ST THOMAS
INDIAN ORTHODOX CHURCH SUNDERLAND
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024
ZAK
RTIFIF.D A
ON TF.RR
JESMOND
ARTER
NE21

IA
INDIAN O
T140DOX
RCII SUNDERLAND
'I-ATE￿1LN7'S Troll I'IIL YLAII ENDLD
I MARCkl 2
Fl
PA
i)
Trustee5 Report
2)
Independeni Examiners Report
3-6)
Financial Sthlements And Noies

ST THOMA5
INI)IAN ()RTII()I)()
IR
INI)F.RI,A
i)
FIiYAf*CIAL ST A TLi¥lb.NT5 Troll '1'IIL Y F.AII I:NI)F.D
IMAR
112U24
TRII
TEF." ANNL'.pKL RV.I)ORT
Cliarits N&n)e.. Indian Orfhodox Cliurcli Sundcrlniid
chari￿. Rebi No., 1127767
Principal Addrcss of Charity.. -
?b Si 13uT%'an Crescent
Neii'casile upon T>'ne
NE5 JXF
()iLIF.CT% OTr THF. CHARST
The chari¢) s objects are to proi'ide a culiural religious and socio-Teligious base for the Indian
Orthodox Communit> in Ihe SunderlHnd, Tyne & W¢ar orea.
NAMES OF TRII
The trustee of the charity is as follows'.-
Mr Biju Var8hese
The Nsiees are ¢leeied in open general meetings ond coniinue in office until.. -
their death or
their re5ignaiion ot
8re deselecied in open general meeiin8.
IVITIES
HIEVEMEN
Thc charity has coniinu¢d in its objective5 Stated above by pmviding an open and ¢Asy and free mean$
for the lrtdian Onhodox community in ihe area 10 engage in their religiou5 and ¢ulbJral heritage.
The trustees have continued io adopt o prudeni and Tational basi5 for the inv¢sthi¢ni of the charity funds
with reserves being MaIn￿lned at a high level. The trustees have i&ken no risks with the a55ets of the
chariry hav¢ been entrusted upon them.
DE
ARATION
I declare in my capacity of chariry tNsi¢¢ that the t￿51¢¢$ hAve approved the Above report and have
authorised rne to sign li on their behalf.

F.P
T I'll
IIF. I'HVSTF.E" AND MI￿1￿E7{5 OF
IITIIUDO
-IILIIICI I SUNI)r.IlLAND
UNI'S I'III,- I I.:AII LNI)I.-I)JI ￿lAIl(lI 2U24
Res
¢lli'¢ rc
Oll51bllill¢s of tr1151c¢J And rxjniliicr
Th¢ ¢liariry'E Inisl¢¢S Thrc rrsponsilile li)I' Ilie prcpurniii)11 ofilic nccoiii)Is, 'fhc cliArily consider4 1hnl an
indepciideni c%aiEiinttii()n is Iiccdcd.
It is n)!, rcsponsibilit), to..
eNthniine ihc o¢eounis {und¢r section 43(3)Inl of the Act).,
10 folloii ihc pro<cduTC5 laid do￿￿ In ihc Geiicrlll Dircction5 given by the Charity
conimis5ioiiers {under setlion 43 (7Xbl of the Act): and
io sia¢c ￿he¢her paff icular mailers have come to my ptl¢ntion.
B851S
f lrtdt
ndenl examlntr's stalcmeni
Mv examination was caTTied oui in ac¢ordance with General Directions given by the Charity
Commissioners. An cxaminaiion include5 a review of ihe accouniing Tecords kept by th¢ charity and a
comparison of th¢ accounts presenied ii'ith those records. li also includes con5ideraiion of any unusual
iiems or disclosures in the accounis, seekin&7 explanalions from ihe mistees concerning any such
matters. The procedurcs undertaken do noi provide all ihe evidence ¢hal would be required in an audit.
and consequentlN I do not expTe5s an audii opinion on the ac¢ounis.
endenl exArniner'$ siaiement
In conneclion with my examination. no maller ha5 COTn¢ to my arteniion
which gives me relsonable cause lo believe thai in any mat¢rial respecl the requÉrem¢nts:
lo keep accouniing records in accordance with section 41 of the 1993 Acl; and
io prepare accounts which accord with the ac¢oun¢in8 records and comply with the
aceouniing requirements of th¢ Act
have not been md: or
(2)
to V4'hich. in my opinion, allentioD $hould be dTawn in order io enable o proper understanding
of the accounts to be reached.
6 Hutttsn Terr*ce
Jesrnond
Pi¢wc8sile
NF.
CHARTERED CERTIFIED
ACC
UNTANTS

IA
DI
DEKLA
IE
TIVITI Tr.
TIIF. YEAR F.NI)FD
IMA
H 2024
C)NIIi%C: Rb.SOUKCTr;
NOT
Unreylrlcled
Funds
Z024
2023
Ineomin
Resourcts
DoDaiion5
Offerings
Subscriptions
Other Operating Income
Bank Interest
24,278
6,587
20.205
10.980
2,497
20,180
Total Incomin
Re50urees
51,070
33,657
RESOURCES EXPENDED
Costs of ACt]￿lI]eS for
Char2Table Objeciives
12bi)
31,701
31,250
Total Resourc¢5 E
ended
31.701
31,250
Net Moi'erneni lo Fund5
19.369
2,407
Total Funds Brou
ht Forward
140,743
132,187
HMRC- Refund
7,845
6,149
Tot81 Fund5 Carried Forwar
167.956
140.743

)D
DE
11202
Al.
All
T4NGIB
FIXED
ET
156,686
137,400
IRR
C￿h ai Bank and in hand
Debtor (prcpaid expense)
47,975
24,837
NET
204,661
182.237
CIIRRENT LIABILITIES
Arnounts du¢ within 12 mon
Crtdiiors- IAccNed Expenses)
4,502
4,548
Crediior (Loan- Winlaion Church)
TOTAL ASSETS LESS CURRF.P4T L
ABILITIE
200,159
177,689
LO
TERM LI
Mon888e
32,202
36,946
NET ASSET
167,957
140,743
RF.PRFSENTF.J) BY:
IP*C(IMF. FUNDS
Unre5tri¢*d Fund¥
167,957
140,743

T THOMAS
DIAN OIITIIOI)O
i-o
111,411CII 2024
-11 SIINI)I,:KLAf4D
INTING I.
LICIE
(A)
BI
is of
ouniln
lTrese accounls have been prepared in accordAnce with uccounling stondords and
Accouniing and Reportillg by Charities Slaleincnt of Recommended Pra¢liee {SORP
20001 And Il)e Chariiies Act 1993 e.¥ccpi ilint provision for depreciation of land and
buildiiig5 has nol bcen provided in accordnnce with nolc 5 to thc financial slat¢menls.
(b)
Chan
t In B9515
These are the firsi financial siaiemcn15 and are preparcd under the accrua15 rn¢thod.
As a cons¢quence of the above the balancc sh¢ei has had lo be constThcied.
2)
EXPEiYDIT
RE
(a)
Ftts for Ex8minin
the Aetounts
No fees have bc¢n charged for examining tb¢5e accounis.
(b)
Anal
'5is of Resource5 Ex
ected
Costs of Activilie5 In Furtherance of the Charit
.5 Ob ectlves
2024
2023
Travel
Vicars Expenses
Bsshop Expenses
Other Remuneraiion
Rent- Church
'aieT Rat¢5
Repairs & Maini¢nance
Building Insurance
Light & Heat
Sundry & Refreshm¢llts
Loan Charges
Bank Charges
Donaiion5
s￿lionery
Broadband
Depreciation
878
7,450
500
1,587
1,275
6.729
500
369
7.045
604
1,878
7,830
1.290
99
670
370
417
714
304
9,886
610
2,442
4,048
99
2.780
426
840
31,701
31.250
3)
Vicars Expenses
7,450
6.729
All of the Charity's ernploy¢¢s were engaged in acliviii¢5 in fynherance of ihe ¢harlty'S obJ￿ilv•S
namely ¢¢a¢hin8 And r¢ligiou8 dutie5.

ST TIIOMA
INDIAN ORTIIODOX
11[IRClI SllYI)r.Rl.AND
NUTF.5 TO TrII.IP*CIAL
'I'..II'F.MF.I'I'S I.-VR'I-IIL YEAR ENDED
JI IIARC712024
4)
TRIISTF.F.S AND
THF.R RF.LATF.D I)ARTIES
No pa)'mcnis Ive￿ i)iadc lo irnsiecs or oiher relulcd parties for r¢imbur5erncni of out of pocket
eNpcnses incuTred b> Ih¢m.
I'licrc ii'ere no Telaicd pJrt)' Iran5UCIIO115 during Ihc year,
TANC>lHLE FIXF.D A55ETS
2024
2023
The charity has material fixed asseis.
Premises
FixDJres. Fittings & Eqvipmen¢
152.640
4.046
152,640
4,760
156.686
157,400
6)
ONTINC,
LIABILI
All maierial liabiliti¢5 Ihai existed ai the y¢ar-end. have been included in the balance sheet.
7)
DECLARATIOYS
(A)
ChHn
ein Yeor End
The rrusiee5 have noi changed ihe year-end dale neither the lenyh of ihe chariry,
financial year.
(b)
n8ted Fu
The charity does noi hav¢ any designated funds.
(cl
DSsrontirtued
ntlnuln
ndA
All ¢he ¢hariiies op¢ralions are coniinuin8 operations and there were no op¢rition5
disconlinucd or 8cquired durin8 (he year.
Idl
n*ltengbl
rHIs
The charity had no assets at ihe balaThee sheei dated classed 09 inalienable or hisioric.
(e)
Intan
ible Asset$
The charity has no intangible assets.
Subsldi•
The chwity has no subsidiary Comp￿les.
Ig)
UncA
it8llsed Flied Assets
The chority has no material fixed assets. which hove not been copilali5ed and
includcd on the balance sheet.