MANIAN
RTH
Charity Reglstratlon Number: 1189599
Registered Address: 250 aapham Road, London, SW9 OPZ
TRusfEES
Rev. Silviu-Petre Pufulete
Rev, Constantin Popescu<irstucescu
Luminita-Elena Procopie
Marius Draghio
Cristian-Gheorghe Chelcea
Corina Dascalu (re&gned on 18 May 2021)
BANKERS
CAF Bank
25 Kings Hill Avenue,
Ken¢ ME19 4JQ
INDEPENDENT EXAMINER
Alain Dastros, Severin ￿nan￿ Ltd, Lorthi.

AN
RT
FTHE
STRucfuRE, GOVERNANCE AND MANAGEMErir
Romanian OrtrKxlox Church & Centre converted from an unincorporated tr￿t fthe Trust) (charity reg
no 11115C6) to a Charttable Incorporated Organisation fthe CIO) (charity reg no 1189599), which
was registered with the Chajity Commission on 21 May 2020.
On 14th December 2020, the trustees of the Trn￿t approved its dosure and the transfer of assets,
liabilities, and undertaknngs to the CIO effecb've from 15th of December Yhe Transfer ￿lte".
The trustees of the CIO subsequenuy approved the transfer from the Trus¢ with approval from the
Charity Commission being received on 24 February 2021, at which point the Trust was removed from
the Register.
The CIO is govemed by its Corn*itution dated 21 May 2020.
The fi￿ charity trustees of the CIO are as follows and aprM)inted for followiNJ tems:
Rev. SI￿lU Petre PLrfulete for 3 years
Rev. Constantin Popescu-cirstucescu for 3 years
Luminita-Elena Procopie for 3 years
Marius Drdghici for 3 years
Corina Dascalu for 3 years
Gheorghe Cristian Chelcea for 3 years
Trustees have the power to appoint new members onto the P*Jard, each serving a rolling 3-year term
and may be re-eletted. Appointments are ratified in accordarKe with the CIO'S constitub'on.
New Trustees are selected for their general and SFecialist eXpe￿en￿ and receive appropriate advi
and documentstion.
The Charity s attivrties are directed at regular meetirMJs of the Tnjstees.
The trustees have no beneficial interest in the charity and rnne received any remunerati￿ durlng the
period.
The Trust ￿ no office premises or support staff. The Twstees (k) any necessary work at their own
office premises and hold formal meeb'ngs at convenient locations. The Tr￿$ only address is 250
Clapham Road, London, SW9 OPZ.
PUBLIC BENEFIT sfATEMEKr
The Trustees confim that tty have complied with the duty set out under section 17 of the Charibes
Act 2011 to have due regard to the Charity Commission's guidan￿ on public IEnefit 'Charities and
Public Benefiy in developing the obiecbves for the year and in planning attivib'e&

RT
FTHETR
R THE YEAR ENDED
APRIL 2
21
OBJECTIVES AND ACTIvrrIES
The Romanian Orthodox Church & Centre was established by a charitsble trust deed on 21" May 2020
and became a ￿gIStered charity in May 2020. The charitable trusys objects are:
To athance the Romanian Orthodox faith for the benefrt of the public by the provision of a
Romanian Orthodox (])urch and Community Centre in the United ￿ngdOM.
To advance the Romanian Orthodox faith through the prowsion of educational, arts, and
cultural attivities at ￿ Church and Community Centre.
To build or otherwise acquire and maintsin a Romanian (Jurch and related
community centre;
To advance the Christian religion and in partioJl& to asgst the W￿rk of the Romanian
orthodox Church in the Unrted KIn￿￿M through its own activity indud1r￿ but not limited to
holdirMJ religious services and public ￿￿bratiOnS of rel￿)0￿ events.
ACHIEVEMENfs AND PERFORMANCE
The ROCC trustees V￿re foC￿d on gTrJualty uThJertaking all operational actiwtles for St George
Parish, including the rent at the new location at St Mary le Strand Church, supportrng the Parochial
School, purchasing insurances, and all necessary church items. Despite the unprecedented times
caused by the COVID-19 pandefflic, R￿c still managed to Secu￿ its funding attivities through
constant donab'ons - this is reflected in the increased number of (S)nations that R(￿c has received to
the year ending 5 April 2021.
In May 2020 a new charitsble incorwrated entity (RC£C CIO) was fOrn￿d (registered number
1189599) with the same aims and obiecbves as R￿c TrusL The ROCC Trust activities were
transferred to the ROCC-CIO. All necessary fomialitres related to the incorwration of the new CIO,
transfer of assets, activities, and operations to the new CIO have completed with appropriate
qualffied extemal legal supporL A professional Project Plan fc￿ our futu￿ church has also been drafted.

RT
FTHETR
R THE YEAR ENDED
APRIL
21
The charity's finances are overseen by the PA)ard of Trustees.
The attached Statement of Finanaal Activities is self-explanatory havitNJ regard to the simplicity of the
transattions during the year. The Trustees confirm that the Accounts comply with current statutory
requirements and with the requirements of the Trust Consbtution.
The principal financial poliaes for the present and for the foreseeable future are those cf maintaining
funds for the purchase of a Church or land to build a Churth and a Community Centre to pursue the
charity objecknves.
Totsl incoming resources amounted to £137,598 (2020: £138,775) arKI total resources expended
amounted to £47,603 (2020: £9,363). The ￿ irrflow of funds for the year amounted to £89,995
(2020: £129,412).
The total unrestricted r*rves at year eTrl amounted to £124,616 (2020: £66,171).
COYID-19
COVID 19 has had a direct negative impact on the charivs attivitses. From March 2020 St Mary le
Strand premises were closed and thurch Servi￿ and Parochial Schcrf)l activits'es have been moved
online. The charity suffered the loss on Ir￿Me on charitable activities and church donations but those
have been replaced by the increased number of online donab"or6. However, when COVID restrittions
were in place, the Parish organized its liturgical activiti'es into tw￿l￿mIng sessions, thus allowing all
parishioner5 to attend the sen4ice, whilst obseNiThJ the governffent guideli￿ on s(Kial distanciThJ, etc.
Pleasantly surprigng, in the context of the current parKlemic situation, it has been noted a stronger
sense of belonging aTKI support towards our Parith from many Romanians around London.
GOING CONCERN
The Trustees are confident that the charity can continue as a going con￿rn for a period of at least
twelve months from the date of approval of these finanoal statements. The Trust￿ also have
reasonable expectab'on that the charity will have adequate resour￿ to continue its operab'ons and
acbvities for the foreseeable future.
TAXATION
As the ROCC-CIO is a chaiity, it is recrNJnized as sud) by HMRC for taxatbon purposes. As a resul¢
there is no liability to taxab'on on any of its income or profit.

YEAR ENDED
APRI
21
ED
RISK POUCY
The Trustees have considered the major risks to which the charity is eX[￿d a￿1 are satisfi8J that
procedures are in place to mib'gate those risks.
FUNDRAISING POUCY
The charity does not use fundraising SerV￿s, consultants, or extemal professional fundraisers to
undertake its fundratsiThJ activities. Additionally, no dats is shared with or scdd to any extemal agencies.
PLANS FOR THE FUTURE
Organise r￿tingS with various IcKal &)rough Counals to explore the options for finding either
a plot of land, a derelict building, or a fom)er thurch for the Fil Ctitor (Be a Fou￿ler) Project.
Continue to prowde operational supp)rt to ￿ Parish Parochial Schcrf)l.

MANIAN
RTH
NUED
srATEMENf OF TRusfEES RESPONSIBILrrIES
The trustees are responsible for preparirMJ the Rewrt of tr* Trustees and the financial statements In
accordance with applicable law and United knng(k)m Accounb'ng StsThJarts (United Kingdom General
Accepted Accounting practi￿), including Finanaal ReFQrtirwJ Standard 102 Tr Financial Re￿)rtIng
Stsndard applicable in the UK and Republic of Ireland".
Charity law requires the trustees to prepare fIna￿la￿ Staterr￿nts for each financlal year which give a
true and fair view of the state of affairs of the ttkirity and of the incoming resources and application of
resources, including the income and expenditure, crf charity for that perii)J. In preparing those
financial statements, the trustees are required to:
select suitable accounting policies and then apply them consistenty
observe the meth¢Jts and principles in the Charity SORP
make judgements and estimates that are reasonable and prudent
prepare the financial statements on the goirvj cOn￿M basis unless it is
inappropriate to pre9Jme that ￿ charity will continue in business.
The trustees are responsible for keepiro accountitvJ recorts that are Sufficient to show and explain the
charity's transactior6 and disclose with reasonable accurary at any time the financial posib'on of the
charity and enable them to ensure that the financial statements comply with the Charities Att 2011
and regulations made thereunder. They are also respon9ble for safeguarding the assets of the charity
and hence for takj'ng reasonable steps for the prevention and detection of fraud and other
irregularities.
In so far as the trL6tees are aware:
there is m relevant infomation of which the chariVs irKlependent examinerfs are
unaware; arKI
the trLStees have tsken all steps that tfv ought to have tsken to make themselves
aware of any relevant aLKIrt Information aKI to establish that ts a￿litorS are
aware of that information.
This report was agreed signed on behalf of the knrd of Tr￿￿$ on 24 Jan 2022
Chairman
Reverend Constsntin Popescu

MA
(incorpordting and income and expenditure account)
Totsl
2020
Funds
Funds
2021
INCOME FROM
GrBnts Ch￿t￿￿5
Charitsble ￿tsY1￿5
31370
32,370
105.209
19
66,510
72,265
105,209
19
TOTAL
138 775
EXPENDMIRE ON
RAl￿Tr] funds
46,783
47,603
TOTAL
820
Net Inc￿r￿(eX¥WhlitUre)
58,445
31,550
89,935
129,412
Transfers between fiJThJs
Net Movemert in Funds
58,445
31,550
89,995
129,412
Funds brwgtrrt forward at 6
April 2020
fA,171
561295
628,466
499,054
Funds Carrkd F(Thard at
S Aprll 2021
124 616
All the charit¢s activitles derived from continuirMJ operatior6 during the alw two finanoal years.
The comparative figures for 2020 and the current year figures up to February 2021 represent the
Income and expenditure of the unincorwrated trust whose activities We￿ trar￿erred to the CIO in
2021. See accounting policy l.

LANC
HEEfAT
APRIL 2
21
2021
2020
FIXED ASSErs
Fixed Assets
Investments
4,161
5,201
5,201
CURREKf ASSErs
Cash at bank
Debtors
734,375
618,994
626 610
CURRENT UABILrrIES
Creditors
all falling d
within one year
(20,075)
3,345
Net Current Assets
714,3(K)
623,265
NEf ASSErs
REPRESEKfED BY
Unrestrirted funds
Restricted funds
124,616
593,845
66,171
562,295
TufAL FUNDS
The accounts were appwJ by tr￿ Trust￿ C￿ 24 Jan 2022 arKI 9gn￿l ￿ Its by:"
Rev. Constsntin Popescu, ChaiM￿n
Date 27 Jan 2022

AccouKfING POUCIES
(a) Basls of Preparatlon of Accounts
The Accounts comply with the StsterrEnt of Recommetthl practi￿ c￿he SOW and with
applicable Accounting Standards. They h￿e been prepared uThJer the historical cost convention
and in accordan￿ wth the FinarKial StsrKlard 102.
The unitKorporated charitsble trLSt <￿ no 11115[￿) was It￿Or￿)rated as a CIO (reg no
1189599) in May 2020 and tcok over the assets and liabilities of the Trust in February 2021. In
accordan￿ with the Charities g)RP, merger accounting has been applied and these financial
statements have been dravm up to Ir￿lude the incOff￿ and expenditure of the merger charib'es
for the full year of merger together with the comparab.ve figures.
The financial ststements are presented in pounts sterling.
Judgements and key Sour￿ of estimation ur￿ertaInty are detsiled in accounting poli
where applicable.
(b) Going Con￿rn
The Trustees are confident that the charity can continue as a goiNJ cOn￿M for a period of at
least twelve months from the date of approval of these financial ststements. The Trustees also
have a reasonable expectsb.on that the chanty will have adequate resources to continue in
operation for the foreseeable future.
(c) Tanglble Flxed Assets and Deprnclatlon
Tangible fixed assets are stated at cost less depreciation. Depreciats'on is provided on a straight-
line basis as follows:
Church items.. 20% on Cost
(d) Income recognition
All income is recognised one the charity has entitlement to the income, rt is probable that the
income will be received and the amount of income receivable can be measured reliably.
Grants are recognised when the Tr￿ has been notified in wribThJ of both the amount and
settlement date.
(e)
Expenditure recognition
abilities are rec(yJnized as expenditure as 9x)n as trere rs a legal or constructive obligation
committing the charity to that expenditure, it is probable that 5etdement will be required atKI
the amount of the obligation can be ￿￿3￿re0 reliably.
All experKJiture is accounted for on an accwal basis
(f)
Funds
The unr&ricted funds represent funds available for general charrtable purpose of the
charity at the discretion of the trustees.

Restrirted funds are funts that are to be used in accordance with specific restrictions imposed
by the donors which have been rais&J by the charity for partiojlar purposes.
GRAKfs AND DONATIONS
Total
2021
Totsl
2020
Grants
tmitions
4,140
370
CHARrrABLE AcrIvrrIES
20
2020
par(￿h{al ￿￿001
Churth expenses
37,030
2,1
47,fA)3
9,363
2021
2020
LgJal costs
Deprecvation
3,597
244
317
During ts year legal costs totsliNJ £9,289 were paid to:
l. Hewitson LLP.. £2,100 - professional charges for applying for wistration as CIO.
2. VWV LLP: £7,189 - profesgonal charges for legal advi￿ regarding the potential transfer of
assets from RCTh to RC£C.
There We￿ rKJ Govemance costs in the current year (2020: NIL).
FIXED ASSErs
Churth
Items
2020
At 6° Aprll 2020
A*Jitions
At P April 2021
5.201
5,201
io

At 6th April 2020
At P April 2021
Net Book Value
Aprtl 2021
12020
MANIAN
RTHO
DEBTORS
20
2020
7,616
7,616
CREDrroRS
20
2020
L8Jal costs
Church rent
1,630
17.500
945
945
20,075
3,345
REsfRIcfED FUNDS
Balan￿ Incomlng Rexlurcos Transf￿ Balance
61412020 Resources
51412021
Be a FourKkn (Fli Ckn)
Parcthial Schx
Church lten￿ (Ic(ms)
5fl1,605
870
820
31370
591975
870
(820)
562,295
32,370
(820)
593,845
PRtOR YEAR
Balance
61412019 Resourres
Balance
51412020
Be a FwrKlw (Fri CtitrK)
61,551
493,054
560,605

Parc(hk?l *hc
Churth Items (ICC￿5)
4,140
820
(3,269)
870
820
6,510
(3,269)
499,51)4
562,295
Restricted funds ￿present donatiors arKI grants restricted for u* in particular areas of the Trusys
wor
MANIAN
RTH
UNRESTRICTED FUNDS
Balan￿ Incoming Resourru Trnnsth Balance
61412020 ResI￿rte$
51412021
Ge￿al fuTrJ
E6,171
105.228
(46,783)
124,616
66,171
105,228
(46,783)
124,616
Balan
Incomlng Resources Trnnsfexs
61412019 Resources Expended
Balance
51412020
C￿1 fund
72.265
(6,0￿) (499,054)
66,171
493,504
72,265
(6,094) (499,054)
66,171
INDEPENDENf EXAMINATION
Independent examination services were offered pro IM)no ty Severin Finan￿ Ltd.
TRusfEES REMUNERATION
None of the Trustees (or any per9)ns connected with them) r￿1Ved any expenses or
muneratim from the charitsble trust during ￿ year (2020: none).
RELATED PARTIES
There were rk) related party transKtions in the year (2020: none).
OPERATING LEASES COMMrn4EKrs
There were no operating lease commitments in the year.
12

MAN
RTH
IrKlependert examinerfs ry>Ort to the tnstees of the Romanian OrtIKKlox Church &
I rekK)rt to the charity trustees on my examination of the accounts of the Romanian Orth¢xlox Church
& Centre for the year ended 5 April 2021.
Responslbilities and basis rf report
As the charity trustees of the Tr￿ you are respjnsible for the preparation of the accounts in
accordan￿ with ttE requirements of the Charities Att 2011 Cthe 2011 ACV).
I report in respect of my examination of the accounts as required under section 145 of the 2011 Act
in carrying out my examination I have followed all the applicable Directions given by the Charity
Commission under section 145(5)(b) of the Act.
IrKlependent examlnerfs statement
I have completed my examination. I confim that no material matters have come to my attention in
connection with the examination giving me cause to believe that in any material respett:
1. accounting records were rnt kept in respect of the Trust as required by section 130 of
2. the accounts do not accord with those records; or
3. the accounts do not Comp￿ with the applicable requirements con￿mIng the form and
content of accounts set out in the Charib'es (Accounts and Reports) Regulations 2008
other than any requirement that the accounts give a 'true and fair vlew which is mt a
matter considered as part of an inde￿ndent examination.
I have no concems arKI have corr£ across tx) other matters in connection wth the examination to
which attenb'on S￿)uld be drawn in this report in order to enable a proper understanding of the
accounts to be read￿d.
Alain Dastros CIMA
Severin Finance Ltd
117 Piccadilly
London WIJ 7JU
Severfn Flnarte Ltd
CIUA Membpr In pr*Jk¥
2 DalmtyJth Slretl. L￿0￿7. SWIH
Rrytsi6rgA in Engl¥fid and Wales t4). 089)1829
UK VAT Re9. No 162 1W93
Date:
ZJ i
2022
13