REGISTERED CHARITY NUMBER: 1144879
ort of the Trustees and
Unaudited Financial Statements for the
eriod endin
31 March 2025
For
St.Thomas Indian Orthodox Church Cambrid
Johns Accountancy & Taxation
4 Northville Road
Bristol BS7 ORG

st.Thomas Indlan Orthodox Church Cambrld
Contents for the Financial Statements
For Ihe
eriod endin
31 March 2025
Pa
Report of the Trustees
1to2
Independent Examiner's Report
Statement of financlal Activities
Balance Sheet
Notes to the Flnanclal Stal&ments
6t08
Detailed Statement of Financial Activities
9t010
Johns Accountancy & Taxation
4 Northvi118 Road
Bristol 8S7 ORG

St Thomas Indian Orthodox Church, Cambridge
Report of the Trustees For the year ended 31 March 2025
The trustees have pleasure in presenting their report and flnancial statements for the charily for the
year ended 31 March 2025.The trustees have adopted the provisions of Accounting and reporting
by Charities,, Statement of Recommended Practice applicable to charities preparing their accounts
in accordance with the Financial R8porting Standard applicable in the UK and Republicof Ireland
(FRS102) (Effective 1 January 2015)
1. OBJECTIVES AND ACTIVITIES:
The m8in objective of the church is lo promote the Indian Orthodox Christian faith
The main activities of the church are conducting regular masses monthly and special
masses on church festivals.
The church does not make any grants.
> The church is run by volunteers who are not entitles for remuneration except the vicar's
allowanTrs paid to the priest for the pastoral services.
> The trustees have considered the Charlty Commission's guidance on public benefit,
includlng the guidance- Public Benefit,. Running a Charity {PB21
2. ACHIEVEMENTS AND PERFORMANCE:
> Regular and special masses were conducted during the year with the introduction of
English Qurbana.
> In person Sunday school classes were aNanged on a regular basis year,
> Ladies and youth activities were conducted on 8 regular basis,
> Martha Mariam Samajam maetings were periodically held aft8r Holy Qurbana.
> The feast of St. Thomas was celebrated same as last year.
> Vacation Bible Studies during school holiday time.
Prayer meetings wer8 conducted routinely,
Renovations of lh8 church were coordinated and the church was offlcially consecrated In
the presence of HE Abraham Mar Stephanos.
3. FINANCIAL OVERVIEW:
> Church's principal source of fund8 is income from memberfs subscription, donations and
offertory.
Church reserves are held to fund its current and future activit188
There 18 no funds in deficit.
4. FUTURE PLANS:
> Develop our social platforms and expand our re8ch tc other fellow Christians
> Improve our dynamic website to connect beneficiaries with resources
> Influence the youth of today by teaching them about our faith and encourage
participation with church activities.
Introduce regular online meetings for our youth to continue having guidance from the
church as they move away from horne.
5. STRUCTURE GOVERNANCE AND MANAGEMENT..
Governing document
The Church 18 controlled by its governing dooumenl, a written constitulion and constitutes as an
incorpofftted charity.
Recrultment and appolntm8nt of Trustees:.
The vicar is appointed by the Bishop of Indian Orthodox Church, The Dlocese of UK, Europe &
Africa. The commilt8e members of the church are elected at the Annual General Body Meeting of
its members for a tsam of one year.

St Thomas Indian Orthodox Church, Cambrldge
Report of the Trustees For the year ended 31 March 2025
Rthrancè and Admln15tratly8 Informatlon:.
Name of Chaiity
Chwity Registratlon Numb8r
Princii%l Addrnss
st Thomas InLllan Orthodox Church. Cambridge
1144879
Church Lane
Papworth EV￿ar
Cambridgeshire
CB23 3QN
TTustso8=.
The trustees and off¥'ceTr Se￿Ing durlng the year and 8hice the year and were follows:
Rev.Fr. IAathews Kurkgkos8-Vlcar
Mr. B￿01 K Vaiglipse- Hon. Treasurer
Mr. RDbJ"n ThDmas- Hon, Secretaiy
Mr. Joseph Thomas
Mr. Suku Danlel
Mr. Jftlw)sb John
Mr. Rej5 ThDiiias
Mr. Anil R8Ju
Mrs. Anu Thomas
Mr. Raryu Abraham
MY. Keml Thomas
MT. JaoDb A. Varghe88
Acknowledgmgnts:.
Wa are deeptygralekil to our donoiB, voluntoers, staff, and b8ne%ria￿é¥ fDrtheir invdlu8bl8 SUPPOrt.
Together. we we making a dlfference and creating a brightgr futtir& for tJK)sE in need.
Approved by the B￿rd of Trustees on ?5lh May 2025 and signed on Its bshall by.
K Vargh
8 {Tre8sur
Date: 1911212025

Inde
endent Examlner's Re
ort to the Trustees of
St.Thoma5 Indian Orthodox Church Cambrld
I report on the accounts for the year ended 31 March 2025 set out on pages four to eight.
Responsibilities and basls of report
As the charity's trustees, you are responsible for the preparation of the accounts in accordance with
the requlrements of the Charities Act 2011 ("the Act"}.
I report In respect of my exzmlnation of the Trust's account5 carried out under section 145 of the
2011 Act and in carrying out my examination, I have followed all the applicable Directlons given by
the Charlty Commlsslon under sectlon 145{5)Ibl of the Act.
Independent exarnlner's statement
I have completed my examination. I confirm that no material matters have come to my attention in
connection with the examination which gives me cause to belleve that in, any material respect..
the accounting records were not kept In accordance wlth section 130 of the Charltle5 Act; or
the accounts dld not accord wlth the accountlng records; or
the accounts dld not comply wlth the appllcable requlrements concernln8 the form and content
of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any
requlrement that the accounts give a 'true and fair, view which is not a matter considered a5 part cf
an independent examlnation.
I have no concerns and have come across no other matters In connection with the examination to
which attentlon should be drawn In thls report In order to enable a proper understandlng of the
accounts to be reached.
Jomy John
Johns Accountancy & Taxation
Fllton
Br15tol 857 ORG
Date 02/0112026

St.Thomas Indlan Orthodox Church Cambrld
Statèment of Flnanclal Actfvitl8s
d1 A r112024
202S
024
Fun
Notes
INCOMING RESOURCES
Incomlng rasources from genorutgd fund3
Voluntary Incom8
Acllvltles for generatlng fund8
Olh$r Inoomlng rgsourcos
53,377
1,915
53,377
1,915
87,081
3,252
Totsl Incomlno ro•ourGo9
65,292
50.292
70,333
RESOURCES EXPENDED
Co818 of Gonoratlng Fund4
Ch8rltsb19 Expgndlture
Fundral8lng Expèn8e8
Governance Cost
other Resou￿9$ gxpended
34,828
34.628
26,484
10,807
1.454
10,607
1,454
14,395
922
46,689
46,689
43,801
NET INCOMING RESOURCES
8,603
8,803
26,532
RECONCILIATION OF FUNDS
Total lund8 brought fomard
259,758
269.758
233,224
TOTAL FUND8 CARRIED FORWARD
268,359
288,389
269,766
Hon. TreasuY8r,'Blnol K Varghese
Thè nol&s form part of these fjnBnclBI stalemenlg
Page 4

.Thomas Indlan Orthodox Church Cambrld
Balanco Sheet
At 31 March 2025
2026
Total
2024
Total
Unrestrlcted
Restrlcted
Note8
FIXED ASSETS
Tanglbla Assets
213,518
213,518
210,508
CURRENT ASSETS
Dgblors
Cash at bank and in Hand
9,662
9.662
19,865
55.422
55,422
49,551
CREDITORS
Amounts falllng duo ￿thIn ona yaar
{580)
1580)
13001
NET CURRENT A88ET8 1 ILIABILITIESI
64,842
64,842
49,261
TOTAL ASSETS LESS CURRENT LIABILITIES
268,369
268,369
269,768
CREDITORS
Arnounts falllng due 8fter more than one ye8r
NET A8SETS
268 389
288 309
209,768
FUNDS
Unrestricted Funds
Reslricled Funds
268,369
259,78e
TOTAL FUNDS
26B,359
259.756
Th6 flnanclal Statements wer6 approved by the Board of Trustees on 2510512025 and wara signed on Its behalf by
Hon. Trea8urar.BlnoJ K Varghege
The not65 form part oftheso flnanclal ststsments
Paga 5

St. Thomas Indlan Orthodox Church Cambrid
Notes to the Financial Statements for the Perlod Ended 31 March 2025
I. ACCOUNTING POLICIES
Accounting convention
The flnanclal statement have been prepared under historlcal cost conventlon, and in accordance with
the Fina nclal Reporting Standard for Smaller Entltles (effective April 20081, the Cha rltles Act 2011 and the
requlrements of the Statement of Recommended Practlce, Accounting and Reporting by Charities.
Incoming Resources
All incoming resources are Included on the Statement of Flnanclal Actlvltles when the charlty is legally
entltled to the income and the amount can be quallfled wlth reasonable accuracy.
Resources expended
Expendlture Is accounted for on an accruals basis and has been classlfled under headings that aggregate
all cost related to the category. Where costs cannot be directly attributed to partlcular headlngs, they
have been allocated to actlvities on a basis consistent wlth the use of resources.
Tanglble flxed assets
Depreclatlon Is provlded at the followlng annual rates In order to write off each asset over its estimated
useful Ilfe.
Flxtures and Flttlngs
Land and Bullding
(The Trustees have carrled out a full Impalrment review in accordance wlth FRS 11, as a result of whlch
no depreclation is made in respect of freehold property on the grounds that the estlmated resldual value
Is not materlally dlfferent from its carrying value in the Bala nce Sheet)
Fund accountln8
Unrestrlcted funds can be used In accordance with the charltable objectives at the discretion of the trustees.
Restrlcted fu nds can be used for partlcular restrlcted purposes within the objects of the charity. Restrictions arise
when specified by the donor or when funds are raised for particular restricted purposes.
Further explanation of the nature and purpose of each fund is included in the notes to the flnancial statements.
2 ACTIVITIES FOR GENERATING FUNOS
-15% on reducing balance ba51s
-Not Provided
Harvest Festlval and Food Festlval.
3. TRUSTEES REMUNERATION AND BENEFITS
There were no trustees, remuneratlon or other benefit5 for the period ended 31 March 2025 nor for the year
ended 31 March 2024 as Trustees, but pald £9100 to Fr. Mathew Kurlakose for hls servlce as a Vicar for the year end 20"
Trustees, expenses
There were no trustees, expenses paid for the period ended 31 March 2025 nor ft)r the year ended 31 March 2024.

St.Thomas Indian
rth
Chur
Nots8 to tha Flnanclal Statements . continued for the Perlod
ril 202
24
IXED ASSETS
Land and
Ildln
Flxtur
d Filtln
Ls Tot41
COST
At 1 Aprll 2024
205,279
15,964
221,243
Additions
4,486
4,466
At 31 March 2026
205,279
20,430
225,709
At 1 Aprtl 2024
10.737
10,737
Charge for th8 year
1,454
1,454
At 31 fvlarch 2025
12.191
12.191
NET BOOK VA
Al 31 Mgrch 2025
205 279
8,239
213,S18
Al 31 MarGh 2024
206 279
210 $06
MOUNTS FALLINQ DUE WITHIN ONE YEAR
2028
2024
Gift Ald Tax Receivable
Pr•paymenl8 and accrued Inccme
9062
19,865
Page 7

Ch
Not88 to
h Flnanclal Statemen
contlnued for the P8rlod 1 A
ril 2024 to 31 March 2025
6, CREDITQRS; ANOUNTS FALLING DUE VVITHIN ONE YEAR
2025
2024
Loans and Overdrafts
Loan from Members and others
Other Credltors
Accruals and d8farred Incom•
580
580
300
300
g. MOVEMENT IN FUNDS
Net
Movement In
Tran8for8
b•tW•on Al 31.03.2025
At 1A.2024
Unre81ricted Funds
General Fund
259,758
8,603
288,359
259,756
268 359
Nel movemgnl in Fund$, included in above gre as follows
Incomlng
Rèsourc8
Resourc•8 Mov&mont
Expondod.
In Fund8
Unro$lrl¢led Fund8
Gen8ro1 Fund
Restrieied Funds
TOTAL FUNDS
55,292
146,6891
8,603
55,292
148,8891
8,803
Page 8

st.Thomas Indlan
ur
h Cambrld
t fFlna
clal Ac
Ivltles for the Perlo
1 A rll 2024
Delall d State
1 March 2025
2025
2024
Incomin
Resources
Voluntary Income
Donations
Subscrlptlon
Offertory
Christmas Carol
Charlty Fund
Passlon w8ek
Gift Ald R&clevable
Money Box
Calholicate Day
MMVS
Dioc8se DaylCatholicat8 Day
Sunday School {OVBS)
9,534
15,660
8,371
3,186
1,690
305
10422
14,110
15,370
9,824
2,419
1,395
19,865
38
165
1,020
950
1,925
67,081
2,103
380
63,377
Actlvltle8 for Generatlng Funds
Harvest Fastlval
1,915
3,252
1,916
3,252
Othar Incomlng Re8ourca$
Rents Recelved
Total Incomln
Re8ourc88
56,292
70,333
Res
Charltable Expendltures
VlcarAllcwances
Remuneration: Guest Prie8ts
Holy Week
Sunday School Expen3e8
Refreshments
Charlty
Church Consecration Expenses
Symphony221Sanghamam
Dlocesa Day
Youth &Cholr
Awards&MomentolMlscellaneous
MMVS
Calholicate
en
9,100
7,000
2,250
1,295
2,701
11,695
500
2,383
3,959
3,345
12,814
860
1,640
258
1,730
232
636
300
150
34,628
320
165
28,484
Page 9

Governance Cost
Sundries
Accounting
Website
Op Adj -Glft Ald,Prepayments & Accrua18
R8pairs
Light& Heat
Insurance
Rent
Prfntlng & Stationery
80
460
92
761
48CI
1,275
8,853
1,272
1,672
5,783
2,171
1,905
115
10,607
83
14,395
Depr8clatlon
Fixtures and Flttlngs
1454
1,454
922
922
Totsl Resourc8e Expended
46,689
43,801
N8t Income
8,603
26,532
This page do8s not form part of the statutory financial statement8
Pag& 10