(Ama7an£ Graee of God Church)
ANNUAL ACCOUNTS
AlexaDd•r
Churehlll

(Amathg Grace of God Chureh)
ANNUAL ACCOUNIS
8. 10 Notejb) th• A¢¢atyi•

Helping Hands Ministrie8 UK
(Amazing Grace of Cod Chllreh)
For the year ended 31 of Deeember 2024
Trustees
Mr Paul Chelvatheebam
Mr Sudhakar Vimalanathan
Mr Kandiah Asokan
Mrs Saroja CheItappan
Dr Thclma Suresh
Pajtor
Mr Paul Chelvatheebam
Governln8 Doeument
Charity Numbff: 1180687
dated 11.052014
Prlnclpal Offle•
99 Blhon Roa4 Perival4
fvfjddlesex UB3 7BB
Indep¢nd•Dt Examlner
Colin Alexander ACMA COMA
Alexander.Churchill LLP
Brandon Hous¢
90 The Broadway
Chesham HP5 IEG
Bank¢rn
Natlonal wutinIns￿ Bank Pl¢

Helping Hands Ministries UK is cw registered charity through which all our missions and ministrie8
tske place. We operat¢ in the torou8b of Slough and Fambornug￿' vthr¢ Chri￿]dn$ from diff¢rent
¢oun1ries and backgro￿ ¢onK tO8ether to praise God and disa)ver MOK of Jesus. love in their liv
'Lth your light 8bin¢' is our ￿￿tt0 and we 5triv¢ to Ix a beacon of hope amongst churches and
establishing a safr spaLX for the ￿me1￿$, elderly, famili￿ a￿1 the youn8. We ende4VOW to r¢stOTe
hope. rebuild faith and the (lood News!
As a ChTiStim charity, we primarily strive to build courage in those livin8 In dtsp* povty:
instability and f&4r of the futtwe, We envision to Ood 8lotified throu8h the faith love we share to
those who are left vuln￿￿1¢ by givin8 them I￿pe ard a in Cbri8L
The way8 in wbi¢h ￿ supprt aNI build a wter Inte￿at￿l coMM￿lty of pwle wvuld include the
followin8:
Shar¢ the so8￿1 and the love of God. teaching arith core valua b4Jed on the BI￿1¢
Conduct worship, ¢onllnuDion and baptssm 8¢rvices on a regular basis and festive servl¢eJ durln8
Eost¢r. Christmas and New Year
Carry Out prayer 8tOUP 8ession4 Bibk sttxty and 80¢ial connections a8plrlng to
8tren8thm the Spiritu￿ and ¢motional w¢ll.beiti8 of conllnunitie4 mtin8 a 8eD8e of belon￿8
Equip, SUPFrt motivate mentor ¢bildren ard YO￿ by carrying Out Bible le3son4 progrnms
to mak¢ a significant diffuence ID families ¢4)mmunities and 8amtioll8 to come
• Provide twhing re8ouTce8 in lin8UiSti¢ skill4 wimarity in the Tamil langw4 up to QCSE kv¢l
. Connect with th¢ UK and otl*r ¢ounkn4 all do￿lnatiOnS to work
togethw In unity
fool educatio￿ health4h#ks and the care of It￿1 ¢hur¢h¢s.
. Support hwnanitsrion cAwes ova8eas by providiD8 dothin8 and n*di¢ol 8uppli•8' largely
in poverty.stri¢ken areas within India and Sri tan
. Vi8it to the dderly. f08t#ing nyxiv0ti0￿ I￿1th and happin¢88.
The have ¢omplAa the duty to hav¢ reS￿d to the publi¢ b￿¢fit guida￿¢ published by Ibe
The Cbarityg¥ Polky on Ruerv

HELPING HANDS MINISTRIES UK
(Amazing Grace of God Church)
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
HELPING HANDS MINISTRIES UK - (Am#zlng Graeeofcod Chureh)
I r¢port on the accounts of the Charlty for the year ended 3 1 Dec¢mber 2024, which #re 8¢t oul on pages 6
to 10.
This report is made solcly 10 the charily's trUsie¢s. as a body. in a¢cordancc with section 43 of the
Charities Aci 1993. My work has been und¢rtaken so that I mighi state to the charity's trustees those
matters l ain required to Stale 10 them in my report and for no other purpose. To the full¢st extent
permitted by law, I do not accept or assume rcsponsibility to anyone other than the charity and the
charity's trusiees as a body. for my work. for ¢his report. or for the opinions I have fomied.
Rc$pectlve rtsponslbllltl¢s of trustees Vdnd examlD¢r
As the charity's trustees you are responsible for the preparaiion of ihe accounts: you considcr that the
audit requirements of $43(?) of the Chari¢ies Act 1993 does not apply. It is my responsibiliiy ¢0 Stat¢. on
Ilie basis of procedures specified in the General Direclions given by the Charity Commisshoners under
s43(7)(b) of ihe Act, wliether particular matiers havc come to my attention.
Ba$1$ of Inde￿ndent cxamin¢r's report
My examinotion was carried out in accordance wi¢h the General Directions given by ihe Charity
Commissioiiers. An exainination in¢ludcs a review of the accouniing records kept by the cliarity and a
comparison of the a¢coiinis presenied wilh ihose rerordg. It also includes consid¢ration of any tsnusual
iILms or disc105ur¢s in thc accounts, and ihe seeking of ¢xplanation5 from you as iruste¢8 conc¢rnin8 any
uch matter5. 1.he procedures undertakcn do no¢ provide all the evidence thai would be required in an
audii and. cons¢quentSy. I do not express an audit oplnion on the view given by the accounts.
I ndepcnd¢nt CX*dmlncr's ¥t*tem¢n¢
In conne¢tion with my exwnination. no matter has come w my attention:
( l ) which gives m¢ reason8ble cause to believe that. in any material respect. the requirements..
to kccp accounting records in accordance wilh s41 of the Act: and
to prepare accounls. which accord with the accounting records and to comply with ihe a¢countin8
requirements of ¢he Act have noi been met. or
(2) to which, in my opinion. attention should be drawn in order to enable a proper understandin8 of the
account5 to be reached.
Jagbir Singh Sahdrn
Alexander-chllrchlll Actountxnffj Br*Ttdo# Hous& 90 The Bro¥d￿y. CheskaM* BueklD#h*m5hir& HPS IEC

Receipts and payments accounts
CC16a
For the pgrfod
from
.'4 TIJ ?2.JA'.
To
Section A Receipts and payments
Unrèstricted
funds
Rgstricted
funds
Endowment
fvnds
Totsl funds
Last year
tothè n¥rg¥1£
toth•
to lh• r•uHtE
to t￿ n•aMAt£
A1 Reeeipt8
Offenw$ 11005e
Planned Givi
Gift
bAission8
Otten
Donation$ lor 8pw•l Even
Cèi6 support
Sundry Income
BuildirKJ Fund
ncoma
14,940
97.735
41.S72
14 940
68.935
12.713
41.$72
11.447
128
11,447
128
1.362
432
1¥601
194.601
4,726
4.725
ub toto1(
)ss intt>me lor
AR)
170.$44
198,241
368.78S
101,42S
A2 As¥•t anil Inv•stment
sal••, ljee tabl•l.
Sub total
170,544
198.241
368,785
101,426
A3Pa
m•nt
Piemises Expen*•
Congregaiiwl IW•
Ev8no6lisrn
Admini51ialbn
Worship Minl81ry
Youlh Ministry
Sunda
School
Oversea8 Misiion Supp
Support 10 UK Chwcn¢s & ch￿
Gover￿￿￿ Cesis
Hètdship H•1
Payrdl Exp8nsÉÉ
Une¥pecied Cost•
Fundf&SWW c￿11
18.86
9,821
7,229
5,920
11,122
13.234
41B
226
7.846
8.J39
32
4,483
11.070
1,A95
590
1.616
5.4B8
1.727
2,532
5,5J4
558
9.821
14,122
1J,234
J,070
J,57Q
3.070
3,570
.661
Sub tot81
226
B4.874
64,603
A4 A88•1 and Investment
purchase•,
Bee tabltl
Equipmeni- IT- Campuwrs
Equipment- Audio- VKJeu
L8nd
7.842
375.349
375.J49
7,64S
397,645
Sub total
672,994
9,600
459,997
297,871
757,888
64.2C13
Net of rgcolpts/(payments)
AS Transf•ra between lunds
A6 Cash funds last year end
Balance sheet movement
Cash funds thls year end
Less.. Funds owed IB21
Less.. Cheq￿$ in Tfans4t
289.453
99,630
389.083
37,222
180.986
153.603
45.137
106.051
287.037
153,603
51,658
249.563
252
286,785
6.421
45.137
8.421
287.
CCKX R1 accounts Issi
07h)8r202S

ectioii B Statemeiit of assets ancl liabilities at tlie end of tlie period
81 Ca•h lund•
40A12
4TII
Tot•1 ¢ash fund¥
4 A•••ts r•taln•d fprth•
¢h•rV• ¢Min u••
B6 Llablml••
8W•O orbK¥
éi

IWttte8.
b)
¢hArfl&￿• CW at tho cf th• Tru•te••.
17.8(13.
871.1)0
19.00
1eo.00
D5307
OTAL
•lltyrtil
Fdkxwhl Su
Mln
05503
D5504
147e.00
Glft•
73188
21.ixl
D5701
D5704
D5702
Ta
& Member¥li
Trainln
20.00
D5210
D8211
D5213
D6214
2th00

Wornhlp Mlnl•try
Vwal E
163.00
D5401
rnvd CoBts
TOTAL
Y•yJth IAlnknty
155.00
418.00
TOTAL
Ml•81¢)n•
In &1 L•rt•
228.00
TAL
10
rtto Ml8th
nUK
738.IXI
D8101
D8102
Cffj103
111.48
11
Tru￿
D71JX
D7(￿2
07CQ4
103.24
dont Ex•mk*¥ Fffi•
Profe8•lon
IM74
12
H•nl•hlp
Fuenr•l
D71C
570.

13
PA
Nl
D5001
14
TAL
Fundroth
10