MIDLANDS GOSPEL MISSION
(INTERNATIONAL)
FINANCIAL STATEMENTS
FOR THE YEAR ENDED
30 NOVEMBER 2024
A COMPANY LIMrrED BY GUARANTEE
COMPANY REGISTRATION NUMBER: 08786769
REGISTERED CHARITY NUMBER: 1161906

30 NOVEMBER 2024
Rcpxt of th¢ Th]sttts
Stxtematt of Fioanciai Activitie8
Notes lo the Flnanolal Statements
10-17
For M*na8ewen¢ Pllrpm￿ Only
18

P9ge I
REPORT OF THE TRUSTELS
FOR THE YEAR ENDED
The TnLStees a￿ ple￿1 their rwrt Financial Ststement¥ for th¢ year cnded
30 Novcmlxr 2024, Nvhich are p[q>a￿l to meet the requirements for a Director's RqK)rt ar￿ FmanciAI
Th¢ Financial Statonents cxKnply with the Cbarities Act 2011. the cAry￿les Act 2[￿￿ the
Memorandum and Articles of Awciation ald A(tountiDg ReP)rti￿ by CbarAties'. Statem¢th of
Re￿rnMended Practice applicable to charities pwAring their Finan¢iJl Statements in a(£ordan(x with
the financial R¢￿ti￿ Siandard applicable in ttLC UK and Rqmjblic of Ireland (FRS 102).
Ch2rftsble Comp*ny Name
Chgrity RegL4tr9tion Number
11619&5
CoThpany Re￿$tratiOn Numb¢r
08786769
2 Norwich Road
Worces*r
WR5 INX
DIRECTOIIS AND TRusfEFS
s¢rvol during the year were &$ follows:
Pa¥tor Santosh KuriakoK Manithottam
Mr Thankachett Chakkittaparompil Pbilip

MIDLANlkS GOSPEL MLWON {l￿ATIoNAL)
REPO]YT OF THE TRU￿E8
Page 2
FOR THE YEAR Ef4DED
STRucfuR4 GOVERNANCE AI¥D MANAGEMENT
Gov¢nthig Do¢um¢wt
The company is a charitable company limited by gu8Tantee, inco￿ on 22 November 2013. The
tharilablc company was cstabIished under a Memorandum of Asgxialion which estsblished the
objectives and ￿werS of the charitable company and 13 gov¢rncd und¢r its Articlas of Association.
The charitable eAmipeny l%came a registered cknty on 29 May 2015.
In the event of tr chan'table com￿nY ban8 wound up, membern aye wuifvl to rThtribth an amount
nol ex￿ling £1.
Re¢niAtwent Appoknlment of Tn￿tr¢S
The directOTS of the company are also ¢hority for th¢ FArp￿e$ of dwity law an￿ under the
¢haritabl¢ compHny's Articl￿ are known as membeF3 ofthe Management Committee. The diTectors are
reap￿)int￿ in ￿OrdanCe with the MeEZM)randum aTrJ Articles of ASS￿1￿￿0
Trust￿ Induetlon TrAiniDg
A progtamme is employcd for th¢ induction of It encompasses 8 fidl induction in the
ch￿712b1e comFany's po]icies 2nd procedures and involves exfjmI￿8 the fllwicial pI￿L
Ory*tii8ationAI Slru¢ture
Midlands Gospel Mixsion (Tntcrnationa]) h&$ a Board whlth meets at least thnes a yegr and wtiich
is reS￿￿81ble for the &Yategic direction and PK*licy of the clwitable company.
At present the Managanent Committee comeg from a vsridy of b￿undS relevantto the work of the
charitable comFwny.
Rlsk Mana8ement
The trustees have rA)nducteA a review of the major rlskq to which the charitable company is exposed.
Where 8PPWtA Systems or prO¢eth￿ have i%en eslablished to mitigate the risks the ¢harilabl¢
company fac￿ Signifi￿lt extetDaJ n*5 hav¢ led to the £kv¢iopmeu¢ of a stratC8i¢ plaTh Internal
projects.
PAY Poliry for Senior Stsff
The pay for all senior staff employcd by the charitable Company is reviewed on a r¢gular bA5is and any
changes to salaTies are dep￿dent on the anployees and the eI￿rItable eonwy's overnll wfomtsnce.

P4g¢ 3
REPORT OF THE TRusfKKS
(CONllNUED)
FOR THE YEAR ENDED
30 NOVEMBER 2024
STRU￿UR￿ GOVERNANCE AIW MANACEMEKf (CONTINUED)
R￿al￿ P•rtie•
The charitable company has no Tel*￿ k*rtie&
NANc￿L RE￿Ew
Th¢ ¢baritsbl¢ comtmny's inc1)n￿ for the year was £125.012 (2023 - £74,938). Fwdittwe totdled
£84,876 (2023 - £69.938). The overnll surplus ￿hIeVed wa8 £40,136 (2023 - £5.0001 Thc dircdor5 are
8ati$fi41 with the overall p￿ition and finances of the charitsble company.
Prkndpal FuMdlDs 8ourc¢8
The principal fimding sources for the dwilAbJe eomp9ny Are eurrendy from mèmbérg ofth¢ mia8Ao
Inveslm¢Dt Pollcy
Most of the charitable e4)rnpany's funds ar¢ to be sp￿t in the ahort.turn ￿￿, at the charitsble
ReJerveJ Polity and Golng Concern
It is the w)licy of the eh2Titable eompany to aim towords malntsining unr¢strithd fvnd4 which are
th¢ fT¢¢ re3erv¢s of the ¢haritable company. at a l¢v¢l where unrcstricted fund5 will k suffici¢nt to
eet its out80in8 exp¢nse&
Th¢ directo￿ of th¢ charitsble ci)mpw ar¢ of th¢ vicw that Midlands (lospel Mi&sion anternational)
is a going concern.
Midknd Gow Mission (Internation￿) is a registeml charitsble compny under the Charities A￿. It
began with th¢ aim of pr￿laiMIng the go4KI of our Lonl Chrlst Jc5us and slwing his love to sll p￿le
without any iwrier of religio￿ regio￿ rx nati￿ lan8uag¢ and gents.
Th¢ Glwitable ¢0m￿ny,S aims dnd objectives are to alva￿£ the Chrithi faith in xLx)rdance with the
arttele offaith in the Untted Kingdom and througkntt the world as thc thur¢h cldcrs may? from tin)e to
Publk B¢n¢flt Slat¢mtnt
furth¢r our chaTilalA¢ pwpoKs foi thc public bcncfiL tn slmping our obicctiv¢5 a￿1 plannAng our
activities, the trths bave considered the Clwity commi￿on'S guid8nce on public benefit including
th¢ guidance'Public B¢nefit: Running a Charity (PB2)'.

MIDLANDS GOSPEL hll&SION ONTERNATIONAL)
REPOIU OF THE TRUSTELS
(coNnrrfuED)
Page 4
FOR THE YEAR EIYDED
Midlands (3ospel Mission (MGM) w0￿estr is a chureb registered as a Charity or8anisati04
dedicated to the advancement ofthe Goyl. OUT ￿n￿tiQll begun &s a house church in 2004. with
just three families. By th¢ gracc of Go(L more families joined ￿ promptin8 the rental of halls to
accommodate our worship Servi￿8. In De£emirr 2013. with g¢nerous financial supp)rt from our
members, we w¢r¢ able to purchase our own buildi￿ Our primary worship service is conducted in
our native lan8Uggq DA2layalw and ia¢ludes prais4 worship. and Bil)1¢ sts￿Y. These services take
place ev¢ry Sunday from 10:30 AM to i:00 PM. Established in 2005. our Sunday school start¢d with
fivc students and two teach￿. By Gtsl's grac4 it has sinc¢ grown to s¢rve over 60 sttthnts Thitb the
suppott of10 t¢achcrs. Out primary objective is to nuTture 2nd eMFKjw￿ both the Spiritual and so¢ial
d¢v¢lopment of OUT thildren. We also Maintain regular prayer gmup4 whi¢h include int¢rcessory'
trdyer sessions every wthe￿y. Alonggide weekly Bible ￿eS h¢ia in Worccst¢r, GlouGcster,
Huefor4 aDd Tel Aviv (via video conf¢r¢ncing). Additiona]ly, w¢ conduct in-ttrson services in Tel
Aviv dwing puiodic visits and monthly bible clas￿ in KIdderri￿.
Our outreach cfforts have extended iK>th lO￿lY and internatsonally. rea¢hing many in n¢ed. Notable
initiatives include:
Ongoing fin8n¢ial support for Bilw Life Mi&sion as part of our gospel ministtie
Otganising a charity bake sale to raise funds for the NHS 1Th￿t in Hereford Ind Worcestsr.
Fundraising efforts to support th¢ thtiry Tribal Aftssion in Indi
Supporting Happy Honw and dwity in Indi4 as planned in the Previous year.
Durin8 our annu81 Sunday School aud YouthADnivers4ry* we distributed ￿hl¢y¢M¢nt r¢waTds b￿s¢d
Vacation Bible School (VBS) during th¢ Faster hoIidays.
CUr￿ntlY. we are actively rdisillg funds for the extension of our church building. Planning is
progressing wclL and we ate awaiting th¢ F¢nnissions to pr{￿￿¢
PLANS FORFUTURE PEIUODS
Our r¢gular wotship ￿VIC￿ Sunday sclMX)l. and enrichment sanin8rs for children and adults
will continue usual. Howcver, dueto space ]iDJitstton4 weplanto ten1p￿ly relocate to a suitable
Meanwbile. we intend to raise funds for various caus4 ]￿lUding continued SUPEK)rt for Bihar Lif¢
Mission. A substantia] prtion of our fU[thW￿ efforts remains dedicated to the building fund,
which wc plan to support through Kgular f(￿￿j festivals held within th¢ Ghur¢h wmmunity.
Additionally. w¢ intend to organise a recreational day out for trR ¢burch community to fo
fellowship and strensth¢n our bondo.
We rem8in enwuraged by our current activities and look to our planned initiatives.

Page 5
REPORT OF THE TRU
(CONllNUED)
FOR THE YEARENDED
30 NOVEhfBER2024
RESPONSIBltiriES OF TRUSTELS
Company law r¢quir¢s the trl￿tCcs to prepare Financial Sthtements for each finan¢i31 year. Nvhich give a
true and fair view of the stste of the affaits of th¢ cbaritable LXmn￿Thy &s at the Ba18nce dale and
of its incomins resoum 8nd application of re30urc¢4 incl￿1￿& and expendill￿¢. for the
financial y¢ar. In preFaTi￿ tIM)se Fllwcial Ststalle￿ ts tsll8tees should follow b¢st prnctirx and:
obsuve the meth(th at)d ￿l￿1p]eS in the Chariti¢J SORP (FRS 102):
state whether applicable aLroullting have be¢n followE4 8ubje¢t to any departwcs
pw the Financi81 Statements on th¢ going conc¢m b￿14 Unl&￿ it IJ inappryat¢ to assume
that the charitable ¢ompgny will cotitin￿ on that kni&
The trugtseg are re8p)nsible for D￿int￿ proptt w4)untin8 thich dirK105e with reasonable
Cu￿y, at any tin]¢. the find￿la1 ￿sition of the dwitable comp2ny and to ¢[￿b]e them to enwre that
the Financial Statementg ¢omply with the Con)pAnies Act 2006 atsj the ChoTities Act 2011. Thc trustee
re also res￿nsIble for safegu&ding the ass￿$ of th¢ ¢harilablc LY)mpny and for tsking
SMALLCOMPANILS PROV]510NS
small companics exemption undtt the Companics Ad 2[￿6.
Approved by th¢ Bolrd of Trwtt¢J on 21 Septsmber 21125 ••d slgaed OA Its bel￿11 by:
SP THOMAS

INDEPENDENT EXAMINER'S REPORT
Page 6
TO THE TRUSTELS OF
FOR THE YEARENDED
I r¢￿rt to the ¢harlty tnts on my ¢xamioation of th¢ ￿￿Ullts of the CompRny for the year ended
30 Novemb¢r 2024.
RESPONSIBIUTIES AND BASIS OF REPORT
As the charity's tswt¢es of th¢ CoMp￿Y (and its ditectOT5 for the purp)ses ofcomp8ny law) you
r¢I￿nSIbl¢ for thc prcparaiion of the Accounts in gecord9ne£ with the requirements of the
Companies Act 2(Ki6 ('the 2006 Act,).
Having Satisfi￿ myself that the accounts of the CoM￿lY are twt rquired to be audited und¢r Part
16 of the 2006 Act and are eligible for indcpentht examinatio￿ I report in respect of my ex8mination
of your charity's accounts as earried out under section145 of the Ch8rities Act 2011 ('the 2011 Act,).
In carying out my cxaminalion I have followcd the Ditections given by the Charity Comn)ission
under section 145(5Xb) of the 2011 Act.
INDEPE1¥DE￿ EXAMINER'S sfATEMENr
I have completed my examinatio￿ I confirni that no matterg hAve Come to my att•htion in ¢onne¢tion
with th¢ ex0mi￿on 8ivin8 me ¢aus¢ to b¢li¢v¢ that io aoy mat¢tial tw¢Gt:
occountin8 reeords were oot k¢pt in respect of tbe Compfiny as required by scction 386 of th¢
2006 Acl or
the ￿COUnts do not aeeord with those rewrds: or
the accounts do not ￿mplY with the acco￿1￿8 requirements of sectton 396 of the 2006 Act
other than any requirement that the ac￿Unts give a 'truc and fair view which is not a matter
Considered 2$ part of an indwdent exarni￿￿ or
the accounts have not been prq>Ared in aecordance with the methody and princiDle# of the
Statcmeot of Recommended Pr&t1￿ foT twountin8 ryrting by ¢harltles (appli¢abl¢ to
clwities preparing their ￿)￿lts in accordance with the Financi￿ ReNirting Standard
applicable in the UK and republic of Irelstsd (FRS 102)).

Page 7
(CONfINUED)
TO THE TRusfELS OF
MIDLANtKS G(K5PEL MtSSlON (IKrERNATIONAL)
30 NOVEMBER2024
INDEPEIYDENT EXAMINER'S STATEMENT (CoNT￿UED)
I have no ¢oneerns and h&ve ￿rne no othu mattcTS in conncdion with the examindii)n to
whieh attention should be drnwn in this report in order to enable a proper understanding of the
aecounts to be rea¢h
D JMAwf FCA
21 Septsmber 2025
ABRAHAM & DOBELL
Chartered A¢count2uts
230 Shirley R(b*d
Southampton
SOIS 3HR

MIDLANDS GOSPEL ThU&SION (]NIERNATIONAL)
ATETh￿￿[ OF FtNANCIAL AcrivfTIES
(INCLUDING INCOME AND EXPEIyDf￿lRE ACCOUND
FOR THE YEAR EfiDED
30 NOVEMBER 2024
Page 8
2024
Unr¢sttl¢ted RfJtrfcted Totsl
Notss FuDd8 Funds Fund8
2023
Totsl
Funds
COME
Donations and le8a¢ie8
Charitsble activiti
Investment incom¢
77￿3
46.111
lJ58
77.543
46,111
1.358
44.765
29,336
837
TOTAL INCOME
125.012
125.012
74.938
EXPENDITURE
Ch&itabla aCtI￿tiC
84,876
84.876
69.938
TOTALEXPENDrruRE
84,876
84,876
69,938
NET INCOMEJ(EXPENDlTURE)
40.136
40.136
NET MOVEMENf IN FUNDS Wf)R THE YEAR 40.136
40,136
5.(KJO
RECONCILIATION OF FUNIKS
66.5TI 107296 173,873 168.873
£106,713 £107296 £214,009 £173.873
Th¢ Statement of FirnKial Activities inclth all gal￿ and in tr year. All incorne and
The Jwt¢s OD pagu 19 to 17 forn Ixrt of these Slnan¢knl Ststenk¢nts

Page 9
AS AT 30 NOVEMBER21124
2024
2023
Notes
Ta￿￿1¢ fix￿ awts
07
107296
07
107296
Cash at bank and in I￿ld
112 124
111124
70.W2
5.411
4,415
l(Nfj.713
66.577
£214,(
£173.873
JIX6.713
107295
66,577
107296
£214.rJ)9
£173.873
For the year ended 30 Noventhw 2024 the ¢oll)￿ ￿11￿￿1 to exemption from audit under sectxon
477 ofthe CompDie8 Act 2006 yelating ￿ small
Th¢ ba￿ Djt r4u1￿j the COmF•ny to oi*ain an a￿11¢ of its A¢￿ullts for th¢ rrtiod in
Approved by the Board of Trnrtees on 21 SThptemb¢T 21125 wml Sign
S P THOMAS
COMPANY RECT￿TIoN NUMBEIL. 08786769
The notas pages 10 to 17 forn part ofthfst FIDanclal stat￿llents

Pag¢ 10
30 NOVEMBER 21tt4
AccouKrJNG POLICIES
Charlty InforniAtion
midla￿ Gospel Mi&sionanternationaI) is a cl￿ritable rA)mpany Jirnited by Bu￿te4 estsblished
Mler its Memorattdutn andkniclesofAssociationand is rcw&¢Ted with the Chariry Commission
and COMF￿nI￿ HO￿ in Eugiand atyj Wale5. The princi￿1 &ldress is 2 Norwich Roa
The principal accountin8 FQ]icies aR below. The xcountiDg p)licie8 have been
Applied consistently throu8￿ the year •nd in th¢ year.
(a) Bmii of Prepgrn1Son
Th¢ Financial Sthtements have b￿￿ prpared in ￿cOrdanCe with Accounting and
Reporting by Chariti¢s: Slat¢m¢nt of Recommcnded Ptactice applicable to chgrilie8
preparin8 Finao¢iai Statcmcnts in a¢wrdance with the Financial Reporting Standard
applicabl¢ in th¢ UK and Republic of Ireland (FRS 102) - (Charities SORP (FRS 102)).
the Finatteial R¢portsn8 Standard opplieable itt the UK and R¢public of Ireland (FRS 102)
and th¢ Comptini￿ Act 2000.
The Finan¢ia] Statanthts are prcporol in Sterlin8 ￿1¢h is the fi￿￿lonal cwrency of the
Cbarity CoMmi&rrio￿ M(rtary amounts are r(xmdul to the nearest £
Ib) Ino)me
All in¢onK is inclu&d in the Stst¢mMtofFinancial A￿1VIties￿hr￿th¢ charitable company
is entitled to the income and amount can be quantified with re&8onable 8ccurncy. The
followin8 s￿IfiC poliGi¢¥ ar¢ applied to cawiesof income:
Volunt8ry income is re¢¢ived by way of donations and is i￿luded in fuIl in the
Statcment of Financial Activities when receivable.
Investment income is included when receivabl¢.
Income from ch8ritsble a￿1vitieS are 8ccounted for WI￿1 elmed.
(c) ExpeDdltur¢
Expenditu￿ is reco8nis¢d on an a¢fflwJ3 tAsis as a liability 15 incwred. Expenditure
includes VAT as the chgritable ¢ompaDy is not VAT re8iStered and is reported a8 P#rt of
thr whlckn It r¢la￿.
Ci)aritable cxwditiTc comprises those ¢osts by the dmrilable company in th¢
delivery of its activities And services for its benefiei9rieg. It includes both eogts that can
bc allocated directly to S￿h activities and those C￿ of all illditxt llatu￿ necessary to
sutp)rt them.
(3overnance iy)sts include those cosls 4woiated vrith meaing the constitutional and
statutory reqllirem￿ of the C￿￿rit8b1e Company and ll￿lUde &e audit fees and costs
linked to the slrate8i¢ mana￿t of the charitsble company.

Page 11
(CONTINI3ED)
39 NOVEMBER 20
ACCOu￿NG POLICILS (coNfINUED)
(c) Esptndlture (Conthiued)
AJI costs are All(￿ bet￿￿n the expetiditure e#t¢8oriw of thg Sta¢¢mwt of Finunfjial
Activiti¢3 on a b￿13 design¢d to ￿ect the use of the Tesource. Costs relating to a
particular activity are allocated diTC£tly, others 8r¢ ￿￿tIoned on an approprlate basis,
eg floor areas. per capita or estimated usage as set out in not¢ 4.
(d) TAnglble Flxed and Depre¢iati
Fixed assets sta*d at c(4 le&8 XLIAmulated dqxtciatsO￿ Tr of minoradditions
gre not cop1tsliT￿t
rkPre¢l￿1on is provided at Tat¢3 c￿Cu￿ to writc off the of each asset over Its
ex￿ed usefjjl life &8 follows:
Freehold laTha and buiidin8S
Nil
2￿ tKM)k val
No (knprecIatio￿ ￿ yel h8$ been to the fredK>ld land awl iwildin8S.
(e) Fllnd A¢¢oMnting
Unrestricted Funds reprexnt the fimds of & charitable comF4ny that a￿ not 5ubjext to any
restrictio￿ regarding their uge and are available for application on th¢ general puy9 of
the chaTitabk company.
objcctives of the ch8rithle company. Restrictions 8rise ￿en specified by the &)nor or
(fj Debtors
Any amounts owing to the charitsble company at 30 Novemlw in resped of income are
sho￿Ter￿ Lkpwlts and C*8h At BMk
Sho￿terM (kposits include eAgh held on dwtt orat the b8nE
(h) Creditors
Creditors recognised where the clwitable Company h&8 a present obligation T¢Sulting
from a event that prot*bly result in the t￿n5fff of funts to a third party and the
amount due to settle the obligation can Ix me&sur¢d oreStim￿ reliably.
Ci) FiDaDeial Instnun¢Dts
The clwitable company has fin￿¢1￿ &wts and finawial liabiknties of a kir￿ that

MIDLANIIS GOSPEL MtSSlON (]NIERNATKONAL)
Page 12
I NOVEMBER2024
DONATIONS AND LECACIFS
2024
Unrestricted Reltricted Totsl
FUD
Fundg Funds
2023
TotAI
Fund8
Don8tiom
Sarah's Mi&sion annual colleetioll
Gift Aid
58.235
3.190
16.118
58.235
3,190
16,118
42,395
2,370
£TIJ43
£77.543 £44,765
2023
Unregtrleted Rutrjeted Totsl
Total
FuDd& Fund• FUL
Sunday offering
S￿rIal offuin8
21,780
19,172
4.759
21,780
19.172
4.759
17,510
11,420
6,111
£46.111 £29.336

P4e 13
(CONTINUED)
FOR THEYEARENDED
30 NOVEMBER2024
Church
Activities
Totsl Fwids
2023
Visiting swtors
Prayer meetin
21286
1550
9,932
7.105
52S8
1,750
814
3,463
1,030
4221
1287
16.898
3596
21286
1.550
9.932
7.105
5,258
1,750
814
22,145
850
8J90
6.237
4243
Sunday SclKM)L VBS gnd xnniverA8ry
998
882
5.177
1.113
7,434
3,770
674
1,530
482
Light and heat
Repairs and rn8intenanc¢
Building fe&sibility s
Equipment
1,030
4,221
1,287
IA898
3596
Cleaning aNI offi
T¢l¢phone
145
145
568
1,074
1710
136
1.074
2,710
136
Motor and trav¢1 eXp¢￿S
L¢gal and p￿f￿10nal
2,498
96
814
497
Sutmbias
374
W6
374
9)6
£84.876 £84,876 £69.938
(b) ANALYSIS OF GOVERNANCE C(KS13
GovernAn¢e
Basi8 of
Fun6tion Total Apportionm¢nt

Page 14
NOTES TO THE FINAIYCIAL ￿ATEmENTS
(CONTThUED)
2024
2023
Wages and sal*Ties
1286 £22,145
Dmn8 the year the charitsble Lwmpany anployed d￿r. No one eaTned more than £60,000
The average DUMI￿Of employees during theyew was l (21Y23- 1).
TANGIBLE FIXED ASSETS
Frtthold Fixture
Land & Furniture &
B•ildiDgs Equipment Total
At l Dwnber 2tr23
Disp)sals
107296
5,652
111948
{5.652) {5.652)
At 30 Novenkn2024
107296
107296
Depreeiatioo
At l De¢¢mbu 2￿
5,652
5.652
(5.652) (5.652)
At 30 Novembrr 2024
N¢t Book Valll
At 30 NovemLw 2024
£107296
£107296
At 30 N0VemE￿ 2023
£107296
£107296

Page 15
(CON]INUED)
) NOVEMBER2024
2024
2023
AcGrua18
5.41 I
4.415
£5.411
£4,415
2024
U￿r￿Ided R¢strict¢d Total
Funds
Funds Funds
Totsl
Funds
Tan￿1)1¢ fixed assds
107296 1072% 107296
112,124
70,992
(5.411) (4.415)
111124
(5.411)
Fund ikn at 30 November 2￿24
£106,713
£107296 £214.009 £173,873

Page 16
(CONllN￿)
FOR THE YEAR ENDED
30 NOVEKBER 21P24
ANALYSIS OF MOVEMENTS IN FUNDS
AND FUND DETAIiS
At
IneomlDg Outgoing
At
OJ.1223 RwoMrr¢s RuourttJ 30.1124
Unrestr1et￿ FvDd8
665TI
125,012
84,876 106,713
TotAI UDr•8tthd Fwidl
66Jn
125.012
84.876
106.713
107296
107296
Total R¢8trkted Funth
107296
107296
Total Fundj
£173,873
£125.012 £84.876 £214.009
ar¢ fiuth which the ¢I￿ltabl¢ ¢ompany is free to spe￿ on any of Its a￿]vitie& The
Rfstsi¢t¢d Funds
These fillyjs whid) the ¢b8rithble comp3ry eon ts￿y on a pwpox d￿Cri￿ by the
tenns OD which thc fiMMI is I￿￿1￿L

Page 17
10. TRUSTELS, REMUNERATION AND EXPENSLS
1lemun¢￿i0n w&8 ptiid to one (S Manid¥)ItanL is the pastor) of £21286
(2023 - £21145).
11. ￿ATUs
chatitsble (xrntony is limit&1 gu2M1￿.