Charity Number 1177876
HOLY BIBLE GRACE MINISTRY
TRUSTEES. REPORT AND ACCOUNTS
30June 20Z5
Ftnanclal ststement
For the year ended 30th June 2025
Contents
Page
Reference and adminlstrati¥e details
Report of the trustees
Accountants, report
Statement of financial activlties Ilncorporatlng the income and expendjture account)
Balance Sheet
Notes to the accounts

Reference and admlnlstr•tlve detslls
For the year ended 30th June 2025
Charity Number
1177876
Re8iStered Address
168 Middkton Gtrdtns Middleton Man¢htstcr M24 4DF
Tr￿$1<¢5, who rtt dso directo￿ und¢rconwy low. who 5uved
during the as folli)Mts.' Aghimcn OliverOmobud¢
IEvDn8clisll- Chalr Siell8maTi8 SoftaOmore8ie (Mini￿) Mrs
Gloriq IP&slorl
Trusteès
Bankers
Bor¢la￿ Bwk PIC L*1¢￿ter Lticestershire LU7 2BB
About us
Holy 8lble Grace MSnlstry Is a falth based ¢h•rltyth•t adv•n¢es the Chrlstlan rell8lon malnlyl but not exclulvely. bv
rneans of broadcastln8Chrlstlan messa8es of an evan8ellstlc and teachln8 nature forthe benefit of ¢he publ1¢ throuth
the holdln8 of prayer me¢tln8s. lectures, publlc celebratlon of rellglousfestlvals. producln8 andlty dlstdbutln8
literalu￿ on th15stlan ￿lIS1On to enllÈhten others about the Chr5stlan rellglon.
We promote soclal Ineluslon forthe publlc beneflt by worklng wlth people who are so¢l•lly t￿lUded, to relleve the needs
of suth people and as￿st them to integrate Into $￿Iety, throu8h the provlslon of a local network Iroup that en£oura8es
and enables those who are soclalty excluded to partlclpate more effe¢tl¥ely withln the wlder communSty and bv
Increasin& orccpordlnatln8, OPPOrtunllles io en8a&t wlth servlct provlders. to en?bl¢those provlders to adapt servlce5
to better meet the ￿ed$of thattommunlty.
Our soclal lThcluslon proiramme also supports refu8ees and asylurn Seekers who are sodallyexcluded
on the8rouThd5 Of theli so¢l•l and e¢onoml¢ posltlon, by provldlno..
l. educèrion 8nO ir•lnlng In the En¥llsh language and In Voca￿Onal skllls,.
50clal and recreatlonal facllitles •nd events Involvln8 the local commuTrlty.
3. Items •nd seNl¢es to Indlvldua15 In need andlorcharltles, orother or8•nlsatlonsworkln8 to
prevent orrelleve pov•rty.
Tnist••s
The followlng person sfftd a5tru5teesdudn8the perfod..
A8hlm•n Qllv•r Omobud• IEvaNT•IIrtI. Ch•lr
Stqllimirls 50th• Qmor•81• IMlnlrt•rl
Glor1• Emw•n IP•stwl
ststemenl of resp￿nI[bl1tI*s of the trustees

Thetrusteesare requlred io Prepa￿ finanual #aternent5fcr each financial year. which glve a trueand falr wew of the
state of affairs of the ctyarty and the incominB resour￿5 and appllcation of resource5. Indudin8 the net Income or
expenditure, of the charity forthe year. In preparing those financial 5taternentsthe trustees are reqUI￿d to:
selettsuitable acrovTrting policiesand then ap￿¥ them consistently..
obserwe the methodsand prlnclples In ihecharities SORP..
makelud8ementsan4 estimates that are reasonable and prudent.,
stat* whÈtherappllcable UKAccountln8Standards have been followed, suble£t to any malert￿ dep3rturesdlsdosed
and explained in the financlal statements.. and
preparethe finantial Ftatementson theBoln8concern ba￿S unless It Is Inappropriate to presvmethat thecharbty wlll
contlnue In operatlon.
The trustees are responsible for keeplng proper accountin8 record5 that d15close with reasonable accuracy at anv
t(me the financial p051tion of the charfty and enable thern to ensure that the flnanclal statements complywlth the
statetnEnt of Recommended Practlce appll£able to charitie5 in the UK and Republlcof Ireland IF1151021 leffectlve I
January 20151- (Charities SORP IFR51021. They are a15(} responsible for safe8uardln8 the assets of the charky and hence
fortsknn¥ reasonable 5tepsforthe preveAtion and detectlon of fraud and other Irregylarlties.
Each of the Fersons whots a trustee at thedateof approval ofthls report confirm5that:
so lar as each of the irustee Is aware. there Is no relevant materlal infom)ation of wh4ch the ch8riVs
actount4nts are unaware,. and
each trustee has taken 811 steps thatthey oughtto havetsken tom•ke them5efve$ aware of any relevant rnaterial
Info￿all￿ and to establlsh thatthe accountants are aware of that Information.
Members of the£harlty8uarantee to contribute an arnount not exceedin8 £ltothe assets olthe charfty In the event
of wlndlng up.
Apyoved bythetrustees on July 16. 2023 and sBned on their behalf by
A¢hI￿n Olfver (knobudE (Evangdistl
ChalrofTrusiees
Accountants. Report
Accoutttants. ￿port¢¢ the l)Mrd of tNstee5 onthe prewadon ofthÈ unaudi1￿ #It￿¢ry
atcountsof Ho￿T BIblEGra￿ Min15tryforthe perlod ended 30JunE 2023.
In order to aSSiStyou tofulfil Vourd¥￿e$ underthe Charity Act 2011, we have prepared foryour approval the accounts of
Bible Grace Ministryforthe perfod ended 31 Mèrrh 2018which comprise ofthe Statement of ftnandal actI￿tIeS
lincorporotinc incorne & eXpendy(u￿ ac¢ountl, the Balancesheet and the related notesfrom the charftys accounting
recordsand from 5n1￿matIon and explanations you haveglven us.
Thls report is made solelytothe Trustees of Holy Bible Grace Mlnlstry. 85 a body, In è¢wrdance wr¢h thetermsof our
enga8ement. Our work h•$ been undertaken 501efy to prep3reforyour approval the a¢¢ount5 of Holy Bible Gra¢e
Mlnlslry and state those matters thatwe have agreed to state to theTrustee5 of Holy Bible Grare Ministry. a5 4 body. In
thls remto the fullestextent perniitted by law, we do not accept orassume resp¢nslbllttyto anyone otherthan HIAY
Biwe Grace Mlnistryand Its Trustees as a bodytor ourworkor for thls report.
It Isyour dutytoen5ure tliat Holy 8ibleGrace Mlnlstryhas kept adequate accounting record5 and to prepare statutory
accountsthat wve 8 trueand fairwew of the assets. Ilabilltles, finantial position of Holy Bible Grace Ministry. You COn￿d￿r
that Holy Bible Grèce M¥ni5try 15exemptfrom theststutoryauditfindependent examination requirementforthe period.
WÈ have n(rtbeen Instructed tocaryout an audltllndependente¥•minatbon ora revlew oftheaccountsof Holy 8ible Grace
Date: 2910412026

Holy Bible Grace Mihistry
of flnanual artivities (incorpordtln8 IKome & expendlture account)
For the year ended 30th June 2025
Statement
Note
30June
2025
30 June
2024
In(orne:
Income from ¢harltable actMtSes:
Operothn of the thority
4975
Income from sales of fixed a55est:
Other charltyactfvltles
T¢)tsl Inco
Exp•ndltyr•:
ExPendI￿re on chorltoble ortNities.'
Expenses on operatlon ofthe charlty
1164
155081
Costs of rolslrjofvnds..
Other charrtable actlvWI•s
Total •xp•ndlture
N•t In¢om•l{•xp•ndlwr•l ¥nd n•t MOV•￿ In
fvnds for th• y•ar
-533
R•condll•tlon of
Total funds brou8ht f(Thfard
1697
Total funds wrf•d lorw•
1164
Thenote5 onpoq¢J 9 fo12fvrmwt0fthesefvwK￿jstvren

Holy Blble Grace Mlnl$try
Sheet
As at ￿lth June 202S
Balance
Note
2025
2025
2024
FIKod a55etS
TaThgible assets
Curr•rt
Cash at bank and in hand
Debtors
393
Cr¢dIto￿. •mounts f•111￿ du• wlthln on• y••r
Net Cufrent •$Mts
Totil Is￿1111￿ curr•nt Il•bllftl•s
595
Cr•dIto￿. •mounts f•llln# du• •ft•r one y••r
Tot•1 •1*ts
595
Funds
Unristrtcted funds
Réstrlcted funds
Total fvnds
$95
595
Thè trustees are satlsfled that the charlty Is entitled to exemptlon from the requlrement to obtsln an
audltllndependent examlnatlon under 5ectlon 144121 ol the Charttles Act 2011 (the 2011 Actl.
The trustees of ihe charlty have not rèqulred thè ¢harfty to obtaln an Independent emamlnatlon
In accordance with settion 144121 of the Art.
The trustees acknowled8e ihelr responsibllitie5 far COMp￿In8 wlth the requlrements of the
ChèrSty Aci 2011 with respect to accountin8 record5 and the preparatlon of accounts.
Approved bythe trustees on 291412026 and slgnèd on the5r bèhalf by..
A8hlm•n Oll¥•r Omobud• IEvan4e115tl
Chalr of Trustees

Ae¢oyniing ￿llIeS
Actountlnu¢onventlons
The finèncial statements have been prepa.'ed In accordance with Accountlng and Reportlng by Charitie5'.
Staternent of Recommentled Prartice appllcable to charities in preparing thelra¢counts In accordance with
the Flnanclal '.Reportlw Standard appllcable in the UK and Republlc of Ire13nd IFR51021 (effective I
January 20151 Icharltles SORP IFR510211, the Flnancial ReptsrtlnK Standard applicable in the UK and
Republlc of Ireland IFR51021 and the Companles Att 2W6.
Holy Bible fjrace Ministry rneets the defIn￿￿on of a publlc beneflt entky under FRS 102. A55ets and Ilablllt5es
are Initièlly re¢oBni5ed at hlstt)ric41 w5t or transaction value unless otherwise stated In the relevant
ac£ountin8 policy notes.
thComI￿ r¢s¢wrres
All Incoming r¢source$ are Included In the 50FA when the charhy Is leBally entltled tothe Irscome. 15
reèsonably certain of receipt and the arnount can be measured with sufficlent rellability. In accordance
with the SORP. no value has been attrlbuted to the work performed byvolunteers. although their work is
¢onsldered vltal to the activities of the charlty.
Tlth¢ Reoulorofvrfny•ndOonotlons
Tithe, Regular offering and Donations conslst of the total tlthe, re8ularofferln8 and donatlons from
members ol the church and other members Of the publlc alon8 wlth Income Irom fundral$ln8 evenis.
The char￿Y15 1 charltable Incorporated Or8an15atlon ICIOI. The meM￿r$ of ihe ¢h•rliY I￿ represented bv
the trustees nomed on page 3. In the event of the charlty belng wound up, the Il•blllty In respect of the
guarantee 1$ Ilpnlted to £1 per member of the charlty.
Rt50urreJ exHended
Expendlture li accounted foron an accruals basls and has been classlfied under headln85 that 38gregate all
Cosis related I',0 the cate¥ory. Cost5 of generatlng funds are those Incurred In 5eeklng voluntary Income and
do not Includii the costs of dlssemlnatln8 Informauon In 5UPPQrt of the charltable ￿l¥￿Ie5.
Glftold
Glft Ald lax r¢¢laSms Is ￿¢08n5$ed for any Glft Ald certlficates re¢elved up to two month$ after the year-end,
In rel•tlon to donatlons made prlor to the year-en(t, where the Glft Ald tsx redalm applkatlon was
filled to HMR¢ prlor to the year-end.
In many Costs are Incurred on prolerts befor• the relevant re5trlcted Income15 recelved. Therefore.
unles5 Contrary to a donorfs wishes, interest Income 8ener8ted from restrlued fund51s treated •$
nrestrlcted. Ito coverihe pre-financino c05t5 Incurred.

Operatlon of the tharlty
30June
202S
30June
2024
Tithe offering
Regular offerI￿a
Donation5
4.975
4975
4975
4975
30June
2025
30June
2024
Other charlty artl¥ttles
F.Assets Disposal
Bank interest
Other income
30June
2025
30June
2024
Expenses on operatlon of the charfty
Accommodation and rent
Advert and promotion
Equipment Expenses
Youth and children convention
67
Annual thanksgiwng
Motor Expense
General office expenses
Light & Heat
Chargable Loss of DisP05al
Professional fees
515
566
73
83
329
319
l(M)
1164
5508

Tanglble fixed assets
30 June
2024
30June
2023
Cost
Balance g/F
Addltion4
Dispos015
L055 on Disp05al
Transfer$
Depreciatlon
Charge for the year
On dlsposals
Net book value
Cash at bank and In hand
30 June
2023
30June
2022
Bank
1172
721
Cash
585
976
1757
30June
2023
1697
30 June
2022
Debtorj
Grant debtors
Prepald Rent
Prepaldi Insurance
Other Debtors
Total debtors
Credltors
30 June
2023
30 June
2022
Accouritancy fee5
Total qredltors