounts in accordance wlh
thè requirements of the Charities Act 2011 Ilhe Act'l.
I report in reopAC.t nf my examination of the Trust's accounts carried out under Section 145 of the Act and in
carying out my examination I have followed all applicable Dlreclions given by the Charity Commission under
Secllon 145151{bl of the Act.
Independont oxamin•r's $tatomont
I have Completed my examination. I confimi th81 no material matter5 have come to my attention in connection
w￿th the examination giving me cause lo believe that in any material respect-.
accounting records were not kept in respect of the Trust as re(wired by Section 130 of the Act" or
the accounts do not accord with those records- or
the a￿O￿nts do not comply wlh th8 applicable requirements conceming the forni ond content of
accounts s8t out in the Charities {Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a trLI8 and fair view which is not a matter considered as part of an independent
examination.
I have no concems and have come across no other malters in connection wth the examination to which
allention should be drawn in this report in order to enable a proper understsnding of the accounts to be reached.
Martlli Garry Efi { ¢1, FCPJ
McDade Roberts Accounlanls Limited
Chart8red Accounlanls
316 Blackpool Road
Fulwood
Preston
Lancashire
PR2 3AE
Page 4

dom C•ntr•
I l Activi
10.12.23
Total
funds
10.12.22
Totsi
funds
Resirlcied
fund
fund
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
91,493
91.493
104.131
Investment Income
197
197
16
Total
104 147
EXPENDITURE ON
Raising funds
1.911
Charltabl• activilios
Dona110115 made
Overseas training and conferences
10.318
9.163
10,318
9.183
2.594
8.581
Other
92,678
Total
115.019
11S019
104010
NET INCOMEI{EXPENDITUREI
123,329}
123.329}
137
RECONCILIATION OF FUNDS
Totsl fLsnds brought forward
53,773
53,713
53.636
TOTAL FUNDS CARRIED FORWARD
The notss form part of thesefin8ncial slalements
Page 5

Tho Froodom
Financlal Poslt
10.12.23
10.12.22
Toial
funds
unwlriueo
fund
Resthcte(J
fund
Tgial
funds
Notes
FIXED ASSETS
Tangible assets
2.155
2,155
2.973
CURRENT ASSETS
Debtors
Cash at bank
3.554
25,734
J.554
25.734
5.3J15
46.463
29.288
29.288
51.799
CREDITORS
Amounts falling due wllhln one year
{9991
1999}
{999)
NET CURRENT ASSETS
28,289
28,289
50,800
TOTAL ASSETS LESS CURRENT
LIABILITIES
30,444
30,444
63,773
NET ASSETS
30.444
53.773
FUNDS
Unrestricted funds
30,444
53.773
TOTAL FUNDS
53.773
The financial statements were approved by the Board of Trustees and authorised for issue on
- and were signed on ils behalf by.
S A MGVicar- Trustee
The notes fomi part ofthese financial statements
Page 6

Th• Freedom C￿tr•
Notès to the Flnan¢ial Statomant
for the Y4ar Ended 10 D•e•mber 2023
ACCOUNTING POLICIES
Ba¥ls of preparlng th8 Ilnancial statom•nts
The financial statements of the charity, which is a public benefit entity under FRS 102, have been
prepared in accordance with the Charities SORP (FRS 1021 'Ac¢ounting and Reporting by Charities..
Statement of Recommended Practice applicable to charities preparing their accounts in accordance with
the Financial Reporting S18ndard applicable in th8 LIK And Republic of Ireland {FRS 10211gffe¢tivc 1
January 2019}'. Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK
and Republic of Ireland. and the Charities Act 2011. The financial statements have been prepared under
the historical cost convention.
Income
All income is recognised in the Statement of Financial Activities once the charity has entillemenl to the
funds. il 1$ probable that the income will be ￿CeIVed and the amount can be measured reliably.
Expendlture
Liabilities are recognised as expenditure 8s soon as there is a legal or constructive obligation committing
the charty to that expenditure, il is probable that a transfer ot ￿OnOMiC benefits %*ill be ￿qUired in
settlement and the amount of the obligation can be measured reliably. Expenditure is accounted for on an
accruals basis and has been classified under headings that 8ggreg810 all cost related to the category.
Where GQ5t5 cannot b¥ TJiiEU(ly atttibute¢J to parucular n8attings ihey nave be8n allocated to activities on
a basi$ Consistent with the use of resources.
Tanglble fixed ass•ts
Depreciation is provided at the followlng annual rates in order to wrlle off each 85sel ov8r its 8stimal8d
usefvl lifo.
pkni and machinery
Computer equipment
20% on cost
20Q/o on cost
Taxatlon
The charrty is exempl from tsx on its ch8rilable activities.
Fund accountlng
Unrestricted funds can be used in accordanc8 With the charilat4e objectives at the discretion of the
trustees.
Reslrioled funds can only be used for particular restricted purposes wtthin the objects of the charity.
Restrictions arise when sp8cified by the donor or Nthen funds are raised for particular restricted pijrposes.
Furthtr explanation of the nAtur• snd purpose of each fund ig included in the notes to the financial
ststements.
Page 7

The Freedom Cèntro
lal Stst•m•n
ntlnu
INVESTMENT INCOME
10.12.23
10.12.22
Deposit account interest
197
16
TRUSTEES. REMUNERATION AND BENEFITS
Mrs S.A. Mcvicar, a trustee of the charity, was paid £25.000 during the year in the form of remuneration.
Trust•e*' •xpgn88S
There were no trustees, expenses paid for the year ended 10 D8cember 2023 nor for the year ended
10 December 2022.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrlcted
R8Strfcte(I
fund
Totsl
fund$
INCOME AND ENDOWMENTS FROM
Donetions at>d 1¢9(IGl¥b
101,131
2,400
104,131
Investment income
16
16
Total
101 747
104 147
EXPENDITURE ON
Raising fiJnds
1,911
1.911
Charltabl• activities
Donations made
Overseas training and conferences
194
8,581
2.400
2.594
8.581
Other
Total
101610
104010
NET INCOME
137
137
REGONCILIATION OF FUNDS
Total funds brought fonvard
53.636
53,636
TOTAL FUNDS CARRIED FORWARD
Page 8

Thè Freedom C•ntr•
tho Flnanclal
or
TANGIBLE FIXED ASSETS
Plant 8nd
machinèry
Computer
equSprnent
TotsL
COST
At 11 Oecember 2022
Additions
7,300
329
7.800
329
At 10 December2023
7.629
8.129
DEPRECIATION
At 11 December 2022
Charge for year
4.327
1.147
4.827
1,147
At 10 December 2023
5.474
NET BOOK VALUE
AI 10 December 2023
2,155
2,155
AI 10 December 2022
2.973
DEBTORS: AMOUNTS FALLING DUE Y¢lTHIN ONE YEAR
10.12.23
10.12.22
Grfl Aid
Prepaymonts
2,700
854
3.554
5.336
CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
10.12.23
10.12.22
Trade creditors
999
MOVEMENT IN FUNDS
Net
movement
in funds
At
10.1223
11.12.22
Unrostrldgd funds
Gener81 fund
53.773
{23.3291
30.444
TOTAL FUNDS
23 3291
Page g

ThgFr
edom Cen
temén
ntlnu•
IOVEMENT IN FUNDS- Contlnued
Net movement in funds, inclLKled in the above are as folows:
Incr)mry
rosourc8s
R850ur(
expended
￿0￿rn￿￿t
In funds
Unrestrlcted fund$
General fund
91.6SYI
1115.019)
123.329)
TOTAL FUNDS
115019)
23 3291
Compar*ives for m0￿ment In funds
Nel
movement
in funds
At
11.12.21
At
10.12.22
Unigstrld•d fund8
General fund
53.636
137
53.773
TOTAL FUNDS
53,636
137
53.773
Comparative nel movement in funds. included in the above a￿ as follows:
Incoming
R8sourees
expended
Movèmènt
In funds
Unrostrictèd funds
General fund
101.747
1101.6101
137
Re5trlcted funds
Restriced Funds
2,400
{2,400)
TOTAL FUNDS
104 147
1040101
137
Page 10

Th Fre•dom Contr•
Fin
nc
nts-con
MOVEMENT IN FUNOS - contfnugd
A current year 12 months and prior year 12 months combined position is as follows=
Net
rrK)vement
In funds
11.1221
10.12.23
Unrestrlcted funds
General fund
53,636
123.192)
30,444
TOTAL FUNDS
53.636
23.192}
30,444
A current year 12 months and prior year 12 months com￿ned nel movement in fund5, included in the
above a￿ a$ follows:
In￿rnI
sour￿%
R8sgur£*s
6xpend&J
)vernent
in funds
Unrestrlct•d funds
General fund
193,437
1216.6291
(23.192}
Restricted funds
Reslriced Funds
2,400
{2.4￿)
TOTAL FUNDS
195,837
219.029)
23.1921
RELATED PARTY DISCLOSURES
During the year the charity has been granted rent free use of a propety owned by Lydia House Trust, a
charity that S.A. Mcvicar is also 8 trustee of.
Also, a donation of £10.000 was m8de to Jack Mcvicar (the husband of one of the trustees) for the
purpose of purchasing a car. Further detsils are proMded in the Report of the Trustees.
Pago11

The Fr••dom Contr•
test
anclal S
ts- contln
10.
POST BALANCE SHEET EVENTS
The charity r8C8ived a Significant one off donation of £23.000 post year end. This generous donation
has helped to replenish reseNes after the deficit of the year.
Page 12