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2025-12-31-accounts

Report of the Trustees

and

Unaudited Financial Statements for the Period ended 31[st] December 2025

For

Ebenezer Pentecostal Church Cambridge United Kingdom

Charity number: 1139651

Ebenezer Pentecostal Church Cambridge

United Kingdom

CONTENTS

Trustees Annual Report - 2 – 4
Receipts and Payment Account - 5
Statement of Assets and Liabilities - 6

Ebenezer Pentecostal Church Cambridge

Trustees’ Annual Report

For the period ended 31[st] December 2025

The trustees have pleasure in presenting their report together with the financial statements for the period ended 31[st] December 2025.

Reference & Administrative Information

Charity Name : Ebenezer Pentecostal Church Cambridge Charity No : 1139651 Address : 17a Fulbourn Road, Cambridge, CB1 9JL

Telephone Number: 01223561352

Web: epchurchcambridge.org

Trustees (Church Council)

Kunjumon George - Chairman Johnson Varughese - Trustee Thomas Vaniyapurackal - Trustee Iju Mani Alias - Trustee Ansamma Kunjumon - Trustee

Other Trustees who served during the year

None

Structure, Governance & Management

Constitution

This Charity is a Christian organisation. It is governed by its constitution which was adopted on 05 December 2010. Ebenezer Pentecostal church was granted charitable status by the Charity Commission.

Appointment of Trustees

Trustees are elected at the Annual General Meeting.

Management

The trustees are responsible for the strategic direction and governance of the organisation whilst day-to-day running. We also have several volunteer leaders to assist on a rota basis.

Objectives & Activities

Charitable purposes

  1. The advancement of the Christian faith

  2. The relief of those in need by reason of age, ill health, disability, financial hardship or other hardships

Activities

Ebenezer Church Council:

The Ebenezer council consists of five members who are elected by the general body and the period of the council is two years. The organisation accounts are handled by the treasurer and every week is counted and checked by two people. The accounts are checked and audited every six months by our auditor who has accounting experience. Audited accounts statement is enclosed for your reference.

Financial Review

Gross income for the year is £44,146.35 The resources expended are £ 18,909.14, and the surplus for the year is £ 25,237.21 .There is no fund in deficit.

Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651 Ebenezer Pentecostal Church Cambridge CC16a
Receipts and payments accounts
For the
period from
Period start To
01/01/2025 31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds

Endowmen
t funds
Total
funds
Last year
to the nearest
£

to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering 1,953.03 - - 1,953.03 1,557.69
Tithe 200.00 - - 200.00 1,415.00
Donations 39,612.20 - - 39,612.20 35,292.96
Bank interest 2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - - - -
**Total receipts ** 44,146.35 - - 44,146.35 40,598.49
A3 Payments
Rent 5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers 2,800.00 - - 2,800.00 3,150.00
Bank charges 64.16 - - 64.16 79.66
Refreshments 1,896.06 - - 1,896.06 978.32
Printing& Stationery 389.93 - - 389.93 683.29
Youth Meets, VBS & outreach 3,571.06 3,571.06 1,399.62
Office equipments 957.67 957.67 1,462.87
Accountancycharges 180.00 - - 180.00 210.00
Insurance 317.45 - - 317.45 302.60
Advertisement - - - - 100.00
Head Office Contribution 729.78 - - 729.78 -
Travel Expenses 2,082.70 - - 2,082.70 -
Softwares 187.08 - - 187.08 -
**Sub total ** 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
**Sub total ** - - - - -
**Totalpayments ** 18,909.14 - - 18,909.14 15,015.36
**Net of receipts/(payments) ** 25,237.21
-
- 25,237.21 25,583.13
A5 Transfers between funds - - - - -
A6 Cash funds lastyear end 136,274.90
-
- 136,274.90 110,691.77
Cash funds thisyear end 161,512.11
-
- 161,512.11 136,274.90
Section B Statement of assets and liabilities Section B Statement of assets and liabilities Section B Statement of assets and liabilities Section B Statement of assets and liabilities Section B Statement of assets and liabilities
Categories Details **Unrestricte ** Restricted
to nearest £ to nearest £ to nearest £
B1 Cash funds Cash/ Cheques in hand - - -
Cash at bank 161,512 - -
- . -
Total cash funds 161,512
- -
(agree balances with receipts and
payments account(s))
OK
OK OK
Unrestricte
d funds
Restricted
funds
Endowmen
Details to nearest £ to nearest £ to nearest £
B2 Other monetary
assets
- -
- -
- - -
Details Fund to which
asset belongs
Cost
(optional)
Current value
(optional)
B3 Investment assets - -
- -
Details Fund to which
asset belongs
Cost
(optional)
Current value
(optional)
B4 Assets retained for
the charity’s own use
- -
- -
- -
Details Fund to which
liability relates
Amount due
(optional)
When due
(optional)
B5 Liabilities -
-
Signed by one or two trustees on
behalf of all the trustees
Signature Print Name Date of
approval
Pastor:Kunjumon George 03/06/2026

Report of the Trustees

and

Unaudited Financial Statements for the Period ended 31[st] December 2025

For

Ebenezer Pentecostal Church Cambridge United Kingdom

Charity number: 1139651

Ebenezer Pentecostal Church Cambridge

United Kingdom

CONTENTS

Trustees Annual Report - 2 – 4
Receipts and Payment Account - 5
Statement of Assets and Liabilities - 6

Ebenezer Pentecostal Church Cambridge

Trustees’ Annual Report

For the period ended 31[st] December 2025

The trustees have pleasure in presenting their report together with the financial statements for the period ended 31[st] December 2025.

Reference & Administrative Information

Charity Name : Ebenezer Pentecostal Church Cambridge Charity No : 1139651 Address : 17a Fulbourn Road, Cambridge, CB1 9JL

Telephone Number: 01223561352

Web: epchurchcambridge.org

Trustees (Church Council)

Kunjumon George - Chairman Johnson Varughese - Trustee Thomas Vaniyapurackal - Trustee Iju Mani Alias - Trustee Ansamma Kunjumon - Trustee

Other Trustees who served during the year

None

Structure, Governance & Management

Constitution

This Charity is a Christian organisation. It is governed by its constitution which was adopted on 05 December 2010. Ebenezer Pentecostal church was granted charitable status by the Charity Commission.

Appointment of Trustees

Trustees are elected at the Annual General Meeting.

Management

The trustees are responsible for the strategic direction and governance of the organisation whilst day-to-day running. We also have several volunteer leaders to assist on a rota basis.

Objectives & Activities

Charitable purposes

  1. The advancement of the Christian faith

  2. The relief of those in need by reason of age, ill health, disability, financial hardship or other hardships

Activities

Ebenezer Church Council:

The Ebenezer council consists of five members who are elected by the general body and the period of the council is two years. The organisation accounts are handled by the treasurer and every week is counted and checked by two people. The accounts are checked and audited every six months by our auditor who has accounting experience. Audited accounts statement is enclosed for your reference.

Financial Review

Gross income for the year is £44,146.35 The resources expended are £ 18,909.14, and the surplus for the year is £ 25,237.21 .There is no fund in deficit.

Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651
Period start
01/01/2025
31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds
Endowmen
t funds
Total
funds
Last year
to the nearest
£
to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering
1,953.03 - - 1,953.03 1,557.69
Tithe
200.00 - - 200.00 1,415.00
Donations
39,612.20 - - 39,612.20 35,292.96
Bank interest
2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - -
- -
Total receipts 44,146.35
- - 44,146.35 40,598.49
A3 Payments
Rent
5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers
2,800.00 - - 2,800.00 3,150.00
Bank charges
64.16 - - 64.16 79.66
Refreshments
1,896.06
- - 1,896.06
978.32
Printing& Stationery
389.93 - - 389.93 683.29
Youth Meets, VBS & outreach
3,571.06
3,571.06 1,399.62
Office equipments
957.67
957.67 1,462.87
Accountancycharges
180.00 - - 180.00 210.00
Insurance
317.45 - - 317.45 302.60
Advertisement
- - - - 100.00
Head Office Contribution
729.78 - - 729.78 -
Travel Expenses
2,082.70 - - 2,082.70 -
Softwares
187.08 - - 187.08 -
Sub total 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
Sub total - - -
- -
Totalpayments 18,909.14
- - 18,909.14 15,015.36
Net of receipts/(payments) 25,237.21
- - 25,237.21 25,583.13
A5 Transfers between funds
- - - -
-
A6 Cash funds lastyear end 136,274.90
- - 136,274.90
110,691.77
Cash funds thisyear end
161,512.11
- - 161,512.11
136,274.90
Ebenezer Pentecostal Church Cambridge
CC16a
Receipts and payments accounts
For the
period from
To
Charity No : 1139651 Ebenezer Pentecostal Church Cambridge CC16a
Receipts and payments accounts
For the
period from
Period start To
01/01/2025 31/12/2025
Section A Receipts andpayments
Unrestricted
funds
Restricted
funds

Endowmen
t funds
Total
funds
Last year
to the nearest
£

to the
nearest £
to the nearest
£
to the
nearest £
to the nearest
£
A1 Receipts
Offering 1,953.03 - - 1,953.03 1,557.69
Tithe 200.00 - - 200.00 1,415.00
Donations 39,612.20 - - 39,612.20 35,292.96
Bank interest 2,381.12 - - 2,381.12 2,332.84
Sub total(Gross income
for AR)
44,146.35 - - 44,146.35 40,598.49
A2 Asset and investment
sales, (see table).
- - - - -
Sub total - - - - -
**Total receipts ** 44,146.35 - - 44,146.35 40,598.49
A3 Payments
Rent 5,733.25 - - 5,733.25 6,649.00
Honorarium to visiting preachers 2,800.00 - - 2,800.00 3,150.00
Bank charges 64.16 - - 64.16 79.66
Refreshments 1,896.06 - - 1,896.06 978.32
Printing& Stationery 389.93 - - 389.93 683.29
Youth Meets, VBS & outreach 3,571.06 3,571.06 1,399.62
Office equipments 957.67 957.67 1,462.87
Accountancycharges 180.00 - - 180.00 210.00
Insurance 317.45 - - 317.45 302.60
Advertisement - - - - 100.00
Head Office Contribution 729.78 - - 729.78 -
Travel Expenses 2,082.70 - - 2,082.70 -
Softwares 187.08 - - 187.08 -
**Sub total ** 18,909.14 - - 18,909.14 15,015.36
A4 Asset and investment
purchases, (see table)
**Sub total ** - - - - -
**Totalpayments ** 18,909.14 - - 18,909.14 15,015.36
**Net of receipts/(payments) ** 25,237.21
-
- 25,237.21 25,583.13
A5 Transfers between funds - - - - -
A6 Cash funds lastyear end 136,274.90
-
- 136,274.90 110,691.77
Cash funds thisyear end 161,512.11
-
- 161,512.11 136,274.90
Section B Statement of assets and liabilities Section B Statement of assets and liabilities Section B Statement of assets and liabilities Section B Statement of assets and liabilities Section B Statement of assets and liabilities
Categories Details **Unrestricte ** Restricted
to nearest £ to nearest £ to nearest £
B1 Cash funds Cash/ Cheques in hand - - -
Cash at bank 161,512 - -
- . -
Total cash funds 161,512
- -
(agree balances with receipts and
payments account(s))
OK
OK OK
Unrestricte
d funds
Restricted
funds
Endowmen
Details to nearest £ to nearest £ to nearest £
B2 Other monetary
assets
- -
- -
- - -
Details Fund to which
asset belongs
Cost
(optional)
Current value
(optional)
B3 Investment assets - -
- -
Details Fund to which
asset belongs
Cost
(optional)
Current value
(optional)
B4 Assets retained for
the charity’s own use
- -
- -
- -
Details Fund to which
liability relates
Amount due
(optional)
When due
(optional)
B5 Liabilities -
-
Signed by one or two trustees on
behalf of all the trustees
Signature Print Name Date of
approval
Pastor:Kunjumon George 03/06/2026

Independent Examiner's Report to the trustees of

Ebenezer Pentecostal Church Cambridge Charity No : 1139651

I report on the receipt and payment accounts for the year ended 31st December 2025 set out in pages 5 and 6

Respective responsibilities of trustees and examiner:

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year (under section 43(2) of the Charities Act 1993(the 1993 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of the independent examiner’s report:

My examination was carried out in accordance with the General Directions given by the

Charity Commission. An examination includes a review of the accounting records kept by the Charity and a comparison of the accounts presented with those records. It also includes

consideration of any unusual items of disclosures in the accounts, and seeking explanations

from the Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair view' and the report is limited to those matters set out in the statements above.

Independent examiner’s statement:

In connection with my examination, no matter has come to my attention:

the accounting requirements of the 1993 Act

have not been met or

understanding of the accounts to be reached.

Noble Dani George

03/06/26

Noble Dani George Chafra The Common, Patchway, Bristol, BS34 6AL

1