IT$cking ID.. 10J5098-12825JO
Company regl$trallon nurnber 07Q31482 (England and Wzlesl
Charlty raglstratlon numbgr 01134573 (England and W81esl
BREATHE NEW LIFE CHURCH
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025

TTfj¢king ID.. 10350YB-1282&30
BREATHE NEW LIFE CHURCH
LEGAL AND ADMINISTRATIVE INFORMATION
Trust888
Mr P Juk8s
MrDFry
MrA Davies
Mr DALoese
Country of Incorporatlon
United Kingdom
(England and Wal8sl
07031482
Charlty reglstratlon
England and Wale5
01134573
Roglstor•d offlco
8realhe New Life Church
Leek Road
Siok8.on.Tr8nt
Slaffordshire
ST2 88Y
Independent examlner
BK Plus Llmlled
Gr8phic House
124 City Road
Stoke on Trent
ST4 2PH

Tiacklng ID." IOJYJ98-1282580
BREATHE NEW LIFE CHURCH
CONTENTS
Page
Trust888' report
Independen¢ 8x8rnlnèVs raport
Slatemenl of financial actI￿tIeS
Balance sh881
Note6 to the Ilnanclal s18tèm6nts
10- 19

Tiacking10.. 1035096.1dB2530
BREATHE NEW LIFE CHURCH
TRUSTEES. REPORT (INCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 DECEMBER 21)25
Th8 Irustees presenl thelr r8POrt and financial slaternents for the year ended 31 December 2025.
The financ￿1 st8tem8nls have been prepared in accordance with the 8ccounUng policles s61 out in note 1.110 th8
flnanelal statements and comply wlth the charlly's govemlng document, the Companies Act 2006 8ncS 'Accounting
and R8POrting by Charilles.. Statement ol Re¢omm8nded Practlce ap￿ICable to charities preparing th81r accounts In
accordance with the Financial R¢porting Siandard applicable in the UK and Republic ol Ir81and IFRS 1021 (effective
1 J8nu8ry 20191..
Oblectlves and a¢tlvlt18S
The objects ol the Church are for the benefil of the publlc.
To advance the Chrislian faith in accordan¢e wth the slalem8nl in such ways and rn Such parts of the
United Klnodom orthe worfd as Ihe ￿1￿CtorS may from tlme lo tlme thlnk fit,.
b. To r8118V8 Sickness and financlal hardshlp and to promotè and preserve good health by lh8 provision of
funds, goods or servic8s of 8ny kind includlng through the provision of counselling and suprK)rt in such
parts of Ihe Unltèd Klngdom or the worfd as the directors frcm tlme to tlme thlnk fil, and
To advance education In such way8 and in such parts of the United Klngdom or the wortd as the dir8Ctors
from lime lo tirn8 rnay think fit.
Within that fr8mework we sea..
Purpose '.
Breathe New Llfe exlsts to love God, love péople and moke dlsdples.
Matthew 22.. 37-39NIV
Matthew 28.. 18-20NIV
Vlslon:
We see a people who Brealh8 New Life.
Outworking..
Jesus centred- Jesus at the centre of all w& ¢Jo lat the start and during IhAtlournèyl
Rooted- This13 dlsdpleshlp. Wa discoverw8 ar8. find our idantity and find freedom
Tagether- We serve and support one another In personal and c4)rporate growlh.
Broad-we flnd our pl8C8 and step Into minlsiry
Rea¢h- A8 f8r 8S thè eye can see we ￿11 outr88ch to Ihos8 who donl know God.
Core V81u8S'.
Passlon. Freedom. Klndn8S8

110¢￿ftg ID. 10350Y8-128253Q
BREATHE NEW LIFE CHURCH
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED
FOR THE YEAR ENDED 31 DECEMBER 2025
The truste8s have paid due regard lo ouid8nC8 issued by the Charity Cornmission in (Jecldino what activit188 th
charity should und8rtak8. The tnjslees have also complled wilh the duly in section 4 of lh8 Charities Act 2￿6 to
have due regard to the public b8n8fit guid8llGe published by Ihe Charity Commlssk)n.
2025 Focus: Fruitful
During 2025 there was a st88dy Inrx885e of attendees lo the church. rrvjrè p60ple volunteering and att8ndlng
small groups. Kids Church grew so much that a Ihlrd group was introduced.
Sunday Seryica
8reathe New Lila Church meets every SurKlay 8t 11am. The seryices are designed for people to come together to
celebrate their week, to heAr the preach and th8n oo Into Ihelr week prepared lo Ilve out the Chdsllan Llfe. The
Onlin8 S$N¢e conllnues to q)er818 8s ￿ opllon lor those who cannot attend.
Each week sees Breathe New Life operallng various fflln181ri85 across th& city, Smpacling Ihg Iivgs of many people.
The following is a snapshot ol tho$8 acliviti8S.
Breathe Klds Church is Breathe New Llfès woJramm8 for ￿d8 8ged up to 11 years ol age. Breath8 lQds was
contlnually fvll. so a further group was cr88ted. Th8 Kld5 Church Groups are now named as Embers, Ignlte and
818ze. They run most Sunday mornings. The chlldren enloy a tlme ol blble ieachSng. singing, garne5 and Grafts.
8r8athe Kids contlnues lo oper8t8 online loo.
8reathe Youth run We8￿Y 8venls for young people from th8 age of 11 to 17 at the thurch pr6mi8es. Gr¢)w a fun,
discussion-based event and Awaken is the outreach èvanl for the young people to havg lots of fun, pEay garr85 and
bring their fdends along. The Youlh Team took a group of young people to Stanley Head.
Breathe Young Adults118+1 Is where young p80p18 maet, to support and 8ncour8g8 aach olh8r In thelr laith. They
have 8n actlve presenc8 on lh8 unlversity campuses. This Minlstry helps connect students to the Ilfe ol the church
and h81ps them pracllcally as they 88tUe Into sludent Ilfe.
Cour58S 15 an opportunity lo take next steps on a Chrislian joumey. The Alpha Course, continues to run as a
priority 8s thè Ghur¢h attendees arg 8ncouraged io brlng along friends and family. Other courses ar8 r8n as and
when a ne8d 8rises.
Small Group8 8re our blble study groups thal meet In homes acros8 lh8 city. that look to en￿rall￿ peopl8 within
their falth and to off8r pastoral support.
Communlty Outreach
Communlty Hub The Cafè Is openod for all on Tuasday fnomings during tem lime.
Communlty Connections during the week various groups now have the us8 af th8 bullding, Famity by Fam1￿ and
Young at Heart.
Community Days During school holidays the bu1￿1ng is opened to the community and 8 prograrnme Is rvn
alongside the Aubb Foundalion. Famllies como along lo enjoy ac￿vIti￿S and a free lunch.
Turning Polnt Fund con￿'nued lo be used lo help peo￿8 In need.
Llnks wlth Ioc81 ￿h0O15 and communlty groups conllnue to grow.
Staff Team Gonslsts of 7 people, covering a variety ol different of roles.

Tracking It). 10350rJ8_1282530
BREATHE NEW LIFE CHURCH
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORTI (CONTINUED>
FOR THE YEAR ENDED 31 DECEMBER 2025
Mlsslons- A Misslon Team went oul to Uganda in Oclob8r 2025 to help assemble and distrlbute wheelchairs. We
continue lo fundraise for Wheelchalrs for Uganda. through the ¢harily Fathers Heart.
Go De8per Noghts were introduc8d In 2024. Thls is open io anyone wk) would Ilke to att8nd. 1115 a deeper look at
scripture for those who want to leam more. The ses&ons are led by the Senlor Pastor and guest SP88k8rs.
Prayer- Inlegral to the Ilfe ol any Christian. Durlng 2025, we focused time to prayer and f8Stlng. eneouraglng the
church to eng8g8 In p8U5ing uslng Ihg Paus8 App. W& also had Prayer and Worship evenings wh8re a time of
worship is followed by pray8r and ministry.
Groative Team is a gathering of all the creative mlnlslriès In the chU￿h to work together on collective projects that
gfbhance tyjr Sunday Servl¢es, Eastèr and Chrfstmas c818brations.
N8twork- Breathe New Llfè jc4n8d the Llfe Links n8twoik In 2019.
FSnan¢lal revlow
11 Is the policy of tha chadly that unr8stricted funds which hav8 not been deslgnated for a sp8clfic use should b8
mainlalned al a level equiv8lenl lo three months 8XPEndlture. Thg Trustees con5idei that reserves at Ihis18v81 will
ensure that, In the event ol a significant drop In funding, they wlll be able to conllnue the th8rfty's current actMtle8
while ¢onslder8tlon Is glven to ways In whlch addltlonal funds may be raTrs8d.
The Trustees have 83888S8d the major rfsks to whlch th8 charity Is èxposed and are 58tlsfied that systgrns 8rg In
p1a¢e lo miligale 8xposure to the major risks. The Trustee8 seek extenslve professlonal advlce and guldance and
have comprehen81ve pollcles In place lo prolecl the charlty.
Structuro, gov8man¢• and manag&m8nt
The charfty is a ￿MpanY Ilmited by guarantee and was 88lablished under Its Memorandum of Assodatlon on 27
SeptembÈr 2009 8Thd govemed by ils Ath'c188. 8s amended by the C8rlifirate of Incnrporatlon on changa of name
d8led 2 February 2011.
The trust8es, who are abo th8 dlr8Ctor8 lor the purposes of company law, and who served during th• year were..
Mr P Jukes
MrOFry
MrA Davies
Dr R Pltts
Mr D A Le8s8
{Reslgned 24 F8bruary 20261
Recrultrnent and appolnlmgnt of tru5te6s
In keeping with the guidelines sel out by the ASSeM￿leS of God, of whiej) 8realhe New LKg Is In fellowshlp. the
church Is requlred to have al least th￿e Truslees at any one tlme. Pastor Paul Jukes, one ol the Twstees. Is the
Senior Pastor and on the payroll. Trustees who a￿ Thot on the payroll ￿￿11 always be In ihe rnajorlty.
Should a vacancy arise the Trusteas a￿ required lo approach an Individual who is belleved to have the n8C8S5ary
exptsrlgnce. cornmitmenl and sklll sel, who 15 deemed truS￿rthY by the trustees lo wort( alongside the team who Is
credlL4e and wnfident in complex declslon maklng.

Tiathing ID., 1035096-1282£30
BREATHE NEW LIFE CHURCH
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORTI {CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Organlsatlonal 5tructur8
To successfully rnanag8, ovarsee and develop the charfty and Ils acllvSty. the Trustges gnsurg thal appropiiat8
IEadership and teams are In place with the skills and experli5e to take the charity forward.
The Trustees cons*d8r and review all govemmental activSt4es through ￿gUlar documented board meetings wth the
day to day actl￿tY ol Ihe charily b8Sng gulded by the Core Le8d8iship Toam he8d6d by the Senlor Pastors, Paul and
Sara Juk88. Much of the practical outworklng of thls guidance is then Carried out by the Staff Team who work
alongsld6 a slgnificant number of volunleeis from the church.
New Trustees 8r9 provided wlth eopies ol the Memorandum and Articles of Association, 18lesl accounts and
budoets, and suitable Charity Commission guldance Includlng CC3 The Essential Truste8 2nd guidanc8 notes on
Th8 Adv8nc8m*nt of Rèliglon for the Publlc B8n8fil.
The Ifustees ensure that regular and quality Iraining 15 tnade avallable to all Leaders wthin lh8 organisalk)n
structure to develop Indlvlduals In Ihelr role and 8nabl8 gr88t8r capaclty for not only the person bul tho activity they
oversee. Regular rne81ings are he￿ fN all Leaders lo come together so that objectives. vision arbd aims ol the
charity remain the focus that all the actlvlty works towards.
Related Partles
Brgalho New Llfe chU￿h Is an Assemblles ol God Church.
The trustees, roport was approved by tho Board ofTwsleè8.
MrDFry
Trust98
Date..
2110712026

Trththing 10.. IOJ50YO-1282531)
BREATHE NEW LIFE CHURCH
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF BREATHE NEW LIFE CHURCH
I report lo the trustees on my examination ol the flnanclal statements of Breathe New Life Church (the tharityl for
the year ended 31 December 2025.
Respon51bllltles and bas18 of report
A5 Ihe tnjstees of the Charity land also ils dlrectors lor the purp088s of cornpany lawl, you are responsible for the
preparats'on of thè finsnaal statements In accordancè wlth the requlrernents of the Compan185 Act 2006.
Having 5atlsfied myself that the financlal statements ol tho charity are not required to be audlted undgr Part 16 of
the Companies Act 2006 and are eligible for ind8P8ndent examlnatlon, I report in respect of my examlnalion ol the
charitys financial statements tathed out under s8clion 145 of th8 Charilles Acl 2011. In carrwng out my examiriatlon
I have followad the Direclions given by th6 Chaiity Commlssion under section 14515)(bl ol the Charits'es Act 2011.
Indèp•ndont examlner's 5tat8ment
Slnce the charitls gr05s Incorne exceeded £250.000, the Independenl examiner must b8 a rnernber of a body Ilsted
In sectlm 145 01 the Charit1£8 Act 2011. 1 eonflrm that l arn qualified lo undartake the examlnation because 18m
member ol Institut8 of Chartered A¢counlant8 in En9land & Wales, which is one of the listed bodSes.
I h8ve completed my 8xarnination. I conflm) that no matters have come to my 8llentk)n In ¢onnethc￿ ￿th the
examlnation givlng ma cause to bollev8 Ihal In any material respect..
accounung records not kept In ra$pect of the charity a8 r8quir8d by secllon 366 of the Compani88 Act
2006.
the financlsl statements do not accord ￿th those records., or
the financi81 st8temeThls do not compty with the accounllng r8qulr8m8nts of Sec￿on 396 of the Companles Act
2006 other th8n any requlrement that the f5nancial statements give a true and lair view, whlch Is not 8 matter
consléered as part ol an independent examlnallon; or
the financial statements have not been prepared In accordanc6 wlth tho methods and principlès of tha
Statement ol Recommended Practic8 fLV accounting and r8rx)rting by charitles applicable lo chari118S
preparing thelr finandal slalemenls in acwrdance with the Flnanclal Reportin9 Stand8rd applicable In the UK
and Republic ol11818nd IFRS 1021.
I have no conc8ms and have come acros8 no other matters In eonnectlon wth the 8x8mln8tlon to whlch attention
should Lw drawn In thSs report In order to enable a propgr understanding of the flnan¢ial statements to be reached.
KoA&bSthI4 YeA BS&(H9rtdJ
Karen Staley FCA BS¢ (Honsl
8K Plus Llmltod
Graphlc House
124 City Road
Stoke on Trent
ST4 2PH
2210712026
Date..

Tiacking10. 1035096-12025JO
BREATHE NEW LIFE CHURCH
STATEMENT OF FINANCIAL ACTIVITIES
IINCLUDING INCOME AND EXPENDITURE ACCOUNTI
FOR THE YEAR ENDED 31 DECEMBER 2025
currenl flnanclal year
Unrestricted Unregtrlcted
fund$
funds
general designated
2025
2025
Restricted
funds
Totsl
Total
2025
2025
2024
Notes
Incorne from..
Donatlons and 18g8cies
Charftabl8 activities
Olher trading activi￿eS
Investm8nt5
306,796
9,803
9,257
715
9.410
316.2(
9.803
9.257
715
261.002
14.641
7,849
716
Total income
326,571
9,410
335.981
284,210
Expendlture on:
R8Sslng funds
Charitable 8ctlvlt￿S
4,933
307,722
4.933
338,412
5,263
297,277
15,774
14.916
Total axpendlture
312,e55
15,774
14.916
343,345
302,540
Nèt Incomell&xpendSturg1
13,916
11S.7741
I5.5[￿)
17.3641
118.3301
Transfers b8lw98n funds
111,6911
11,891
Ng1 movamont In lunds
10
2,225
14,0831
IS,$061
17,3641
{18,3301
Recon¢lllatlon of funds-
Fund balances at 1 January 202S
76,822
515,450
28.410
620,682
639,012
Fund balanc85 at 31 De¢ember
2025
79.047
511,367
22.904
613,318
620,682

T13C￿n9 ID. l0J509￿ 12rs25JO
BREATHE NEW LIFE CHURCH
STATEMENT OF FINANCIAL ACTIVITIES (CONTINUED)
(INCLUDING INCOMEAND EXPENDITUREACCOUNTI
FOR THE YEAR ENDED 31 DECEMBER 2025
Prlor flnanclal yaar
Unrestrlcted Unr&stricted
funds
funds
g8n8ral deslgnated
2024
2024
Re$trlcted
fund8
Total
2024
2024
Notes
Income from..
Donations and legacie5
Charitable activities
other trading activi￿e$
Inv8slrnents
255,966
14,641
7.849
718
5.036
261,002
14,641
7.849
718
Total Income
279.174
5.036
284,210
E)tpenditure on=
Raising fund5
Ch8rllable acllvltles
5,263
269.508
5,263
297.277
16.535
11.234
Total expendlture
274.771
16,535
11.234
302.S40
Net incomel{exp8ndltur•l
4.403
116.5351
16.1981
{18,3301
Transfers ￿tWe￿rn funds
18,6031
8.603
Nèt mov•m&nt In fund8
10
14.2001
17,9321
16.1981
118.3301
Re¢onclllation of funds:
Fund bal8n¢e8 at 1 January 2024
81,022
523,382
34,608
9,012
Fund balances at 31 De¢¢mb8r 2024
76.822
515.450
28,410
620,682

Tiacklw 10.. l￿s098-1282￿o
BREATHE NEW LIFE CHURCH
BALANCE SHEET
AS A T 31 DECEMBER 2025
202S
2024
Notes
Flxod assets
Tanglble assets
14
532.000
546.000
Current assets
Stocks
Debtors
Cash at bank aThl In hand
954
300
111.082
15
114.634
112,336
115,042
Cr•dltors: amounts falllng due wllhin
one year
17
114.0851
115,2801
Net currant a$$gts
98.251
99,762
Total a$$ots less curront Ilabllltl88
630,251
645,762
Credltor5.' amounts f8111ng due oft•r
more than one year
18
116,9331
125,0801
Net assets
613.318
620,682
The funds of the charlty
Restrlcled Income ￿ndS
Unrostrl¢t8d funds- general
Unr8Strlded funds- deslgnated
21
23
22
22.904
79,047
511,367
28,410
76,822
515.450
613,318
620.682

liacking ID. IOJ5098-1282530
BREATHE NEW LIFE CHURCH
BALANCE SHEET (CONTINUED)
AS A T 31 DECEMBER 2025
Thg company Is et)Iltled lo th8 8X8mption from the a￿111 requir8m6nt contalned in section 477 of the Companlas Act
2006. for lh8 yeAr ended 31 December 2025.
Tbe dlrectors acknowladge th81r re5ponslbllitles for ensuring thal the ¢harfty k88ps accounting ￿0)rdS which
comply with section 386 01 the Act and for preparing financial slalern8nts which olve a true and falr view of th6 slata
of affairs of the company a5 at the end ol the fin8naal year and ol Ils Incoming resource5 and application of
resources. includlng Ils Income and expenditure, for the financi81 year In accordance with the requSremenls of
secllons 394 and 395 and whlch otherwls8 comply with the requirements of th8 Cotnpanles Act 2006 relating to
financial statements, so far as appllcable to Ihe company.
The memb8rs have not requlred the cornpany to obtaln an audlt of its financl81 statetnenls lorthe year In qu8Stion in
accordance wllh sg¢llon 476.
These financial Slaiamenls have been pr8P8red In accordance wth the provlslons applicable to comp4nles svblecl
to th8 srnall companies r8girnè.
2110712026
The flnancial slatements were approved by twslees on .
MrDFry
Trust•6
MrA Davies
Trust••

TIGck1ng ID.- 10J5r198.1I82530
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
Ac¢ountlng poll¢l&s
Charlty Infomiauon
Breathe New ￿fe Church15 a private company limited by guarantee Incorporated In England and Wales. Thè
registered office is Breath8 N8w Llfe Church. Leek Road, Sloke-on-Tr8nt, staffordshire, ST2 88Y.
1.1 Ba515 of preparatlon
The financial slaternents have been prepared In accordanc8 wilh the ¢haritls govemlng docvment,
Companie5 Ad 2006 and "Accounting and Reporting by Chari1188.' Staternonl of Recommonded Pra¢lic8
applicab18 to charftl&s preparing their a¢wunls in accordan￿ wlh th8 FinancSal Reporting Standard
applicable in tha UK and Republic of Ireland IFRS 1021 leffeclive l January 20191 Thè charlty Is a Public
B8n8fit Enlly as dofin8d by FRS 102.
The charfty has lak8n ailvantage of th8 provislons In th8 SORP for ¢hwllles apptying FRS 102 Updat8 Bu118tin
1 not to prepare a Statement of Gash Flows.
The ffinanclal statements are prepared Sn stgrling whSch Is the funclionsl currency ol th8 charity and iound8d lo
the neaf851 £1.
Tha finanaal slal8ment5 have baen prep8red under the hlstodc81 cost conventlon. rnodlfied to Snclud8 tha
revaluation of freehold propethes. The prfn¢ip81 accountlng policies 8dopted are sel out below.
1.2 Golng Concern
The financial stst8menis have been prèpared on a goiw con￿rn basis as the trustees believe that no
materizl un￿rtaIntleS exist. The truslegs have eon51dered the levgl of funds held and the 8xpecled lev81 of
IncA)me and 8xpen(Jlture for 12 months from aulhorising these flnanch?1 $18ternents. The budgeted income and
8xpendlture is sufficient wlth the lev81 of rèserves for the (*arity to be able to continue as a golng conc8m.
1.3 Income
All Income is included In the Slatem8nt of Financlal ACti￿ties ISOFAI when Ihe charity 15 legally enlit18d lo the
Inc(Kne after any performance conditions have been met. the arnounl eAn be m888ured rellably and 1118
probab16 that the Sncome will ￿ réeelved.
For donation3 to be reeognised th8 charity wlll have be8n nollfled ol the amount5 Ihe settl8menl date in
writing. If there are conditions allach8d to the donabon and thls ￿qUIreS a 18v81 of performance befor8
enlitlemont can be oblain8d th8n income is deferred untll those Conditions 8re lully rnel or the fuifilmenl of
those condllkjns is within the Control ol the charfty and ills probable that they will be fullllled.
Legacles aro accounted lor when th8ir re￿IptI8 certain and can be properly qu8nllfied. All of the Income Is
generally recognlsed when11 Is recelvable.
Donated faclllties and donal8d prolesslonal services are recognised in income al their fair value when their
eGonoml¢ benefil is probab￿, il can b8 measured reliabty and the charity has control over the Itgm. Fall value
is determlned Ly) th8 b8sis of the value of the gift lo the charily. For example th8 amount the charity would bg
wllling to pay In Ihe open market for such 18cilitle5 and setvlces. A correspondlng amount is racognlsed in
expendllure.
No amovnt Is Induded In lh8 finandal staiem8n15 for volunteèr tirn8 in Ilne wth the SORP IFRS 1021. Further
detail is giv8n in the Truslees'Annual Rewt.
FIx8d asset glfts In kind ate reeognlsed In full when re¢elvable and ar8 Included al falr value.
Income from IradSng adivities indudes incom8 earned from fundraising events and trading activilles lo ralse
funds lor the ¢harily. Ineome is rec8pied ex¢haThge lor Supplying goods and services In order to r81se fund8
and Is recognisod when en￿tlement has owurted.
10-

Tracki￿ ID. I(TrJ509B.1282530
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Accounting pollcles
IContlnu8dl
Investment incorn8 is eamed through holding assets frjr investment purposes sv¢h as properly. It Includes rent
receivable.
1A Expendlture
All expenditure IÈ 8ccount8d for on an a(crLJals bads and has been cfassified under headings Ihat 8ggregate
all cost5 r8laled to the calagory. Expenditure is recognised where there Is a legal or construGllv6 obligallon to
make paym8nts to thlrd parfes, it is probablo that the settlemenl will be required and th8 amount tsl the
obllgalion can b8 m88sured reliably.11 is ¢ateg0ri5ed under the following h8adlng5.'
Costs of ralsing funds includes the expenditure incurred related to fundrallng acuvltles ond the (osis relating
to the Iradlng acUvltios',
Expendlture on charltable activi￿8$ Includas thè 8xpenditure IiKurr8d r813llng to the pastrKal 8nd mlnlslerial
aCtI￿tIeS undertak8n by th8 church.
Irrecoverable VAT is ¢h8rged as an expen8e agalnst the actl¥Aly for which gxp8ndllur6 arose.
1.5 Tangiblo fix￿ assets
Tangible fixed assets are IniU8lly measured at cost and subsequ8ntly me8sured at cost or valuation. nat of
depr8clation and any Impalrmenl losses.
Freehold 18nd and bulldlngs
Fixtures. fittlngs & equlpmenl
2% straight lin8
20% slraighi line
1.6 Impalnnanl of flxed as$ot$
Al each reportlng end dat8, th8 charity revlews th8 Carrwng amwnts of its tangible assels to detemiin8
wheth8r th8r8 18 any Indication Ih8t thos8 assets have suffered an Impalmienl los$. If any such indkallon
exlsls, the recoverable amount ol the asset Is 8Stirnated In order lo d8lermine the extent ol the Imp81rrnent
loss Ilf any).
1.7 Sto¢ks
Stod( is valved at the k)werof costs 8nd net reallsable valuo.
1.8 Fin8ncial Instruments
The charfty has elected to app￿ th8 provlslons of SgcU(kn 11 'Basl¢ Flnancial In8truments' and Se¢Uon 12
'Other Flnancial Instruments Issues. of FRS 102 to all of its finandal Snslwments.
Flnancial instruments are recognised In the chariV8 ba18nce sheet when th8 ch8rlty becomes party to the
eontra¢lual provI51ons of Iha Instrument.
Financi8185sels and Ilabllllles arg offsel, wth the nel amounls pr858nted In the financial staternents. when
there Is a legally 8nforGeable rfghl to set off the recognlsed amounts and th￿e Is an Inlenlion lo s8llle on a n61
b3818 or lo ffjallse the asset and sallle the Ilablllly sirnullaneou51y.
Bas1¢ flnonclal assets
Baslc financlal assets, whlch include debtors and cash and bank balances, are InltiBlly measured at
transaction pric8 including transactlon cosis and are subsequ8ntly carried al amortised cost using the effective
interasl malhod unless th8 arrangement constitutes a financing transaction, where the tran88cllon is
measured 8t the present value of th8 futuie receipts discountad at a market rate of interesL Flnanaal assets
classified as recelvable within one year are not amortlsed.

Tracking 10. 1035090-1282530
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Accounting policles
Icontlnu¢dl
Baslc flnancl81 Ilabilities
Baslc financial liabili1185. Includlng creditors and bank loans are Inltlally recognlsed at trans8Ctlon pd(* unless
the Brrangemenl constitut88 8 financlng transaction, where Ihe debt instrum8nt is rneasured al the pres8nt
value of th8 futur8 payments discount8d at a market rale of interest. FlnAndal liabilities cl88sifi8d 8s payablo
thln one year 8re not amotused.
Debt in8trum9llts ace subsequenlly carri8d al amortlsed cost. using th8 effeGlive Interest rat8 rnelhod.
Tr8d8 credltors aro obligallon8 lo pay lor good$ or servic85 that have been acquired in the ordlnary ¢ours8 of
op8rdtions from Suppliers. Amounts payable a￿ classified as current liabllllles If payment 15 du6 within one
year or less. If not. they ar6 presented as non-current liabilities. Trade creditor5 are recognised initlally at
transaction prlce and subsequentty measured al arnortlsed cost uslng the effective Interest m6th0d.
Dereeognltlon of financlal Il#bllltles
Flnancial liabilities are dèrtcognlsed when lh9 charftls contractual obligallons axplre or are discharg8d or
cancelled.
1.9 Taxatlon
The ¢h3rfty IS 8n exempt charily vmthin the meanlng of schedu18 3 of thè Charflles Act 2011 and Is conslderad
to pass the tssts set out In Paragraph 1 Sch8dula 6 Flnance Act 2010 and th8r8fore It meets the definition ol a
charitable company for UK ¢orpor8tlon tax purposes.
1.10 Retlrement bÈneflts
Payments to defined contrfbuNon retirement b8n8flt sthemes are charged 8s an expense as they fall due.
1.11 Accumulated funds
Restricted funds are subj8Ct to $p8cific Condit￿￿$ by donors as lo how they may be u88d. The purposes and
uses of the restric18d fuwKls are 88t oul in the rntes to the fiTr8nci81 statements.
D8sign8t8d funds ￿MprIS8 funds which have been set aslde at the discretion of ih8 trustees for sp8cifi¢
purpos8s. The purposes and uses of the deslgnaled lunds ar8 $81 out in the notes lo the financial statements.
Unr88trfct8d funds ar8 available for us& at the dlscr81ion of Ihe trustees in furth8r8nce ol the general
objectives of th8 eharily and whlch have not been designated for oth8r purposes.
Crltlcal accountlng 8stIMat￿ and ludg&rnents
In the appllcation of the Charlty's accounting poll¢ies. lh8 trust8e5 are required to mak8 judgements. estimates
nd assumptions about the carrying amount of assgls and Ilabllili98 Ihal are not readily apparenl from other
sour¢8s. The ostlmates and associated a55umptions are based on hlstorical experience and other lacloT8 that
are con8id8r8d to be relevant. Adual r&sult5 may dlffer from these 8slirnates.
The e8Umates and undorfying assumptlons are reviewed on an ongolng basis. R8vlslon5 to accounting
estlmales ar8 recognised in the p8riod In whleh the estlmate Is revlsed where ihe revlsion affeGis only that
perlod, or in the period of the revlslon and futura perlods wh8r8 the revislon affects kK)th current and lulure
Periods.
Thera are no ￿tIcAl accounting estimates orludgements that h8Vg been made In Ihgsg flnancial statements.
12.

Tiackiwlo. 10.IS(YJB-1282520
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 DECEM8ER 2025
Income from donatlons and legaclès
Unrestricted Ro$trl¢ted
funds
funds
2025
2025
Total Unrestrictèd Restrlcted
funds
funds
2024
2024
Total
2025
2024
Donations and gifts
308.7
9,410
316,206
255,966
5.036
261.002
Donatlons and gifts
Tlthes aThl offerings
Gift Aid
252,924
53,872
9,410
262.334
53,872
213,651
42,315
5.036
218.687
42,315
306.796
9.410
316,206
255,966
5,036
261.002
Income from charitable aetlvltl•s
Unro$trl¢ted
funds
2025
Unr8Strletèd
funds
2024
Church activit18S
Mission and rnSn15try
9.803
14,641
Inc0rn8 f¥om othèr tradlng actlvltlg¥
Unrestrlcted Unrestricted
funds
funds
2025
2024
Cafe sal85
Room hlre
7,212
2,045
6,204
1,645
Othor trading a¢livities
9.257
7,849
Income from inv85tment$
Unr88trlcted Unrestrlcted
funds
funds
2025
2024
Interest le￿￿able
715
718
13

T￿a￿ng ID." 103509f5-1d82S3Q
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Expendlture on ralslng fund5
Unrestrlcted Unre8trlcted
funds
funds
2025
2024
Fundralslng and publlcity
Other fundraising costs
4.933
5,263
Expendlture on charltable ac¢lvltle6
Church
activit188
2025
Church
actfvitles
2024
Diroct ¢ost$
Staff costs
Depr8Ci8tion 8nd Impalrment
MinislTi8S
AOG contribullon
He8t. 1Sghl end water
Repairs and maintsnance
Telephone and inlemel
Office expenses
Insuranc8
AdvertSsSng and publklty
Travèl
Hospltallty
Lagal and professlonal fegs
Sundry expon89S
Mortgage interest
Volunteer exp8n8e5
Other ¢harilable èxpandlturo
151,864
14,0(X)
52,521
8,088
21,448
47,709
2,231
10,912
7,977
1,780
3,205
1,088
2,585
6,533
1,774
822
2,15S
147,964
14,000
48.271
6,845
23,898
16.794
2.125
6,936
6,725
1,589
3,269
744
2,351
8,008
2,535
651
2,800
336,692
295,505
Share of support and govornance costs {seo Tlote 91
Goveman¢e
1,720
1.772
338,412
297.277
Analysis by lund
Unre5trlGted funds- g8n8r81
Unrestricted funds- deslgnaled
R8Stricted fund5
307.722
15,774
14,916
269.508
18,535
11.234
338,412
297.277
14

TT8ckin9 ID.. 1035098-1282530
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Support ¢o$t$ allocated to activltles
2025
2024
Basls of allocatffon
Dirn¢t costs
Govemance costs
1.720
1,772
Analysed between:
Church aGtlvilies
1,720
1,772
10 Net mov8m8nt In funds
2025
2024
The net movement in funds Is stated after ch8rglngllcredlllngl'.
Fees payab￿ for th8 independent examinallon of the Gharftys financlal
statements
D8pr8cfdlion of owned tangible fixed assets
1.720
14.0
1,772
14,000
11 Trustees
P8Stor Paul Jukes r8C8ived £44.83912024 - £43.65018s remunerallon durfng Ihe y6ar In recognllSon of his
pastoral mlnistry. In addit￿n, ¢he charitable company reimburs8d him a total of £6.740 12024 - £5.8541 in
respect of expen8e$ incurreé In connection with thè dlscharge of hls dulbs.
The wife of Pastor Paul Jukes recefved £17,574 12024 - £17.1711 as reMunera￿on durirYJ the year In
recognltlon of her18ad8rship in the ¢hurch.
The spous8 of another trus188 received £13.187 12024- £12,769) as remuneration during the year In
reeognldon ol h8r p8StOT81 tnln151ry.
12 Employe88
Th8 8vèr8ge monthly number ofemploy6es durlng lh8 year was=
2025
Number
2024
Number
Admlnislrallon
Leadershlp
inlstry
Total
Employment Costs
2025
2024
Wages and salaries
S￿la1 securily (x)st5
Other pension costs
143,447
4.451
3.966
138.510
5,328
4.126
151.864
147.964
15_

Tiocking 10. 1WgJ98-12B25JU
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 31 DECEMBER 2025
12 Employees
IContlnu8dl
Thare were no ernploy885 whose annual rernuneralion was rnore than e60,000.
13 Taxatlon
Th8 charity Is exempl from t8X8tion on ils act￿￿11e$ be¢8vse all ils Income Is applied lor ch8rftabl8 PUIP05es.
14 Tanglble flxed assets
Fre•hold land
and bulldlngs
Flxiur81,
fl¢lltr)gB &
•qulpment
Total
Cost
At 1 January 2025
700.000
16,730
716,730
At 31 December 2025
700,000
16,730
716.730
Depreciatlon and Impalrment
At 1 January 2025
DepreciaNon ch8rgèd In the year
154,000
14.000
16,730
170,730
14.000
At 31 De¢amber 2025
168.000
16,730
184,730
Carrylng amount
At 31 December 2025
532,000
532.000
At 31 December 2024
546.OLK)
546.000
15 Dabtors
2025
2024
Amounts falllng du8 wlthln one year-
Trade debtors
300
16 Loans and ov•rdrafts
2025
2024
Bank 108ns
20,633
30,550
Payable wilhin one year
Payab16 after one year
3,700
18,933
5,470
25,080
The iong4erm loans are 89cur8d by fixed charges over land and bulldlngs on the west 51de of Leek Road,
Abbey Hulton, Stoke on Trent regist8r8d as SF128131 and SF233572.
Th8 loan runs for a period of 20 years which wll end In 2030. The cutTent Interest rat¥ 15 6.5%.
16-

Ti8cl<ing 10- 1035098-1282530
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
17 Credllors.. amounts falling du8 Withln one year
2025
2024
Notes
Bank loans
Other taxation 8nd wial security
Trade Creditors
Other creditors
Accru818 and deferred Ineome
16
3,700
2,364
5,420
881
1.720
5,470
2.067
3,581
855
3.307
14,085
15,280
18 Crodltor8,' amounts falllng due after morè than one yaar
2025
2024
No¢e$
Bank loans
46
16,933
25,080
19 Retlr8m8nt beneflt sch4m•s
2025
2024
Defflned contributlon ￿hOm$S
Charge to profil or loss in respect of d8fined COTbtrilMJllon sch8mes
3.9e6
4.126
Th8 charity operates a deftned contribution pens*)n 8cheme for all qualtyn9 employees. The assets of the
schem8 are held 88paralely from thtssa 01 the Charfty In an Independently adrnlnlslerad fuThl.
20 Shar8 capital
Brealhe New Llfe chU￿h Is a company limit8d by guaTanl8e and accordlngly does nol have a share Ca￿tal.
Every rnember of the ¢ompBny undertakes to wntribute such amount as rnay b8 required, not exceeding £1,
to the assets of th8 charitable cotnpany in the event ol beSng wouThJ up while he or sh8 18 a rn8mber, or wlhin
one year after he or sh& ceasos lo b8 a rnernber.
21 Re5trictod funds
The restii¢ted funds of the charity comprise the unexperKled balances ol donations and grants held on trust
subject lo speclfic condlllons by donors as to how Ihgy may be used.
At 1 January
2025
Incomlng
resourees
Resources
gxpended
At31
Decembèr
202S
Community Fund. Vision
28,410
9.410
114,9161
22,904
17-

TI8LkiNJ ID.- 10J5U98-12U25JO
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
21 Restrlcted funds
Icontlnued)
Prevlou8 year..
At 1 January
2024
Incomlng Resources
r850urces
•XPondèd
At31
DerAmber
2024
Community Fund- Vision
34,608
5.036
111,2341
28,410
Community Fund - A fund formed by an offering as a result ol the communlty focus for 2021. These funds
are used for cornmunily outre8ch projects and aclivilie5.
22 Unrestricted fund5- d•slgnat8d
These are unreslrl¢ted funds which are material to th8 charitls activities.
At l January Resourees
2025
expended
Transfers
At31
D￿ernber
2025
Own use tangib18 8S8818
515.450
115,7741
11,691
511.367
Prevlous year,.
At 1 January R¢Sou￿¢S
2024
expended
Tran8fars
At31
December
2024
Own u$9 tangib18 assets
523,382
116.5351
8.603
515.450
23 Unr85trlctèd funds
The unrestricted funds ol the charity compris8 the un8xpended balances of donallons and grants which are
not sublecl to specific conditions by donors and grantors as lo how th8y may be used. These InGlucSe
dgsiqnated tunds whith have been Sel a51de out ol unieslricled funds by the trustees for specific purpose5.
At 1 January
2025
Incoming
resourcos
R8sourc8S
xpended
Transfers
At31
Dae•mbèr
2025
Own use t8nglble assets
General fUr￿S
515,450
1438,6281
115.7741
1296,8811
11,691
123,3821
511,367
1432,320
326,571
76.822
326,571
1312,6551
111,6911
79,047
18

Tfacking ID.. 103b098-12625iu
BREATHE NEW LIFE CHURCH
NOTES TO THE FINANCIAL STATEMENTS {CONTINUEDI
FOR THE YEAR ENDED 31 DECEMBER 2025
23 Unr88trfct8d fund$
Icontlnuedl
Prevlous year.
At 1 January
2024
Incomlrtg
r8sourc86
Resources
8XP8nded
Tran6fer$
At31
De¢embÈr
2024
Own use t8nglble assets
General funds
523.382
1442,3601
116,5351
1258,2361
8.603
117,2061
515,450
1438,6281
279,174
81.022
279,174
1274,7711
18,6031
76,822
The fix8d 8sset fund has been sat up to asslsl In Identlfying th¢)88 funds which ara not fra• fvnds and it
represents th8 net book v81ue of fiKed a5sel8. less any tjlrectly assoualed iy)rrowings.
24 Anatysls of net a888ts b8tW8an funds
Unreslrlcted Unrestricted
fvnd8
funds
general deslgnated
2025
2025
Restrlct8d
funds
Total
2025
2025
At 31 December 2025..
Tangible assets
CuThent as8et$llliab1111188)
Long term158billtle8
532,000
13,7001
116.9331
532,000
98.251
116,933)
79,047
22.904
79,047
511.367
22.904
613,318
UnrestrSctad Unrostrlcted
fund5
funds
g6n•ral deslgnat¥d
2024
2024
Rg$trl¢t•d
funds
Total
2024
2024
At 310gcamb8r 2024..
Tanglb18 assets
CutTent a5$etsllliabllltlos}
Long term Ilabllilles
546,000
15.4701
125.0801
546,000
99,762
125.0801
76,822
28,410
76,822
515,4SO
28,410
620.682
25 R•latsd party transactlons
Transactions with related partles
During the year the charity entered into the following transactlons ¥￿th related paities..
Donations from related partles totalled £47.48212024 = £44.7071.
19-