## **ANNUAL TRUSTEES REPORT 2025** 

## UNITED SHALOM PENTECOSTAL CHURCH LTD 

## **AIMS & PURPOSES** 

United Shalom Pentecostal Church Ltd principal aim is the proliferation of the Christian faith and ideology through the provision of church related activities and the advancement of the Christian faith for the public benefit. 

United Shalom Pentecostal Church Ltd is responsible for operating mission of the church, Evangelism, Pastoral works, social work, ecumenical meeting, and Christian educations. The charity is also specifically responsible for maintenance of the church building.  The charity is committed to enable as much as people to worship at our churches through worship, practice faith, prayer according to bible, learning about bible, developing their character, responsibilities in society, knowledge in God, trust in God. 

An equally important purpose of the charity is to provide charitable donations to individuals in need,both in the UK and abroad. 

## **OBJECTIVES & ACTIVITIES:** 

United Shalom Pentecostal Church Ltdoffers the provision of multi- faceted services to meet its primary aims & purposes. The charity is committed to enabling as many people as possible to worship at our church and to become part of our parish communities. United Shalom Pentecostal Church Ltd has 5 separate churches from which it operates from, one of the buildings is owned by USPC freehold, which is the church situated in, Wythenshaw,  Manchester.The other 4 churches are rented. The location of the churches is Middlesbrough, Bradford, Liverpool and East Kilbride. 

All 5 churches offer services for the community’s spiritual full filling during the week, e.g. Evening prayer, Night Prayer, Area prayer, weekend worship service, Tract distribution, youth activities and developing skills,Conferences, Revival meetings, prayer for the national peaceand also Sunday school services, separate meetings for ladies and counselling services. 

Our services and worship put faith into practice through prayer and scripture, music and sacrament. 



When planning our activities for the year, we have considered the Commission’s guidance on public benefit and the supplementary guidance on charities for the advancement of religion. We try to enable ordinary people to live out their faith as part of our parish community through: • Worship and prayer; learning about the Gospel; and developing their knowledge and trust in Jesus. • Provision of pastoral care for people living in the parish. • Missionary and outreach work. 

The activities we undertake include Sunday school for the youth, with reading books and other games provided to teenagers incorporating religious learning. 

We conduct combined worship once in every three months where all the churches come together and worship. 

During the summer holidays usually we conduct vacation bible school for children aged 6 and above, where kids learn bible stories, songs and several games. 

We have Sunday school’s in Manchester, Liverpool, East Kilbride, Bradford and Middlesbrough. 

A total of about 110 children attend the Sunday schools.  There are about 37 teachers voluntarily working for this ministry. Our academic year is January to November divided in two semesters with an examination at the end of every semester. 

We follow same syllabus in all the above said places and exams are held as a centralized. Sunday school helps the children to learn the Bible lessons and encourage them to practice in their daily life. 

A Sunday school board consisting of 12 nominated from all the above churches, work together to monitor and develop this ministry. The board members meet at least 3 or 4 times a year and take decisions on the matters for the smooth and effective functioning of this ministry. 

One of our principal aims is the provision of Christian ideologies and doctrines via the services and worship programs we provide to the local communities, we put faith into practice through prayer and scripture, music and sacrament. 



We do monthly fundraising activities and events, where religious doctrine is given to the visitors by the pastors. The money donated by the church attendees is given to Food Banks in the UK as well as deprived individuals abroad. We have a mission department collecting fund for needy people like orphans, slums, tribes, beggars and humanitarian aid. 

## **ACHIEVEMENTS & PERFORMANCE:** 

We have managed to provide evening prayers to the church attendees.We are conducting youth worship, youth meetings, Kids Club to encourage their spiritual faith.We conducted a 21 days fasting prayer in Manchester in October 6[th] to 26[th.] 2024 for the members spiritual growth. 

Youth meetings have been conducted once a month during the financial year ended30[th] September 2025. We have been successful in setting up programs which included singing, storytelling, bible quiz, instrument playing and bible reading. 

We have had our volunteers teaching kids every week to play instruments, song learning and preparing them for church worship and solo performances. 

Kids Club have been a very interesting for our kids as there are lot of craft works and activities conducted for them. 

We have also trained and give guidance to the kids and teenagers whom have attended our weekly sessions to visit cities and towns within the UK to spread the message and purpose of God and encourage people of all ages to visit the Church and seek Christian religious teachings.During the year we have conducted 2 virtual whole night prayers were church leaders and most of the members join together virtually and prayed for the nations. 

We have also had a successful youth anniversary in 2025 attended by youth from all our churches. Various choreographed songs and other programs were held at the meeting with the religious Christian undertones.  It was a great success in the provision of Christian teaching with entertainment. Gifts were handed out to the various winners in each category of entertainment.  Certificates were handed out to all participants in the event. 



In the month of August 2025 we have managed to conduct vacation bible school for kids aged from 5 yrs to 16 yrs which enabled our children to make their summer holidays to utilize spiritually. 

This year we have been successful in welcoming more families and individuals to our church, as well as our regular services, we enable our community to celebrate and thank God at the milestones of the journey through life. Through baptism we thank God for the gift of life, in marriage public vows are exchanged with God’s blessing and through funeral services friends and family express their grief and give thanks for the life which is now complete in this world and to commend the person into God's keeping. 

We had an opportunity to raise fund to help missionaries in India. Also church members generously contributed for family who lost their loved ones and also the following being done regularly as part of the charity work. 

:- Food Bank Stall  -  operating on every Sunday  9.30 am to 2.00 pm 

:- Hot meal supply to homeless twice monthly 

:- Charity work in India 10 weeks yearly 

:- Charity car wash 

:- Charity Street cleaning – picking the rubbish from the street and dispose in the bins. 

:- Christmas carol service and food for the needy. 

:- Collecting used clean cloth for the charity 

During the year 2025, pastoral care was provided to elderly citizens and the sick, essentially those whom were not able to attend the church, church ministers and pastors regularly visited their houses, prayed for them and also given them support they needed. 

Also there was Christmas Card distribution by the youth around the street nearby the church, street ministries by the youth with the support of the churches, family get-together, sports day and barbeque events. 



## **FINANCIAL REVIEW:** 

## **Overall Financial Performance** - 

The charity generated a surplus during the financial year of £65,887.65 

## **Income Analysis-** 

During the year 2025, the amount of money received by the churches within the legal charity entity United Shalom Pentecostal Church Ltd, was £224,240.28, all of which was primary charitable VAT Exempt activities as well as unrestricted voluntary donations. Of this amount of turnover-the sum of £66,105.01 IS to be claimed from HMRC via Gift Aid Reclaim. 

Total income has increased from the previous year by 4.23%, which is consistent with year ended 2024, small increase. 

## **Expenditure Analysis-** 

Total expenditure totaled £158,352.64, a decrease of 7.73% from the previous year; this expenditure decrease is due a significant decrease in hall rent as a lot of the charitable activities are done online/virtually, hall rent decrease from 2024 to 2025 decrease was 86.18%, also significant decrease in property repairs undertaken, from 2024 to 2025 decrease was 79.68%. 

Wages increased by 53.67% from previous year, postage and stationery an increase of 105.35%, waste services 54.84% increase. 

Interest and finance charges relating to the mortgage on the only church building owed by the charity, was approx. 1.81% of the total expenditure. 

Pastors and Guest Speaker Fees amounted to 19.70% of total expenditure. 

PAYE Wages were 19.82% of total expenditure incurred; Online Video conference fees/seminars were 4.74% of total expenditure. 

The rest of the charity expenses for the year incorporating professional fees such as accountant’s fees, travel & subsistence costs, as well as premises costs such as light & heat etc. 



## **Reserves Position-** 

It is a policy of the charity to maintain a balance per church on unrestricted funds equating to at least 6 months unrestricted payments and overheads per church. The reserves per church are held to assist with cash flow and meet its present obligations easily. 

## **Cash Position and Liquidity-** 

The charity had sufficient reserves and working capital to satisfy current and long term obligations, reserves as at 30[th] September 2025 totalled £282,262.76 

## **Restricted Funds-** 

None held, all unrestricted voluntary donations received. 

## **Balance Sheet Changes-** 

Addition focus on online/virtual seminars and meetings necessitated the purchase of audio sound systems with microphones and speakers, fixed asset addition totalled £15,268.21. Reduction in commercial mortgage liability from £63,645.26 to £54,513.26 

## **Financial Risks and Uncertainties-** 

Non reliance on grants or outside funding signifies no risks affecting current finances. 

## **Future Outlook-** 

Expectations for year ending September 2026 are good and positive in terms of income growth and reduction in commercial mortgage liabilities. Looking to acquire another freehold land/property within the right location and price 



## **VOLUNTEERS:** 

There were considerable volunteers whom helped during the year 2025, the principal ones to whom we owe a great amount of gratitude were: 

Sr. Chinchu Shiju, Mr. Joel Saji, Mr. Abel Abraham,,Mr. Sivi Joseph, Mr. Biju Mathew, Mr. Jerin Paul, Mr. Shiju Abraham, Mr Davis Varghese,Ms Ilona Mathew, Ms Steffy Joseph, Mr Ephraim Mathew, Ms Lydia Binu. 

## **STRUCTURE, GOVERNANCE & MANAGEMENT:** 

Each church has ministers and elders, Youth coordinators, children coordinators, ladies’ coordinators.  Church pastors are doing the administrative work of the local church with help of other leaders. 

## **ADMINISTRATIVE:** 

The trustees oversee the decision-making process of all five churches, which includes setting out the expenditure budget for overseas trips each year, as well as the various festivals held in the UK and the Sunday School. 

The Church addresses are as follows: United Shalom Pentecostal Church, Floatshall Road, Baguley, Manchester, M23 1JB 

Liverpool United Shalom Pentecostal Church, 207 A, Dragon Lane, Whiston, Prescot, Liverpool, L35 3QX 

Middleborough United Shalom Pentecostal Church, 15 Gleneagles Court, Middleborough, TS4 3LR 



Bradford United Shalom Pentecostal Church, 

The Wine St. Mary’s Church, Parsonage Road, Bradford, BD4 8PL 

East Kilbride United Shalom Pentecostal Church, 

United Reform Church, Carnegie Hill, East Kilbride, Glasgow, Scotland, G75 OAE 

The Trustees help to coordinate activities for the churches, solicit and book the guest speakers. 

One of the trustees-Mr Aju Baby does all the bookkeeping processes for all 5 churches during the year, whilst another two Trustees, Mr Sojan Mathew & Mr. Biju Easo help with all the regulatory and financial compliance aspects for the Charity. 

The Trustees whom are also the Company Directors, were as follows during the year 2025 

- Aju Baby 

- Biju EasoEaso 

- Sojan Mathew 

- • Mathew Varghese • Philip Varghese 

- Mathai Varghese 



Registered number.. 082016L2
UNITED SHALOM PENTECOSTAL CHURCH LTD
DIRECTOR'S REPORT AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
CERTIS
329 BRADFORD ROAD
HUDDERSFIELD
HDI 6ER

UNITED SHALOM PENTECOSTAL CHURCH LTD
Contents
P•ge
Company Information
Oirector'5 Report
Accountsnts, Report
Income and Expenditure Account
6313nce Sheet
Statement of Changes in Equity
Note5 to the Financial Statements
8-10
The following pages do not form part of the statutory accounts..
Detailed Income and Expenditure Account
11-L2

UNITED SHALOM PENTECOSTAL CHURCH LTD
Company Information
For The Year Ended 30 September 2025
Director
Mr AJU BABY
Company Number
08201612
Registered Office
FLOATSHALL ROAD
BAGULEY
MANCHESTER
M23 IJ8
Accountants
CERTIS
329 BRADFORD ROAD
HUDDERSFIELD
HDI 6ER
Page I

UNITED SHALOM PENTECOSTAL CHURCH LTD
Company No. 08201612
Director's Report For The Year Ended 30 September 2025
The direcror p￿SentS his report and the financial statements for the year ended 30 September 2025.
Dlrertor$
The director who held office during the year were as follows..
Mr AJU BABY
Statement of Director's Responsibilities
The direttor is responsible for preparing the Director's Report and the financial statements in accordance with applicable law
and regulatlons.
Cornpany law require5 the dirertor to prepare financial statements for each financial year. Under that law the director ha5
elected to prepare the financial statements In accordance with United Kingdom Generally Accepted Accounting Practice
(United Kingdom Accounting Standards and applicable lawl. Under company law the director rnust not approve the financial
statements unless they are satisfied that they give 8 true and fair view of the state of affairs of the company and of the
surplus or deficit of the company for that period. In preparing the financial statements the director is required to..
select 5Ultable accounting policies and then apply them consistentlyi
rnake judgments and accounting e5timate5 that are reasonable and prudent,.
p￿pare the financial statements on the going concern basis unless it is inappropriate to presume that the company
will continue in business.
The director Is responsible for keeplng adequate accountlng records that are sufficient to show and explain the company's
tr3nsartions and disclose with reasonable accuracy at any time the financial position of the company and enable them to
ensure that the financial statements comply with the Companies Act 2006. He Is also responsible for safeguarding the assets
of the cornpany hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
The director Is ￿spOnsible for the tnaintenance and Integrity of the corporate and financial Information Included on the
company's web51te. Legislation in the United Kingdorn governing the preparation and dissemination of financial Statements
may differ from legislation in other jurisdictions.
Small Company Rules
This report has been prepared in accordance with the special provisions relating to companles subject to the small companies
regime within Part 15 of the Companies Act 2006.
On L)ehalF of the boar
Mr AJU BABY
Director
3010612026
Page 2

UNITED SHALOM PENTECOSTAL CHURCH LTD
Accountants. Report
For The Year Ended 30 September 2025
In accordance with the engagernent letter dated and in order to asslst you to fulfil your duties under the Cornpanies Act
2006, we have compiled the financial statements of the company from the accountlng records and Information and
explanatlons you have glven to us.
This report Is made to the dlrector In accordance wlth the terms of our engagement. Our work has been undertaken to
prepa￿ for approval by the director the financial statements that we have been engaged to compile, to report to the director
that we have done so, and to state those matters that we have agreed to state to them in this report and for no other
purpose. To the fullest extent permitted by law, we do not accept or assume responsibility to anyone other than the Cornpany
and the Cornpany'5 director for our work or for this report.
You have acknowledged on the balance sheet as at year ended 30 September 2025 your duty to ensure that the Company has
kept proper accounting records and to prepa￿ financial statements that give a true and fair view under the Companies Act
2006. You consider that the company Is exempt fmm the statutory requirement for an audlt for the year.
We have not been Instructed to carry out an audit of the flnanclal statements. For this reason, we have not verified the
3ccur3cy or completeness of the accounting records or information 3nd explanations you have given to us and we do not,
therefore, express any opinion on the financial statements.
30/06/2026
CERTIS
329 BRADFORD ROAD
HUDDERSFIELD
HDI 6ER
Page 3

UNITED SHALOM PENTECOSTAL CHURCH LTD
Income and Expenditure Account
For The Year Ended 30 September 2025
2025
2024
Notes
TURNOVER
Cost of sales
158,135
11,8191
172,390
18861
GROSS SURPLUS
156,316
171,504
Distrlbution costs
Administrative expenses
Other operating income
11,8911
1149,9521
66,105
11,2211
1165,5991
42,747
OPERATING SURPLUS
70,578
12,8681
47,431
12.8681
Interest payable and similar charges
SURPLUS BEFORE TAXATION
67,710
11,8221
44,563
11,0441
Tax on Surplus
SURPLUS AFTER TAXATION BEING SURPLUS FOR THE
FINANCIAL YEAR
65,888
43.519
The notes on pages 8 to 10 ft>rm part of these financial statements.
Page 4

UNITED SHALOM PENTECOSTAL CHURCH LTD
Balance Sheet
As At 30 September 2025
2025
2024
Notes
FIXED ASSETS
Tangible Assets
217,172
207.581
217,172
207,581
CURRENT ASSETS
Debtors
67,105
100,065
Cash at bank and in hand
113,334
167,170
113,334
Credltors: Amounts Falllng Due Wlthln
One Year
140,8941
136,0461
NET CURRENT ASSETS (LIABILITIES)
126,276
77,288
TOTAL ASSETS LESS CURRENT
LIABILITIES
343,448
284,869
Creditors: Amounts Falling Due After
More Than One Year
154,5131
163,6451
PROVISIONS FOR LIABILITIES
Deferred T3xation
16,6721
14,8491
NET ASSETS
282,263
216,375
Income and Expenditure Account
282,263
216,375
MEMBERS. FUNDS
282,263
216.375
Page 5

UNITED SHALOM PENTECOSTAL CHURCH LTD
Balance Sheet (continued)
As At 30 September 2025
For the year ending 30 September 2025 the cotllpany was entitled to exemption fmm audit under section 477 of the
Companies Att 2006 relating io small companies.
The member has not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.
The director acknowledges his responsibilities for complying with the reouirements of the Act with respect to accounting
records and the prepararion of accounts.
These accounts have been p￿pared in accordance with the provisions applicable to companies subject to the small companies
regime.
On behalf of the board
Mr AJU BABY
Director
30/06/2026
The notes on pages 8 to 10 fortn part of these financial statements.
Page 6

UNITED SHALOM PENTECOSTAL CHURCH LTD
Statement of Changes in Equity
For The Year Ended 30 September 2025
Income and
Expendlture
Account
at l October 2023
172,856
43,519
Profit for the year and total comprehensive incotne
As at 30 Septernber 2024 and l October 2024
216.375
Profit for the year and total comprehenslve Income
65,888
at 30 September 2025
282,263
Page 7

UNITED SHALOM PENTECOSTAL CHURCH LTD
Notes to the Financial Statements
For The Year Ended 30 September 2025
l. General Information
UNITED SHALOM PENTEC05TAL CHURCH LTD is a private company, li￿lted by guarantee, incorporated in England & Wales,
registered number 08201612. The ￿gistered office is FLOATSHALL ROAD, BAGULEY, MANCHESTER, M23 IJB.
Accounting Policies
2. 1. Basis of Preparation of Financial Statements
The financial statements have been prepared under the historical cost convention and in accordance with Financial
Reporting Standard 102 section IA Small Entities 'The Flnanclal Reportlng Standard applicable in the UK and Republlc
of Ireland and the Companies Act 2006.
2.2. Turnover
Turnover is measured at the fair value of the conslderatlon received or recelvable, net of discounts and value added
taxes. Turnover includes revenue earned fmm the sal& of goods and from the rendering of services. Turnover is
reduced for estimated customer returns, rebates and other similar allowances.
Sale of goods
Turnover from the sale of goods is recognised when the significant risks and rewards of ownership of the goods has
transferred to the buyer. This is usually at the point that the custotner has signed for the delivery of the goods.
Rendering of services
Turnover from the rendering of Services is recognised by reference to the stage of completion of the contract. The
Stage of completion of a contract is measured by comparing the costs incurred for work performed to date to the total
estimated contract C05ts. Turnover is only recognised to the extent of recoverable expenses when the outcome of a
contract cannot be estimated rellably.
2.3. Tanglble Flxed A$$et$ and Depre¢latlon
Tanglble fixed assets are measured at cost less accumulated depreciatlon and any accumulated impalrment losses.
Depreciatlon Is provided at rates calculated to wrlte off the cost of the fixed assets, less their estimated resldual value,
over their expected useful lives on the following bases..
Freehold
Fixtures & Fittings
No Oepreciation Applied
15Wo Reducing 6313nce Method
2.4. Taxation
Income tax expense represent5 the sum of the tax currently payable and deferred tax.
The tax currently payable 15 based on taxable Surplus for the year. Taxable 5urplu5 differ5 frorn surplus as reported in
the state￿eTrt of comprehensive incorne because of iterns of incotne or expense that are taxable or deductible in other
years and items that afft never taxable or deductible. The company's liability for Cur￿nt tax is calculated using tax
rates that have been enacied or substantlvely enacred by the end of the reporting perlod.
Deferred tax Is recognised on timing differences between the carrying amounts of assets and liabilities in the financial
statements and the corresponding tax bases used in the computation of taxable surplus. Deferred tax liabilities are
generally recognised for all taxable timing differences. Deferred tax assets are generally recognised for 311 deductible
temporary differences to the extent that it Is probable that taxable surplus will be available against which those
deductible timing diffeonces can be utilised. The carrying amount of deferred tax assets is reviewed at the end OF each
reporting period and reduced to the extent that it is no longer probable that sufficient taxable surplus will be available
to allow all or pari of the asset to be recovered.
Deferred tax assets and liabilities a￿ MeaSu￿d at the tax rates that are expected to apply in the period in which the
liability Is settled or the asset realised, based on tax rates land tax laws) that have been enacted or substantively
enacted by the end of the reporting period. Deferred tax liabilities are presented within provisions for liabilities and
deferred tax assets within debtors. The measurement of deferred tax liabilities and assets reflect the tax consequences
that would follow from the rnanner in which the Cornpany expects, at the end of the reporting period, to recover or
settle the carrying amount of Its assets and liabllities.
Current and deferred tax are recognised in surplus or deficit for the year, except when they relate to items that are
recognised in other comprehensive income or directly in equityi in which case current and deferred tax are recognised
in other comprehensive income or dlrectly in equity respectively.
Page 8

UNITED SHALOM PENTECOSTAL CHURCH LTD
Notes to the Financial Statements (continued)
For The Year Ended 30 September 2025
3. Average Number of Employees
Average number of employee5, including ￿1￿ctorS, during the year was.. 9 12024.. 81
4. Tangible Assets
Land &
Property
Freehold
Flxtures &
Fittings
Total
Cost
A5 at l October 2024
185,000
53,210
15.268
238,210
15,268
Additions
As at 30 September 2025
185,000
68,478
253,478
Depreciation
As at l October 2024
30,629
5,677
30,629
5,677
Provided during the period
As at 30 Septernber 2025
36,306
36,306
Net Book Value
A5 at 30 Septetnber 2025
185,000
32,172
217,172
at l October 2024
185,000
22,581
207,581
S. Debtors
2025
2024
Due within one year
Trade debtors
66.105
1,000
other debtors
67,105
6. Credltors: Amount$ Falllng Due Wlthln One Year
2025
2024
Trade c￿lItorS
1,831
2,103
604
1,833
I,IL5
L,787
31,311
Other taxes and social security
Pension Liabilities
Oirector'5 loan account
36,356
40,894
36,046
7. Creditors: Amounts Falling Due After More Than One Year
2025
2024
Bank loans
54,513
63,645
Page 9

UNITED SHALOM PENTECOSTAL CHURCH LTD
Notes to the Financial Statements (continued)
For The Year Ended 30 September 2025
8. Company limited by guarantee
The company is limited by guarantee and has no share capital.
Every member of the company undertakes to contribute to the assets of the company. in the event of a winding up. such an
amount as may be required noi exceeding £1.
Page 10

UNITED SHALOM PENTECOSTAL CHURCH LTD
Detailed Income and Expenditure Account
For The Year Ended 30 September 2025
2025
2024
TURNOVER
Other trading Income
158,135
172,390
COST OF SALES
Printing, postage and stationery
1,819
886
11,8191
18861
GROSS SURPLUS
156,316
171,504
Distribution Costs
Waste disposal
1.891
1.221
11,8911
IL,2211
Administrative Expenses
Directors. pension - defined contribution schemes
Wages and salarles
Subcontractor costs
942
766
31,389
46,325
20,426
37,900
541
Protective clothing
Travel and subsistence expenses
Rent
3,695
1,873
10,204
1.350
971
10,516
13,553
17,312
6,643
939
Light and heat
Repairs and maintenance
Premises insurance
Vehicle running costs
Computer and tr consumables
Advertising and marketing costs
Telecommunications and data costs
1,773
195
2,400
356
1,893
553
860
373
Online Strearning Costs
Accountancy fees
Legal fees
Professlonal fees
Bank charges
Depreciation of fixtures and fittings
Sundry expenses
Festival Activities
7,500
728
6.129
728
939
538
365
4,361
417
5,677
73
3,986
26,161
3,747
4,000
19,500
15,884
1.069
Church Attendees Gifts
Overseas Mission Work
1149,9521
1165,5991
Other Operating Income
Gift Aid Reclaim
66.105
42,747
66,105
42,747
OPERATING SURPLUS
70,578
47,431
.CONTINUED
Page 11

UNITED SHALOM PENTECOSTAL CHURCH LTD
Detailed Income and Expenditure Account (continued)
For The Year Ended 30 September 2025
Interest payable and similar charges
Bank loan interest
2,868
2,868
12,8681
12,8681
SURPLUS BEFORE TAXATION
67,710
44,563
Tax OA Surplus
Deferred taxation
1.822
1.044
11,8221
11.0441
SURPLUS A￿ER TAXATION BEING SURPLUS FOR THE
FINANCIAL YEAR
65,888
43,519
Page 12


## **Independent examiner's report on the accounts** 

**SectionA** 

**Independent Examiner’s Report** 

> **Report to the trustees/** UNITED SHALOM PENTECOSTAL CHURCH LTDName **Members of On accounts for the year Charity no ended 30[TH] SEPTEMBER 2025 (if any) 1148149 Set out on pages** (Remember to include the page numbers of additional sheets) 

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended **3030/09/2025 / MM / YYYY** . 

**Responsibilities and** As the charity trustees of the Trust, you are responsible for the preparation **basis of report** of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). 

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

**Independent** I have completed my examination. I confirm that no material matters have **examiner's statement** come to my attention (other than that disclosed below *) in connection with the examination which gives me cause to believe that in, any material respect: 

- accounting records were not kept in accordance with section 130 of the Actor 

- The accounts do not accord with the accounting records. 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn to enable a proper understanding of the accounts to be reached. 

**Signed: Date: 08.07.2026** Abid Ali (Jul 8, 2026 14:52:51 GMT+1) **Name:**[ABID BARKAT ALI (FCCA) ] **Relevant professional** CHARTERED CERTIFIED ACCOUNTANT **qualification(s) or body** (ASSOCIATION OF CHARTERED CERTIFIED ACCOUNTANTS) **(if any): Address:**[329 BRADFORD ROAD, HUDDERSFIELD, HD1 6ER ] 

**October 2018** 

1 

**IER** 



**Section B** 

## **Disclosure** 

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners). 

**Give here brief details of any items that the examiner wishes to disclose** . 

**October 2018** 

2 

**IER** 

