CHARITY REGISTRATION NUMBER: 1189220
HEBRON PENTECOSTAL CHURCH MANCHESTER
Receipts and payments accounts
For the year ended
31 March 2024

HEBRON PENTECOSTAL CHURCH MANCHESTER
Year ended 31 March 2024
Page
Trustees, annual report
Independent examinerfs report to the trustees
Receipts and payments accounts

HEBRON PENTECOSTAL CHURCH MANCHESTER
Year ended 31 March 2024
R•f8rnnce and admini•trative d•lalls
Charfty rnghtratlon numbor
1189220
Prfn¢lp•l office
Un#)n Chapel
2B Wellinglon Road
Fallo%rfield
Mancheslar
M14 6EQ
The tru•t•••
Mr Mathai Varughe8e
Mf Oommen Varkey Chittooran
Mr Biiu klathew Phlip
Ind•p•nd•nt •xamI￿r
Mijos Xavier FCCA
Xawers AcC￿ntants Limited
Chartered Certw A￿ntaThts
Sijite 3J
Racyding Lives Centre
1A Essex Street
Preston
PR11QE

CHARITY REGisfRATION NVM8EK. 1189220
TRUSTEES ANNUAL REPORT AND ACCOUNTS APRIL 2023- AIARCH 2024
OBJECTIVES
To advance the Christian farth in accordance wrth the Statement in such ways and in su¢* parts of the
Unrted Kingdoffl or the world as the Church counc￿ Irom ts.me to tune may think fil..
To relieve sickness and finanoal hardship and 10 promote and preserve good heahh by Ihe provision of
funds, goods or servirEs of any ￿'nd induding through the provison of counseming and support in
Such parts of the Unrted Kingdom Of the world as the Church Council from time to lime think fit,. anil
To 8dv8nce educ8lion in such ways and in yuch parts ofth8 United Kingdom orts world a¥ Chuich
Council from time to time may think fft.
Trustees ha￿ cons*Jered the Charity Corf4nlsw)n'$ guklance on pubk b8nefft.
VISK)N
Hebron P9n1￿081aI Church Man(*esteri8 8 felow8hlp ofbel￿ver$ c£*ming logelhèrto d8darethe glory
C*f the Lord, eXp￿ssIng the good news of God's kiwm that Iransfomis INes and communities
wOr1￿ld9 and to Celobrale Jesus as King.
We study the Word. practKe what we b8am. and in the proce88 grw together.
MISSION
As people called by God,
We gather lo praise God, listen to him. aThJ respond.
We nurt(bre each other in faith and obedierth lo Christ.
We love and care for one another as God$ people.
We commii oursefves lo serve arKI lo tel others aboLrt Jesus.
We pursue God's juslKe ond in every area of life.
Our church m￿￿n9 Schgdulo:
1. Sunday$- Malayalam and English SeThices and Sunday Schtr)I
2. ThuTsdays- Cottage MeetingsTrrayef
3. Second Salurdays- Fasting Pray
4. First Sundays- Ladies Meeting
5. Friday momings- Lad￿S Interossory Prayer ￿1th7e
6. Third Sundays- Youth Meeting
7. Saturday Evenings: Brolhers Intercessory Prayer
Our Ministries:
1. Sunday Service:
Our Sunday SeNice is led by our P8stt*. p￿0th1n9 from the Word of God to enable us to gn)w
spirf(ualty. We worship both in English and Malayakm. which 15 our natsve language from Kerala, India.

Malayalam messages and 5ermon5 are translated into English for the benefit of our children and for
people who do not understsnd our language. English worships are conducted regulaty except on the
second and fourth Sundays when we partake in the Lord's Supr)er and condu¢* our Youth Meetings
respectively. During our Engli%h w0￿h1? we focus on drfferent topics from the Bib￿ to enable our
ildren to understand and be deeprooted in Ihe Word of God and to mould them to bècome
ambassadors of ChrisL
2. Sunday School:
Our Sunday Schcrt)I plays 8 wlal role In helkkng our (*ildren bjild a foundation in Christ. We begin
our Sunday School at 09.'30 with a prayer fdlowed by leaming new songs. action songs, Stories and
other Bible-relaled activities. Our children are thèn taught from the Word of God in their designated
dassrooms ac￿rdIng to their age groups. following the ujrriojluffl provided by Indian Pgnlecostal
Church of God. All our Sunday School 8cbvibes are L)Jnducted ￿ English except for new songs being
laught in our natNe language or other languages.
3. Youth MSnl8try:
Our youth meetings are a blessing for all and a wonderful $tap to $howcase al our youngsters, brilliant
lalenls., these are held regulafly on the third &Jndays of every month. Some of the regular programs
we conduct indude Psalms reading and prayef, solo songslaclion songs, memory verse rerAt81ion,
speech, 8ible reference, short ston.es. and &"ble qutz to name a few.
Ladl•8 Mln5Btry:
Our la(Jies' ministy is aimed al encouragiig our sisters Mi fdlowing the Scriptures in our day-l￿aY life
and lo support the r• in prayer, with a voion to reach to th08e who hunger and thirst for the
Word of G¢Jd.
Our ladies. meatings are regularty ￿ndUCted after our Sunday SgThKe every fwst Sunday of the month
where our sisters are given opportun￿.8$ lo speak from the Word of God. encL*urage one another in
8lrenglhèning our laith in OUT Lord and lo intercede and pray for nat￿n$ and peoplè around the globe.
6. Prny9r T•amlCottay IAwtlnp:
Our prayer Team is the engine room of OUT church. Our ¢ottage meetings are hekl on Thursday
•v8nings. Ouring these meetings. we as a church have interceded and sto¢)d in the gap lor so many
prayer requests and we have seen the miradfvworking hand of God moving for us in many different
mattern.
6. Ch*vlty and MIs•l0￿.
As a church, we spirilualty and financialy support Mercy Mission India in Odisha, India. We support 7
evangelislslPaslors who do gospel work in condth"ons. Mercy Mission India also runs an
orphanage and lèprosy centre. We aciNety undertake door-l￿dOor gvangelism and street ministy. God
willing and rf Ihe coming of the L(Kd tarries. this team ￿ praying and plannwig about V8ri0us new
Inilialive5 such as charity work within UK and India.

Flnan¢l•l Review
Totsl receipts of ffiJnds received was ￿8.992.13. of whth £6,2n.05123%1 was rectaimed as gift ak
for 2022-2023. The remaining income of £20.715.08177%) was unrestricted bjnds generated through
regular If(hing of our thurch members1£9.225.001144%}. Sunday Serw(* offering {£7,101.00) {34°A),
Sunday School offering1£388.981 {2%1. yOLrth ministry offering1£317.IX)1 {1.5%1 ladies, ministry offèring
1£10110.OS%I, and other donations and cxJnlributions1£3,673.101 {18%).
Totsl expenses were £21,449.03 of whith rent amountgd to a total of £3,950.fy)118QA) and £6,Cth.00
128%) was gffted lo our Pastor for his sèr¥Kes lo ow C0rwJregal￿.
Sunday School and Youth wing ex￿n$0$ amounled lo £515.￿ Q%1.
A lola5 of £1,743.2018%1 was donated lo Mercy Mission India in Odisha, India to support their pastors
and ministry in the tribal villages of Odisha, India. A lolal of £2CrfJ.(KI11%) was donated lo a guest pastor
who ministered the Word of God to us. Charity finan081 aid gwen during this fisc81 year 8mounled lo
£1.200 {6%1. Thgso donations am¢)unted lo a lolal of £3.143.20115%).
Money spent on refreshm8ntsfvKI omoLtnted to £1.229.02 {6%) and grfts amounted to £2,[K￿l (9%).
£119.87 11%) was spent on web hosts'ng and dornain. and a lolal of £180.CQ 11%) was spent on
Chur¢hSurte soth¥are.
£978.87 {5%1 was spent lor a on&day famity retreal and £808.88 14%) was paid as advanc8 for an
upcoming lamty retreat in August 2024.
Other gifts and don81ions, thihj prolectw and other expw)8es amounted lo £1.603.1S18%).
Slalionery and equipment expenses amounted to £921.2414%).
The nel resuli of this ftscal ygar was on exc*88 *i hcom8 of £5.543.10.
Balance lo ￿ carried forward on 31 M8rch 2024 lotaled £33.863.02 of whh* £6.277.05 reclgime(l a$
glft aid belng set aside 88 church ￿ik11n9 fund.
Our largel was lo maintain a balance of £15.oc(l.￿ of unrestricted funds whth we were ablg lo achieve
by the end of the fiscal year.
(This f?￿rt has been approvad by th& board of trustees.)
Signed..............................................
Dale .
For and on bèham of HEBRON PENTECOSTAL CHURCH MANCHESTER
Finance Not•*:
The financial statements have been prepared using the rgceipts and payments basis.
The Churth doèsn't hold any fixed assets.

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examinerfs
report on the accounts
Section A
Independent Examiner's Report
Report to the truste
members of
HEBRON PENTECOSTAL CHURCH MANCHESTER
On accounts for the year
•nded
31 March 2024
Charity no
1189220
Set out on page•
I report to the trustees on my examinalion of the accounts of the above
charty 1.the Trust.) lor the year ended 31103 12024.
Re8pon$lbilltles and As the charty trustees of the Trust. you are responsible for the preparation
basis of report of the accounts in eLo)rdance Vlith the requirements of the Charrties Act
2011 (Ihe Act->.
I report in respect of my examination of the Trust's accounts carri8d out
under section 145 of the 2011 kt and in carrying out my examination. I
have followed the applicable Directions given by the Charity Commission
under sectb)n 145(5)(bl of the Act.
I have completed my eXaminat￿n. I ￿n￿rnI that no materhql matters have
come to my attention. in conne¢tion wth the examination which gives mo
cause to believe that in, any material resp8Ct'.
arxounting records Vlere not kept in accordance with section 130 of
the Act or
the accounts do not accord with the accounting records
Independent
examlnerf8 Statement
I have no concerns and have come attoss no other matters in connection
with the examinatKJn to vthich 8ttentK>n should be drawn in order to enable a
proper understsnding of tho accounts to be reached.
Signed:
Dats:
1510112025
Name:
Mijos Xavier
Relevant profuslonal
qualiftcatlonl81 or body
Ilf any):
ACCA
Xaviers Ac￿untants Limited
Chartered certif￿ Ac(￿untants
Suite 3J, Recyding Lives Centre
1A Essex Street
Preston
Address:
PR11QE

CHARIIY COMMISSION
FOR ENGiAND AND WALES
1189220
Receipts and payments accounts
CC16a
For the periotl
01+D412023
3110312024
Section A Receipts and payments
Unr•strict8d
funils
Restrictod
fund5
Endcwment
lund5
Total funtts
Lut yo•r
•.226
7.101
389
10.74B
7.674
sU￿￿Y Sèr¥k• CIYO
SUr￿a¥ Schcd Otknn
Youth Minif4trylPYPA
L•digJ Minl8try
F•mily Reirui
ner In¢omè
HURC Chjnbgs GrftAKJ ￿￿thim
Sub ¢ot•l(Grt)ss Incon￿ forAR)
A2 A$•ot ond 1n￿•tm•nt la1￿. {*••
tablèl.
?.101
JBg
317
170
2390
1.313
6,277
1,02$
16.192
Sub total
26.992
Z6,99Z
36,464
A3Pa
m•nts
5.4
3.9
124
2.134
1.2Tg
Pènl
Su￿&Y SchcK4. PYPA. L*d*A Mi
Fininthil Ah1
516
3.143
1.220
3.143
Web Domiin. SofN¥w• ApFIKADon•
Grftts. Donakns
ststiontry. Equip￿1
Child Prot•d￿rt. Olh•r Exp*w4
Fgmil Rolre41
425
911
1.103
1.788
Z1.449
1.701
21,449
Sub tolal
14.822
A4 Ass•t and In¥wtm•nt purchas•s,
see tsbl•
Sub total
21,449
21.449
14,822
fvl•t Olr•e•ipt￿fP0YmwtsJ
21.662
A5 Tran8f8rs b&￿e0n funds
A8 Cash fund8 last year ond
Cash funds thls y•arend
28.320
28.320
33,B63
8.658
28.320

Section B Statement of assets and liabilities at the end of the period
Unrestricled Restricted lunds
funds
Entkjwrnent
funds
¢ate9orios
Dotal
B1 Cash funds
J3A24
339
Tolal ¢ash funds
Unr•stdctod Rostrlctod funds Endowm•nt
funds
Details
to n•4mtÉ
Fundity*thkh
C¥rnnttAIy•
lopUoMII
Details
¢uff•nt¥4u•
lopUoNII
Detalls
B4 Assets r•tslned forth•
charity's own use
Details
B5 Llabllltles
zazz
s*J￿d by 0￿ £*two bel*¥gf
al the trustse5
bnt Nama
Dato ol approval
cififrnDK4hJ
15-0 1_2CA