TRUE JESUS CHURCH (LEICESTER)
ANNUAL REPORT AND FINANaAL STATEMErirs
FOR THE YEAR ENDED
30 SEPTEMBER 2023
Charity No: 1143059
Whitelaw Wells
Chartered Accountants
9 Ainslie Place
Edinburgh
EH3 6AT

TRUE JESUS CHURCH (LEICEsfERI
ANNUAL REPORT AND FINANCIAL STATEMENTS
YEAR ENDED 30 SEPTEMBER 2023
COP4TENTS
PAGES
Church Board annual report
2to6
Independent examiner's report
Statement of financial activities
Balance sheet
Notes to the financial statements
IOto17

TRUE JESUS CHURCH {LEICEsfER)
CHURCH BOARD ANNUAL REPORT
YEAR ENDED 30 SEPTEMBER 2023
REPORT OF THE CHURCH 8OARO FOR THE YEAR ENDED ao SEPTEMBER 2023
The Church Board, who are Trustees for the purposes of Charity taw, have Pleasu￿ in presentinÈ their
report and financial statemènts of the Church for the year ended 30 September 2023. The financial
statements have been prepared in accordance wf(h the accounting policies set out in note I to the
accounts and compfy with the church's constitution. the Charities Art 2011 las amendedl and Statement
of Retommended Practice applicable to chartties preparing their accounts in accordance with the
Financial Reportlng Standard applicable in the UK and Republic of Ireland IFRS1021 (effective l January
20191.
08JECTVdES AND A￿1V[riEs
Pur
The objertwe5 of the church are=
to provide a place of worship forthe members of the True Jesv5 Church in Leicester.
to worship the one tnje in accordance wtth the Old and the New Testaments of the Holy
Bible.
to advance the Bospel of Jesus Christ with the dottrines of one true God. one true thurch, water
baptism. receiving the holy spirit. foot washin& holy communion and the 5abbath,' and
to prepare for the Lord's second comtn&
Aims andArtivities
These objectives are met through regular meetings for worship where they are preached to the
congregation. In shaping our objectives for the year and planning our actlvities, the trustees have
considered the chartty tommission guidance on publi¢ benefit.
Gmnt Makin
The Church Board operates a polity to contribute a proportion of its income to the UKGA. The level of
contribution is suggested by the UKGA and Is currently abotjt 30% of the total general offerings received
by the church.
ACHIEVEMENTS AND PERFORMANCE
The church has been holding regular services every Sabbath Isaturdayl. Sunday. Wednesday and some
Fridav.
The average attendance varies from about twenty-five on Wednesdays and one hundred and ten on the
Sabbath and on Sundays. Apart from services, the church has also been running religious education
classes for the children. The church held a hymnal evangelical service on 11 December 2022 and two
fvrther evangelical servites on 30 April and 5 August 2023.

TRUE JESUS CHURCH (LEICEsfER)
CHURCH BOARD ANNUAL REPORT
YEAR ENDED 30SEPTEMBER 2023
How ourartlvitles deliver
bllc be
Our main attivity is to preach the salvation grace ot thrist Je5US. the one True God. The benefit is for
those who believe, to gain etemal lrfe in the firture. The thurch provrdes a place of worship for tF)e
followers and any truth-seeking friends in Letcester and SUfroundin8 counties. The Church also holds
regular services on Saturday for the followers to keep the Sabbath.
FINANCIAL REVIEW
The church's principal source of income is from offerings re￿Ived from its followers. Totsl income from
unrestricted funds were 147.831 12022= £182,263 including the property gain) and totsl resources
expended were 114,86012022.. £90,545). The net incc•ning resources on the general unrestrirted funds,
whlch are the operational reserves of the charity. were 32,971 12022- £54,166). The total income on
unrestritted fund5 decreased by 18.9%12022.' increased by 20.4%) compared to last year although this
was an Increase of 2.2%12022 - a reduttion of 1.6% if the property gain was Jgnoredl, total resources
expended increased by 26.8%12022- 31.8%1.
rotal income from restricted funds was £4.2ffi12022.- £1,359) of which £4.01612022'. £1,159) was for the
church's building fund. and the total resources expended were £19012022.. £2¢JJl. During the year £452
12022.- £1.2581 was spent on the property rmprovements. eqLripment, furnTture. fitting5 and fixtu￿5 from
the building fLFnd.
Reserves Poll
The General fund represents the free reserves of the church arisrng from past operating results. The free
reserves, representing unrestricted fund5 less the designated funds. stood at £343,58912022: £306.0241.
repre5entinE approximately thirty-five month's expenditure at current levels. The Church Comrnittee
member5 have examined the requirement to maintarn free reserves and concluded that they would like
to hold around £120.000 to account for unexperted building COSts and so they are holding an appropriate
level of reSe￿e$.
Investment Poli
The reserves are currently held in cash. which the Church Board feels is appropriate gNen the continuift8
volatility of the stock market. The Church Board will keep this pdicy under wiew.
Rlskmona
ement
The Church Board have assessed the major risk5 to which the church is exposed, in particular those
related to the operations and finances of the Trustees and are satisfied those 5Y5tems are in plao to
mitigate the exposure to the major risks. The Churth Board places a high priority oft effective risk
management to ensure that the thurch operate within its finanoal capabilitie5 and make prudent
financial decisions. To minimise risk, all major finanaal decisions are required to be discussed and
approved by the congregation in special motion. There are also Child Protèrtion poliry. Health and Safety
poliry and Data Protertion policy in plao to minimise the risk in these areas.

TRUE JESUS CHURCH ILEICESTERI
CHURCH BOARD ANNUAL REPORT
YEAR ENDED 30 SEPTEMBER 2023
PL4NS KiR FirruRE PERIODS
The church plans to hold three evangelical services eath year to preach the gospel of Jesus Christ with the
doctrines of one true God. one true church. water baptisrn, receiving the HO￿ Spirit, footwashin& holy
communion and the Sabbath, and to prepare for the L(Kd's second coming.
srRucfuRI GOVERNANCE AND MANAGEMENT
Status o
chori
overnin
documen
nda
liqtion
The True Jesus Church (Leicesterl is regittered ès a charity with the Charity Commi55ion wf(h the charity
number 1143059. The chartty is governed by the detlaration of trust deed made on 2& June 2011. Prior
to this the Church was an unincorporated association governed by its Rules and Regulations.
The Church is affiliated to the General Assembly of True Jesus Church IUKI. IUKGAI.
ementond
intmento
the Chur¢h Board
The management of the church 15 the responsibiltty of the Church Board who are elerted and co-opted
under the terms of the constitution. which states that the church will elert nine members to form the
Church Board. This election will take place at the Annual General Meeting every three years and each
member seNes for a period of three years until the next election. The next Church Board electron will be
held at the Annual General Meeting in 2025. The financial matters are controlled by the Church Board
and managed by the Finantial Affair5 section of the Church Board.
Of anlsotionolstrurture
The members are any person5 baptised in the True Jesus Church. Adult members are eliglble to Speak,
vote, elect and be elected at the General Meeting of Members. The General Meeting of Member5 15 the
highest decis40n-making meeting. Any decisions made are to be dealt with by the Church Board, and then
executed by the Church Executive Committee consisting of the Religiou5, General and Financial Affairs
Officer5.
Many volunteers gFve up their time to help at the church, particulady at weekends and in the evenlngs.
The Board 15 greatly indebted to these volunteer5 for their commitment and 5UPPOrt.
Trustees. Troinin
The currènt Trustees have held their posts for several years and a￿ fully conversant with the work of the
charity. Should a Trustee leave between AGM'S then the remaining Trustee5 will meet to appoint a new
Trustee based on their skills and experience. The exi5tinB Trustees will rnentor the new Trustee until they
are familiar with the day-twlay workings and aims of the charity, and they WFII be given the opportunity
to contribute fulty to any management issues that a￿ brought to the attention of the Church Board.

TRUE JESUS CHURCH {LEICEsfERI
CHURCH BOARD ANNUAL REPORT
YEAR ENDED 30 SEPTEMBER 2023
REFERENCE ANDADMINisfRATIVE INFORMATION
Charlty Name
True Jesus Church Leicester
CharftyNumber
1143059
Church Board
Mrs. Achan
E Kwok
YTan8
C Shek
Mrs. S Ho
Mrs. M Ho
M Kwok
Resigned 04/0212024
CWLIU
Religious affairs Ichalrl until 3111212022
Mrs M Shek from 0410212024
WFChan
Religious affatrs (Chairl from OII0112023
General affairs
Financial affairs
Church Address
5 Granville Road
Leicesrer
LEI 7RU
Independent examlner:
Louise Pre5slie
Whitelaw Wells Chartered Accountants
9 Atnslie Pla
Edinburgh EH3 6AT
Bankers
National Westminster Bank PIC
l Granby Street
Leicester LEI 9GT

TRUE JESUS CHURCH ILEICESTER)
CHURCH BOARD ANNUAL REPORT
YEAR ENDED 30 SEPTEMBER 2023
STATEMEKf OF RESPON5181LmES OFTHE CHURCH BOARD
The Church Board are responsible for prèparing the Church Board's Report and financial statements in
accordance with applicable law and United Kingdom Accounting Standards (Untted Kingdom Generally
Accepted Accounting Practice).
The law applicable to ¢haritie5 in England and Wales requires the Church Board to prepare financial
statements for each year wh¥ch give a true and fair view of the situation of the charity and of the
incoming resources and application of resources. of thè charity for that period. In preparing the tinancial
statements. the trustees are required to=
• selert suitable accounting policies and then apply them consistently.
observe the methods and principle5 in the applicable tharities SORP.
make judgements and estimates that are re350nable and prudent.
state whether applicable acC￿nting Standards have been followed. subjert to any material
departures that must be drsclosed and explained in the financial statements.
prèpare the finanoal statements on the going concern basis unle55 It is inappropriate to
presume that the charity wll conttnue in business.
The Church Board are responsible for keeping proper accounting records that dlsdose wlth reasonable
accuracy at any time the financial position of the charity and to enable them to ensure that the financial
Statements comply with the Charitie5 Art 2011 las amended), the applicable Charit￿$ (Accounts and
Reports) Regulations. and the provision5 of the constit¢Jtion. They are also responsible for safeguarding
the assets of the church and takin8 reasonable steps for the prevention and detection of fraud and other
irreBularitie5.
The Church Board are responsible for the maintenance and integrity of the church and financial
nformation included on the charity5 websrte in accordance with legislation in the United Kingdom
governing the preparation and disseminatFon of financial statements.
Approved by the Church Board on /2
and signed on their behaff by..
Mrs A Chan
Religious affairs (Chairl

TRUE JESUS CHURCH (LEICESfER)
INDEPENDENT EXAMINER'S REPORT
YEAR ENDED 30 SEPTEM8ER 2023
I report on the financial statements of the church forthe year ended 30 September 2023 set OLrt on paBes
8tol7.
Respèrtlve respoThslbilrtie5 of trustees and examlner
The charity's trustees are responsible for the preparation of the accounts. The Charit￿s trustees
consider that an audit is not required for this year under section 144 of the Charitles Act 2011 las
amended) Ithe Charities Act) and that an independent examination is needed.
It is my responsibility to=
examine the accounts under section 145 of the Charities Act
to follow the procedtjres laid down in the 8eneral Directions given by the Charity
Commi55ion under section 1451511bl of the Charities Act, and
to state whether particular matters have come to rny attention
Basis of Independent examinerfs 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 wtth those records. It also includes consideration of any
unusual items or disclosu￿$ in the accounts and seeking explanation5 from the trustee5 concerning
any such matters. The procedures undertaken do nol provide all the evidence that would be ￿qUired
in an audit, and consequently no opinion is gNen as to whether the actounts present a 'true and fairf
vlew, and the report is limited to those matters set out in the statement below.
Independent examinerfs statemerrt
In connertion with my examinatKin. no matter has come to my attention-
111 which gives me reasonable cause to believe that in any material respect the requirements-
to keep accounting ￿COrdS in accordance with section 130 of the Chartties Act; and
to prepare accounts which accord with the accounting records and Comp￿ with the
accounting ￿qUirementS of the Charitie5 Act.
have not been mel or
121 to which, in my opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
Louise Presslie
Chartered Accountant
Whitelaw Wells Chartered Accountsnts
9 Ain51ie Place
Edinburgh
EH3 6AT
Date: 12 May 2024

TRUE JESUS CHURCH ILEICESTER)
STATEMENT OF FINANCIAL ACTIVITIES
IINCORPORATING INCOME AND EXPENDITURE ACCOUNn
YEAR ENDED 30SEPTEMBER 2023
Unrestrirted Restricted
Funds
Funds
2023
Total
2022
Total
Notes
Income and Endowments from:
Donation5 and legacies
Offering5 received
Investments
Bunk interest receNed
Other income
Goin on disposol of osset
147,831
1.210
149,041
146,058
2.996
2.996
12
37.552
Total Income
147,831
4,206
152,037
183,622
Expenditure on:
Charitable a¢tivtties
114.860
19)
115.050
90,745
Total Expenditure
114.860
19)
115,050
90.745
Net Income for the year
32.971
4.016
36,987
92,877
Transfers between funds
452
14521
Net movement in fund5 for the period
33,423
3.564
36.987
92,877
Reconciliation of funds
Total funds at l October 2022
1.840,651
15.002 1,855.653 1,762.776
Total funds at 30 Septernber 2023
1,874,074
18,566 1,892,640 1.855,653

TRUE JESUS CHURCH ILEICESTERI
BALANCE SHEET
AS AT 30 SEPTEMBER 2023
2023
2022
Notes
rixed assets
Tangible assets
1.530,485
1.534.627
Current assets
Debtors
Cash at bank and in hand
20.815
351.507
16,079
312,115
Current Ilabilities
Creditors.- Amounts falling due
within one year
372.322
328.194
110,1671
17.1681
Net Current assets
362,155
321,026
Total assets less current liabilitles
1.892.640
1,855.653
Creditors: Amounts falling due
after more than one year
Net assets
1.892,640
1.855,653
Funds
Unrestricted funds
Restritted funds
1,874,074
18,566
1,840,651
15,002
Totsl funds
1.892,640
1,855,653
and signed on their behalf by:
YTang
Financial affair5 officer

TRUE JESUS CHURCH ILEICESTERI
NOTES TO THE FINANCIAL STATEMENTS
AS AT 30 SEPTEMBER 2023
ACCOUNTING POUCIES
Basls of accounting
The financial statements have been prepared under the historical cost convention with items
recognised at C05t or transartion value unless otherwise stated in the relevant notelsl to these
accounts. The financial statements have been prepared in accordance with the Statement of
Recommended Practice= Accounting and Reporting by Charities preparing their accounts in
accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland
IFRS 1021 (effective l January 20191, the Financial Reporting Standard applicable in the United
Kingdom and Republic of Ireland IFRS 1021 and the Charf(ies Act 2011 las amended).
The church constitutes a public benefit enttty as defined by FRS 102.
Income
Income is recognised when the charity has entitlement to the funds, any performance
condition5 attached to the itemlsl of income have been met. it is probable that the income will
be received. and the amount can be measured reliably.
Offerings are included in the year In which they are receivable.
Interest on funds held on depostt is included when receivable and the amount can be measured
reliably by the charity: this is normal￿ upon nottfication ol the interest paid or payable by the
Bank.
Expenditure
All expenditure is Included on an accruals basis and is recogni5ed when there 15 a legal or
construrtive obligation to pay for expenditure. Costs have been direttly attributed to one of the
functional categories of expenses in the Statement of Financial ActNities in full. The charity is
not registered for VAT and accordinEly costs are shown gross of ir￿cover3b1e VAT.
Expenditure is classrfied under charitable activitie5. which include5 the costs inturred by the
charity in delNery of its activities and services to its beneficiaries and their associated support
Costs.
10-

TRUEJESUS CHURCH (LEICESTER)
NOTES TO THE FINANCIAL STATEMEMrs
AS AT 30 SEPTEMBER 2023
AccouMfiNG POUCIES {CONfD
Support costs
Support costs are those functions that assist the work of the charity but do not direttly
undertake charitable artrvf(ies. Support Costs include governance costs which silPPOrt the Trusts
programmes and activities. These costs have been allocated as expenditure on charitable
activities.
TanKible Fixed A$5ets
Tangible fixed assets are initially recorded at cost. Depreciation is provided at rates calculated
to write off the cost less estimated residual value of each asset over its expected useful lrfe, as
follows.'-
Property improvements
Equipment
Furniture. fittin85 and fixtures
Motor vehicle
2% straight line
5% reducing balance
5% reducing balance
25% reducing balance
Expenditure on furniture, fittings and equrpment costing less than £250 has been charged to the
income and expenditure account, unless bought from spectfic capital funding.
Flnancial Instruments
The charity only has finantial asset5 and financial liabilities of a kind that qualify as basic
financial instruments. Basic financial instruments are initially recognised at transaction value
and subsequently measured at their settlement value.
Fund Accounting
Unrestricted funds are donations and other incoming resource5 receNable or generated for the
objects of the charity without further specrfied purpose and are available as general funds.
Oesi8nated funds are hjnds designated by the Church Board for a specific purpose.
Restricted funds are to be used forspecific purposes as laid down by the donor.

TRUE JESUS CHURCH ILEICEsfER)
NOTES TOTHE FINANCIAL STATEMENT5
AS AT 30 SEPTEMBER 2023
INCOME
Unrestrlrted
Funds
Restricted
funds
2023
Total
2022
Total
Donations and legacies
General
General gfft aided
Building fund
Building fund grft aided
Leicester gift aid tax repayments
IAIUKGA funds
52,097
74.453
52,097
74,453
1,020
63,316
63,471
1,159
1.020
19.359
19,359
190
15,8
21X)
19)
UKGA subsi(ty- Nssciyrrc
Sales of bibles, hymn ￿0ks, t-shirt5
1,49)
432
1,490
432
2,022
Total Donations and legacies
147,831
1.210
149,041
146,058
Investments
2,996
2.996
12
Other Sn¢ome-Bain on sale
37,552
Total Income
147,831
4.206
152.037
183,622
Income was £152,03712022'. £183,6221 of which 147.83112022- £182.2631 wa5 unrestricted
and £4.20612022.. £1,359) was restricted.
12

TrUE JESUS CHURCH {LEICESTERI
NOTES TO THE FINANCIAL STATEMENrs
AS AT 30 SEPTEMBER 2023
EXPENDITURE
Unrestrirted Restrirteil
Funds
funds
2023
Total
2022
Total
Grant Making
Contributions to UKGA
IA/UKGA funds
Church Activities
Food & consumables
Cleaning
Waler rates
Heat and light
Insurance
Repairs & maintenance
Motor expenses
Travel & subslstence
Audio and computer expenses
Telephone
Printing, post & stationery
EPG leaflet, publications & hymn book5
Sundry
Depreciation
NSSC/YTrc
Governonce Costs
Independent examination fee
43,770
43.770
190
42,796
2￿
7,054
7,054
660
1,731
29,903
4,644
10.054
727
4,416
689
643
743
402
544
4,594
2,616
2,274
466
1,436
22,179
4.858
5.934
185
458
475
749
608
1.731
29,903
10.054
727
4,416
689
643
743
402
544
4,594
2.616
189
4,704
1,794
1.670
1.670
1,440
114,860
19)
115,050
90.745
Expenditure was £115,050 12022- £90,745) of which £114.860 12022: £90,545) wa5
unrestricted and £19012022- £2001 was restricted.
The trustees consider there to be onty one charitable attivity.
NET INCOME
2023
2022
rhis is stoted after chorging..
Depreciation
Independent examination fee
4,594
1.670
4,704
1,440
13

TRUE JESU5 CHURCH {LEICESTERI
NOTESTO THE FINANCIAL STATEMENTS
AS AT 30 SEPTEMBER 2023
TANGIBLE FIXED ASSErs
Property
Improve-
ments
Furniture
Fittings &
Fixtures
Land and
Building
Equis
ment
Motor
Vehicle
Total
Cost
At l October 2022
Additions
Disposals
1.403,026
101.992
35,698
452
50.788
1,591,504
452
At 30 September
2023
1,403,026
101,992
36.150
50.788
1,591.956
Depreciation
At l October 2022
21,016
14.264
21.597
56,877
Charge for the year
Elimination on
disposal
2,040
1,094
1.460
4,594
At 30 September
2023
23,056
15,358
23.OS7
61.471
Net Book Value
At 30 September
2023
1.403.026
78,936
20,792
27.731
1,530,485
At 30 September
2022
1,403,026
80.976
21,434
29,191
1,534,627
The freehold property at 5 Granville Road Leicester is included at value by the trustees at
£1,403,026 (original cost in February 2011- £1.403.0261. Under the transitional arrangements
un(ler FRS102, this has been treated as the deemed cosL
14-

TRUE JESUS CHURCH {LEICESTERI
NOTES TO THE FINANCIAL STATEMENrs
AS AT 30 SEPTEMBER 2023
DEBTORS
2023
2022
Prepayments
Other debtors
1,543
19,272
211
15,868
20,815
16,079
CREDITORS: AMOUNTS FALUNG DUE WtrHIN ONE YEAR
2023
2022
Accruals
10,167
7,168
10,167
7,168
FUNDS MOVEMENT
Balance
Gain/lL05s) Balance
on
lort 2022 Incoming Out8oin8 Transfers Revaluation
30 Sep
2023
Unrestrirted funds
General fund
306.024 147,831 {110,2661
Designated church building 1,534.627
fund
14,5941
343,589
1.530,485
452
Total unrestricted fund
1,840,651 147,831 {114.860)
452
1.874,074
Restrirted funds
WUKGA funds
Other funds
Building fund- Unspent funds 15.CK12
190
119))
4.016
{452}
18,566
Total restricted fund5
15.002
4.206
119))
1452)
18.566
Total funds
1,855,653 152,037 1115,0501
1,892,640
15

TRUE JESUS CHURCH ILEICESTERI
NOTES TO THE FINANCIAL STATEMENTS
AS AT 30 SEwfEMBER 2023
FUNDS MOVEMENT
GainllLossl Balan¢e
Balance
on
30 Sep
l Oct 2021 Incoming Oirtgoing Transfers Revaluation
2022
Unrestrfrted fvnds
General fund
125.859 144.711 185,8411 121.295
Designated church building 1,623,074
37.552
14,70411121.2951
fund
306,024
1,534,627
Total unrestricted fund
1.748,933 182.263 190,5451
1,840,651
Restrirted tunds
IA/UKGA funds
Building fund- Unspent fund$ 13,843
2(M)
1,159
12(M)I
15,002
Total restrirted funds
13.843
1,359
12CQ)
15,002
Total fund5
1.762,776 183,622 190.7451
1.855,653
The Designoted church bui7ding Aund represents the net book value of the freehold properties,
improvements, equipment. and furnishings owned by the Church net of loan financing. During
the year, the church spent in total £452 12022 £1,258) on equipment, furniture, fitting and
rixtures and building improvement at S Granville Road.
The UKGA fund and other appeal funds rep￿ent donations received by the church from the
members for the United Kingdom General Assembty of True Jesus Church IUKGAI p￿aching
fund, the International Assembly of True Je5U5 Church11A1 fund and other appeal funds. These
donattons are then paid over to the relevant funds.
The other funds represent donations receNed specrfitalty for the True Jesus Church in other
locations or for other purposes. These donations are then paid over to the ￿levant funds.
The Restrirted church building fund represents unspent donations from members specificalty for
use toward repairs and maintenance of the existing freehold properties.
The transfer in the prior year represents realisat￿n of the revaluation on the disposal of the
property in Peterborough.
16-

TRUE JESUS CHURCH {LEICEsfERI
NOTES TOTHE FINANaAL sfATEMENTS
AS AT 30 SEPTEMBER 2023
ANALYSIS OF NET ASSEfs 8ETWEEN FUNDS
Unrestricted Restrirted
Total
Tangible fixed assets
Cash at bank
Other net current assets
1,530,485
332,941
10,648
1,530,485
351,507
10,648
18.566
Net Assets as at 30 September 2023
1,874.074
18,566
1.892,640
Unrestricted
Restricted
Total
Tangible fixed assets
Cash atbank
Other net current assets
1,534,627
297.113
8,911
1,534.627
312,115
8,911
15.002
Net Asset5 as at 30 Septernber 2022
1,840.651
15,002
1,855,653
10. TAXATION
As the charity is exempt under the terms of Section 505 of the Income and Corporation Taxes
Act 1988, there is no tax charge.
11. TRUSTEE REMUNERATION AND RELATED PARTY TRANSACTIONS
No fees or expenses have been paid to Trustees12022- Nill. All Trustees act gratuitously.
During the year. the Trustees donated a total of £27.13712022- £22.067).
12. sfAFF COSTS
The Church has no employees. The preacherfs salary costs are met centralty by the UKGA.
17