Registered Company Number: 082086551England and Wales)
Registered Charity Number: 1149072 (England and Wales
REPORT OF TRUSTEES AND
STATEMENT OF ACCOUNTS & FINANCIAL
ACTIVITIES
YEAR ENDED 31ST OCTOBER 2025
for
BURY FELLOWSHIP
(a company limited by guarantee)
Accounts Ind6pend•ntly Examined by: .
DAVID R S WELCH FCA, DChA,
CHARTERED ACCOUNTANT
3 ALVINGTON GROVE,
HAZEL GROVE,
STOCKPORT.
CHESHIRE,
SK7 5LS

FelloTwshi
istered number: 08208655
Contents of Financial Statements
For tho
ear ended 315t October 2025
CONTENTS
PAGE
INDEX TO THE ACCOUNTS
CHARITY INFORMATION
TRUSTEES, ANNUAL REPORT
INDEPENDENT EXAMINER'S REPORT
STATEMENT OF FINANCIAL ACTMTIES {Income & Expendlturn}
BALANCE SHEEr
NOTES TO THE STATEMENT OF FINANCIAL ACTIVITIES

Bu
Fellowshi
istered number: 08208655
Cha
Inforn)ation
ear ended 318t October 2025
For the
The trustees, who are also dir￿01$ of the charity for thg purpose of the Companlos A¢t 2006,
present thelr r•port with the consolidated financial staternents of thg charity and Its subsidiary
for the year ended 31st October 2025. The trustees have adopted tho provisions of Accounting
and Reporting by Charitles: Statémont of Recommended Prnctieo applicab19 to charitios
preparing their a¢¢ounts in accordance with the Financial Reporting Stsndard applicable in the
UK and R•public of Ir•land {FRS 1021 leffective 1st January 20151.
REFERENCE AND ADMINISTRATIVE DEfAILS
Register•d Company Number. 08208655 (England and Wales
Regl8tgred Charlty Number.
1149072
Reglstorod offlce:
23 Lako8ld•
Bury
Lanca8hlro
8L9 9TX
Trustees:
R Warburton
l Howard
A Roblnson
GMHIII
(Chalr)
Appolnt•d Nov•mb•r 2024
Company S•crnl•ry:
R Warburton
Indepgndont Examlnèr: D R S Welch FCA. DChA
Chartered A¢countsnL
3 Alvlngton Grove
Hazel Grove
Stockport
Che8hlr•
SK7 6LS
Bankers:
Vlrgln Money- 17-21 Oxford Stree( Bolton. BL11 RD.
CCLA Fund Managers Ltd- 1 Angel Lane. London, EC4R 3AB.
Klngdom Bank Ltd - Modla HOUM, Padge Road. Nottlngham NG9 2RS.
Rellance Bank Ltd- Falth House, 2>24 Lovat Lano, London EC3R 8EB

Bu
Fellowshi
istered number. 08208655
Re
ort of Trustees
ear ended 31" Octobgr 2025
For the
Governing Instrumfrnt
The charity's activities are regulated by the Memorandum and Artides of Association. The objectives
and prin¢ipal activits'es of the chanty are".
a) The advancement of the Christhan farth
b) To fulfil any other acbvtb.es which are exclusivety charrtable and a￿ connected to the
charitable work of Ihe Charity
R•crultmon( Inductlon and tr41nlng of now trustee8
Any prospective new trustees are recommended by the current ljoard and are appointed by the Church
members. In appointing trustees, the board seek lo bring a range of skills and expe￿'Se to the
management of the Chanty. New trustees are introduced to the workings of the charity and are kept
updated through regular trustees. rr￿th"n9S and Commun￿atIon throughout the year.
Organlsatlonal structure
The Church is led by a leadership team approved by Church membets. Senior staff appointments are
approved by the leadership team and the trustees. The senior staff are responsible foT managing the
day-to48y affairs of the Church.
Rlsk managamenl
The Iruslees have a duty to identify and review Ihe risks to which the charity is exposed and lo
ensure appropriate controls are In place to provide reasonable assurance against fraud and error.
Rolatod part1￿ and CO￿P•r•t1on wlth other organl•atlon•
One Iruslee received Temuneration, in the finan¢ial year 2024-2025, from the Charitable Company as
allowed by the Memorandum and Art￿leS of Assoo'ation. There is currenty one Trustse receiving
remunerabon.
Use of volunteerd
The charity is Involved wrth the communty. are dependent on the supp)rt of volunteers from the
church, other churches and other members of the communlty. The twstees ar& gratefiJl to the church
members and volunteers for this supporL
Actlvltlas durlng th• y•¥r
When planning the activities for the year the truste8s have I￿Sidered the Charity Commissions
guidance on public benefft and the SpeCrf￿ guidance on charities for the advancement of religion The
church operates in and around Bury, North Manchester and is involved several activities which seek
lo reach out lo the kxal communlty as wdl as serving members of the church. Public worship has
been Carr￿ out in ¥ar￿u$ rented Pastoral care by home vtsits, digital access, etc.
The $alo of our building, the Manrkl House, al the end of May 2024 has meant the trustees are in
discussion wrth the members to identsfy a futu￿ pathway to maintain the profile of the charity within
the local area and lo have an outsvard mission fc£us as we pursue our church vision of'being and
bringing the good news lo Bury & beyond,.
Several opt￿)nS have teen expbred, including tying to recruit Suitab￿ staff but at this point no final
decisions have been reached.
As a headline summary the Fellowship conts.nued to kn"lrtate Prov￿1ng the folhJving actNitI'es.' -
Our Musical Mèrnorigs singing group for those living with deff*ntia, lèaming or physical disabilities,
continues with live sessions We8￿Y at a local communty cent￿. We conts'nue to stream online
fortnightly enabling us to reach a wider aUd￿nCe and provide an online resource for use at other
times.
We continued to hold our Publ￿ church meetings in rented premises.
Members conb.nue to volunteer in other Iccal communty projects.

Fellowshl
istered number. 08208655
Re
rt of Trustges
ear ended 31" October 2025
For the
The charitsble company has sought & achieved to fu￿1 its charitable objectives in the folluwing ways..
The provision of a public worship service each Sunday which is open to all.
Providing pastoral care for members of the church.
The provision of Mustcal Men￿S in person and online everts, targeted at those indNiduals
(and their earers} living with de￿ntia, leaming or physical disabilrbes.
Assistan￿ to the F(x)d Club Bury provhjing panty styk help to the Icral community.
Flnanclal r•vlew
The charity's lotsl income for the year amounted to £ 30.404 {2024'. £ 41.6531 and the total
exp8nditure amounted to £ 21,48812024.. £ 50,380) gNing a Surplus for the year of £ 8,917
(Deficit 2024. £ 8,727)
Voluntary donations to Bury Fell¢Jwship {induding asscciated gift ard) were lower than the previous
year at £20.45112024.' £ 26,2791.
Rgserves pollcy & golng Concorn.
The trustees had reviewed the circumstsnces ofthe charity in January 2026. and they consldered that
there were adequate resources available to fvnd the activitses of the ¢hurth for the immediate future.
The charity also gener*es a regular ITKo￿ by way of gifts and donations, tcoether wrth grants and
restncted donations which is adequate to cover the prOj￿Ied expenditure. In addition. the charty
se8ks to maintain adequate reserves to enable rt to meet any unforeseen expendrture or lo cover any
short-term fall in income. The charity h&ld reserves of £ 294.07612024. £ 285,159) at the end of the
financial year ofwhich free reserves were £ £ 288,200 (2024.. £ 277,5211.
Trnsteo8' Indemnlty arrangements
Individual indemnities have been provided to the trustees. under whth the charrtable company has
agreed to indemnify the tru51ees lo the extent permrtted by W in respect of all liabilib'es to third parties
arising out of. or in connection with. their ex¢¢ubon of ￿'r PLY4vofs, dub"e$ and responsibilities as
trustees of the chanty.
Independent Examlnor
Thè independent examiner, D R S Welch FCA. DChA. Chartered AccountsnL has indicated his
wlllingn888 to be re-appolnted to office.
The Trustees have prepared this Report in accordance with the speclal provisions of Part 15 of the
Companies A¢1 2006 felaling to small compan￿.
This report was approved by the Trust885 on 15th F•bruary 2026
lan Howar
- Chalr of Trustees

Bu Fello*shl
t Examiner5 R•
For the
èar end
2025
l report on the accounls ￿ BURY FELLOWSHIP Year Erwded t* 3111Ocknbèr 2025. as
SIvy￿ on pages 7- 118tta&W.
Th8 trLthes Ivtho are alta the dlroL#or8 ofthe COMr￿ry Ix the ofo)mpgny1¥4¥) arè
r6spon8ible fDr the prewatitin (rfthe aC￿nts. The trustees that an 8udbt i8 not
forthis year under secticffi 144(2) of the ChArMles 2011 (thè 2011 Act) aThJ that ￿ indèpandant
examinat•X ig needed. H8vwYJ satisfvj mWth8tthe (tsrtty is Th)t suty.eca to audli unclef
crAnp￿Y jaw and (s ellgth exam&￿￿￿. tt my
mins ths &CO￿ts 145 ofthe 2011 Act
foMrAv thg W¢￿￿JU[851aId dcwn In tho general Dffectio￿ thè Charity
CommissM* under s8rtk￿ 14515Xb) ofts 2011 Art and
c￿￿MIssI)n. An exarninatitsn 8 revv•4 oftha acttsuntirvJ r￿dS kepl by ts tharyty and a
unusual It0￿ N di8cIc6ur86 in th8 axounts and se￿"￿3 tsxplanal￿ frnm yw ￿ truBtèe8
ccrtorning any ffottels. The procoduros UrMIe￿en do not wovkle all the evl¢ence would
L* requlred in an audtt and c¥)n8¢wently no O￿ni￿ giv•n 8$ to tlthether thè 8CCaKrts prwnt a
Iru• 8nd falr vlw, and the repNt b limttwj 10 thw matler5 8et out In the statsrn￿t bakw4.
Ind•pend•nt •x•mln•e• •t*•m•
{1) whlth gNes m• r&ason8ble to that in gny Mate￿#1 rgspxtthè reqL1rem￿ts.
. to ke8p accounllng racords in ac££Jrdarte w(th s￿b)n 386 of Ihè CNnpankn Aca 2C¢)6,' aNJ
8xy)unJng requlrernènts of 8e¢kn W ofthé C(rfnk)8ni88 Acl 2CQ6 and wth
ReFxxl¥w by Charflle8 hav8 Trjt ba￿ m¢t
121 to whlc*, In my op*J￿, atte￿(￿ be drtrwn in ord¥ to •r4bl# • propw understsndrvj
clthe actr￿nts to ￿ fethd.
DAVID R S WELCH FCA Dch
CHARTERED ACCOUNTAKr,
3 ALVINGTON GROVE.
HAZEL GROVE,
STOCKPORT,
CHESHIRE, SK7 5LS
t)LtsJ iJ E s vlc[,I
1P February 2026

Bu
Fellowshi
istered number: 08208655
statement of Financial Activities
Income & Ex
nditure
For the
ear ended 3151 October 2025
INCOME & EXPENDITURE ACCOUNT
2025
2024
Income Notss
UnrestTiCted Restricted
Totsl
unr8stn.cted Restricted
Funds
Funds
Total
Funds
Funds
Funds
Funds
Gift Aided Donations
Tax RecOVe￿d
Other Gifts and Donations
In¢om• Irom cha￿tabl0
Activltlos
Invo8tment In¢omo
Bank Interest Received
10,242
2,561
7,648
3,887
1,032
14.129
3.592
7.648
12.644
3,181
10,454
3.239
802
9,110
15,883
3.982
19,564
20A51
4,919
25,369
26,279
13,150
39,429
4,977
4,977
1047.88
1047.88
other In¢om•
Hire of Hall
Contributions to Church
MissionslEvents
1,130
1,130
58
45.95
45.95
1.176
1,176
41,653
Total Income lor Yoar
25,486
4,919
30,404
28,503
13,150
Expendlture
Personnel- Employwent
Costs
Home Ministry
Overseas Ministry
Manna House
Room HirelRentals
1,151
1,151
4,724
9,253
13,978
6.050
6,681
12,731
6,978
19,875
26,852
1.887
4.281
1.887
4,281
4,641
1895.82
1,590
6,232
1895.82
Building Dévèlopm8nl
Depreciats'on
Expondltura on Charltablé
Actlvttlo8
Support Activities
13,369
8,681
20,050
18,239
30,718
48,986
175
175
108.82
108.82
Governance
1.263
1.263
1314.86
1314.86
Total Support Aetlviti
Total Expendltur•
1N38
1,424
1,424
£14.807
£6.681
£21,488
£19,662
£30,718
£60,380
SuTplusllDoflch} for Year
Sale of Manna House
Costs of Manna Hous8 Sale
Asset value write dovm
Income from sale of Assets
£10,679
41,762
£8,917
£8,840 417,667
242,096
,935
43,535
151,625
-£8,727
242,096
,935
-83.535
151,625
Flnal Surplu81{Deflclt) for
Year
£10,679
1.762
£8.917
£160,466 417,667 £142,898
Fund8 blfv
Transfers between fvnd8
Funds clfv
£277,521
£0
,638
£0
£285.159
£0
£117,056
£0
£277.521
£25,206 £142,261
£0
£7.638 £285.159
£288.200
£5,876
£294,076

Fellowshi
istèred number. 08
ment of Financial Activit"
Balance Sh
or
r onded 3
October 2025
BALANCE SHEET
AS AT 31st October 2025
Notes
2025
2024
Tangible Fixed Assets
Freehold PrDperty at NBV
Computers, Music, offi￿ & Other Equipment
Generator & Catering Equlprnent
see Note 2
Current Assots
Gift Asd and Other Income
Cash at Bank & In Hand
CCLA Savings Accourrt
KINGDOM Saving- 12CXI8y
Business 85 day notice
Reliance Saving ¥J day
18,192
63,242
80,541
51,383
81,010
294,826
184,241
21,199
80,Q)O
285,884
Credltor3: . Due wlthin One Year
Governance
750
750
725
726
Net Current As￿ts
294,076
285,159
Totsl Net AssetslReserves
£294.076
2025
£285,159
2024
Total Reservos
4ae Not• 6
294,076
286,159
For the yeer ending 3111 October 2￿25, the CoM￿nY was 8ntitled lo uxamption from audlt undor 8OCtion
477 olthe Companies Act 2006 relallNJ to smll companles.
The members have not requlred Ihe company to obtain an audlt of its accounts for the year In questlon In
accordance wtth section 478.
The directors acknowledge their r8spon$ibifftias for comthirKJ v•ith the requiroments of tho Act Wbth re8p8d
to gccounting records and th8 pr8paiat.on of accounts.
These 8ccounts have been prepared in accordanc8 wtth the prov181orts applcablo to ¢omp8nies subjeet
to the srrAII companies, reglme.
These financial ststernents have tr*en prepared in a&￿[danCe *ilh the spe(aBI rrnlsions of Part 15 of tho
Comkydnies Act 2CM)6 relating to charil8ble compgnios
Th¢ ftnancial statements were approved by the Board ofTrustg08 on 15th F•bruary 2026 and wor• 81gnad on
Its behoif by:
Ruth ivartiurton
IDirector & Trustse}
IDlrect
The not
halr of Trustees}
trn part of these financial statements

Bu Fellowshi
istered number: 08208655
Notes to the Flnancial Statement of Activitiés
For the
ear ended 31st October 2025
The notes lomi part ofthese finanrial statements
ACCOUNTING POLICIES
1. THE BASIS OF ACCOUNTING POLICIES AND DEFINMONS
1.1. THE ACCOUNTS have been prepared Ltnder the histoncal cost convention in accordance with
applicable accounting standards and the chariti.es Act 2011 and Statement of Recommended
Practice ISORPI 2005.
1.2. GENERAL FUNDS represent unrestricted funds that are not subject to any restriction regarding their
use and are available for ap￿iCab.0n towards their use purp)ses of a general nature.
1.3. RESTRICTED FUNDS represent funds that have been restrthd by the d¢)nor for a partscu￿r
purpose.
1.4. INCOMING RESOURCES are includ&J in the Ststemenl of Financial ActivrtEs {SoFA) when
Bury Fellowship Limrted become entitled to the resources.,
The twstees are virtualty Certain that they will receive th8 resources., and
The monetary value &?n be measured with sUffiC￿nI reliabilty.
1.5. GIFTS & DONATIONS are included in the SOFA when Bury Fdlowship Limrted has uncondits'onal
entitlement lo the resources
1.8. INVESTMENT INCOME is induded in the SOFA when recer¥ablg
1.7. RESOURCES EXPENDED are recognrLed wthen costs have been incurred, or for designated or
special gifts. in the same accounts.ng period as the reLgbng grft is recetved.
1.8. TANGIBLE FIXED ASSETS are caprtalised al cost when incurred.
1.9. DEPRECIATION OF TANGIBLE FIXED ASs￿s ￿ included in resources exrended,
writing off the assets over their usefvl life, which is estimated to be
Fr88hold Propèty
Computer Equipment
Musical, Office & Other Equipfftnt
G8ner*or & Catering Equipment
50 Years
3 Years
4 Years
4 Years
1.10 LIA81LifY RECOGNITION - Llabilittas are recognlsed as soon as th8r*1s a legal or
constructive obligation commitb'ng Bury Fellchvship Limrted to pay out resources.
1.11. GOVERNANCE COSTS- Include preparation and examination of Bury Fellowship Limited's
statutory accounts, trustee meets'ng expenses, and legal advice gwen to the trustees regarding
¢onslitLrtional matters.

Fellowshi
istered number: 08208655
Notes to the Financial Statement of Actlvltles
For the
ear ended 31st October 2025
TANGIBLE FIXED ASSETS
FREEHOLD MUSIC. tr & CATERING
PROPERTY
FixllJRES
EQUIPMENT
TOTAL
COST
At 1•t Novembor 2024
101,877
28,805
3,238
133,920
Addltlon8 for the Year
Dl8posal8 In thè Yèar
Cost as at 31" Octobgr 2025
101.877
28,805
3,238
133,920
DEPRECIATION
At 1•t Nov•mb•r 2024
101.8TI
28,805
3,238
133,920
Ch•rge for the Year
Disposals in the Y•ar
Depr￿latIon as at
31" October 2025
101,877
28.805
3,238
133,920
101.877
28,805
3238
133,920
NET 800K VALUES
31•1 OctO￿r 2025
£0
£0
2024
£0
£0
£0
£0
STAFF COSTS
2025
2024
Wages and Sal•rfes
POn•lon•￿￿Pl0Y•rn co•ts
R•4mbur••d Exp•nMs
13,897
£1.151
£13,976
There were no employees with employee be￿fitS of £60.000 or mre in the year12024.' none)
2026
2024
Charltable actlvttl
Support acllvltlo•
io

Bu
Fellowshi
istered number: 08208655
Notes to the Financial Ststement of Activitie8
Forthe
ear ended 31" October 2025
4 TRUSTEES. REMUNERATION AND EXPENSES
Remuneration including pen8ion contributions
Mr Alan Robln8on
Betow £5.000 per annum
Trustees receNe rernunerat￿n in resp￿ of servres they pr￿e as staff and not in respect of seNths as trustees.
No trustee (was re1Mtr￿rSed for travel and churth activty expenses during the year. 12024 no trustee)
The remuneration of tTUStees is in accordan¢e with the m8nTr)randum and art￿e$ which stipulates that the number
of ￿Munerated Iruste8s should never be a majorlty
Th& number of truste86 to whom retirement t*￿fits were accruing was as folbws."
2025
2024
Money Purchase Schen
TRUSTEES FUNDS
2025
2024
Unro8trlcted (Frno)
288.2t)O
277,521
Restrlcted
5,876
7,638
Totsl R•sèrv
£294,076
£285,159