Registered Charitv Number: 117962.1
ADiiLLAM PROGRAMME
FINA￿CIAL ST.tiTEMENTS
AND ANNUAL REPORT
FOR THE TrF.AR F.NDED
31 DECEMBF.R 2023

ADULLAM PROGRAMME
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2023
CoNt¢nl$
Pagels)
Reference and Adminisrrdiive Deiails
'rrustecs Annual Report
Independent Examiner s Report
Reccipts and PaJ'm¢nts Account
Siatement of Awts and Liabilities

ADULLAM PROGRAMME
REFERENCE AND ADMINISTRATl￿'E DETAILS
FOR THE YEAR ENDED 31 DECEMBER 2023
The Board of Tru$t¢es
R Farn)w
P Henderson
Dr li A John5ton¢
L J Percival
DrSAPidd
DJRamm
R Woodhouse
Principal Address
The Adullam Programme
C,'O Hope Church
Qtseen Street
Lancasier
LAI IRX
Charily Registered Number
1179623
Independent Examiner
M R Cornall F_sq
l O? Heatli Road
Ashion-in-makerfield
Lanc&ghire
VIN4 9HH
Bankers
HSBC Bank PIC
35 Markei Street
lancaster
LAI IJQ

ADULLAM PROGRAMME
TRUSTEES, ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 202.1
The trustees present the annual report iogeiher with the financial $￿teMentS of the chariTr for the year ended
D¢c¢inb¢r ?0? j.
Basis of preparation
Thc trustecs have prepared ihe accounts adopling the receiprs and pa}'ment% m¢thod of accouniing.
Structure+ goTrernanee and manageThe￿t
A% a CIO thc orvanisarion operaies under a constiruiion document dated ? l Auo ?018 and is reeisiered wiÈh Ihe CharÉtv
Commission. 140 11796?-
Ilc)ii' IhL' c'h(Irin' 1.% L<)n.sliluled
The Adullam PioJo amme is a Charitable Incorporated Orgallisation.
'I"rustees are appointed and ratified b& the I￿￿teeS for a terni of three >ears. Where deemed appropriate Ihe trustees Inay
V£lry the tertn of appointmeni.
Objeeiives and 3etiwities
Cjhjec'ls c117d uinis
The objects ol. the CIO are for the public benefti lo- promote ￿la1 inclusion bi. relievints Ihe needs Of reople illlho are
S(Kl<illi' di5advanraged and aSSISlinL them tu inteLTraie into socie1!= relievinu the phvsical and meiiial sickness of persons
in need. bN reason ol-addiciion 10 alcohal and.or druJts of ani kind or suffertng hardship wheiher phN4i¢al or tmational.
by the provis￿On of 5UPPQrt and communin. introlveTlleni" dei."eloping ihe capaciiN and skills of disadvaniag)cd people in
such a ￿.aY ihat the! are belter able to idenitfj.. and help meei. their needs and to participate more full! in 50cieTN" andjor
emplojimeni.
These objects shall be met Ill such wavs as the iTU5tee5 in their absolute disc￿l0n thFnk fit provided Ihat at all lime the
charity's aetivitl¢S shall be delivered in a manner wn515tcnr wilh ihe Christian f3ith.
Public henefii
The IrusieLS confirm Ihai th¢!, have complied with the requirements of 5eciion 4 ot the Chariiies Acl ?01 l io hatre due
IEÉTai'd to ihL publiL benefil ¥uidance P￿blished by (he Chltrily Cumtnission for England and W'ales. Boih ilie r¢sid¢ntial
and comrniiniry, progrnmme are open ro people of anv faith. race or backC?ro￿nd.
Achiei'ement and PerformaThce
Looking back over ?023 we are pleased ihat we have been able 10 continue th¢ Adullam Programme and increase our
incoime. This has been mainly achiLI'ed through aceessints a *ariet} of <Jran￿. We are pleased ihat this puts Us in a good
P05Ition to be ablt io continue to serve our communii!. in Ihe iedrs ahead.
FSnalleial rel'ie
P(}ljLI' R'L'sLJri'¥s
Free rtserves held ai the )'ear end are £60.688 (?Q? ? _ £19.9?SJ. The mjsrees seek io keep reserves at a sutyicieni level io
LoveF OFig7uingT Coslb tor l ? months.
At Ihe present tirne the tTUStees do noi have a seltrtion policy for investments.
SI￿ned on t*half of rhe irustees
R F￿￿OW Esq
Trllslee
Approved bv the trustees on I l March ?0?4

ADULLAM PROGRAMME
IIYDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 DECEMBER 2023
I report on the accounts of the Adullam Programme for the year ended 31 December 2023, which are set ollt on pages 3
to4.
Respective responsibilities of the trnstees and examiDer
The chariws trustees are responmble foT the prepaTation of the accounts. The chan"ty'S ttustees consider that an audit is
not required for this year und¢r Se￿10￿ 144 of the Charities Act 2011 (the ClJaTities Act) and that an independent
examination is neede
It is my responsibility to..
¢xamine ihe accounts under section 145 of the Clwities Act.
to follow the procedures laid doivn in the general Direciions given by the Charity Commission (under section
145(5)(b) of the Charities ACL and
to stste whether particular ll￿tter5 have ￿rne to my attcnlioTL
Basis of Independent exxminer%' %tat¢tn¢nt
My examinalion was carried in accordance wth general Dt"rections g]ven by the Charity CoTnmi55Lon. An
examinatiott includes a teview of the accounting records kept by the charity and a comparison of th¢ accounis presented
with those record5. It also includes consideration of any unusual i¢ems or disclosures in the accounts. and sceking
explanations frotn the trustees concerning any such marters. The pro¢edureg undertaken do not proyide all the evidence
that would be requircd in an audiL and consequently no opinion is uiven a5 to whether the accounts present a 'true and
fair, view and the rep)rt is limited ts) those ll￿tterS set out in the statetnent below.
Independent examiners, statement
In connection with my eXaTninati0￿ no tnaterial matters have come to my attention which gives me Cause to bclievc that
in. any material respect..
accounting records were noi kept in accordance with sectioll 130 of the Chartties A¢t or
the accounts do not accord with the accounting r￿ordS
T havc come across no other Tnattct5 in connection with the examination to which attention should bc drawn in order to
enable a proper undeTStaTMling of th¢ a¢¢ounts lo be reached.
Signed:
Date: I l March 2024
Name: M R Cornall Esq
Relevant profe55ional qualificalioos or bod).: F.C.C.A rfbe Association of Charte￿d Certified Accountants)
Address:
102 Heath Road
Ashion-in-makerfield
Wigan
WN4 9HH

ADULLAM PROGRAMME
RECEIPTS AND PAYMEL¥TS ACCOUIYT
FOR THF. YEAR ENDED 31 DECEMBER 2023
2023
Restricted
Funds
2()??
T(iiul
Fuilds
Unresiricted
Funds
Tolal
Funds
Receipts
Donations and l.egacies
Charitable Activiries
35J64
80,823
31.7bi
72.38-.
30.567
Total Receipts
76,026
35J64
lilJ90
Pa)'meDtS
1'h￿rig￿bI￿.jO¢l1'iiles
Wages and Salaries
House Running Costs
Reni
Rates
29343
&946
3&189
34.530
72(Kl
1.741
3,027
2,797
.936
7.?110
1,741
3,U27
2.797
1,936
7.316
J.179
2.',i6
Repairs and Maintenance
Fundraisini% Events Costs
Evenis and Community Programrne
Cost5
.guppupi C cisi.¥
Telephone
Insurance
Office. IT, Priniiniy and Stationery
Fundraising Consultancy Fees
Gifts and Donations
Professional Tr'ees
Bank Chartses
Travel and subsistence
Sundry Losts
Total Payment5
Net Surplus l {DtfRcit) for the Year
790
4,665
J.3tSi
iu4
708
1,811
4,053
2,313
813
5?h'
3,462
1.488
813
175
279
333
25
1.4iO
1.5U?
98
279
333
Lffj9
59.473
11.142
70,6?5
iA.R39
24a12
Cash and Bank Balances as at
l J4mwdry 20?3
31 Deeember 2023
2.130
19,923
33.646
27.042
19.923

ADULLAM PROGRAMME
STATEMENTS OF ASSETS AND LLIBILITIES
FOR THF. YF.AR F,NDF.D 31 DECEMBER 2023
2023
Reslrieted
Funds
Unrestricted
Fund5
Total
Funds
Cash Funds
Bdnk Accounl
33,646
27,042
00,688
19.9?3
These financial stateThents were approved by the tru￿¢¢5 OD I l March ?0?4 and aTt signed on their behalf by..
R Fa￿oW Esq
Trusiee