Registered Charity Number: 1179623
ADULLAM PROGRAMME
FINANCIAL STATEMEI¥TS
AND ANNUAL REPORT
FOR THE YEAR ENDFD
31 DECEMBER 2024

ADULLAM PROGRAMME
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2024
c0Th¢¢￿ts
Pag¢(s)
Reference and Athninistrative Detsi18
Tn￿ttts' Aftnu￿ Rewt
Independeni Examiner's Rwtrrt
Receipts and Payments Acc(MJnt
Ststemeni of A&qets and Liabilities

ADULLAM PROGRAMME
REFERENCE AND ADMINISTRATIVE DETAtis
FOR THE YEAR ENDED 31 DECEMBER 2024
The Board of Tru5te¢s
R Farrow (Chair)
L Cnbb
D J RaTDm
Dr N A John4tw
L J P￿1¥￿1
PritteipAI Addr
Th¢ Adullam Progr•m
CIO Hope Church
Quecn Strtzt
IAnC￿t¢r
LAI ILX
ChArlty Reghtered N•mber
1179623
Independent Eximlner
M R Cornall FAq
74 Nicol me￿ Drive
Ashion-in-makerfield
Wigan
Lanc&%hire
WN4 8DH
Bankers
HSBC Bank Pl¢
35 MaTket Stre¢t
Lancas*r
LAI IJQ

ADULLAM PROGRAMME
TRUSTEES, ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2024
The thstees PT¢s¢nt the annual re[￿ together with the fll)attial swements of the ¢hgrity for the year ended 31
December 2024.
Basis of prtp4ra¢ion
Th¢ tnJst¢es have preFwed the accounts adopting the receipts attd TAyments rnethiml of I￿o￿￿tIn&
structhrti 2over*gnce #nd maTragtmtllt
Guvernlng documenl
As a CIO the or¥anis*ion OFwth5 und# 4 ¢onstitution docwMt datrd 21 Aug 2018 and is registtred with th¢ ChaTity
Co]nmi55i0￿ No 1179623.
How ihé eharity IJ coKYtitsted
The Adullam Programme is a Charitsble bK(rporated ory￿ls8tlOll.
Truftee s¢le¢¢ion metjw
Trusle¢s are apwinted and ratified by the tn￿eeS for a of three ye8rs. Where de¢med gp]xopri4t¢ the ffitstees may
vary the temi of appointsnenL
ObJectlvu and *etivitie*
Objecis a*dalm.F
The objects of the CIO are for the public benefit to- promote s￿181 inclusion by relievin8 the needs of people who ore
socially disadvantag¢d and ￿]stIng them to inlegrate inio society: relieving the physical and mental sickne35 of persons
in need, by T¢ason of addiciion io alcohol andlor drugs of any kind or sutr¢ring harthhip wh¢th¢r physical or emotional,
by the provision of support and communÉty involv¢m¢n¢; developing the and skills of dis&Jvanta8ed peopk in
sueh a way thAt they are better 8bl¢ to idenlify, and help meeL their needs and to participate mi)re fi]Ily in s¢Kiety ?n(Vor
employment.
Th¢s¢ objects shall b¢ rnet in such ways as tk trLL*eS in their tholut¢ di3cr¢¢ion think fil provided that at ￿] time the
charity's athiviues sh￿] be delivered in a manneT ¢on5iSt¢nt the Christian faith.
Public benefii
The irusiees confirn) that thry have complied with the requirements of secrjon 4 of the Charities Aci 2011 to have due
re8ard io the public ben¢fL¢ guidanc¢ published by the Charity Commission for England atKI Wales. Both the r¢5idential
and commtsnity pr¢)wrn¢ are op¢n to peopk of any faith. rxe OT backyound.
Aehlevemertt Perform•n¢e
IA)oknn8 baek over 21r24 we pleased that we have been able io continue the Adu]lam Prograrnrn¢ and increase our
influence,. this is reflected in the iticrc•e5 Ln inwm¢ and ¢XF¢nditurc. Wc ]￿k io the future with confident expectstion
thAt we will bc able to con¢inu¢ to s¢r¥e th¢ most nedy and vulncrablc within our community in the years ahcad.
Flnanei*l revierl
PoliLy raferves
Free reserve5 held at ihe year end are £76591 Q023- £6Q&88J. The trLu*S s¢¢k to k¢¢p r￿rY¢S at a sufficient lev¢1 to
cover ongoing costs for 12 mnths.
At the present time the tr￿￿te¢S do ￿t have 8 seledion policy for investments.
Signed on behalf of th¢ tn￿t¢¢3
R Farrow Esq
Trustee
Approved by t￿ trwstees 28 July 2025

ADULLAM PROGRAMME
INDEPENDEwf EX4MtNER'S REPORT
FOR THE ITAR ENDED 31 DECEMBER 2024
I report on th¢ of the Adullarn Progrdmme for the year ended 31 DK¢mlw 2024, whiclj are set out on pages 3
to4.
Reypective reS￿￿91b￿A￿les of the trus1tts exlthiner
The charity's trustees ar¢ r¢s￿nSIble for the pr¢pararion of the accounts. The chaTity'$ tn]stee5 ¢onsideT that an audit is
not required for this year under se£lion 144 of the Charities Act 2011 (the Ch8riti¢5 Act) and thai 8n indewident
examination is needed.
It 1$ my responsibility to..
¢xamin¢ th¢ accounts under Section 145 of the Charities ACL
to follow the PToc¢dun3 laid down in the general Direthion5 given by th¢ Chartty con￿￿1$$10tt (under s¢¢tion
145151(b) of the Charities Act, and
io stsie whether parti¢ulaT matters have come to my attention.
Basis of IndeptDdent ex*min¢rs' it*tement
My examination Carried out in ae¢ordance with general DireaiorLq given by the Ch￿ty Commission, An
¢xBmllLation includes a review of th¢ ￿(o￿ntIng reLords kept by the chwity aNI a comparison of the accounts presented
wilh those records. It a150 includes consideration of any wiusual i*ms or disclosures in ihe accounts, and seeking
explanations from the tnL5t¢es concernin8 #ny S￿h rnatters. The prcthlures undertaken do not provide all the evidence
th4t would be required in an &udii and consequendy no opÈnion is giv¢n &8 to whether the attounts P￿sent a 'true and
fair. view and the r¢p￿ 15 limited to those matters ￿ out in the stswn¢nt telow.
Independent examiotrs, s(•¢¢mtnt
In connection with rny exarnination, no material rnatters have come ￿ my attention whi¢h gives m¢ cause to believe that
in, Bny m#t¢ri81 Tespect:
accounting reeords were not kept in occordan¢¢ wtth se¢tion 130 of the Clwiiies Aci or
the accounts do not accord with the accounting record%
I have come a¢r085 no other matters in ¢{M￿trIlOn with the examination io which atteniion should be drnwn in order to
enabl¢ a proper under￿￿1￿8 of th¢ accounts to be r¢a¢h¢d.
SI￿¢￿.
14f(a4
D•*: 28 Juty 2025
Name: M R Cornail Egq
Reltv*nt professlonal qu*iifKatlonJ or body: F.C.CA (Tr Association of Chartered Certified Accountsnts)
Addreu:
74 Ni￿1 Mere Drive
Ashton-in-makerfield
Wi8a
WN4 8DH

ADULLAM PROGRAMME
RECEipfs AND PAYMENTS ACCOUNT
FOR THE YEAR ENDED 31 DECEMBER 2024
2024
Restritted
Funds
2023
Totol
Unrestricted
Funds
Totsl
Funds
Reedpts
Donations and Legacies
Charitable Activitie$
36.
27.628
51,460
80,823
30,J07
27,628
115,092
Totsl Recelpts
63,632
51.4
JlJ,390
Payments
Chariloble Adivitie
Wag¢3 and Salariey
Pension Costs
House Running Costs
Rcnt
Rates
44394
1.198
13J43
57,737
1.198
38.18Q
&130
1,738
2129
22YJ
8,130
1,738
2.829
7.200
1, 741
3.027
2.797
1,930
Repairs aTKI Maint¢naTKe
Fundraising Events Costs
Events and Community Pro8ramme
Costs
Stwpori C'osts
Telephone
Insurance
Office, IT, Printing and s￿lOnery
Fundrdising ConsultarKy Fees
Gifts and Donaiiom
Professional F¢¢$
Bank Charges
Tr8vel and subsigtence
Sundry Costs
Totsl Payments
Net Surplus l (Deficlt) for the Ye*r
2J42
2,842
4.005
947
947
585
708
3J37
4015
3,742
3,537
4,615
4,053
2,313
813
J75
279
333
310
878
122
616
122
616
70ffj74
(7,042)
28J15
22
99,189
15,9)3
70,625
40, 705
Cash and Bank B*lanees #s It
l January 2024
31 D¢¢¢mber 2024
33.646
27.042
60,688
19,923
49
76J9A
60,688

ADULLAM PROGRAMME
STATEMENTS OF ASSETS AND L￿[LITIEs
FOR THE YLIR ENDED 31 DECEMBER 2024
21124
Unres¢ritt¢d Restriettd
Fund5
FuDth
2023
Tot•l
Cash
Bank Acwwit
2A604
49,987
76491
60,688
These fiT)oncial ststsrnents weye ApproY¢d by th¢ trustees on 28 Juty 2025 and are s]￿ed on their behllif by:
R F8rrow E4
Tjwstee