REG15TEREO CHARrrY NUMBER: 1149273
REPORT OF THE TRUSTEES AND
UNAUDITEO FINAMCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2025
FOR
TRUE JESUS CHURCH ICAROIF
Bevan Buckland LLP
Charterèd Accountants
45 High Street
Haverfordwest
Pembroke5hire
SA61 2BP

TRUE JESUS CHURCH {CARDIFFI
CONTENTS OF THE FINANCIAL STATEME1¥
FOR THE YEAR ENDED 31 MARCH 202S
Pag•
R•port of th• Trustms
1 to 2
Indop•ndont Examin•rf• R•wt
Stat•m•nt of Flnanelal Aetlvltl•s
Stat•m•nt of Flnanclal Po*lllon
Not•s to th• Fln*nel•l St*t•mgnts
8 to 10
D•tsil•d Stat•m•nt of Flnancl•l A¢tlvltl•#

TrUE JESUS CHURCH ICARDIFFI
REPORT OF TME TRUSTEES
FOR THE YEAR ENDED 31 PAARCH 2025
The tnjsiees present Ih*r rwi with th• finarK*al slatemenls of the thrity for the year ended 31 March 2025 The
IrusÈes have adoptod the prowston5 of Accounbng and Rep￿￿n9 by Charities.. Slalemont of R8commend8d Practice
applKable to charilx$ prepadny IheiT ac¢ounts In acc￿danCe 7Mlh th• FinarKial Reporting Stanrjard applicable in th8
UK and Repubk ol Ireland IFRS 1021 leffeclsve 1 Jawary 20191.
OBJECTIVES AND Acnvmes
Obl•ctlves •nd alms
To advance tha g)5pel Lq J￿ty5 Christ for ol Ihe ￿$bliC in xcordan¢• tho lo1￿￿￿￿g d(Xtrir￿S'. on8 tnle
. LTh tNe Church. wator Wism rece￿9 Hoty Sp￿t lothashing, Holy Communsw and th8 Sabbath.
Publlc b•nellt
The Irusl88s have had due regwd lo lfi• Charity Commi9¥1on guthnce on puWic ben8fit. True Jesus Ch(tr¢h Icardiro
S88ks to rneel this guidaiice through prowg1¢)n ol g place of 58•king new follo￿r$ and adherents. 8￿QUia01ng
8nd f8¢ilitaling the pratskn ol rel￿￿ by *￿StIng lolknyern and adhwonts, as ra*8ing awar•n¢ss Bnd
und•rst8nding of r￿vab)uS b8lk?f$ pr8¢tic8s.
ACHIEVEMENT ANO PERFORMANCE
Charltablg actlvlt5•8
As a ¢harify. our cora aCt￿tt¢S indu¢J• a 14wkly galhorir4 •t Hal on S•trJrday •nd regular bible Blud*5 81
different plac8s. From $8Pt¢mbor 2013. we purchased and renovatèd w•rni50s In West Bu¢• Slreai. Card)If lo
ac¢omfw¢Ja18 our a¢iivilies From to brne. ￿ vlyrt ow mombers who 8ro in ￿1$p￿al and encourage them %*ith
words of God. Once •v•ry Nvo months. we In*ile pre8c￿r3 lo erw in ￿angeli$1•C and pastoral works In WeleJ.
Our charity mis5￿n aim 1$ to $upp¢)rt and •mpmr Iha I£￿1 rxjrnmunity for bottemienl vnlh chnslign 188¢hings.
Membgrs com• Irom C8nJrff and th• Sur￿nd￿¥ ar•as to 9gthèr lor wayer gnd Support 8a¢h other wth the doct￿￿8 of
J88us Chrlgt.
FINANCIAL REVIEW
R•S*r￿ ￿lleY
Th• Surplus for t￿ y•w £11.443 12024 £15.598} R•serv•s fu th• Jvr to 31 March 2025 wNJunl to £298,037
12024 £286,594) of *thlch £17.14312024 £17.$941 w•re re8thctsd.
STRUCTURE. GoveRNANCE AND MANAGEMEKr
GovomlTrg docum•nt
The Charity is ¢¢niroll¢d by its 9ovemlng thwn•nt. • d•gd ol truit and oJnsb"tule$ an uninc4xporat•d ¢h•rity.
R•crultm•nt Ind appolnim•nt ol iru*i•
Th•re must be at l•ast three tru$leeJ. ￿9rt from the first trustèes. who are 8ppoinlod for Six years, aTrATrry twslo• mu9t
be ¥ppoint•d for a lerm of four ya•rn by a r•solution p8$s•d by th• tr￿lee* 41 a mBet+n9. The tru5199$ rnwl
have regard to th• sklHs. knoW•dg9 and ev1•￿¢ r￿eded fLY tho efle¢tsv• adrnn)Istratw)n of th• chanty.
REFERENCE AND ADMINISTRATIVE OETAILS
R•glst•r•d Charty nurnb•r
1149273
PrlnclMI addYes•
21 West Bute Str6•1
C8rdWf Bay
Car(Jiff
CF10 SEP
Trust•0*
Dr8MFCho)
M¥SPHè
J Lin
Indeptnd•nt Ex•m5n•r
Bevan Bucklart LLP
Ch8rterod A￿Ountants
45 High Street
Hav•rfvrdwest
Pembrok•5hire
SA61 28P
COMMENCEMENT OF ACTMnES
True j¢￿S Chur¢h IC8rtJtff) Is govem*J ty deed of ¢nJsi dated 5 Febwary 2012 and became a register8d tharity on 10
October 2012.
Page 1

TRUE JESUS CHURCH ICAROFF)
REPORT OF THE niusTEES
FOR The YEAR ENDED 31 IAARCH 2025
.. aNI •wiod on ￿ha￿ by.
Ee
IW/*Y Ckoo
Oeni￿]Jn.cAQO1￿y2&1Q1SQ&IIfjmT.Ill................
Dr B M F Choo- Truste
Pag• 2

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
TRUE JESUS CHURCH {CARDIFF)
Independent examln•es r•port to th• trustee5 of Tnle Jesus Chvr¢h {Cardlffj
I report lo Ihe charity Iruste8s on my 8xamination of the accounts of True Jesus Church Icardrf) Ith• Trustl for the year
en¢Jed 31 March 2025.
R•$pon$ibillties and basis of report
A5 the charity trustee5 of the Trust you are responSi￿e lor the preparakn.on of thè 8ccounts in ?ccordancè with the
requirements ol th8 Charities Act 2011 Ilhe Act'l_
I report in respecl of my examinalion ol th8 Trusvs aCCOLJnts carried wl under Seclion 145 of the Act and in carying out
my examination I have followed all applitable DireclK)ns giv•n by the Charity Commission un(ler Section 14515llbl of
th8 Act.
Ind•pend•nt •x•min•rf• *tat•m•nt
I have completed my examination. I confim that no matènal mattéls have cryne lo my attention in conneclion wilh the
examin8tion giving me ￿￿$8 ¢0 believe that In any malerial respect..
accounting records not k•pt in feSP8et of ihe Trust as required by Section 130 of the Act., or
the accounts do not accof¢J with thosè records; or
the accounts do not comply wth the applicable 18quirem•nts conceming the lorm and content of 8uountS sel
out in the Ch8ri¢ie5 IAccounts and Roportsl Regulations 2008 other than any requirement that Ihe accounts give
a truè ant1 fair 1$ not a matter considered as part ofan Inde￿ntIOnt •xaminotion.
I have no conc8ms and havè com• #cross no olher matter5 In Connection wlh the examination to %%thich atl8ntson should
be drawn in this ieport in ordor lo •nable a propèr und&rslandifig of ihe accounts to be reached.
Alun Evans FCA
Bevan 8uckl8nd LLP
Chartered Accountsnts
45 High Street
Havsrfordwesl
Pembrok•shir•
SA61 2BP
21
ZS.
Page 3

TRUE JESUS CHURCH {CARDIFF)
STATEMENT OF FINANCIAL ACTMTIES
FOR THE YEAR ENDED 31 MARCH 2025
2025
Total
(unds
2024
Total
funds
As r85tated
Unrestn'cted
funds
Restrictad
funds
Notes
INCOME ANO ENDOWMENTS FRO
Donations and lègac185
39.710
39.710
35,216
Investment income
930
930
322
Total
40.640
40.640
35.538
EXPENDITURE ON
Charltabl• actlvltL•¥
R$ligiou$ 8¢tsvits"es
28.746
451
29,197
19,940
NET INCOMEIIEXPENDITUREI
11.894
1451}
11.443
15.598
RECONCILIATION OF FUNDS
Total funds brought forward
As pr8viou51y r9POrted
Prior yèar adiL&$lment
267,237
1.763
17.594
284,831
1.763
272,289
11,2931
A• r•st•t•d
269,000
17.594
286.594
270,996
TOTAL FUNDS CARRIEO FORWARD
280.894
17.143
298,037
286.594
The notes fomi part of Ihese finantsal statemenls
Page 4

TRUE JESUS CHURCH (CARDIFF)
STATEMENT OF FINANCIAL posilloN
31 PIARCH 2025
2025
2024
85 rest81ed
FIXED ASSETS
Tan9lble assets
227.308
233,111
CURRENT ASSETS
D8No
Cash at bank
3,817
89.346
4,429
51.140
73.163
55,569
CREDrroRS
Amounts falling ￿1th1n year
12,4341
12.0861
NET CURRtKr ASSETS
70.729
53.483
TofAL ASSETS LESS CURREpif LIABILmE8
298.037
286,$94
NET A88eTS
298,037
286,554
FUNOS
UnrÈslrid•d lund¥
Reslrictsd fund8
10
280,894
17.143
269,000
17,594
TOTAL FVMDS
298,037
286.594
The fin•ncS81 8tsternents apprDv8d by the 8owd of TnJ$ttsS •KI •tsth0rl￿I lor i•¥u• on
. and **r• 8vJnad ￿ itB beh•M by.
Sg
¢7WliY Ckoo
ITilJlW'w￿25 08 15 GMT*ll
S P ￿10- Truste•
notss frym oflhese finaThSal stsl*n8nts
Page S

TRUE JESUS CHURCH {CARDIFF)
N07es TO ThE FWCIAL STATEME1￿$
FOR ThE YEAR ENDED 31 MARCH 2025
ACCOUNTING POUCIES
B•sls of preparlng the finanelal stotsm•hts
The finanaal ststemonts ol the charity. Is a benafit Witrty FRS 102, bagn preparad In
accordance %4ith the Ch*rit*s SORP IFRS 1021 aThJ Rwbng by Charib"tr5.' Statement of
Recommended Practice 8ppluble to charities preparing accounts th xcordan¢• with the Financ
Reporting St8ndard applirxble In Iha UK and Republic of Ir¢l8ftd (FR$ 1021 leffectiw 1 JBnuary 20191,,
Flnancial ReF¥ffb"ng Standard 102 Tho Finartci￿ Repoth'ng Standord 8Oic8ble in Ihe UK and R8publlc of
Ir•i8nd' and Ihè Chaiit*s Act 2011. Th• ￿anc￿ statemwts h8Ya bean pv•pwgd the hi9t0￿1 Coit
¢tsnv•ntscffj.
Incom•
l ir￿orn0 1$ rwnlS￿ in tho Stalerrwt of Financ￿ kbvths once th8 tharfty h88 •rtiU9M￿t to lh• fuTh18, It
1$ probablo thal lh• irtorn• wll be recei¥•d ar#J can b• n*awJr•J r8kaWy.
Intarn3t ￿ fvnd# hahj on dtrposlt Is inL4ud•d W**w ieteryatA• and tho amomt can b8 nw8urod relwbty by the
chertty:IhlB is n¢xm•lty UP￿ nofficaijon of IM•rest p¥pJ or payable by the banL
EAp•nd1t￿r*
Llabilities 8fe reeognraed as •xp•ndilur8 as 3oon as Ilwe Is a IW or con5trwbva ¢Jbliga*'on ¢ommlttlDg the
ch8rity lo that ex￿￿ltUre. it 1$ probable that o trangfer of •cwmK b￿fft$ *ill bg r•quir•d in s•tU•m•nt and
Ihe omounl ol Ihe obligatwjn can b8 moasured reliabty. Expgnditur• i* accwnlod for on an accrual& knsii ind
ha$ bvtn clas5ifi8d under heading8 that a9318gath 8110)st io the category. Whar• c￿1• Can1>￿ b•
dir•dy ottnlxrt•d to p4rtKukg1 hoadHy thoy h•v• been 4kxated to athUe8 on g baBis o)nii¢t•nt 154th lh• us•
ol r•8ourc8S.
T•nolbl• fix•d ￿•1$
D•pr•thtion i¥ prowd•d at t￿ Wo*lrvJ anmal rai¢• In ord•r to off aslot il• •8timat•d U￿fvI
Fr￿￿￿ property
Equlpffwl
2%
1S% r￿'r￿j bolan
TaxatSon
The ¢h8rlty18 8x•mpt fmm lex It• ch8nlBbl• 8cIMO•&
Fund •c¢ountlng
Unr8stskl¢d funds ￿ b¢ uged In aecordanc• th• thwil•bl• o*tP4•8 at th• dlKr•lon ofth• truJtw•.
R•8lridèd funds only b• uled pa￿ul￿ r•stricted purpoueB th• obi8cI8 oflh• eharfty. R•¥tr￿lOn1
ari#¢ $p8effi•d by th• dcw or lund8 ￿•d lor Part￿￿￿•1 reslrict¢d puwtt.
Further eWanBtion of lh• nalur• and of••ch l￿d is ￿ClUded in th• nol•s to tho financial 8latorr￿ts.
Pr•paratlon on • golng conc•rn
The Irugtees h8vo t¢nshgered the financial p¢rfcrfmanea ol tho Charfty lor the for•s￿*ble fuluro, In pathular,
th8 next 12 10 18 rnenth$ #nd ar¢ th• Ch8rtty is 8 9rxng conc•m.
INVESTMEMT IMCOME
2024
48 rgStated
Deposit 8¢count ￿terest
930
322
Page 6
conbnued...

TRUE JESUS CHURCH {CARDIFF)
NOTES TO THE FINANCIAL STATEMENTS- eontlnu•d
FOR THE YEAR ENDED 31 MARCH 2025
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees. remuneralK)n or other beneffits for th8 year ended 31 Marth 2025 nor for the year ended
31 March 2024.
Tru8t•¢s' •xp•n8••
There were no Irustees. expenses pa*J for th8 y88r ended 31 March2025 nor for the year ended
31 Mar¢h 2024.
COMPARATIVES FOR ThE STATEMENT OF FINANCIAL ACTivmES
Unrestricted
fvn(J$
Restricted
funds
Total
fvnds
85 restated
INCOME AND ENDOWMEKfs FROM
t>onall￿S and lega￿¥
35,216
35,216
Investment incom&
322
322
Total
35.538
EXPENOMJRE ON
Charltabl• actlvltl•*
R8ligious activilies
19.489
451
NET INCOMEIIEXPENDITURE)
16.049
{4511
15.596
RECONCILIATION OF FUNDS
Totsl lund8 brought forward
As previou5ty reported
Prfor year adjustment
254,244
18.045
272,289
A• ￿tst•d
252.951
18,045
270.996
TOTAL FUNDS CARRIED FORWARD
269,¢XA)
17.594
286 594
PRIOR YEAR ADJUSTMENT
The prior perbod adjusiment has arfsen as a r88utt oflh& folkmty) urMleTrtatem8nts in the wlor pertod..:
Und8rststemgnt of gift aid debtor
p￿eT
continued...

TRUE JESUS CHURCH (CARDIFF)
NOTES TO THE FINANCIAL STATEMENTS- contlnu•d
FOR THE YEAR ENDED 31 IAARCH 2025
TANGIBLE FIXED ASSETS
Freeh￿d
>P8ty
EquiF*nènt
Totals
COST
At 1 April 2024 31 March 2025
275,134
6.524
281,658
DEPRECIATION
At 1 April 2024
CharrJe lof y6ar
44,016
5,502
4.531
48.547
5,803
At 31 M8r¢h 2025
49,518
4.832
NET 800K VALUE
At 31 March 2025
225.616
1.692
At 31 March 2024
231.118
1.993
233.111
DEBTORS: AMOUNTS FALUNG OUE MThIN ONE YEAR
2025
2024
as restatsd
Oth$r 4&blors
CREDITORS: AMOUNTS FALUNG OUE WITHIN ONE YEAR
2025
2024
a8 r8Stat8d
Other cr8ditor8
ANALYSIS OF NET ASSETS BETWEEN FUNDS
2025
2024
a6 restatgd
Total
funds
Unrn8tri¢W Restrict&J
funds
fvnds
Tot81
fun#$
Flxed as88ts
cu￿nt assots
Current lia￿lItieS
210.165
73,163
2,4341
17.143
227,308
73.163
233,111
55,569
286,594
10.
MOVEMENT IN FUNDS
Prior
year
Nei
movomènt
In funds
At
31.3.25
At 1.4.24
Unrn8trieted funql•
General fund
Designated furM1
249,441
17,
1.763
11,9561
249,248
31,646
267,237
1.763
11.894
280.894
R•strlcted funds
Propety Fund
17.594
14511
17.143
TOTAL FUNDS
284.831
1,763
298.037
Page 8
continued...

TRUE JESUS CHURCH ICARDIFFI
NOTES TO THE FINANCIAL STATEMENTS- ¢ontinued
FOR THE YEAR ENDED 31 MARCH 2025
10.
MOVEMENT IN FUNDS- continu
Net movèmènt in lunds. included in the above are as follM'.
IncA)ming
resourr*s
R6sourcos
expended
Movement
in funds
Unrestricted fund$
General fund
Designated fund
19.990
20.650
121.9461
{6.8001
{1,9561
13,850
40,640
128,7461
11,894
R•strlcted funds
Property Fund
1451}
14511
TOTAL FUNDS
40.640
129.1971
11.443
Comyr4tlv•8 lor M0￿m•nI In fund*
Pl￿r
ar
adjustrn8nt
Nel
mov8m8nt
in lunds
At
31.3.24
Al 1.4.23
Unr•strlct•d fvnd•
General fund
Designated lund
254,244
11.2931
11.7471
17.796
251.204
17,796
254.244
11.2931
16,049
269.000
R•*trlet•d fvnd•
Prop¢rty Fund
18.04$
14511
17,594
TOTAL FUNDS
272.289
11.2931
15.598
286.594
Comparakn"v• n•t mov•m¥nl in funds, induded in the above arn as follo•ts'.
In￿rnIng
Resourc•s
Movement
in fur￿9
Unr•strl¢t•d funds
General fund
Desi9naled fund
17.742
17.796
119.4891
11.7471
17.796
35.538
119.4891
16.049
Restrlcted fund•
Prop8rty Fund
14511
14511
TOTAL FUNDS
35.538
119.9401
1S.598
Page 9
continued...

TRUE JESUS CHURCH {CARDIFFI
NOTES TO THE FINANCIAL STATEMENTS- ¢ontinu•d
FOR THE YEAR ENDED 31 MARCH 2025
10.
MOVEMENT IN FUNDS- contlnu•d
A Current year 12 months and prior year 12 months combined rM)sibon is as follryws..
Prior
year
djustment
Net
movernent
in funds
Al
31.3.25
Al 1.4.23
Unrestrfct•d fvnds
Gen8ral fijnd
D8signat•d lund
254,244
470
13.703)
31,646
251,011
31.646
254,244
470
27,943
282,657
R•strlet•d fund•
Propèrty Fund
18.045
{9021
17.143
TOTAL FUNDS
272.289
470
27.041
299.800
A currenl year 12 months and ￿or y•or 12 monlhs ￿rn￿ned net [r￿vernon¢ in lunds. indudtd in th? above are
as follows..
Incoming
R?50urces
resources èxpènd¢d
Movement
in fvnd
Unr•8trict•d lund•
General lund
DaS￿n&t•d lund
37.732
38.446
141.4351
16.8001
13,7031
31.646
76,178
48.2351
27,943
R•strl¢t•d funds
Property Fund
19021
TOTAL FUNOS
76.178
149.1371
27,041
PURPOSE OF OESIGNA7ED FUNDS
The designated lund represents ¢Jonations co118Ct8(l in rèsp8Ct of lh& buildiThJ fvjnd for the True J8sus Chur¢h. 11
1$ a lund usgd by congregalions to acquire andlor renovate buildings for I￿15h1p and ministry purposes.
PURPOS
FUNDS
Th8 f•Stricted lund reprgsents donations made initially towards lh• puichase ol the ¢h14rch building in 2013.
This fund is redueod eath yèaf by thè ￿Ul¥*I￿nI atlnbutable deprecia1M￿ ch8rg•d on th8 buiklirt9.
11.
RELATED PARTY DISCLOSURES
There were no relateil party transacb.ons lor th• y•8r erMl•d 31 Marth 2025.
Pag8 10

TRUE JESUS CHURCH ICARDIFFI
DETAILED STATEMENT OF FINANCIAL ACTivmES
FOR THE YEAR ENDEO 31 MARCH 2025
2025
2024
as restated
INCOME AND ENDOWMENTS
Donation• and l•gacl•s
Offerings
Donations
Gift aid
Building fund
13.205
3.057
2.798
20.650
12.296
2,774
2.350
17.796
39,710
35.216
Inv?•tm•nt InGom•
Deposit account int•r•sl
930
322
Total Ineomlng r•$ourc•s
40.640
35.538
EXPENOITURE
Charltable a¢tl¥lll••
R8t85 and water
Light and ￿01
Telaphon8
Travel
Social gvenls
General Assèmbly
Specific donations
Post and slalionery
miscèllan￿￿$ expense5
Repairs and ren•wA15
D•precialion of langibl• fix8d assets
1,231
2.541
1.238
3.263
395
1.439
1,518
3.668
2,921
1.889
3.958
6.800
128
243
1.580
5.803
78
233
728
5,854
27,094
18.414
Support costa
Manag•m•nt
Insurance
8ank ch8rg8s
Professional le88
736
197
1.170
180
197
1.149
2,103
1,S26
Total r8$ources oxpendod
29,197
19,940
Net In¢om•
11.443
15.598
This page does not fom) part of thè statLrtory finan(aal statements
Pagè11

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