SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNTS
FCIR THE YEAR ENDED
31" DECEMBER 2024

SCORRIER CHRISTIAN FELLOWSHIP
NUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 OE
EMBER 2024
INOEX TO REPORT AND ACCOUIITS
Trust Information
2. 5 Trustees Report
Independent Examiners Report
Receipts and Payments k¢ount
ststement of Assets and Lrabilities
9- 11 Notes to the kcounts

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2024
TriIST INFORMATION
The Scorrierchristian Fellowshipwas registered asa Charitable Incorporated Organisation, (registered
charity number 11762111, by the Charity Commission on 11 December 2017.
The Trustees serving during the period COve￿d by this report are as follows:
Mr C D Wells
- Pastor and Elder
Commenced full time I. lan 2021.
DTPHam
Eldef
l Year
Appointed 23 January 2024
Reslgned 24 September 2024..
Re-appointed 22 January 2024
Re-appointed 12th February 2023
Re-appointed 24th Sep 2024
Mr S R Burns
Elder
3 years
Mr S P Davis
Deacon
3 years
Mr J W Pengellv
Deacon
3 years
3 year5
Mr A l Trevorrow
. Deacon
Note: Paragraph 2.4.4.7.1¢l of the Church Handbook states that a ￿M￿nerated Elder or
Pastor is not subject to re-appointment every three years after the probationary period of
one year.
The correspondence address Is Yregleah,. North Downs, ￿OrT￿r, Redruth. Cornwall, TR16 58T.
The Independent Examiner Is:
Slmon Reed FCA
Graham Smith Chartered Acwuntants
Cardrew House
Cardrew Industrial Estate
Redruih
Cornwall
TR15 ISP
The Charl￿S Bankers are..
Lloyds Bank plc
malk￿ Square
Camborne
Cornwall
TR14 8JT

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNYS FOR THE YEAR ENDED 31" DECEM8ER 2024
TRusfEES REPORT
OWECTS
The main objett of the trust as sLited in the trust deeds 15 the advancement of the Christian
Religion. A full definition of this objecttve, and in particular the Basis of Faith, is contalned in
the Church Constitution. formally ratified at a Church Members Meeting on 8 October 2017,
and the Church Handbook, formally ratified at a Church Members meeting on 8, October 2017
with sectlon 2.4.2.7 belng amended at a Church Members Meeting on 24" September 2023.
THE FELLOWSHIP: IT5 AIM5 AND OWECTIVES
The trusteès aim to achleve the main object of the trust by providlng a suitable environment for
fellowship and development and by supportin8 various other charities wlth simila¥ objects. The main
way in which the trusys objects are met is through its regular meetings. all of which are open to the
general publlc.
The policy of the church is not to take offerings during meetings. Opportunities to make a donation
to the funds are available at each meetin8. Members are encouraged to make regular free-will
donations.
The mana8in8 trustees believe that they have been fvlty compliant in meeting the public benefit
requlrements of settion 17 of the Chaiities Act 2011 to have had due regard to the public benefit
8uidance published by the Charity Commission.
ThE VEAR: ITS OBJEcnvES ANDACtrIEVEMENTS
PREMISES
The premises owned by the charlty under è Possessory fitle, applicatlon was made In December
2024 to change this to Absolute Title. The costs will be met by a donation. The declslon from the
Land reglstry Is awaited.
Some maintenance work. £4,190, was requlred to keep the lift in Bood workin8 order and to address
some Health and Safety issues. This work w¥$ carried out in the first quartei of the year.
Problem5 had also been identSfled with the draina8e system leadin8 into a septic tank. Remedlal
work was carried out durin8 the second quarter of the year. E5,400.
Redecoration of the downstalrs hall and foyer which had been planned to be done at varlous tlmes
Was Postponed In 2024 and Is now planned for the first half of 2025. The original aim was to use a
members work party to do the work. This has proved difficult to or8anize and so an external
eontractor has been lined up to do the work.
A work party was organized to clean up the 8rounds around the building and to spring clean the
intèrior for three Saturdays in June.
Plans to extend our cul￿At storage shed to house the mower purchased in December 2023 were
developed in early 2024. However, a member who lives close to the building offered the use of her
garage. This has proved to be an ideal short term solution. However, she has since died and thus we
will have to vacate the BaraBe and move into our own accommodation. This will need to be done in
the first half of 2025.
A problem with the hedge adjoining the raiPway has been identified over several years. Contact wlth
Network Ra51 has been ongoin8 and they have acknowledged that they need to address the i55ues. A
part of the hedge collapsed durin8 autumn 2024 and contact was made wrth Network Rail who have
acknowledged the correspondence. We still await a response as to what they plan to do.IThe hedge
in the gateway wa5 repaired in mid-january 20251
Regular assessments are made of the building and facilities an15 plans fomiulated as to when such

SCORRIER CHRisfiAN FELtOWSHIP
ANNUAL REPORT AND ACCOUNTS FOR ThE YEAR ENDED 31 DECEMBER 2024
Issue5 can be addressed with ￿80rd to urgency. cost etc.
Additional microphones and visual monitors were acquired durin8 the year both to replace defective
equipment and enhance our capabilities.
FELLOWSHIP
Our full-time pastor, Colin Wells, who jolned us in January 2021 has continued to be a blessing to the
church fellowship. Our Sunday morning ServI￿S continue to be in person meetings but with each
service being broadcast via ZOOM. The service is also video recorded. and a viewing link sent to all
who desire it. This has enabled those who have diffKulty to attend it) person to share in the service.
The changes In the format of the Sunday evening meetings proved to be a succes5, althou8h
reviewed regularly. One Sunday a month we meet in person in the church buildin& on another
Sunday we meet online vla Zoom, and on the remaininB Sunda¢s we have a"Pfayer Grid" with
prayer suggestions which we can use for private prayer.
All the regulai mlnlstry activities have taken place regularly throughout the year. Meetin8S
Concerning the chlldren and youn8 people are only suspended during school holSdays* particularlv
August.
Small Group meetings have flourished during the year with the number of groups meeting
increa5in8.
Slng and Play, la carers, and toddler 8roupl has continued throughout the yeèr wlth very good
attendances. Friday Church, whlch meets monthly. has had Stable attendances with between 20 to
30 youngsters plus their parents meeting. The Youn8 People's group has met regularly once a
month with up to èight young people of secondary school age attendin8.
A number of long serving helpers stood down from the work of Sing and Play and Friday Church in
July 2024. A new team started in September 2024, and have settle(l in well.
A Remembrance service Sunday was held wth the residents of the Cr05sroads Lodge Care Home in
November. A planned Christmas Carol Service wa5 cancelled by the Care Home due to the illness of
a lot the ￿sIdents.
Further opportunitles are expected to occur during 2025.
There have been no malor I1￿￿￿nts during the perfod.
Colin Wells. ourfull.tlme pastor, isthe On￿ ManaBingTrustee to have received any remuneration. All
trustees are reirnbursed any approved expenses incurred as a part of their duties. The wife of one of our
Deacons is paid a5 a parttime deaw for the buildingon a sell*mployed basis.
The Elder5 and Deacon5 decideil to retain three Dey8nated Funds for 2024. The fundin8 is allocated as a
percentage of the regular unre5tri¢ted i￿Ome, The Missionary and Outreach Fund was given an
allocation of 15% and totalled £8.96312023: £7,771). The Buikling maintenan￿ Fund allocation was
agreed at S% and totslled £2,98812023: £2￿￿).The Discretionary Assistsnce Fund was allotated (Y%
and totslle(l £nil12023.. £7501. tt has been agreed to retain same allocatiOn5for 2025.
PLANS FOR 2025
PREMISES
Redecoration followingthe damp proofingwork done on the p￿miseS during 2020 needs to be
completed in 2025. It had been pla￿r￿d to (lo this using"inthouse" work parties but this ha5 rKoved

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31" DECEMBER 2024
diffi¢ult to organise and so an extemal contrartorwill engagÈd to do this work in the first half of 2025.
Some of the gLrttèring fell down in December 2024. Repairs will be carried out early in 2025 by an
external contractor as the building 15 high. To do this work safefy it is necessary that a cherry picker
Is hired to allow safe access. Whilst this equipment Is on site it 15 planned to tske the opportunity to
inspect and clean other Euttering and to repaint the rear external windows SO that at some kX)Int
later in 2025 we can complete the fitting of acrylic sheets to these windows.
A storage shed for the lawnmower will need to be provided during the first half of the year.
The problem with the rdilway ￿Un￿aryheI￿e was resolved in January 2025.
Règular assessments are made of the building and facilitbes and plans formulated as to when such
Issues can be addressed with regard to urgenry. cost etc.
FELLOWSHIP
Fellowship activities look as If they will continue as In 2024, but are continually revlewed dLtTing the
vear.
It 15 anticipated that oursunday mornin8 meetings will continue to be primèrity irpperson but
rNestreamed via ZCQM.
FINANCIAL REVIEW OF 2024
General Fund income incieased durin8 the year with two Si8nificant one.off donatSons. A
further 8Sft of £4,000 from the Town Church. 8icester was received for the Training Fund. The
aim of the fund is to help train future leaders wlthin the church fellowship. This donation has
been treated as a restrlcted donation as have previous donations. We have stsrted to use thls
fund to sponsor someone to undertake a Christian Counselllng course during the 2024125
cademlc year. It has also been used to fund attendance at a music workshop and an
evan8elism conlerence. Use of the fund is regularty reviewed. Donatlons were received as part
of special offerings during the year. These included. St Petrocs, Christmas 2023. Redruth Baptist
Church CAP foodbank in March, Harvest donations for the Bethel Community Church Food
Larder in October and Cornwall Hospice Care in Christma$ 2024. Some of these donation5 were
eligible for the SOGAS. Special one-off donations exh of £l,CIJO were made from the
Missionary and Outreach Fund to Dr Paul Gardner to help wlth the publication of a Spanish
lan8uage commentary for use in South America and to Wycliffe 8ibJe Translators for the
publication of a Saafi Mini-Bible in Senegal, in January 2024.
The third wa5 made In June 2024 to the South Devon Gospel Trust to assist with a church plant
in South Devon.
During the year other specific donations, treated as restritted, We￿ made through the
fellowship for the support of spetific mission related project5. These funds are. in general
dlsbur5ed as soon as practicable.
Durin8 the period a total of £10,829 was donated to the charity to be paid directly to other
charitie5 and charitable causes. All restricted gifts have been disbursed with thè exception of
the balance in the Tralnlng Fund and the 2024 Christmas offering. The latter will be disbursed
early in the New Year. In addition. £11.602 was donated to other charrties and charitable
causes from the unTe5tricted fund.
During 2024, Un￿strirted expenditure exceeded income by £15,95012023= exce55 income over
expenditure £11.7181. Unrestricted funds at the end of the year amounted to £40.36412023..
£56.3141. This is equivalent to approximately 712023.. 111 months of unrestricted expenditure. The

SCORRIER CHRisnAN FELLOWSHIP
ANNUAL REPORT AND Accoui¥fs FOR THE YEAR ENDED 31" DECEMBER 2024
trusteès have a policyto maintain unrestflcted reserves of at least 3 months unrestricted
expenditure.
GRANT MAKING POUCY
Gifts to external organisations and individuals are considered on the basis of need and the
fulfilment of the Charttable objertives. There ore no Ltpper or lower limits.
To facilitate these activities a percentsBe of General Fund Income is allocated by the trustees to
three designated funds: Missionary and Outreach. Building Maintenance and Discretionary
Assistance Funds. The arrangements we reviewed at least annually. During 2024, the percentage
allocations lo these designated funds was 15% 10 fv Mi5sKwry and Outreach Fund, 5% to Ihe
Building Mainl¢nance Fund 8t)d 0% lo the Di5￿t￿nary AssistatKe Fund. The latter fvnd had
surplus in 2024 which was o)n5thred adeql￿ for 2025.
RISK MANAGEMENT
All major insurable risks are subject to nwnal thurth88 wnpbyef s Insurar￿8. Contractual llsks are
reviewed before being entered into lo assess Ihat Ihey o)uld not sKJnificantly impact upon the
fellowshlp's abilty lo luffl rts objectives. An annual review ol Health and Safety risk is undertaken by the
trustees. Similady Safeguarding risks are a150 reviewed annu81ty. Ml risk assessments We￿ raviewed
in the autumn of2024.
STATEMENT OF TRUSTEES RESPONSIBILITIES
Charity law requires the Iw$tèès to p￿pare financial slalements for e8¢h financial year. In
pr&paring Ihosg financial slalements. the truslee$ ar& required to..
select surtable accounting policN?s and thon appty Ihgm ¢>)nsislenlty
make judgments and eslimatos that are ieasonable and prudent. and
pr¢pare Ihe finan¢181 $lat•ments on th& goiThJ ￿nCeM basls unkns$ it is inapproprlate
lo presume Ihal the charity will Continue lo operate.
The Iruslees aT8 responsible for keeping proper acc£•LTrnling records whkh di$ch)¥e with reasonablè
accuracy al any timè the financial posrtion ol Ihe ¢harity and ettab￿ them to ensura thal Ihe financlal
slalemenls comply wilh the Ch8ri1ies Ad 2011. They are also responsible lor safèguarding th8
assets of the charity and hgncE for taking ￿aSonable steps for the prevenlion and ¢Jetection of fraud
and other irrègularrties.
This report was approved by the Trustees on ....
bèhalf.
JZ ! and signed on their
Mr C D Wells

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 DECEM8ER 2024
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF SCORRIER CHRISTI
FELLOWSHIP
l ￿ptrrt to the trustees on my examination of the accounts of Scorrier Chrislian Fellowship for thè
period ended 31￿ December 2024 whKh are set out on pages 7 to 11.
Respg¢tlv• Responsibllltl•s of tru$t•K and examiMr
The ¢lFarrty'5 trustees are responsible for the prgparabon of the financial slalements. The charity's
trustèes ￿nSider that an audit is not required for this year urHler section 1HI2} of the Charities Act
2011 (the 2011 Act) a￿1 that an indgpendent examination is needed.
11 is my responsibilty to..
examine the financial statemènts under seCt￿n 145 of 2011 Ad.
lo f￿loW the procedures laid (Irmn in the General Directions gNen by the Charity Commi88iori
under section 14515llbl of the 2011 Act.. and
lo slate whelher partKukr malters have come to my attenlion.
Ba•1• of Indep•nd•nt Ex•mln•rfs Report
My examlnalion was co￿18￿ out in accordanc6 with the Gener81 Oiredons gtven by the Charfty
Commission. An examination indude5 a re¥￿￿ of the accounling records kept by thg Charrty and a
comparison of the accounts presented with those fecord5. It also indudes consideration of any unusual
Items or disclosures in the financial $lalement$ and s8ekin9 explanations from you a5 Irust8è$
concerning any such matters. The procedu￿$ undertaken do not providè all the evidence that would
be required in an audit. and consequentty no opIn￿n is given as to wh8thw the financial stat&ments
prgsgnl a 'lrue and fair view, and the report is limited to those m8tters set out in Ihg slalemenl below.
Indep•nd•nt Examlnerf• Ststsm•nt
In connection wrth my examination, no matter has come lo my altention..
Which gNeS me reasonable cau88 to believe that in any material Te8pect the
requifemènl$'.
to koep accounting records in accordance with section 130 of the 2011 Acl.. and
to prep8fe ffinancial $lalements whith accord wrth the accountin9 rèquirement$ of the 2011
Act have not be&ft rnet.. or
lo which, in my ow'nion, attention should be drawn in Order to an8￿9 8 proper understgndlng of
the financial slalements to be ￿aChed.
Slmon
*d FCA
Graham Smith Ch•rtered A¢¢ountants
Cardrew House
Cardrew Industrk?l Estate
Redruth
Coinwall
TR15 1SP

SCORRIER CHRisnAN FELLOWSHIP
ANNUAL REPORT AND ACCOUTrm FOR THE YEAR ENDED 31- DECEMBER 2024
RECEIPTS ANO PAYMENTS ACCOUNT
YEAR TO 31" DECEMBER 2023
Unrestricted Re5tritted
Total
YEAR T031" DECEM8ER 2024
Unrestricte Restritted
Total
6.919
18,357
48,857
1.732
6,919
24.372
48.8S7
Collectior
Donattons
Gift Aid & Tax Repayments
Gift Aid Small Donation Scheme Clalm
7,719
16.960
33.313
1,763
7.719
31,552
33,5CM)
1.813
74,$84
6,015
14.592
187
50
103
Other Artivities
Mi5cellaneou5 Donations
Investment Income
Bank Interest
1,256
1.276
406
1,682
77,121
6.302
83823
TOTAL RECEIPTS
61.031
15.235
76,266
PAYMENTS
Charitsble Payments
Grants Paid
8,352
1,731
10,083
11.602
10,654
22,256
Management & Admlnlstratlon
Pastoral Expenses
Training
FIEC Oonation
Sunday School l Young People
Sing & Play
Friday Church
Special Outreach Events
Heatin8, Lt8ht & Water
General Operating Costs
Bank Charges
Independent Examiners Fees
Equipment Purchase and Renewal
33,201
33.201
36.059
36,059
1,361
1,627
52
495
582
403
5.666
2.248
173
1,230
748
1.361
1,082
442
I,iio
1.170
235
2,678
3.413
175
1.164
3,128
1,082
442
I,iio
1.170
235
2.678
3.413
17S
1,164
3.638
1.627
52
495
582
403
2.248
173
1,230
510
Property Costs
Insurance
Repairs & Maintenance Ilnc Cleanin81
Othei Building Improvements
1,763
4.975
3.055
1.763
4.975
3,055
1.984
.712
5,400
8.712
65.943
11,178
2.241
4.061
68.184
15,239
TOTAL PAYMENTS
EXCESS RECEIPTS OVER PAYMENTS
EXCESS PAYMENTS OVER RECEIPTS
Tfansfer between funds
CASH FUNDS AT I'JANUARY 2024
CASH FUNDSAT31 DECEMBER 2024
76,981
12,015
3,220
88,996
3.220
15,950
15,950
45,136
56.314
4,323
8.384
49A59
64,698
56314
40364
8.384
11.604
64,698
51.968

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND AccouTr¥fs FOR THE YEAR ENDEO 31 DECEMBER 2024
STATEME￿ OFASSEfsAND
LIABILMES
YEAR TO 31" DECEMBER 2024 IA)
CASH FUNDS
2024
2023
UNRESTRICTED
RESTRicfED
TOTAL
TOTAL
Balances at Bank and 8uildfing
Society
Uoyds Bank
Business Current Account
Lloyd5 Bank
Reserve Account
Bath Building Society
375
1,220
883
543
543
1.033
39,383
10,823
50,206
62,534
64,450
40.771
11.198
51.969
181 MONETARY OTHER ASSETS
Tax Repayment due on Gift Aid
GSft Ald Small i)onation Scheme
1.386
1.333
2.719
1,386
1,397
2.783
4,148
1,312
(Cl Assrfs RETAINED FOR CHARITY USE
l. Scorrlerchapel 8yildin8
il. Pianos, Furnlture, Fixtures
lil. Fittin8s and Equipment
tv. The above assets are all malntalne(1 Sn a 8Th)d state of repalr.
IDI LIA81LITIES
Running C05t5 to 31" December 2024
Gas and Electricity Bills
Cleaning Dec 2024
HMRC Tax etc.
676
676
900
143
143
140
1,160
21
1,160
21
1,487
12
Bank Charges
Independent examlnation- 2024
1.320
1,320
1,260
3,320
3,320
3,799

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUPITS FOR THE YEAR ENDED 31" OECEM8ER 2024
YEAR TO 31 DECEMBER 2024
NOTES TOTrIE ACCOUK
Basls of A(￿Unts Preparation
The accounts are prepared on the Receipts and Payments basi
A¢¢ountln8 Po15cies
lal Donations, Legacies and other re￿Ipts are bnduded in the period in whSch they are
received.
Ibl Income Tax refunds on Gift Aid payments are not reco8nlsed in the
accounts until they have been received.
Icl Funds held by the Charity are:
Unrestrirted General Funds- These are funds that Can be used in
accordan￿ with the charitable objects ai the dlscretion of the trustees.
Designated Fvnds- These Jre funds earmarked for specific use by the
trustees. This allocation can be altered by the trustees.
Restricted Funds- These are funds that can only be used for particular
restricted purposes withln the object of the charity. Restrlctions arise
when specified by the donor or when funds are raised for particular
restricted purposes.
11111 Funds Held by the Charfty
Re￿Ipts Payments Transfer
Balance at
31" Dec
2024
R•strlrted Funds- current year
l.j￿ 2024
Misslonary and Outreath
3,887
3,887
Mlnistry Support
360
360
Training Fund
Humanitarian Aid:
8,184 4,406
1,361
11,229
larvest Offerings
94
Spring Celebration
Christma5 Offering 2023- St Petro(s
Christmas Offering 2024- Cornwall
Hospice Care
We115 Family Car
Total Restrlcted Funds
113
113
21
IrA)
3C(J
375
375
5.9rxi
5,900
15,235
12,015
11,604

SCORRIER CHRISTIAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNT5 FOR THE YEAR ENDED 31" OECEM8ER 2024
Restricted Funds- prioryear
BaarKeat
l°Jan2023
Re￿Ipts Payments Transfer
Balance at
31. Dec 2023
Mlssionary & Outreach FLbnd
Ministry Support
Training Fund
Equipment Fund
Humanitarian Aid:
Transformation CPR
Christmas Offerln8- Scrlpttjres tor
Ukraine
Christmas Offerin8 2023- St Petrocs
Total Re$trlcted Funds
500
360
360
4,184
510
8,184
510
418
418
323
130
453
2C(J
6.302
200
8.384
2.241
The purpose of the Trainin8 Fund is to financialty help and support the trainin8 and development of the
next generation of leaders.
Unrestrl¢ted Funds- current
vear
Balance at
I" Jan 2024
Re￿iptS
Payments
Transfer
Balance at
31" Dec 2024
Non-De5ignated General Fund
Designated
Missionary & Outreach Fund
Designated
Discretionary A$5i5tance Fund
Desi8nated
Building Maintenan
45.297
49,080
58,446
35,931
6.148
8,963
13,135
1,976
1,582
1.582
3,287
2,988
875
Total Unr•strlcted Funds
56,J14
61,031
76,981
Unrestrfcted Funds- prfor year Balance at Receipts
I" Jan 2023
Payments
Trdnsfer
8aL¥￿eat
31° Cec2023
Non-Oesi8nated General Fu￿1
Designated
Missionary & Outreach Fund
Designated
Dlscretionary Assistance Fund
Oesignated
8iJSlding Maintenance
35,514
61,362
51,579
45,297
6.200
11,257
11,309
6,148
832
750
1,582
2.590
3.752
3.055
3.287
Total Unrestritted Funds
45.136
77.121
65,943
56.314
io

SCORRIER CHRisllAN FELLOWSHIP
ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER
YEAR TO 31" DECEMB
24
NO
TOTHE AC
OUNTS coffflNUED
R 2024
The designated Missionary and Outreath Funds are used to make don*ions to various missionaries
and outreach organizations in pursuit of the Scorrier Christian Fellowship objects.
The designated Discretionary A55iStance Fund is used to ease the financial hardship of persons
following a similar doctrine of the beliefs of korrier Christian Fellowship.
The designated Building Maintenance Fund is to establish a reserve for the fvndirbg of necessary
periodic maintenance of the Scorrier Chapel buildiryg. It is not intended to fund major improvement
projects to the facilitles.
Trustee tran5artlons
Durfn8 the year, one trustee12023: onel receNed remuneration of £34.46212023-. £32,340) for WOTk
completed on behaff of the tharity. Notrustee12023". none) received expenses during the year.
Account5 Approval
The above accounts were approved by the trustees and slgned by the Treasurer on
MRJ W PENGELLY
li