CHARITY REGISTRATION NUMBEK 1189220
HEBRON PENTECOSTALCHURCH MANCHESTER
Receipts and payments accounts
For the period ended
31 March 2025

HEBRON PENTECOSTALCHURCH MANCHESTER
Period ended 31 March 2025
Page
Trustees. annual rewt
Independent examiner's repNt to the trustees
Receipts and payments accounts

HEBRON PENTECOSTALCHURCH MANCHESTER
Period ended 31 March 2025
Referenc• and adrninistrative dotai18
Charity rggi8tratlon numbor
1189220
Principal Offic•
Union Chapel
2B Wellington R¢)ad
Fall¢￿field
Manchester
M14 6EQ
Th• truitms
Mr Mathai Vanwhese
Mr Biju Mathew Philip
Mr Oommen Varkey Chitti)oran
Ind•pfrnd•nt •x•mln•r
Miios Xav*r FCCA
xav￿r3 Ac¢>)untants Lirrlted
Chartered Certffied AeKe￿nt8nts
Surte 3J
Recycling Lives Cerrtre
1A Essex Street
Preston
PR1 1QE

CHARiff REGISTRATION NUMBER: 1189220
TRUSTEES ANNUAL REPORT AND ACCOiINTS APRIL 2024 - MARCH 2025
OBJECTIVES
To advance the Christian farfth in ￿OrdanCe V￿1h the Ststement in such ways aTrJ in suth parts of the United Kingdom
or the wortd as the Church Council from time to ts'me may th￿k fit
To relieve sickness and financial hwdship and to promote and preserve good heath by the provtslon of funds. goods or
seNices of any kind including through the provision of C¢)unsellirKJ and support fft Such parts of the Unrted Kityjdom or
the world as the Church Council from time to time think fft: and
To advan￿ education in such ways and in suth parts of the Unrted Kingdom or the wortd as the Church Coun￿1 from
'me to time may think fft.
Trustees have considered the Chanty CorrmIsw￿'s gukyance on public benefiL
VI8ION
Hebron Pentecostal Church Manchester 19 a fellowship of bellevers comlng together to declare the glory of the
Lord, expressing the good ne￿￿ of God's kingdom that transforni$ lives and communit￿$ wodokn'de and lo celebrate
Jesus as King.
We study the Vvord, practice wthat ¥￿ ￿arn, and in the wLKess gryjw together.
MISSION
As people called by God,
We gather to praise God, listen lo him. 8nd respond.
We nurture each other in faith and obetjience to Christ.
We love and care for one another as God'8 peop￿.
We commlt ourselves lo seNe and to tell others about Jesus.
We pursue Gtsa's juskn.ce and peace in every area of lrfe.
Our Church Meetlng Sch•dul•:
1. Sundays- Malayalam and Engllsh SeThice8 and Sunday School
2. Thursdays - Cottage MeetingslPrayer
3. Second Saturdays- Fasting Prayef
4. First Sundays- Ladies Meeling
5. Friday moming8- Ladies Inlerces80ry Prayer wline
6. Third Sundays - YoLth Meeting
7. Saturtjay Evenings.. Brothers Inlerces80ry Prayer
Our Mlnl¥trlg8".
1. Sunday Servl¢o:
Our Sunday servi￿ is led by our Pastor. preachbng from the V**￿d of God to enable us to grcw spiritually. We worship
both in English and Malayalam, whth is our native language from Kerala, India.

Malayalam message$ and semKJns are translated into English for the Ixnefft of our ¢hildren and for people who do not
understand our language. English worships are conducted ￿gUla11Y except on the second and fourth Sundays vthen we
partake in the Lord's Supper and conducl our Youth Meetings respedy"vely. Duiing our English worship we focus on
drfterenl topics from the Bible to enable our chIld￿n to understand and be deeprooted in the Wcrtd of God and to mould
them to become ambassadors of Christ.
2. Sunday School:
Our Sunday School plays a vital role in helping our children build a fimi foundalK)n in Christ. We begln OUT Sunday
School at 09.'30 wth a prayer followed by leaming new songs, action songs, stories and other Bible-related activrties.
Our children are then tsught from the Word of God in thwr designated classrooms according lo their age groups,
followng the curriculum provided by Indian Pentecostsl Church of Gc•J. All our Sunday School activf(ies are conducted
in English except for new songs being taLtght in our native language or other languages.
3. Youth Mlnlstry:
Our youth meetings are a blessing for all and a *￿nderfiJl stage to sh¢)￿ase all our youngsters, brilliant talents., these
are held regularly on the Ihird Sundays of every rrK*nth. Some of the ￿gU￿r program$ we conduct include Psalms
reading and prayer, solo songslaction songs. memory verse reCita￿on. speech. Bible Teference. short stories. and Bible
quiz to name a few.
4. Ladlej Mlnl8try:
Our ladie8, ministry is aimed at encouraging Ouf sisters ￿ fdlwng the Scriptures in our day-to4ay lrfe and to Support
the needy in prayer, a vision to reach out to tIM)8e vkno hunger and thlrst for the Word of God.
Our ladies, meetings are regulaty conducted after our Sunday Service every first Sunday ofthe month where our 8i8lers
are given opportunities to speak from the Wrrtd of God. en￿Urage one another in 8trengthening our faith in our Lord
and lo Intercede and pray for natsons arKI people around the globe.
5. Prayar Toamlcotlage Alo•tlnp:
Our prayer Team18 the engine room of our church. Our cottage meetirys are held on Thursday evenlngs. During these
meetings. we as a church have inler¢eded and stood in gap for so many prayer requests and we have seen the
miracl&workn'ng hand of God moving for us in many drflerent matters.
6. Charbty and Ml8slon8:
Ag a church, wa spiritually and financialty WPPCA1 Mercy Mis8ion Indra in Odisha. Indla. We support 7
evangelistslPaslors vtho do gospel th in drffiojh conditions. Mercy Mission Ir￿la also runs an orphanage and leprosy
centre. We actively undertake door-1(￿Or evangelism and street ministy. God wlling and rf the coming of the L¢)rd
tsrrie8, this team 1$ praying and planning aboul various new initiab.ves SLth a$ charity work Nwthin UK and India.

Financial Roview
Total receipts of funds rerEived were £30.984.79. of £4.933.26 vas reclaimed as grft for 202>2024. The
remaining income of £26.051.53 was unrestricted funds generated through ￿gUlar tthing of our church member5
1£13,015.001, Sunday Service offering {£6.876.48}. Sunday School offering1£297.20), youth ministy offering1£212.921
ladies, ministy offering1£195.001, and other d(MBtion$ and contributions {£5.454.93).
Total expenses V*Ere £29,3￿.96 of rent an￿￿nted to a total of £4.2CK).00 and £8.850.00 was grfled to our Pastor
for his services to ¢)ur corvJregatitN).
Sunday SchtYJI, youth viing and lad￿8, ministy expwtses anourrted to £852.71.
A total 01 £1,084.50 was donated to Mercy Mission Ind￿ in Othsha. lTrJia to 5UPPOrt their pastors and ministries in the
tribal villages of Odisha, India. A totsl of £1,525.00 vrds donated Io guest pastors who ministered from the Word of God
to us. Charity financial aid given during this fiscal year amounted to £1,250.00. These donations amounted lo a total of
£3,859.50.
Money ynt on refreshment￿0d arr￿nted to £3,295.44 and grfts amounted to £1.583.00.
£119.87 was spent on web hostsng and domaln. and a total of £180.0011%1 vrds spent on Churchsuote software.
A total of £5.523.12 spent on a >day famity retreat at Rod( UK V4hilhaugh Park. Newcasuekn in August 2024.
Other exFenses and ¢hlld prote¢tion amountsd to £588.30.
ststionery and equipment expenses amounted lo £345.02.
The net result of this ffi￿1 year was an excess in Income of £1.S87.83.
8alan¢e lo be carried lorvrnrd on 31 Mar¢h 2025 totalled £35.450.85 of ￿ttl¢h £4.933.26 re¢lalmed as glft ald being set
aside as Ghurth building fvnd.
Our target was lo maintain a balance of £15,000.00 of unrestricted funds wh￿h we ￿tTe able to achieve by the end of
the fiscal year.
(Thls report has been approved by the board oftru81e•s.)
Name ......Oommen Chittooran......
Dale..
-19112f2025...................
For and on behalf of HEBRON PENTECOSTAL CHURCH MANCHESTER
FInan￿ Notes:
The flnanclal stst•monts hwo be•n pr•p8rwl r•CdptsandPaym￿ ba•l$.
The Church doesny hold ￿YffiXe￿ ￿et>

CHARITY COMMISSION
FOR ENGLAND ANO WALES
Independent examinerfs
report on the accounts
Section A
Independent Examiner's Report
Report to the trustee
membgrs of
HEBRON PENTECOSTAL CHURCH MANCHESTER
On accounts for the year
ended
31 March 2025
Charity no
1189220
Set oul on pages
I report to the trustee5 on my examination ofthe accounts of the above
charty {"the Trust'l for th8 year ended 31103 12025.
Rosponsibilities and As the charty trustees of the Trust, you are responsible for the preparation
basi$ of roport of the accounts in accordance the requirements of the Charities Act
2011 rthe Actl.
I report in respect of My examination of the Trusfs accounts carri8d out
under sect#)n 145 of the 2011 A£t and in carrying out my examination, I
have follo￿Ed the applicable Directh)ns given by the Charity Commission
under sect*)n 145(5)Ibl of the Act.
I have com ￿eted my eXaMinat￿n. I COnfi￿n that no material matters have
come to my attention. in connection with Ihe examination which gives m
cause to believe that in, any material respect..
accounting r￿ordS vMr8 not kept in accordance V￿th section 130 of
the Act OT
the accounts do not accord IMth the accounting records
Independènt
axaminevs statomont
I have no concems and have come across no other matt8rs in connection
with the examination to vthi¢h attention should be drawn in order lo enabl8 a
propef understandiTrJ of the accounts to b8 reach&J.
Signed:
Doto:
1911212025
Name:
Mijos Xavier
Relevant profe8slonal
qualificatlon{s) or body
(Sf any):
ACCA
Xaviers Accountants Limtted
Chartered Certified AccA)untants
Surte 3J. Recycling Lives Centre
1A Essex Streel
Preston
Address:
PR1 1QE

CHARITY COMMISSION
FOR EN6LANO AND WALES
1189220
Receipts and pa
ments accounts
CC16a
Fortho period
3110J12ts25
Section A Receipts and payments
funds
Totsl funds
L••ty••r
A1 R•¢
rthg
Sunthy sor￿*01[ .
SundA Sc*
Youth Mltli*
Min
F•
Retreat
Ohr In¢ome
HMRC chaffl￿ G￿ Ahj R•c4dm
Sub total(Gross inoynfj lor
AR)
13.￿$
1J.010
•.B76
•.22$
389
317
IPYPA
21J
213
l•S
157
•33
1$7
26,9B2
A2 arml Invvbwrt ￿[0•.
Iw• tabl•l.
Sub tol•l
30.985
JO,•$6
26,992
A3Pa
•nts
P•5tor W
R•nt
Sumé4y S¢W. PYPA. I￿ry
42rxi
IS3
3.960
J,14)
1,229
R￿￿tt￿rn￿￿F¢ryJ
W•ts Domim. SC￿•
G*1, OoTrthni
921
1.103
1.78B
21,441
ch￿ Pr￿e￿nn.
6.52J
29J97
&623
21,J97
Sub totsl
urchas•s,
t*bl•
Sub totsi
29.397
2•,3•7
21A49
Plèt Olrncolw￿{PayM#ntsJ
A5 Transf•rn furNIs
A6 Cash funds lasty•ar end
Cash funds this y8•r 8nd
33163
35.451
6.668
12,201
JS,45t
CCXX R1 at0￿n[S ISSI
2211212025

Section B Statement of assets and liabilities at the end of the period
Unrestricted
funds
Restricted
funds
*nMr•rtÉ
Endowment
fund5
bj n•ar••t£
Dfjtsl
Bl C￿h funds
Total cash funds
36861
Unr•stiictod
RestrKtsd
+nMr•bt£
End0¥￿ent
tyj nur••t£
Details
Fundto*th*h
Details
Cojt lo￿0￿*1>
B3 Inve•tm•nt
¢uTh•ntY4lu•
B4 A••ot• rnLglnod lor tho
charlty'• own u
Details
86 Llablllti
Svjnatyre
Print Name
Date of
19112r2025
CCXX R2 ￿￿JnIS ISSI
2Z11212025