KINGS HEATH CHRISTADELPHIAN CHURCH
TRUSfEES REPORT AND RECEIPTS AND PAYMENTSACCOUNT
FOR THE YEAR ENDED 31 MARCH 2024
(Registered Charity Number 1168593)

KINGS HEATH CHRlSfADELPHIAN CHURCH
Charity Registration Number 1179258
Report of the Trustees forthe year ended 31 March 2024
The Trustees present their report and financial statement forthe year ended 31 March
2024.
Structure, governance and management
The charity is a Charitable Incorporated Organisation. number 1179258. registered on 19
July 2018. It is governed by a constitution adopted that year. Trustee5 are elected by and
from church members.
Trustee5
The following served as Trustees during the year:
VJ Brown
T Routledge
G Purkis (stepped down during the year)
T M Smart {stepped down duringthe year)
J Room (from June 2023}
S Thompson Ifrom June 2023}
M Ryder (from June 2023)
The charity has no corporate Trustees.
Princrpal address
23 Institute Road
Kings Heath
Birmingham
B14 7EG
Other names
The charity can also be known by the following names= Kings Heath Christadelphian Ecclesia,
Kings Heath Christadelphians
Objectives and activities
The objettives of the Charity are to advance the Christian faith in accordance with Christian
principles through worship, praise, prayer, discussion, pastoral care and other activities to
promote spiritual growth and charitable works for the public benefit.
The Charity operates mainly but not exclusively in the Kings Heath area of Birmingham, but
may carry out its charitable purposes elsewhere in the United Kingdom and/or in other
parts of the world.
Continuing activities included the following:

Church services and meetings forworship, holy communion and Bible study, to
encourage members and visitors to live by Christian principles. These are now fully
integrated with Farsi translation on screen.
A good number of children. including children from refugee/ asylum seeker families.
regularly attend the church Kids Club on Sunday mornings.
Pastoral care for members and their families.
Collections for local, national and international charities.
Shared social events and meals (including a Christmas meal). regular collertions for a
Ioc31 food bank and occasional fund-raising events.
Refugee sUPPOrt activities.
A babyltoddler group for local parents is run by members duringthe week, as well as
a monthly singing group and other ad-hoc community activities.
The charity is entirely run by volunteers who organise the activtties described above and
may propose new activities in line with the objectives.
Achievements and performan
During the period April 2023 to March 2024 our active membership stabilised at about ICQ..
there continued to be a number of baptisms (mainly within our Iranian attendees) but this
Wa5 balanced by numbers of people moving away to other parts ofthe country or attending
only occasionally, and we made a change in our definition of "active membership. to reflect
this.
In keeping with the objertive of promoting spiritual gro4vth. we have continued to make our
Services available online. to assist people unable to attend in person- this remains
challenging at times because of limited access to Information Technology {ITI and other
professional skills, although improvements have been made to the audio-visual system over
the year.
In January 2024 payments were finally made to a numberof charitable causes for which
unspecified "external" collettions had been made over the previous 3 years. in line with the
decisions of members on how these funds should be distributed.
Financial revlew
The cash movements and balances are summarised in the balance sheet. All funds are held
in the instant access bank accounts. The Trustees were satisfied at the year end that the
funds held were sufficient to meet the continuing needs of the charity. The accounts show
the remaining funds have now been transferred from registered chartty 1177040.
Approved by the Trustees on 8th Januory 2025 and signed on their behalf by."
V Brown (Secretary ond Trustee)
S Thomp50n {TrusteeJ

Independent examinerfs report to the truste￿ of ￿ng$ Heath Christadelphian Churth
I report on the accounts of the Trustfor the yearended 31 March 2024 which are set out on the attached
annual report.
Respectlve ￿ponSIbl1￿tIeS of t￿stee5 and examiner
The charty's trustees are responsible for the weparation c* the account& The charity's trustees consider that an
audit is not required for thi5 year under section 144(21 of the Charities Att 2011 Ithe 2011 Act) and that an
independent examination is needed. It is my responsibilrtyto=
examir¢e the accounts under section 145 of the 2011 Act
to follow the procedures laid down in the general Directions given by the commission under
section 14515llb} of the 2011 Act
.to state whether particular matters have come to my attention
Basi5 of independent examiner's report
My examination was carried out in accordan￿ with the general Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also indudes consideration of any unusual
items or disclosures in the accounts, and seeking explanations from you as trustees Con￿rning any
such matters. The procedure5 undertaken do not provide all the evidence that would be required in an
audit and consequently no opinion 15 given as to whether the accounts present a 'true and fair view.
and the report is limited to those matters set out in the next statement.
Independent examiner's statement
In connection with my examination. no matter has come to my attention:
which gives me reasonable cause to believe that in any material respect the requirements=
to keep accountlng records in accordan￿ with section 130 of the 2011 Act and
to prepare accounts which aCt(￿d wth the accountinB re(C￿d$ and comply with the accountin8
requirements of the 2011 Act have not been met (x
121
to which, in my opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached
Michael Ward
Date 09 January 2025
26 Yewhurst Road
Solihull
West Midlands B91 IPN

KNfjSHEATH OSRtsrpJ)FJPHIP•I(HURCH
RECEIPT5ANDPAYMENTSACCOIJPIT
YEAREN(KD31 MARCH 1024
Total
Fun
Totsl
Funds
2023
GE￿￿1
F￿Thd
2024
Mem￿r$ re8uiHrctwtributlw
Other MeM￿rs, RecÈipts
Bank Interest
o￿atIOnS
IW7.09
.93
633.77
f4X36
1111
14.037 IP)
44Q.93
633.77
J,W 03
12.329
9￿67
819
9,995
9,595.iYJ
51.60
26,754.42
13,2
746
27.642
OtherlrKome
51.60
1S.764.75
9.995.(X)
994.67
7.445.42
L137.78
I27￿)
42556
U94.LK>
1111
7,44S.42
1.137.78
127.80
4,626
1,310
lao
162
234
BankfAeroChar8ÈS
Jsclub
Ch￿￿h E¥er
Speakers Expenses
PublKai￿n5
UcÈnces
Loan Repwments
425.S6
1494.(X)
231.
225.60
434.18
225.60
434.18
6.￿.(M}
549.57
I￿.r￿)
6.575.IX)
I.2￿.th)
4,446.10
1.1*.93
1348.68
343
402
6,&))A)
54957
T32
Welfare grfts
Weware Grantsto inthAluais
Webre prDjects
oon3tlons-othvtharil*S
AppE3
OtherexpetSE5
6575.
L225.IX)
12,298
4446.10
1.196.93
403
340
1,458
365.73
1,982.95
Totsl EX￿￿¢t￿re
SurpluslDefkft
12ffi7.07
7J4957
.731957
7.9￿.<￿)
2,015L
5,643.03
4.64836
1,982.95
.1.982.95
35.842.62
.9.U88.20
25,620
2,023
I4.5￿.14
-13.472.99
-1211ffj5
459.48
7ZI
OJM)
BakntssOIWI 2023
3￿3954
1.188.88
1.261.93
27,887
OA)
20￿.
29,910
STAIEMENTOFASSUS
Bankcurrent ￿￿Ount
Bank Deposit k¢Dunt
asyoueam
Cash in hand
4JSIS5
16,116.33
447
27.075
350.08
lo￿36
352
29J
NotÈ".All mÈmbÈrscontritArtk)ns¥relloywfortheUDre5trK*ed FL￿d50t￿e Re5tvty￿ FuTrJ5 baarttsh** beentrathed tothEGttEr41 Fund.