CHARITY COMMISSION
FOR ENGLAND ANO WALES
Trustees, Annual Report for the period
From
01 Dec 2020
Period stsrt date To 30 Nov 2021
Perlod end date
Charity name: Manchester Yedam Church
Charlty regislratlon nurnber: 1170551
Objectlves and Actlviti88
SORP referer
P8r81.17
Summary of the purposes of
the charity as Sel out in ils
goveming doGum8nt
The object of the CIO is lo advanc8 the
Ghrislian religion in Manchester and
surrounding areas for the benefit of the
publi¢ through the holding of regular
worship Servi￿$, prayer meellngs. bible
study courses, youth and toddler bible
study classe8, missionary and outr•ach.
and
asloral care
Summary of the main
activities in relab'on lo thosè
purposes for the public
benefil, In particular, th8
aclivilies, projects or
seNlces identified In the
accounts.
Pera 1.17 And
When plannlng the activilles for th8 ye8r,
the board of trustees have consldered the
Charity Commlssion's guidance on publlc
benefit and, in partlcular, tha specif1¢
guidance on the advancement of rellgion.
A summary of Ihe main actlvllles
undertaken Is..
Regu18r Sunday services
Regular Mldweek servlce8
Bible study courses
Evangelism and missionary work
locally, regionally, and
InlernaliDnally.
Youth groups and young adult
specific meetings
Outreach and communlty support
aclivilie8
The board of Trustees believe these
activities provided clear and identifiable
benefits lo all invo5ved by encouraging and
9uiding ordinary people lo live out their faith
through the teachings of Jesus Christ,
leading them to a more fulfilling and
meaningful life,. and lo the local communlty
through a variety of outrea¢h atttivities
towards the needing and vulnerable
members of socie

Also, the organisalion has been involved in
a number of Missionary and outreach Work,
with a number of monetary donations lo
specific hardship relief funds.
The Trustees conllnued the efft)rt to allow
as many people as possible lo worship at
our church and lo become part of our
community al Yedam Church. To help with
the inclusion the New Believers Support
Team has increased in member8 to allow
more efficient welcoming and support to
establish in the Church family.
The Translations Team has continued to
work tirelessly lo provide accura18
Iran51ation of the service and preaching to
people from other backgrounds. This
service has helped th8 inelusion of people
from different parts of the world by breaklng
down lan
ua
e barriers.
The trustees have referrèd to the Charty
Commission's guidance on reporting on
public benefit when reviewlng the Charity's
aims and objective8, and when planning the
Charity's aclivltltrs. The Trustees are
therefore confident that the Charity meets
the public benefit requlremenls. In
particular, the Trustees try to enabl•
i ordinary people to live out their faith 89 part
ot the community through..
Worship and prayer, lèarning about
the Gospel and dsv8loping Ihelr
knowlgdge and trust In God
Provision of pastoral care for people
living in the community
Missionar and outreach work.
Slalemenl conflmin9
whether the Iruslees hava
had regard to the guidance
issued by the Charity
Commission on public
benefit
P8r8 1.18
Addltlonal Informatlon loptionall
You ma choose lo include further statements wh8r& r•levant about..
SORP rgferen¢e
Por• 1.36
Pol¢cy on grant maklng
Pwa 1.38
Policy on social investment
including program related
investment
Para 1.36
Contribution made by
volunteers

Other
Achievements and Porformance
SORP relererte
Worship services..
Summary of the main
a¢hievemenls of the ch8rtty,
identifying the difference the
charity's work has made to
the circumstances of ils
beneficiaries and any wider
benefits lo society as a
wttole,
The worship service was held ev8ry
Sunday during the reporting period with th8
lead of the senior Pastor. The church a150
had Sunday schools for children and
youths every Sunday. All seNices were
held via zoom due lo the pandemic lill
October 2021 and swilehed to hybrld
gatherings both in Liverpool and
Manchester. The church has managed to
maintain around 80 in number of régular
attendees. The church continues lo update
and post ils servlce through websiie and
social nelwork.
Par8 1.20
Mldweek SeNi¢e8'.
Morning prayer gatherings started using
soclal ne￿ork platform during the week
d8ys17 7 20 Mon to Fril. L8dles' bible
sluojy gathering was held every Tuesday
mornln9. There were six other house
groups. gathering bi-weekly, for fellowshlp
and prayers during the reporting period.
Young adults group mel for blble sludy
every W6dnesdsy night. Everythlng was
held
online.
Qulreach A¢livllles'.
The n8wly planted ¢hur¢h in Liverpool for
the Korean students and immigrants
i allracled
new families and students when the church
mel in person. Some church members
volunteered al local food bank for packing
and delivering food parcels every Monday.
Young adult group served homeless people
al Manchester city centre. The church
supported live children around the world by
providing regular flnanclal donatlon and
buildlng relationships wllh them via
Compassion. The church also supported
three missionary families in Romania,
Gambia, and Uganda financially each
1,200 pounds per year. Also the church
su
Drts the students al Nazarene

Theological College with hardship fund
scholarship
Additional informatlon loptlonall
You ma
choose to include further Statements where relevant about..
Achievemonls agalnst
objectives set
1.41
Performance of fundraising
acllvllies against obleclives
sel
P•rn 1.41
I nvèslmenl performance
against objecllves
P8Fa 1.41
Other

Financial Review
Review of the charity's
financial position al the end
of the period
Par8 1.21
BalanTr Sheet funds stood al £34,244
comprising Unreslricled Funds of 33.113.
During this Financial Year, the charity
made a nel surplus of £2.473. The
Charity's main source of income remains
the lilhes and offerings from church
allendees. Overall, we are very pleosed
with these results for the year and the
chari
is in a health financial
osilion.
The charity does not have a policy on
reserves. The yearly budget is set lo
allocal@ most of the forecasted income
towards the aim of the Church.
A small reserve is usually sel aslde within
the budget for rainy day8, typically between
£1 000 and £2 000
Not applicable
Slalemenl explaining the
policy for holding reserves
staling why they are held
P4r8 1.22
Amount of reserves hek
Para 1 22
Reasons for holdlng zero
reserves
Oelails of fund materially In
Par& 1.22
Para 1.24
lol applicable
Explanation of any
uncertainties about the
ch2rily continuing as a going
concern
PBr8 1.23
Nol applicable
Addltlonal Informatlon loptionall
Y￿Oll ma .. choose lo include further slalgmenls where relevant about..
The charity's principal
sources of funds Ilncluding
any fundraising)
Plra 1.47
Investment policy and
objectives including any
social investment policy
adopted
P?r¥ 1.48
A description of the principal
risks lacing the charlty
Pera 146
Other

Structure, Governance and Management
Description of ch8rity's
Irusls-.
Type of governing document
Ilrusl deed, roy31 charter)
Para 1 25
The church is a Charitable Incorporated
Organisalion and ils governing document is
a Constitution, wlth the latest version as
amended on the 12th of Februa 2017.
The charity is conslituled as a Twst.
How is the charlty
constituted?
ie g unincoi'porsled
aSS()cialion, CIO)
Tfuslee selection methods
including details of any
onslilulional provisions &.g.
election lo post or name of
any person or body entitled
lo appoint one or more
trustees
P8ra 1.25
Para 1.25
The board of Trustees are elected on a
yearly basis during the Annual
Congregational Me811n9 by the voting
I members. Individuals may become voting
members through the Charity'5 established
procedurè. All those who aitend regularly
| our services are encouraged to become a
volin
member.
Additional Informatlon loptlono11
You ma
choose lo include further stslemenls wliere ￿leV*nI about..
Policies and procedures
adopted for the induction
and training of Irusle&s
P4r& 1.61
The ch8rlty's organlsalional
structure and any wider
network with whl¢h the
charity works
PHrB 1.51
Relationship wllh any related
partie8
Para 1.51
Other
Reference and Administrative det?.ils
Charil
name
Olhei name the charity uses
Re
islered charil
number
Charity's principal address
Manchesler Yedam Church
11705S1
38 Lorraine Road
Timperley, All-incham
WA15 7NA

Names of the charity trustees who manage l!?p rharity
rrus¢¢e name
Offlce Ilf any)
Dates acied if not forwhole
ear
Narne of person lor body) entitled
toa
Int trustsg
Ifan
nla
ELJn Ho Kim
Hyung Joon Kim
01 Jar¢uary 2022
Duration of reporting
period
Duration of res)orting
period
Hyun Jin Ko
Treasurer
nla
10
11
12
13
14
15
16
17
18
19
20
Cor
orate Iruslees- names of th& directors al the dale the re orl was a
Dlrector nam•
roved
Name of Iruslees holding title lo property belonging lo the charity
Tru81&& name
Dat&s if not tor wholè ••r

Funds held as custodian trustetsF on behalf of others
Description of the asset5
nla
held in Ihis capacity
Name and objects of the
charity on whose behalf the
2ssels are held and how this
falls within the custodian
charity's objects
nla
Delails of arrangements for
safe custody and
segregation of such assets
from the Charity's own
assets
nla
Addltlonal infomiatlon loptionall
Names and addr&88es of advlsgrs Ioptiorya! informatlon)
Type of
Namfr
Addres
adviser
Name of ¢hl•f executlve or nam68 of seiilop Staff member8 Ioptlonal Informatlon)
Exemptions from disclosuro
Reason for non-(Jisc105ure ol ke
ersonne5 clelails
nla
Other o
tional information

Declarations
The trustees declar• that they have approiied the trustees, report above.
Signed on behalf of the charity's trustees
Slgnaturg181
Full namelsl
Position leg Secretary,
Chair, etcl
EUN HD
Tr￿£te&
Y(JhJ -OIAJ 1<0
Date
•zz

CHARITY COMMISSION '
FOR ENGLANO AND WALES
MANCHESTER YEDAM CHURCH
Receipts and payments accounts
CC16a
For the perlod
from
To
0111212020
3011112021
Section A Receipts and payments
Unre$tri¢t8d
fund¥
Restricted
funds
Endowmont
fund8
Total lund$
Last yoar
to tho noarejt £
to th• noar•st £
to tlbg ng•Wt£
A1 Recel t8
33.11J
33,113
42.943
Sub total(Gross income for
AR)
3J,113
33,113
42,943
A2 A$8*t and Invo8tment 8aleJ,
18•è tablo1.
Sub total
33,113
33,113
42,943
A3Pa
m•nts
Wège8 8nd Nallth)n81 Insurnnrx
Rent
CompB5310nuk org
Overn98$ mi8sionay relief
Overseas mission and relief fund
Young adult graup aclivili*5 funding
Sund8y school 4clivily fundi
Food drink8
Legal expenses
Ekponse
Insurance
10,50D
4S3
2,646
3,900
2.50Q
s8
212
18,500
153
2.646
3,900
2.500
17,144
1,372
1,920
3,000
6,837
300
520
422
5,907
2,494
416
40,330
212
1,849
427
1,849
427
Sub total
30,S46
30,$46
A4 A5S8t and Inve$tm¢nt
urchases,
See table
Comcorder
94
94
160
180
Sub total
94
94
Totsl payments
30.640
30,640
40,510
Net of recelpts/(payments)
A5 Transfers bètwaan funds
A6 Cash funds last year end
Cash funds this year end
2.473
2,473
2,433
31,771
34,244
31,771
34,244
2,433
CCXX R1 accounts ISSI
0311012022

Section B Statement of assets and liabilities at the end of the period
Unrestricted
fund¥
to nearest £
Restricted
funds
Endowment
funds
to no•rost£
CatQ9o¥ie$
Dcidils
to noar•5t£
B1 Cash fund8
Bank CurreniA¢count
34,244
Total cash funds
34,244
14or•e bAthn¢oswlth rè¢èlPt$&nd pllyfflenis
Iccoumiiii
Unr•strletéd
lunds
Ro$trl¢t•d
funds
to nearest £
Endowment
fund?
to noar•¥t £
Detallg
to thpargStE
B2 Other monetary assets
Fund to whl¢h
aB•ot bèlon
Details
Colt loptlonall
Current valuq
Fund ¢0 whSch
Detalls
Colt loptlonall
Curmnt vAIu•
B4 As89ts retalned for the
charlty's own use
Fund to whlch
relit•B
Amount duè
Whon du•
Details
BS Llabllltle8
Slgned by one or two trust888 en
behslf of all the trustees
Dale of
roval
Signature
Print Nam6
EUN Ho KL
Hyodi 01 IC
CCXX R2 accounts ISSI
0311012022

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


## **Section A                        Independent Examiner’s Report** 

|**Report to the trustees/**<br>**members of**<br>**On accounts for the year**<br>**ended**<br>**Responsibilities and**<br>**basis of report**<br>**Independent**<br>**examiner's statement**|Manchester Yedam Church|
|---|---|
|||
||30 November 2021<br>**Charity no**<br>**(if any)**<br>1170551|
|||
|||
||I report to the trustees on my examination of the accounts of the above<br>charity (“the Trust”) for the year ended**30 / 11 / 2021**.<br>As the charity's trustees, you are responsible for the preparation of the<br>accounts in accordance with the requirements of the Charities Act 2011<br>(“the Act”).<br>I report in respect of my examination of  the Trust’s accounts carried out<br>under section 145 of the 2011 Act and in carrying out my examination, I<br>have followed all the applicable Directions given by the Charity Commission<br>under section 145(5)(b) of the Act.<br>I have completed my examination.  I confirm that no material matters have<br>come to my attention in connection with the examination which gives me<br>cause to believe that in, any material respect:|



- the accounting records were not kept in accordance with section 130 of the Charities Act; or 

- the accounts did not accord with the accounting records; or  the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination. 

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

|**Signed:**<br>**Name:**<br>**Relevant professional**<br>**qualification(s) or body**<br>**(if any):**<br>**Address:**|**Date:**||
|---|---|---|
|||29 September 2022|
||||
||Jon Park||
||||
||ACCA||
||||
||Paradisi Consultancy Ltd, 167-169 Great Portland Street, 5th Floor,||
||London W1W 5PF||
||||



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