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Registe￿d numter. (Yd180860
Charity nurnb8r. 1173403
ST Yeghiche Arnienian ChurGh Partsh Ltd
UNAUDITED ACCOUNTS
FOR THE YEAR ENDED 3111212021
Prepared By..
ASHBURNS ACCOUNTANTS LTD
CHARTERED ACCOUNTANTS
70-72 VICTORIA ROAO
HA4 OAH

ST Yeohiche Amlenian Church P8ri8h Ltd
FINANCIAL STATEMENTS
FOR THE YEAR ENOED 3111212021
TRUSTEES
V B H31adji8n
S K Karanfilian
A N Bgb8yan
K K Vartanian
L Arak81ian
S H Ahar0￿018gh&lan
N Afrikyan
SECRETARY
N Afrikyar
REGISTERED OFFICE
70-72 Victori* Road
Ruislip Manor
OAH
COMPANY NUMBER
09180860
HARITY NUMBER
1173403
ACCOUNTANrs
ASHBURNS ACCOUNTANTS LTD
CHARTERED ACCOUNTANTS
70-72 VSCTORIA ROAD
HA4 OAH
page 1

ST Yeghiche Amienlan Church Parfsh Ltd
ACcou￿rS
FOR THE YEAR ENDED 3111212021
CONTENTS
Page
Report ofthe Twstees
A￿OUntantS Report
Statement of Financial Actwitie5
Balance Sheet
Not8S to the Accounts
gto13
Detailed Statemant of Financial Actpiit18S
12
page 2

ST Yeghiche Amienian Chur¢h Parlyh Ltd
FOR THE YEAR ENDED 3111212021
TRUSTÈES, REPORT
STRUCTURE GOVERNANCE AhlD MANAGEMENT
The Charity is (￿nstItuted as a Company limited by guarantee. without 8 shar6 caprtal, and is therefore govem&d by a Memorandum
and Articles of Association. It registered wth Charty commi3g0n.
The Charity is org2ni$ed so that the Members of the chanty meel regulaty to manaye the affaws of the charity. The secretary is in
charge of the day to day running of the charity.
The twstees. who are a150 diredois ol the charity for the purposes of the Companies Act. present their annual report and the
financial siatements for the year ended 31 D8camb8r 2021. The truslEes have adopted the provisions of the Statement of
Recommended Practise ISORPI in preparfng the annual ￿Ert)rt and fin8n¢ial ststements of the chaflty.
08JECTS OF THE CHARITY PRlhlCIPAL ACTIVITIES AND ORGANISATION OF OUR WORK
Th8 charitys object and its principal actmty continue5 to be the oversight and ￿pOnSib￿lty for the management of the thurth itself.
Its major actmty 1$ to assist the Parish P￿eSt in secunng the preaching of the Holy Gospel, religious. education818ThJ Instiu¢tionel
activities and litLifgical life 811 under the juiisdidion of the Parish.
OEVELOPMENTS ACTMTIES AND ACHIEVEMENTS THIS YEAR
The trustees congder that the perfo￿llan￿ of the charity this year has been satisfactory. The levels of donations lor 2021 were well
above the budgeted level.
TRANSACTIONS AND FINANCIAL POSITION
The statement of Fin8nryal Actiwti¢s ¥h¢yw3 8 net inflow of £7,492 for the year.
The generosity of Ihe community in prowding donat￿)nS of £103,738 for the year was appreciated by the trustees.
RESERVES
The present level of funding is adequate and the trustees ￿nsIder the financial position of the charity to be sati8f*cry
DIRECTORS AND TRUSTEES
All directors of the company a￿ also irusiees of the charty, and these are set out on page 1 of the 2Lcounts. All the trustees named
herein, served throughout the p8ri0d. Th8 Board has the pow8rto appoint additional trustees as it cor6iders fit to do so.
paoe 3

ST YWkh•Am*l•n P•rf•h Ltd
FOR TNE YEAR ENDEO 31M2M21
TrUSTEES' REP(X
ievo15. ¢%￿￿"nO0 *ilh 8n oftbo (wlrnhover kny1lnarx>￿ 5yStfflM. tyle
o¥entof advww r￿j11￿.
TRIISTEES RESPONSIBILMES IM RELAYION TO TIE FINAMCIAL STATÈMEHf8
The tns51gES are F£quI￿ by Company law to PQP8re financial state￿ts for eath financol year grve 8 Inr¢ fair
the tin8n(a81 th8 thartty and oi its financsal w)gtknn atthe olttbol year. In preFarvwJ stdernents
tNsIe8sa￿ lo:
Report Tw5teÈs lorthe 8[￿8d 31$1 D8cwts2021.
41 sel8cI arK4)unlkng congstenlty.
tyl mak¢ I￿g￿ts 8Th18sknwle8tha*gre 8ThJ sxtsd6TrL
staten*ntsof rar￿￿￿TrIed sknj8ct b any malend departure$ disclo*l and eXDloined in thefiDonoa stsierfprr
dl prepaTB the ffinanLial statements on a ￿1[yj ty3$I$ unks$ ft Is InaFwo1iats to as5um8 Ihat tharitv WN tontinutr r
positKtn 4)ftr* (tsty wabl8 ih8m to wtsur8 Ihat StateM￿ts with the 2fTh. we alsg
rhe f8Wtw3s pytyared the specJ81 p¥ovtsiyNs *ilhin P8rt 15 ofthg Ccthpan￿$ Act 2rTh.
Thi% repo
byth• Board OfT[￿ on 1610912022.

ST Yeghiche Amienian Church Parl$h Ltd
ACCOUNTANTS. REPORT TO THE BOARD OF DIRECTORS ON THE UNAUDITED ACCOUNTS
OF 5T YEGHICHE ARMENIAN CHURCH PARISH LTD , FOR THE YEAR ENDED 3111212021
In order to assist you to fulfill your duties under the Cornpanies Act 2006. we h8ve prep8red for your approval the sccounls of ST
Yeghiche Armenian Church Parish Ltd for the year ended 3111212021 as set out on pages to111 from the comp8ny'8 aclounting
cords and from infomiation and explanations you have given us.
As a pr8olising rnember of th8 ICAEW, we are subject to its ethieal and othei professional reouirernents which are detsiled on their
website.
This report is rnade solely lo the Board of Diredors of ST yegh￿he Ameni2n Church Parish Ltd , as a b<xly. in 8ccord8nce with the
terms of our engagement ￿tter d8ted 1410812014 Our work ha5 been undertaken solely to p￿Pa￿ for your approval the accounts of
ST Yeghiche Amienian Church Parish Ltd and state ihose matters that we have agreed to state to the Board of Directors of ST
Yeghiche Armenian Church Paiish Ltd . as a body. in this report. in accordan￿ with the requirements of the ICAEW as detsiled on
their websrte. To the fullest extent permitted by law, we do not accept or assutne resw)nsibility to anyone other than ST Yeghiehe
Armenian Church Parish Ltd and its 8oard ol Directors as a body for our wotk or for this report.
It is your duty to ensLJre that ST Yeghiche Armenian Church Parish Ltd has kept adequate aceounting records and to prepare
statutory accounts that give a true and fair view of the assets, liabilitses. financial position and profitability of ST Yeghiche Armenian
Church Parish Ltd . You consider that ST Yeghiche Armenian Church Park%h Ltd is exernpt from the stattstory audit requirernent for
the year.
We have not been instructed to carry out 2n audit or a review of the accounts ol ST Yeghiche Armenian Church Parish Ltd . For thls
reason, we have not verified the accuracy or completeness of the accounting ￿CordS or Informalon and explanations you have given
to us and wa do not, therefo￿, express 8ny opinion on the statutory awounts.
ASHBURNS ACCOUNTANTS LTD
CHARTERED ACCOUNTANTS
7￿72 VICTORIA ROAD
HA4 OAH
16109r2022
page 6

ST Yeghlche Amienlan Church Par18h Ltd
ststement of Financial Actlvltles
for the yèar •nded 3111212021
2021
2020
Unrostylcted Rostrlcted
funds
funds
Total
Totsl
Incf•me
Income generated funds
Incorne fron) charitable activities
Totst Income and endowents
Exper￿e5
Costs of generaknng funds
Expendi￿re on Charitable actiwties
Totsl Expense8
hlet gains on investments
Net Income
103.738
103,738
103,738 1(X),442
103,738 100,442
96,246
96.246
96,246 95.201
95.201
7A92
7,492
5,241
Galnslllosso$1 on revkluation of fixed assests
Net movement in fund¥:
Not Income for th6 year
Total funds brought fO￿ard
Net funds carrled fo￿ts￿lI
7,492
108,795
116,287
7,492
5,241
108,795 103,554
116,287 108, 795
This statement of finan￿￿1 actiwtts indudes all gains and losses recogni$ed in the year. All income 8nd expenditure
dèriv6 from continuing a¢tivitt'es
paoe 7

STYtylth Chur¢h P*hh Lld
BALANCE SMEEY AT 3111V2021
2Q21
2020
C05h al bank ar￿ kn h8rn1
117,392
117.392
1,105
lty.T95
IU9,T95
CREDrroRS: lamng wllhln y
NET CURRENT ASSETS
TOTAL ASSEf8 LE&8 GURREMT L1481Lmes
116287
116.287
108.795
108. 195
APITALAND RESER
Unr•stslL*ad fvnds
Gener￿ luntt
116287
116.287
108.795
10&7L
For th8 year ￿LlIng 3111212021 the ¢c*Apany wa8 enldted to 8X8mW"on uThYer sect*Jn 477 of Ihe ComwM&N Ad 2(M)6 reknkng to
The mErnberJ ha￿ not reqibfeo 1hèr￿p￿Y io an aud¢t I￿1h Section 476 ofthe kl 20Q￿.
the preDaratFon ofacwjnts.
These accounls ha¥8 bean piepar8d ¥£ordarKe wth the pro¥*k￿$ •pplicaLkn t¢ ojnwnies subjwl to the S￿￿1 ¢¢ynDar
ts•ha￿ by
djian
TnJ5tEe

ST Yeghiche Amienlan Church Parl8h Ltd
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 3111212021
1. ACCOUNTING POLICIES
la. Basis Of Ac¢ountlng
The accounts have been prepared under the historical cost Gonvention.
The accounts have been prepared In 3wrdarKe with FRS102- The Fin8nci81 Repofang Standard applicable in the UK and Republic
of Ireland and the Companies Act 2006 and the requiiements of the Staternent of Recommended PracbcE. Accounting and Reporting
by Charities.
Ib. Incomlng Re60urce8
All income are inclLKled on the Statement of Financi81 Activities when the charity is legalty entilled to the income and Ihe amount can
be quantified wth reasonable accuracy.
1c. Resources expended
Expenditure is accounted for on an ac¢tuals basis and h8s been dassI￿d under headings that aggregate all cost related to the
calegtsry. Where costs cannot be directly attributed to particular headings Iliey have been allocated to activities on a basis ￿nSIstent
with the use ol Fesources.
1d. Allocatlon And Apportionment Of Costs
All costs relate to the siryle athvity of the chantable company and are recognised accordingty.
le. Fund A¢¢ountlng
Unrestricted lunds can be used in aC￿rd8n￿ with thè tharitable objectives at the discyet1L￿ of the trustees.
R8stri¢ted funds can only be used for particular restricted p￿rposeS Vwithin the objects of the charity. Restrictions srlse ￿èn spe￿fied
by the donor or when funds ar8 raised for particular restricted purposes.
Designated fvnds are fund5 set aside by the trustees out ol unrestricted gereral funds for the spe¢ffj¢ fLrture purposes or proJ"ects.
If. Tumover
Tumover rèpresents Ihe Invoiced valuè of goods and sarvi￿$ suppled by th& CoMp￿y. net of value added t8x and trade 0￿CoUnts.
lg. Stalem¥nt Of Cagh Flov
The Cornpany is exempt from including a sratement of cash flows In its accounts. 85 it is 8 wholly owned subsidiary of , which 1$ a
company incorporated In the United Kingdorn and has included a consolidated statement of cash flows in its consolidated accounts.
agog

ST Yeghlche Arnienlan Church Part8h Ltd
2. DIRECTORS AND EMPLOYEES
Particu13rs of Em￿0Y￿e$ linduding directors) aTe shown below..
EmF4oyee costs dunng the year amounted to..
2021
2020
Wage$ and salarie5
73,469
73,469
72.704
72, 704
The average w88kly numbèrs ofemployees during the yearw8Te £5 follows".
2021
2020
Management and 8dministr8ts.on
3. EMPLOYEES
2021
2020
No.
Avemge numb&r of empk)yees
4. CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
2021
2020
other cred￿9
1.105
1,105
t.ooo
t,000
S. LIMITED BY GUARANTEE
The cornpany 1s Iirnited by guarantee and does not have a Sha￿ ￿pits1. Each member gives a guarantee to conthbute a surn not
ex￿edIng £10, to the coThpany should it be wound up. At 3111212021 there were 10 members.
psoe 10

ST Yeghiche Amlenian Chuych Parish Ltd
6. UNRESTRIGTED FUNDS
Brought
fonward
In¢om8
Carrled
Outgolng Transf8TS forward
resources
Gentsral fund
108,195 103.738
lo8,7￿ 103,738
196,245
196,2461
116,287
116,287
7. RESTRICTED FUNDS
Brought
forward
Income
Outgolng Transfers
resou￿e9
Carried
fotward
page 11

ST Yeghiche Amienlan Church Parfsh Ltd
InGomlng Rasources
forthe yaar ended 3111212021
2021
202Q
In¢omg
Income from generated funds
Charltable Activity
Donalions.legau?s and Grants
FurKlraising events
General don2tions
Fees lor charitable servi￿$
Conlribuknons to Bishop's gal8ry
6,340
1,901
$4,563
32.934
8,0(KJ
5.944
1,446
43,484
21.613
27.955
103,738
100.442
103.738
100.442
103,738
100,442
page 12

ST Yeghiche Arnienlan Church Pait¥h Ltd
Expen$o8
for the year ended 3111212021
2021
2020
Expenses
Costs of g¢noratlng funds
Ch8ritsble Activities
Salaries
Canteen
Motor- repairs and senricing
Professional fees
Telephone
Charitable donations
Sundry expenses
73,469
3,595
153
11,936
1,969
510
72.704
152
1.493
2,321
11.500
3.373
95.201
4,614
,246
96,246
95,201
page 13

Independent examiner's roport to the trustees of ST Yeghlche Armenian Church
parish Ltd I'the Company,)
I report to the charity trustees on my examination of the accounts of the Compariy for the
year ended 31 December 2021.
Responsibilities and basis of roport
As the charity's trustees of the Company (and also its directors for the purposes of
company law) you are responsible for the preparation of the accounts in accordance with
the requirements of the Companies Act 20(M ('the 2006 Act,).
Having satisfied myself that thè accounts of the Company are not required to be audited
under Part 16 of the 2006 Act and are eligible for independent examination, I report in
respect of my examination of your Charity's accounts as carried out under section 145 of
the Chaiities Acl 2011 ('the 2011 Act'l. In carrying out my examination I have followed the
Directions given by the Charity Commission under section 145{5} (b} of the 2011 Act.
Independent examiner's statement
I have completed my examination. I confirm that no matters have come to my attention in
connection with the examination giving me cause to believe:
1. accounting records wère not kept in respect of the Company as required by section 386
of the 2006 Act., or
2. the accounts do not accord with those records,. or
3. the accounts do not comply with the accounting requirements ofsection 396 of the 2006
Act other than any requirement that the accounts give a 'true and fail view which is not
matter considered as part of an independent examination. or
4. the accounts have not been prepared in accordance with the methods and principles of
the Statement of Recommended Practice for accounting and reporting by charities
lapplicable to charities preparing their a¢coLbnts in aGcordanGe with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 102)].
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 leached.
Signed=
ASHBURNS ACCOUNTANTS LTD
CHARTERED ACCOUNTANTS
70-72 VICTORIA ROAD
HA4 OAH
16109r2Q122