REGISTERED CHARITY NUMBER: 1113931
Re
ort of the Trustees and
Unaudited Financial Statements for the
eriod endin
31 March 2025
For
st Mar
's Indlan Orthodox Church
Johns Accountancy Limited
4 Northville Road
8ristol BS7 ORG

st.ma
's Indlan Orthodox Church
Contents for the Financial Statemenls
For the
eriod endln
31 March 2025
Pa
Report of the Trustees
1 to2
Independent Examinorfs Report
statement of financlal Activities
Balance Sheet
Notes to the Financial Statements
6t08
Detailed Statement of Flnancial Actlvitlea
9t010

ST. MARY'S INDIAN ORTHODOX CHURCH, BRISTOL
Registered CPEarity Number: 1113931
Trustees, Annual Report
For the year ended 31 March 2025
l. Reference and Admlnistrative Information
Charlty Name: St. Mary's Indian Orthcdox Church, Bristol
Trustees durlng the year
Rev. Fr. John Varughese- Vicar / President
Mr. 8ijoy George- Trustee
Mr. Shon Pal1Sckaleth - Secretary
Managlng Committee Members
Mrs. Allce Raju
Mr. Anil Malath
Mr. Johnson Samuel
Mr. Kurlan Lukose
Mr. Matthew Varghese
Mr. Sunll George
Mrs. Tina John
Mr. Sunil Mathew
Internal Audltors
Mr. Sali Thomas
Mr, Shiju Uthup
2, Structure, Governance and Management
The charlty Is governed by a Managln8 Commlttee elected by the General Body in accordance with its
constitution, The Trustees are responsible for the strategic d irection, fi nancia l oversight, and complia nce with
charity law. During the reporting period, seven Managing Committee meetings and seven General Body
meetlngs {including emergency meetlngs) were held. The Annual Election General Body Meeting took place on
17 March 2024, at whlch the current committee was duly elected. Appropriate internal financlal ccntrols were
malntalned
through the appolntment of Internal Auditors.
3, Objectives and Publlc Beneflt
The Objectives of the charity are the advancement of the Christian faith in accordance wlth the Indlan Orthodox
tradltlon, the provision of publlc worship and religious educatlon, and the promotlon of community coheslon,
pastoral care, and charitable support. The Trustees conflrm that they have had due regard to the Charity
Commission's guldance on public benefit. The charity's activities are Open tc members and the wlder
community and aim to provlde spirltual, educational, and social benefit.

4. Activities and Achlevements
Worshlp and Religlous Servlces
Weekly Holy Qurbana services were conducted throughout the year, wlth services offered in Malayalam and
English to ensure accesslbllity and inclusion. Major liturgica I festivals and sacramenta I services were celebrated
In accordance with church tradition5.
Religious Educatlon
structured Chrlstian edUCa￿on was provided through the parish Sunday School, supporting over 100 children.
Activities included regular classes, examination5, hollday Blble programmes, and annual celebrations.
Youth and Communlty Engagement
The Youth Movement and Martha Marlam Vanitha Samajam operated actively throughout the year, organising
fa ith-based learnlng, fellowshlp attEvliles, dlocesan participation, and charitable fundraislng.
Communlty and Charltable Actlvltles
Fundralsing events were organised to support the charlty's objectives, includlng church development projects
and assistance to charltable causes within and beyond the local community.
5. Flnanclal Revlew
The charlty's Income was derlved prlmarlly from donations, subscriptions, and fundraising actiVI￿eS. Expendlture
related to the delivery of religious services, educational programmes, community and pastoral activities, and the
church building extension project. The Trustees conslder the cha rlty to have remained fi nancia Ily stable during
the reporting perlod. No material financial uncertainties were identified that would adversely affect the charity's
abillty to conti nue its activltle5.
6. Bulldln8 Extenslon Project
The church bulldlng extenslon project progressed steadlly throughout the year. The foundation stone was lald In
April 2024, marking a signiflcant mllestone. Worshlp servlces continued without interruption durlng
constructlon. The project Is expected to be completed during the next flnanclal year.
7. Plans for the Future
In the comin8 year, the Trustees plan to complete the church building extenslon proJect, contlnue Strengthening
youth, famlly, and educational activities, expand pastoral and prayer initiatives, and maintain sound financial
management and regulatory compllance,
8. Trustee Declaratlon
The Trustees confirm that this report has been prepared in accordance wlth the Charities Act 2011 and Charlty
Commission guldance. Approved by the Trustees and signed on their behalf.
Mr. BLloy K Gtroo&- Trus1¢
Date: 27101/2026

Inde
endent Examiner's Re
ort to the Trustees of
Stma
's Indian Orthodox Church
I report on the accounts for the perlod from l April 2024 to 31 March 2025 set out on pages four to
eight,
Responsibilities and basls of report
As the charity's trustees, you are responsible for the preparation of the accounts In accordance wlth
the requlrement5 of the Charltles Act 20111"the Act"),
I report In respert of my examlnatlon of the Trust's accounts carrled out under section 145 of the 2011
Act and in carrylng out my examlnation, I have followed all the appllcable Dlrections given by the
Charlty Commisslon under sectlon 145{51{bl of the Act.
Independent examiner's statement
I have completed my examination. I confirm that no materlal matters have come to my attentlon in
connection with the examlnatlon which glves me cause to believe that in, any materlal respect..
the accountln8 records were not kept In accordance wlth section 130 of the Charltles Act; or
the account5 dld not accord wlth the accountlng records; or
the accounts dld not comply wlth the appllcable requlrements concernlng the form and content
of accounts set out in the Charities {Accounts and Reports) Regulatlons 2008 other than any
requlremen.t that the accounts glve a 'true and fair, vlew which is not a matter considered as part of
an Independent examination.
I have no concerns and have come across no other matters In connection wlth the examination to
whlch attention should be drawn In this report In order to enable a proper understandSng of the
accounts to be reached.
Jomy John
Johns Accountancy & Taxation
Filton
Brlstol BS7 ORG
Date28/0112026

st.ma
's Indlan Ortho
ox Church
Statement of Flnanclal Activitie5
ho Porlod 1 A rll 2024 to 31 March 2026
2025
To
2024
Unrestrlcted
Fund
Restrlcted
Fu
Noles
INCOMING RESOURCES
Incomlng resourcgs from generated funds
Volltntary Income
Activilles for genoratlng funds
Other Incomlng r8sourc8S
192,009
23,776
166
76,328
268,337
23,776
166
197,976
15,014
341
Total Incomlng ro8ourc08
218,962
76,328
292,280
213,332
RESOURCE8 EXPENDED
C08ts of Goneratlng Fund8
Charllabla Exp8ndSture
Fundraising Expenses
Govemanee Cosl
Other Ragourtss expendad
78,970
5,396
25,487
4,478
76,970
5,396
25,487
4,478
87,229
1,100
22,692
3,477
112,331
112,331
114,498
NET INCOMING RESOURCE8 BEFORE TRANSFER8
103,621
76,328
179,949
98,833
Gr08S transfer between funds
100,075
{100,0751
Net Incomlng resources
203 698
23,747
179 949
RECONCILIATION OF FUNDS
Total fund8 brought foMar(I
871,828
25,415
697,243
698,410
TOTAL FUND8 CARRIED FORWARD
875,624
1,868
877,192
697,243
&lrtyn(V}ttMriCha5rpfrr￿D)
Mf. Bljoy K Goorqg- I ru$t88
Th8 notes form part of these financial statements
Page 4

.Ma
'sln
lano
dox Church Bristol
Balanc& Shoèt
At 31 March 2025
Unrestrl t
Fund
Total
Total
Fund
Notes
FIXED ASSETS
TBngible Assets
961,633
961,633
576,470
CURRENT A88ETS
Debtors
Ca8h at bank and in Hand
146,011
146,011
1667.8
1,668
147,679
147,679
123,584
123,584
CREDITORS
Amounts falling due withln one yéar
12,8101
NET CURRENT ASSETS I ILIABILITIESI
146,011
1,668
147,879
120,774
TOTAL ASSETS LESS CURRENT LIABILITIES
1,107,645
1,088
1.109,312
897,244
CREDITOR3
Amounts falling due after more than ona yaar
NET ASSETS
232119
876 626
232119
877 193
697 244
FUNDS
Unrestrlcted Fund8
Re8tricted Funds
876,625
1,868
671,829
26.415
TOTAL FUNDS
877,193
897,244
The financial Statsmants were approved by the Board of Trustees on 0110812025 and ware signed on Its bahalf by
rak8nivlwichalrp￿SQ￿l
Mr. fiijoy K Gocoo- Truslte
The notes forn part of Ih83e flnancial Slalements

Stma
s Indian Orthodox Church
Notes to the Flnanclal Statements for the Perlod Ended 31 March 2025
ACCOUNTING POLICIES
Accountlng conventlon
The flnanclal statement have been prepared under hlstorical cost convention, and in accordance with
the Financial Reporting Standard for Smaller Entities (effective Aprll 2008}, the Charitles Act 2011 and the
requlrements of the Statement of Recommended Practlce, Accounting and Reporting by Charities.
Incoming Resources
All incomlng resources a re included on the Statement of Financlal Activities when the charlty Is legally
entitled to the Income and the amount can be qualified wlth reasonable accuracy.
Resources expended
Expendlture Is accounted for on an accruals basis and has been classified under headings that aggregate
all cost related to the category. Where costs cannot be directly attrlbuted to partlcular headings, they
have been allocated to activltles on a basis consistent with the use of resources.
Tanglble flxed assets
Depreclatlon Is provided at the following annual rates In order to write off each asset over Its estlmated
useful life.
Plant & Machinery
Fixtures and Fittln85
Computer equlpment
Freehold propertv
(The Trustees have carrled out a full Impalrment revlew In accordance with FRS 11, as a result of whlch
no depreclatlon Is made in respect of freehold property on the 8rounds that the estimated resldual value
Is not materlally different from its carrylng value In the Balance Sheet)
Taxatlon
15% on reduclng balance basls
-15% on reduclng balance ba51S
-25% on reduclng balance basls
-Not Provlded
The charlty Is exempt from tax on Its charltable actlvltles.
Fund accountlng
Unrestrlcted funds can be used In accordance with the charitable objectives at the dlscretlon of the trustees.
Restricted funds can be used for partlcular restrlcted purposes withln the objects of the charity. Restrictlons arlse
when specified by the donor or when funds are raised for particular restrlcted purposes.
Further explanatlon of the nature and purpose of each fund Is Included In the notes to the financial statements.
2 ACTIVITIES FOR GENERATING FUNDS
Harvest Festival and Fund-Raising Events.
3 TRUSTEES REMUNERATION AND BENEFITS
There were no trustees'remunerdtlon orotherbenefits for theperiod ended31 March 2025 nor for the year
ended31March2024 asTrustees,butpaid£15900toRev. John Varghese for thelr servlces as a Vicar for the year2024-25

SLMa
's Indlan Orthodox Church
Notes to the Flnanclal Statements - continued for the Perlod 1 A
ril 2024 to 31 March 2025
4. TANGIBLE FIXED AS
Freghold Pro
ort
Develo
ments Plant and Machlne
COST
At 1 April 2024
334,793
222,483
2,251
Addltlons
379,622
At 31 March 2025
334,793
602,085
2,261
DEP
ECIATI
At 1 April 2024
1,633
Charge for the year
93
Al 31 March 2025
1,726
NET BOOK VALUE
At 31 M8r¢h 2025
334,793
802,08
S25
At 31 March 2024
334,793
222,463
818
Flxtur08 and Flttln
Com
uter E ul
mentg
Total
COST
At 1 Aprll 2024
54,851
3,278
817,434
Addition8
9,639
380
389,641
At 31 March 2025
64,290
3,656
1,007,076
EPREcfATION
At 1 April 2024
36,808
2,728
40,965
Charge for the year
At 31 March 2025
4,153
232
4,478
40,759
2,968
45,443
NET BOOK VALUE
Al 31 March 2025
23,531
697
961,632
At 31 March 2024
18,045
550
676,468
. DEBTORS. AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Gift Aid Receivable
Other DebtotB

st.ma
's Indian Orthodox Church Bristol
Notes to th9 Financial Stataments conttnued for the Perlod 1 A
6. CREDITORS., AMOUNTS FALLING DUE WITHIN ONE YEAR
ril 2024 to 31 March 2025
2025
2024
Bank Loans and Overdrafts
Loan from Members and oth8rs
Oth8r Creditors
Accrued Expenses
2,810
2,810
7. CREDITORS., AMOUNTS FALLING DUE AFTER MORE THAN ONE YEAR
2025
2024
HSBC Mortgage
Amounts falliing du8 in more than five years
Repayable by instalments
Total
232,119
232,119
8. SECURED DEBTS
Following Secured debt8 are includ&d withln Credltors
2025
2024
Bank Loans
232,119
9. MOVEMENT IN FUNDS
Net
TransferyJ
Movement between
At 1,4,2024 in Fund8
Funds
At
31,03.2025
Unrestrlcted Funda
General Fund
671829 103,621
100,075
87S,525
Ra8trlct•d Fund8
Church 8uildingl Buying Fund
Mortgage Repayments
153,2941
54,962
125,415)
1,668
25,415
25,415
53,294
1,868
TOTAL FUNDS
697,244
50,327
129,622
877,193
Net movement in Funds, Included in above are as follows
Incoming Resource8 Movement in
Resourcs Expanded,
Funds
Unrestrlcted Funds
General Fund
215,952
1112,331)
103,821
Restrlcted Fund8
Church Buildingl Buying Fund
Mortgage Repayments
76,328
1129,622)
153,294)
76,328
292,280
129,622
(241,953)
53,294
50,327
TOTAL FUNDS

SLMa
Delallad Statèmènt of FIAan¢ial A¢tivi11os for thg Pgriod 1 A rll 2Q24
0 31 March 2026
2,026
2,024
(£1
comln
Rgsourcg
Voluntary Incomè
Gift Aid
Sub8Crtpllon
Donallon$
Offartory
Calhollcat¥lRe¢8ssalSemlnarylMlsslon Sunday
Charfly
Vacgtlon Blble Study
Sunday School
Church Extenslon Fund
MGOCSM IAcolyt8s
MMVS
DIoc889 Fund
Speclal ColleGtlon - Mortgage Repaymonl
Youth Fund Coll8ctlon
Orthodox Sgnghamaffl
68884
69120
14779
27030
1101
23,898
31,565
15,424
31,468
1,092
350
1,981
2.529
54,962
356
2,773
1,2Z8
22.218
5,570
4825
78328
170
1560
298e
10674
91
288 337
197 978
Actlvltle4 for Gengrotlng Fundg
HaNe8tlFood FesilvAI
Fund Ralslng Eveni8
10258
13518
8,200
8,814
oth•r Incomlng R•sourcg•
R&n18 Recelved
166.43
341
I Re80￿re•S
292 280
nd•
Ch•rftablg Expgndetur••
Vl¢ar Allowance8
Vl$illng 8l$hops & Prlgst
Church ConBumabl88
Po8slon Week
Refre$hmenlE
Sunday School Expen808
Porunnal Exp8n8es
Chrl$lmas & Newyear
Charfly
CalhcllcatelSemlnarylM1881on Sunday
Dlocese Oayl Flxed Conlrlbutlon
Mlscollanaou8 Exp
orthodox Sanghamam
Vaogllon Blble Study
G1ft8 & Presentallons
MOMSICholr
MGOCSMIAcolyt¢6
Youth Camp
15900
4275
2089
573
18881
8397
3087
2873
18,900
2,850
1,179
4,408
23,786
4,821
3,715
1,885
3,eoo
eoo
3.431
1,099
2.820
4,951
859
2,385
580
769
2872
587
13
1160
20S
2023
1832
11833
Fund RalBlng Expen89S
Fund RaI81ng Expensès
5395.93
1,100
Th1$ pago does not fom) part Df the glatulory fflngncial Statements

St.M8
8 Indlan Orthodox Chur
D tallod Statgmont of Flnan
1 31 March 2026 Contln
2.025
(Éi
2.024
£1
Govarnancg Co*l
Rates a￿d Water
Insurancè
Light and Heal
Telèphono
Prlntlng. Slattonery and Po81
Cleaning and SundrleB
Property Repalr8 and Malnlenan¢e
G¢n&r81 Ropalrs and Malnlenance
Webslte Expen808
A￿OUn￿ncY
L8gBI & Prof888lollal Expgn8es
Travelllng Expqnsg ov8r provlslon- R•ver881
Telephon
Mortgage Interest and Charg88
399
3545
4376
853
677
13eg
17,5421
2325
140
240
35
12,8101
1112
19800
25,487
165
3,362
3,420
655
633
919
9.535
1,818
777
240
35
929
204
Doproclotlon
Plant and Machlnery
Flxtur&8 and Flttlngs
Computer Equlpmenl8
109
3,184
183
3,477
4,153
232
1478
Total R••ouK•o Expanded
112,331
114498
14ot In¢om•
179.949
98.833
Thls pgge does not forrn part of Ihp stslulory financlal slal8mont8
10