REGISTERED CHARITY NUMBER: 1138218
R•port of the Tru8tèO8 and
Flnancial Stat•ments
for th• Yèar Ended 31st Docemb•r 2025
for
Bible Pattern Church
Towers + Gomall Ltd
Chartered Cerb'fied Accountsnts
Rivgr View
96 High Street
Garstsng
Preston
Lancashirg
PR3 1WZ

Blbl• Pattem Church
Contents of the Financlal Statements
for tho Year Ended 31st December 2025
Pag•
Report ofthe T￿st
1 to 2
ndopend•nt Examln•rfs Report
Stat•brnnt of Flnanclal A¢tMtI
8alanc• Sh••t
rtote8 to th• Flnan¢lal Stat•ments
getaSl¢d Ststemont of Flnanclal ActSvlties
6 to 8

Bible Pattern Church
Report of the Trustees
for tho Year Ended 31st December 2025
The trustees pr&senl their report with the flnancial statements of the charity for the year ended 31st December 2025.
The trustees have adopted the provisiDn$ of Accounb'ng and Reporting by Charities.. Statement of Recommended
Practice applicable to chartties preparing their accounts in accordance with thg Flnancial Reportlng Standard applicable
in the UK and Rgpublic of Ireland IFRS 1021 leff8Ctive 1 January 20191.
O&JECTIVES AND ACTIVITIES
Oblect5v•s and alms
During 2025, we have been holding one service a week on Sunday momings and also Sunday School for the children.
We have provided pastoral care for Church Members and those who, through illness, havtr been unable to attend. Also,
finan¢t& support for those In need in the church and in the locality and have supported warious mi88ions as staled
above.
ACHIEVEMENTS AND PERFORMANCE
Charitablè activitles
We support finaneially. through various UK basgd charities, several ortA)anages and mlsslons worfdwide and also
purchas8 gospel literatura for free dlstrlbulion locally.
FINANCIAL REVIEW
Financlal position
In¢ome received Is sp&nl on nornial running costs for a church and is sat out in detail In our annual accounts which
follow. During 2025, we made a ng1 loss of £5,049.
R•8orvo$ pollcy
At the end of 2025 there was approximately £7.023 in our HSBC account for running costs and a further £37,768 In a
Building Society 8C¢OUnt for fLrture repairsIren￿8ls lo thg ¢hur¢h PTopety.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Govemlng document
The Charity is conlroll8d by its govemlng document. a deed of trust and constitutès an unincorporyated charlty-
We are a self%oveming Church whlch operates under a Trust De$d dated 30 Nov8mber 1982.
Recrultm•nt and appolntm•nt of new tru8t•es
Trustees are retainèd as long as thfyy are wlling and able to serve in this capa¢ty. If a Trust8e wishes to resign from
that office, or leaves the Church. a new Trustee would be appolnlgd from Ihe regular church membership.
Decl8lon making
Decisions on the day tr) d8y Tunning of the church, expendlturo of funds and 80 on is normally oversegn by the
Leadèrship Team wth the approval of thè voting Member8hip of the church at regular church busin888 meetlng8. Also.
tha Diaconate and Trust89$ have met togetherwhere necessary to discuss urgent and essentlal building repairs.
REFERENCE AND ADMINISTRATIVE DETAILS
R•g16tered Charlty number
1138218
Prfnclpal addr•$s
Bible Pattem Church
Shaw Road
Blackpool
Lan¢a¥hir
FYI 6HA
Trustges
Mr A Macleod
Mr P Stevens
MrAA Omotada
Mr M Simpson
Page 1

Blble Pattem Church
Report of the Trustees
for the Year Ended 31st Decembor 2025
REFERENCE AND ADMINISTrATIVE DETAILS
Independgnt Examiner
Towers + Gomall Ltd
Chartergd Certtfied Ac￿￿tants
Rlver Vie
96 High Str¢ot
G8r8￿n9
Pfeston
Lancashiro
PR3 1WZ
Approved by ord8r of the board of trustees on ............................................. and slgned on its ￿alf by:
Ar A Macleod- Trustee
Pa9e 2

Independent Examlner's Report to the Trustees of
Blble Pattern Church
Ind?￿nd•nt examln•rf5 report to the trustees of Blbla Pattern Church
I report to the charity trustees on my examination of th8 accounts of Bible Pattem Church Ithè Trust) for th8 year andgd
31st De¢ernbgr 2025.
Respt)nslbllltl•s and basi$ of report
As the charity trustees of the Trust you are responsible for Ihtr preparation of the accounts in accor¢Jance swlh the
requirements of the Charities AGt 2011 Ilhe Act'l.
I report in respect of my examinallon of the Trust's accounts carried out under Section 145 of the Act and in carrying out
my examination I have followed all applicable DIrectil￿S givèn by the Chartty Commission under Section 14515Xb} of the
Act.
Ind•pendont •xamln•r'$ Statsment
I have cornpleled my 8xaminatlon. l eonfimi that no rnaterial matters have come to rny attentlon in connectlon wlh
examlnalion givin9 me cause to b81i8ve that in any material raspgcI-
a¢countin9 records were not kept in respect of the Trust as required by Sectl(ffi 130 of the Act., or
the accounts do not accord with those records,. or
the accounts do not comply wth the appli¢able requirements con¢eming the fomi and content of accounts set
out in the Charities (Accounls and Reports) R￿UlationS 2008 other than any requirement that the acc()unls give
a true and fair vÉew which is not 8 matter consld8red as part of an independent examination.
I have no concerns and have come acro$s no other matters in connection with the examination to which attgnllon should
be drawn In thi8 report In order to enable a proper understsnding of the accounts lo be reached.
Mlchaol Gomall
Towers + Gomall Ltd
Chartered Certified Accountants
River View
96 High Street
Garstang
Prgston
Lan¢ashire
PR3 1WZ
24th March 2026
Page 3

Bible Pattorn Church
ststement of Financlal Actlvltles
for the Year Ended 31st December 2025
2025
Unrestiicted
fund
2024
Totsl
funds
INCOME AND ENDOWMENTS FROM
Donations and legacle$
Investment income
Notes
35.011
38.888
701
Total
.807
EXPENDMJRE ON
40.856
35,027
NET INCOMEIIEXPENDMJREI
15,049}
RECONCIUATION OF FUNDS
Total funds bmught IoFwam
53,755
49.193
TOTAL FUNDS CARRIED FORWARD
48.706
53.756
The notes form part of these ljnancial statements
Pago 4

Bible Pattern Church
Balance Sheet
31st December 2025
2025
Unrestricted
fund
2024
Total
ftjnds
Notes
CURRENT ASSETS
Dobtors
Cash al bank and In hand
3.853
44,853
4,801
48.954
48,706
53.755
NET CURRENT ASSETS
48,706
53,755
TOTAL ASSETS LESS CURRENT LIABIUTIES
48,706
53,755
NET A&%ETS
48.706
53.755
FUNDS
Unrestricts¢J funds
48.706
53,755
TOTAL FUNDS
48.706
53,755
The financial statements were approved by the Board of Trustees and authorised for issue on
. and w8r8 signed on Its btshalf by..
Mr A Maclaod- Trustee
Th8 n(rt8s fom) p8rt of these financial 8tstements
Page 5

Blble Pattern Church
Notès to the Flnanclal Statemer
for the Year Ended 31st December 2025
ACCOUNTING POLICIES
Bas1$ of preparlng the finand81 statements
The financlal stslemenls of the charity, which Is a public benefit envty under FRS 102, have been prepared in
accordance wlh the Charities SORP IFRS 1021 'Accounting and Reporbng by Charrties. Ststement of
RecommeTrYed PTrctice appjicable to charittes preparit79 Ihelr accounts in accordance wth the Flnan¢Jal
Reportsng Slandard appllcable in the UK and Ropublic of Ireland IFRS 102)19ffective 1 January 2019),, Financial
R8POrtlng Standard 102 The Flnènci21 R8portlnG Stan¢J8rd apDIic8bl& in tho UK and Republic of Ir8lan¢J' 3nd th•
Charltles Act 2011. The flnancial statèrnents have baen prepared under tho histor4cal Cost conv8ntion.
Afi Income is recogni8ed In the Stslement of Flnanclal Activltlès once the ch8rfty h8s enullement lo the fvnds,
Is probable that the Income wll be received and the amount Can be measured reliably.
Eyndltvro
LIabIl￿8$ are recognised as exp8ndltur8 88 soon as there is a 18gal or ¢onstnJ¢tive obligation committlng the
tharTty to that 8ypendilure. 11 is probable that a transfer of economic bengflts wlll be required in settlemgnl and
the amount of tho obllgation can be measured reliably. Expendtturg is ac￿Unt*d for ortr an ac¢ruals basls and
ha$ been classrfie¢J under headings that aggregate all eosl related to Ihe cat89ory. Where costs canr￿t ba
tredly attrfbulgd to partlcutar headlngs they have allocated k¥ activlti88 on a basi5 consistent wfth the
of r&8ources.
Toxatlon
The charity Is exgmpt from t8x on Its charftable acts￿be8.
Funit o¢¢ountlng
Unrèstrictèd fvnds can be Used Sn accoTdarKe wilh the Charitab￿ obj8the8 ot Iho dis(xetion of the trustees.
Restri¢Aed fvnds c8n onty bè used for particular restrfcted purpos88 ￿thin oblecis of th& charfty. Restrtcfjons
aFlw vthen speclfted by thg donor orwhen funds are raised for particttrlar re8trlcte(J purpose8.
Further explanation of the nature and PUFP088 of ea¢h fvnd is in¢ludod rn th& not6S to the financlal stst8mgnls.
INVESTMENT INCOME
2025
2024
Deptssit account Int&re3t
701
TRUSTEES. REMUNERATION AND BENEFrrs
There were no trustees. remuneration or other boneflts for Ihe year endg1131st December 2025 nor for the year
8nd8d 31st Dacgmber 2024.
Tr￿te•s. oxp•ns•$
There ￿re no tru8tses' expenses pald for the year ended 31st December 2025 nor for th9 year end8d
31st December 2024.
COMPARATWES FOR THE STATEPAEKf OF FINANCIAL ACTIVITIES
filnd
INCOME AND ENDOWMENTS FROM
Donations and lag8tytsS
knvestment Income
701
Total
39,589
EXPENDITURE ON
Page 6
conUnue4...

8lble Pattem Church
Notes to the Flnancial Statements . continued
for the Year Ended 31st December 2025
COMPARAnVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- Grjntlnuod
Unrestricted
fund
Othèr
35,027
NET INCOME
4,562
RECONCILIATION OF FUNDS
Total fvnds brought forward
49,193
TOTAL FUNDS CARRFED FORWARD
53,755
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Other d8btors
Pr8P8ymenls
900
3,901
3,853
3.853
4,801
MOVEMENT IN FUNDS
Nel
movement
in funds
Al
31112125
At 111125
Unrestrlcted funds
General lund
53,755
15.049}
48,706
TOTAL FUNDS
53.755
{5,049}
48,706
Nèt rnov8menl in lund$. Included in the above are as follows=
Incoming
resources
Resources
expended
Movement
in funds
Unrnstricted funds
General fund
35,807
140,856)
15,0491
TOTAL FUNDS
35,807
140.8561
15,0491
Compar•tl¥es for movement In fund•
Net
movement
in fvn(Ss
Al
31112rk4
At 111124
Unrnstrictsd funds
General fund
49,193
4,562
53.755
TOTAL FUNDS
49,193
4,562
53,755
Page 7
conUnued...

Bible Pattfrm Church
Notes to the Flnancial Statements - contlnued
for the Year Ended 31st December 2025
MOvEmE￿r IN FUNDS- contlnu•d
CompBr8tive net movement rn funds. includ¢d In the above are as follows..
Incomlno
resource8
Resources
expended
Movamgnt
In funds
iJnro$trlct•d fund#
General fund
135.027)
4.562
TOTAL FUNDS
39,58U
(35,027)
4.562
A current year 12 months and PTior year 12 months ￿mbIned p08ition 18 as folloknB'.
Nat
M0￿ment
in funds
Al 111124
31112125
Unr•strlcted funds
General fund
49,193
14871
48,706
TOTAL FUNDS
49.193
(4871
48,706
A currgnt year 12 month$ and pftor year 12 months Combin￿ ngt mov8mÈnt in funds, Indud•d In the above are
as foll
Incomlng
resources
Resour¢gs
expended
Movement
In funds
Unr•strlctod lunds
General fuThJ
75,3
175.883}
14871
TOTAL FUNDS
75,WJ6
175,883)
148n
RELATED PARf( OISCLOSURES
There were no related paty Iransactlons forthe year 8nded 31st Dacember 2023.
Page 8

Blble Pattern Church
Detailed Statement of Flnan¢lal Actlvities
for the Year Ended 31st December 2025
2025
2024
INCOME AND ENDOWMENTS
Donations and l•gacla$
Gifts
Donation8
Gtft aid
1,002
27.936
6,073
1,518
31,315
6.055
35.011
38,888
Investment incom•
Deposit ac¢ount inter8$1
796
701
Total Incoming resourc
35,807
39,589
EXPENDITURE
Othèr
Visiting Speakèr8
Missions
Sick and Nggdy
c￿aning
Sunday Sthool
Catering
4.328
17,236
1,174
1.836
791
272
5.760
12,051
1,625
1,935
614
25.637
22,589
Support costs
Managem•nt
Insurance
Light and heal
Postsge and stationery
Sundries
Repairs & Renewals
4,044
3.150
329
321
4,647
3,901
146
914
1,323
12.491
7,217
Flnanco
Bank charges
150
Govemance cost$
Accountancy and legal fees
2.578
5.037
Totsl resourees expanded
40.&56
35,027
Net I•xp8ndllur¢)nncom•
15,049)
4.$62
This pagè does not form part of th8 stslulory financial statements
Pagè 9