Trustees. Annual Report for the period
Period stsrt date
Period end dale
2024
June
2025
From
To
Section A
Reference and administration details
Charlty name
E8ENEZER CHRISTIAN ASSEMBLY
Other names charity is known by
Registered charlty number (if any)
1166186
Charity's prfncipal address
clo 1 Canterbury Close
Barnford Rochdale
United Kingdom
Postcode
OL115LZ
Name$ of the charity trustsés who manage the charity
Dates a¢tod il nat lof whol•
ear
Tnmtee name
Office lif any)
Name of person lor body) entTrded
toa
olnt trustee
Ifan
Spiritual Leadership of CIO
RAJU
ARUKALICI<AL
VARGHESE
VARGHESE
AREEKAL GEORGE
Chair
Until 28 Feb 2025
Chair
March 12025 to present
Spiritual Leadership of CIO
GLADIS
ARACKAKUDIYIL
JOHN
Trustee
Whole year
Spiritual Leadership of CIO
BENJI
KUNJACHAN
THOMAS
BENNET DANIEL
KURIEN
Trustee
Whole year
Spiritual Leadership of CIO
Trustee
hole year
Spintual Leadership of CIO
Names of the trustees ft>r the charity, if any, lft>r example, any custodian trustees)
Name
Dates acted if not for whole ear
Names and addr88se8 of advlsers Ioptlonal Infomiatlon)
of advisèr
Name
Address
Name of chief executlve or names of senlor stsff members (Oplional inforniation)
TAR
April 2026

Section B
Structure,
overnance and mana
ement
Description of the charlty's trusts
Constitution
Type of goveming document
H¢)w the charrty is constituted
cio
Trustee sele¢tion methods
Appointed by Spiritual Leadership
Additional governance issues (Optional inforniationl
In March 2025 a group of members including one of the trustees decided
lo move to Alherton foming a new church there. It was mutually agreed lo
support Ihis initiative by making a wntribution to the value of half the
assets al the time to the newly fomed church. The fund transfer was
completed by October 2025. This move also ne￿ssitated a restructure in
the board of trustees as Can be noted in Section A.
You may choose to include
additional information, where
relevant, about..
policies and procedures
adopted for the induction and
training of trustees.,
the Charity's organisational
structure and any wider
netmork with which the charity
works.,
relationship with any related
parties.,
trustees, consideration of
major risks and the system
and proc8dures to manage
them.
Section C
Ob"ectives and activities
The Object of the CIO is, for the public benefit, the advancement of the
Christian faith (in a¢¢ordance with the Statement of Faithl in Manchester
and such other parts ofthe United Kingdom and the world as the charity
trustees may from time to lime decide.
Summary ofthe objects ofthe
harity set out in its
governing document
TAR
April 2026

Main worship ServI￿S
Monthly fellowship meetings that ￿ClUde Bible study and activities for
children and youth including dedicated time to develop young talent and
nurturing younger generalion in Christian faith and values.
GospellPrayer meetings eaGh rnonth
Sunday Bible class
Sunday school (face to face and online via zoom}
Gifts to Indian Missionaries to advan￿ the Christian faith
Fellowship group for women.
Summary ofthe main
aGtivities undertaken for the
public benefit in relation to
these objects (include within
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on publi
boneflt)
Addltlonal detalls of objectlves and actlvltles (Optlonal Infomiation)
You may choose lo include
further statements, where
relevant, about..
policy on grantmaking.,
policy programme related
investment.,
contribution made by
volunteers.
TAR
April 2026

Section D
Achievements and performance
Summary of the main
achievements of the charity
during the year
All the meetings mentioned were well attended.
Grants were made to missionaries working lo further the Christian farth in
India and the UK and other parts of the world.
Grants were also made lo a few oflhose who struggled to meet ends due
to the financial burden imposed by the pandemic.
TAR
April 2026

Section E
Financial review
Brlef statement of the
charity's policy on reserves
Details of any funds materially
in deficit
Further financlal revlow details {Optional inforniation)
The principle source of funds for the CIO has been the Offertory
collection taken on Sunday after worship meeting where individuals make
freewill offering.
Grants made to missionaries have helped in the advancement of
Christian faith. The financial investment in Bible classes and Sunday
School (both online and face to face) have also contributed to the
spiritual edification of those that attended.
You may choose to include
additional information, where
relevant about..
the charity's pnncipal
sources of funds (including
any fundraisingl.,
how expenditure has
supported the key objectives
of the charity.,
investment policy and
objectives including any
ethical inveslment policy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare that they hava approved the trustaa5' r&port above.
Signed on behalf of the charity's trustees
Signaturelg)
Full namels)
Posltlon (Og Secrntary, Chair,
etc)
VARGHESE AREEKAL GEORGE
BENNET DANIEL KURIEN
Trustee
Trustee
Date
2110412026
2110412026
TAR
Aprfl 2026

Independent Examlner's Report to the trustees of
EBENEZER CHRISTIAN ASSEMBLY
(Charlty numbor: 11661861
I report on the r8ceipt and payment accounts for the year ended 30th Junè 2025
Respectlve responslblllllos of trustees and examlner:
The charity's trustees are responsible for the preparation of the accounts. The charity's
trustees consider that an audit is not required for this year (under seclion 4312) of the Charities Act
1993{the 1993 Act) and that an independent èxamination is ne6d6d.
It Is my responslblllty to:
- examine the accounts under section 43 of the 1993 Act
- to follow the procedures laid down in the General Directions given by the Charity
Commission {under section 43{7)(bl of the 1993 Acll.. and
- to slate whether matters have come to rny attenti¢)n.
Bas18 of tho Indopendont oxamlnoes report:
My examinalion was carried out in accordance with the General Directions given by th8
Charrty Commlssion. An examination indudes a revi8w of the accounting records kept by the
Charity and a comparison of the accounts presented with those records. It also includes
conslderatlon of any unusual Items of disdosures In the accounts, and seeking explanatlons
from the Trustees conceming any such matters. The procedures undertaken do not provide
all the evidence that would be required in an audit, and consequently no opinion is given as
to whether the accounts present a 'true and fair Vie￿ and the report is limited to those
matters set out in the statements above.
Inde
ndent exarniner's statement:
In connection with my examination, no matt8r has come to my attention..
11 which gives me reasonable cause to believe that. in any material respect, the requirements
- lo keep accounting records in accordance with section 41 of the 1993 Act.. and
- lo prepare a¢￿untS which accord wtlh the accwnting re¢ords and lo comply wtth
the accounting requirements of the 1993 Act
have nol been met or
21 to which. in my oplnion, attenllon should b8 drawn to enable 8 proper
understanding of th8 ac¢>Junts to b8 reached.
94tr/
Noble Dani George
Oasis Accountancy
41 Mayville Avenue
Bristol
BS34 7AB

EBENEZER CHRISTIAN ASSEM8LY
Recelpts and payments accounts
CC16a
For the perlod
0110712024
3010612025
Section A Receipts and payments
Unrè$trlet•d
tund$
Endowme
nt funds
ReBtrict¢d
funds
tothe
n•*r•it £
Total funds
Last year
to th8 noorgst
the
noarost e
to fi•a￿t
to th• n••re8t £
A1 Roceipts
Offerir
27.144.6B
3.139.30
27MX68
3,139.30
45AOI.00
1,599.86
l.B72.63
12,S30.67
8ank interesi
Other incorne
Other Don8tions
Sub total(Gross income for
ARJ
30.$03.98
30.583.98
61A04.18
A2 A$sot and Investment
sale#, (see tabl¢).
Sub total
Total rn¢elpts
30,583.98
30.583.98
61A04.16
A3 Paymgnts
Building fund rèfund
Rent
41,237.9)
4,101.50
41.237.50
4,18t.50
6,892.76
4,037.85
6.479.23
Gifts 8nd dkYw8nc85 to we8chw*
Relreshmenl
Sunday schoDI & Y(yJih
El8ctrot)Ics
6,892.78
4,Q37.8S
559.18
2.614.00
7,223.82
2.163.11
1.906.07
5,599.18
171.44
5S9.18
2,500.00
8,873.51
185.71
2,500.00
.873.57
185.71
Bank Charg0&
Other office costs
734.10
731.10
Printing& Ststionary
Accouniancyf8&
M8mb8rshp F888
In$uran¢e
718.37
7t8.37
2,696.23
200.00
500.00
soo.oo
BO.
80.00
307.32
Medkg sofN¥ar8s & equlprnents
396.92
Sub total
A4 A$￿t and In￿StM￿nI
purcha8e8, Iso0 table)
Total payments
7Q,aOO.S4
70,$00.$4
29.757.22
70.500.54
70,500.54
29.737.22

Net of recelpts/(payments)
AS Tran$for$ b•tw••n funds
39,916.56
39,916.56
31,646.94
A6 Cash funds last year end
Cash funds thls year end
193,610.23
153.693.67
193.610.23
153.693.67
161,963.06
193,610.23
Section B Statement of assets and liabilities
Unrestrict
ed funds
R¢$trl¢t¢d
funds
Endowment
funds
Cat•gorJ•s
Detall
to n•aroSt£
to n￿￿•*t £
to n•ar•st£
B1 Cash funds
Casw Chequos In hand
Cash at
153,894
Total cash funds
153,694
r￿e19l%
KLWrtIs11
Unrg$trl¢t
od fund¥
to n•aroot£
R•$trlet•d
funds
to n•aro$t £
Endowmont
fvnds
Oètsils
to n•ar•it £
82 Other monetary assets
Fund to
whieh a•6•t
b•long•
Cost
lopt4onJll
Current v4lu•
loptlon•ll
B3 Invastment assèts
Fund to
whlth a•s•t
longs
Cost
Current Volu•
Detalls
B4 Assets retained for Iho
charity's own use
Fund tr+
whlch
IlobMIty
rola¢e
Amount du•
l0ptfjon￿}
When due
loptlonall
D•tsll8
B5 Liabilltles

Signed by one ortwo trustees on
behalf otall the trustees
Signatur8
Print Name
Date of
approval
171091202S
1710912025
Drvarghese George
Bennet Daniel Kurien