REGISTERED CHAR￿ PWMBER: 1189932
REPO
E TRUSTEESA140
NAUDffED FINAN
THE YEAR ENDEO 31 OECEM8£R 2023
FOR
CHRISTIAN UFE CHURCH

CHRIST]AN UFE CHiMI
ATEMENTS
FOR THE Y
R ENDED
Page
Ito2
Report of theTTttstees
Independert E¥amlnerfs Report
StatemeiTtof Financ￿41 ktivlties
Balance Sheel
Notes to the Flnanclal Statements
6t09
Detslled 5tstement of Flnat)clal ACt]￿tIeS
iotoii

REPO
OF
E TRUSTEES
KJR THEYEAR ENDED 3
The trusteE5 present their report with the financial ststèments of the ¢harty fortheyear ended 31
Oe¢ember 2023. The trustees have adopted the wpvtslons of Accountlns arkd Reporhng by Charltfes:
Ststement of Recommended Prdrtice ￿p￿kable to charities Pfepafing thelr a¢cwnts In accordance wlth
the Flnanaal Reporttn8 Standard applicable in the VK and Republk of IrelaThJ £FRS 1021 leffecuve I
January 20191.
RUCDJR4 GOVERNANCÈ AND MANAGEMENT
Go￿￿￿n8 document
Chrbtlan Ilfe Church, a Charitable In¢omoRtsd Of8ank5allon (aol, Is ihe reg15tered veldde torthe
Church based on Ed8arStrerf ￿rthEn the thrlsllan Ufe Centre.
The CIO was setup in June 2020.. Hereford Chrtstsan Conwnunlty T￿$t(sI0174) tr3nsferr¢d Its
¢peratlon5 to the ChrLstlan Life Church {11899321 on lstjantsary 202L
The cio ha5 adopted a foundation model ￿nStibjIknn whlth Is con51dered the GovernSns Document,
REFERENCE AND ADMINisfRA71VE DETAILS
Re8tslered CharTty number
1189932
Prlndpal address
Chr15llan Ufe Centre
133 E￿arstreet
Hereford
Heyefordshlre
HR4 9JII
Trusl
KG Klndamba
M Farkas
Ms E Audge
C P Rud8e
J Lowther
Independ¢nt E¥amlner
A J FrÈncls & Co
M8rshall Business Centre
FaTaday Road
Hereford
HR4 9NS
Page I

REPORT OF THETRUSTEES
Redewfoithe Year
Thisyear saw number Df n*mbers malntalned or 51ightty Inuea5e.1ts 3 conyJe8atlofts In Hereford. Ross
and Leominster continue to be lively and acirle. The Rosscongfegation was meetlns In the old Chrfist
church Mèthodlst thorth ￿JIldINg0￿ Sunda¥s but thts was sold and they now hire the La{rUp￿ Centre
on 5¢5ndays.
Revlve communlty cafe in Christtran Life Centre. contSnue5 trj be a hub of actmty during the week, It ran
at a small loss but brings many benefitsto the cormwnity. TheTalk Communlty Hub Nn by the Revlvo
manager Is well spoken of by the counrll. Vaw•U$8foup5 hire rooms irt the ttntre, Includin& groups from
the coun¢H. NHS and a local youth chartty. Their adivltie5 allÉn wlth the thurthes to serve the
tommunity especlalty those In need lirttluding some with menrdl healih Issues and dernenttsl
The chur£h benefits from Fts links wfth othÈr local d)urdw ond Is Invo￿￿ In regular 5olntworship
events, known as°CFty Praiso. We atso Lwfft from Our connecdon to the Catalyst network of
churches. Leader5 of Christlan ufe (hurth particutarty benefft from the tnput and ad¥l¢e of Catalyst
leader
The tru5tÈes have set our reserves poly as to hold In reseNe a mlnlmum of 2 months. expenditure and
are happy wlth the adequacy ofthe levd of reserves held.
Appro¥ed by order of the board of trustees on IQ Ortober 2024 atyj s*ned on its behalf ￿.
J Lowth¢*-Trustae
Page 2

NDE14T EXAMINE '
LISTEES OF
CH
N UFE OIURCH
Independent e￿mInE￿5 reporttrj the trustees ot Chr15tian Life Chu￿￿
I report to ihe charlty twstees on my e¥amlnaOon of the accounts of Chri%tian knfe Churth Ithe Trustl for
the year ended 31 December 2023.
R4sponslbllltlts and basls of re
As ihe charity trustees ofthe Trustyou are responsible fof the preparatioNof the attounts in aCcorda￿e
with the requkements ofthe Charttle5 Art20111'theAct'l.
I report In respect of my examlnatlon ofthe Trust'saccounts carried out urrtler se¢tlon 145 of the Act and
In carryln& out my ex3mIna￿￿ I have followed all applkable Dlrecdonsg5¥en by the Charlty Commtsston
ynder section 145151(b) of the ACL
Independerf ex#mln¢rfs statemefit
I ha¥e completed my examlnatton. I tonftrm that no materlal maitsKS have come to my attenoon In
connÈction wlth the examlnaljon gMn8 me cause trj believe th* in any material Tespert:
accoufttlng retords were not kept In respect 01theTh￿ as required ￿ 54cUon 130 of Act; or
the atCOLEnts do not a¢cord wlth those records: or
the accounts do not comply with the appllcabk requirements conrernlng form and content of
accounts set out In the CharkrlÈs (Accounts and Reports) Aegul*ions 2(K18 other th4n any
reqi¥rement thatthe atcounts 8lve a true and hlrview whith Is nota mattercon51dered as part of
an Independent eyamhatk**.
I have no concerns and have come acros5 ￿ other matter5 in conne¢ttonwth the ewnination towhlch
attentlon 5hxdd be drdwn In th5$ repwt In 0￿ert0 enable o proper understandlrE of the a¢¢ounts to be
reached.
P4A Houston FCA
The Institute of Chartared Accovntants In
EnBland and Wales
For and on behatp.
RJFrnrth&Co
Marshall Business Cent
Fayaday Road
Ftereford
FtR4 9NS
16 October 2024

tHRisfiAN LIFE
MEpifoF FINANaAL ACTivmES
FOR THE Yt4R ENDED 31 DECEMBER 2023
Umestrfcted
Funds
trlcted
Funds
31.12.23
TotaE F￿d$
31.12.22
Total Funds
D EAOOWME
Donatlons ond Lepcies
188.202
7.093
195.295
209.730
Othertradln8 ¥¢dvltkes
Other Inccsme
20A67
28,495
20.867
37999
11.362
18,534
Totsl
237564
16.597
254,161
239,626
ENDETVRE
Raising Funds
blè
Chrfthan Ufè Churth
RÈvlve
205.894
7.741
A6.178
222.072
7.761
234,214
3.874
Totsl
213.635
16,198
229￿3
238,088
COME
DEHC
23,929
399
24328
1.538
ou
39A87
6.341
44,290
TOTA
WARD
63A16
6.740
7Q156
45.828
The notes form part of these ftnantial st*ements
Page 4

RisfiAN UFE CH
31 DECEMBER
31.1223
Tot•1 Funds
31.12.22
Totsl Funds
FIXED ASSEYS
Tanglble wets
518.321
79,509
CURRENT ASSFrs
Debtors
Cth at b?nk and In hand
29,591
475lS
29591
54575
31308
87,056
77,106
84.166
119,364
CREDrroi
Amounts fallln8 duè
wlthln one year
523.173
532331
IS3,￿5
NEf CVIIRENT ASSETSI U4BiimES 14U6.0671
12,0981
1448,1651
133,681)
TOYALA&WS LESS aJRREKr
UABKMES
63,416
6.740
70.156
45,828
63A16
6,740
70,156
4S,B28
FUNDS
Unrestrkted fun(ts
Restrtcted funds
63.416
6,740
39,487
6,341
TOTAL WNDS
70,1
45%
T￿financIal$tatÉMPntsWere approved bythe Boardof Tnsteesand authc¢ri5ed for Issue on 16 Qctobkr
2024 and were signed oh its behalf by:
J Lowther
The notes form part of these Iln¥ntlal 5tatEments
Pa8e 5

E14TS FOR YHEYEAA ENDED31 DECÉM8ER
ACCOUNnNG POL￿£5
88sTs ot PTepaElnithe fftnanctal statements
Ihe flnJnd¥l st•trments of the tharlty. whkh 15 a ￿1¢ benefft ￿Tr￿ty under FRS 102. have been prepared
acc￿rtanCe wfth the ijtarttles SOAP IFRS 1021 'Accounting arh4 Aepjrknnq by Ch2dtSes: Statement of
Recommended Pra¢tlce applkabje tO£hart￿SprePa￿￿gthe1r1cC0UTrts ts) 8ccordènce th4th the Fts)andal
Aeptirting Stand3rd applioble In the UKand RePU￿1COf Iretsnd IPKS 1021 leffe¢tfve l January 20191..
FInancI￿ Repo￿￿8 stsndèrd 102 The Fkiwctal Reportingstsndard applk*k In the UK ar￿ Republk of
Ireland. and theCharthsAct 2011.The fina￿181 5kEwr*ntsha¥e been prtpared underthe hlstorxal ¢05t
AH Income1s¥EcoBnlsed knthèststementoFFknandalAcbvlueso￿ethe(￿lrftYhas en11￿eMenttOthefijnd%.
It Is probable thatthe In¢rm¢ VAI be rec¥￿1 ¥nd the ￿￿Unt£0n be measured yt￿abty.
Exp¢nthtur•
L¢abilitles are I&(￿sed05exPQndIl￿•as so¢>n￿th￿¢1$¥ lerfal w co￿tr￿ obl&atlon ts)mmll11wthe
thaylty to thateXpend1tu￿ Itts prthawethat atransfer ofeconornSc benefits will be reqUI￿d In sethement
ondtheamoun¢oltheoWi8ation can be meèsuredreliably. EXpendSlu￿ Ls acuJtsntEd brJ)nan ac¢ruo1sba515
and ha5 been dassSffed thjor headings that 38¥reBate al c05t related to the tategory. Where costs cannot
bt dIreCt￿ attrlbuted to head1rgsthtyhaveb￿n alocthd toathties ofi a bas15 tonstsierrt¥Ath
thè usè of ￿$oUr
T4ndbl*fixEd assets
opfedatlon Is Pfty4lded at ￿ fdftming annual rates In orderto wrlte off asset over Its estimated
Frethol& proptrty
$pprts art
Fhrurdand lstsf
. in accordarKe wlth the prope
. 25% on redudnE balar
- 25% onreducing bajance
T3xatltYh
The chkn bexérnptfromtsx on Its charlta>le a¢li4its
F¢Jnd a¢etsurtln8
Unre5tfi¢ted lurthcarb bewedltt3cco￿èTrteWrth the ¢haritsWe obJe¢tivesat thedlscr¢tfon ofthetrust&
Restrlcted l¥nds (aA onty be lor parti¢ul•r re5tEthd purpDses wlthtD the objects of the thatlty.
Rtsttkdons*rfse whÈo specffied14 the donor of When fvnds art rd15ed torparkn￿ar restrkted ptwposès.
FvrthÈtexplanhUonofthe nature and purposeof each fund ts lrtluded Inthe notes to th¢ financial
ststements.

cHR￿l￿N UFE CHURCH
DED3
2023
2022
OTHER TRADINGAcnwriES
Revl¥tSaEes
20.867
IL362
RAISW4G RINDS
Pmperty repatrs
TRiISIEW REMUNERATION AND BENEFTrs
There were no truste¥5f*nuneraknorother beythforthe year4nded 31° D&tembèr 2021 nrrffor
t￿￿rended 3111 D¢cember2022.
Tlwe were no twstee< eynses pald forthe year¢Trded 31Yt C*cember 2023. norfor the yeai ended
311* DecEmber2022.
TANGIBLE FIXED ASSETS
Frethold
Property
Sports
Flxtures
& fittings
TotaEs
£osr
At l Jan2023
Addlllor
65355
434.896
593
23JOI
8.150
89,049
443,046
At 31 Dec 2023
51)0.251
593
31251
532,095
DEPRECIATION
At I hn 2Q23
Charge for Year
259
83
9281
4,151
4,234
At 31 De¢ ZOZ3
342
13.432
13,774
NEf 8OOK VALUE
At 31 Dec 2023
s￿,251
251
I1￿19
518.321
At ljaft 2023
65355
334
I3￿20
79509
Page 7

UFÉ
EFIN
END
2023-
DEbT0115: AMOUPITS FALUNG DUE WFtTrlPl ONE YEAR
31.1223 31.12.22
Other debto
Prepayments andaccwed Income
23.327
6.264
26A45
5,863
29591
32,308
CREDrrw: AMovKfs FAWNG DUE w￿MIN ONE YEAR
31.12.23 31.12.22
bank loan5 and overdrafts {see rK)te 81
Taxatlan and soth15erurity
Other ¢reditors
6,642
L775
144.628
530,287
532.351
1$3,045
LOAN5
An inalFls of the maturfty olloans ts 8lven belThv.'
Anwunts falling due +*thln oneyear on demand:
Banko¥trdrafts
NM
6,642
Net
movèment
in funds
MOVEMENT IN FUNDS
At l.L23
At 31.12.23
Unrertrfrted funds
General Fund
23,929
63,416
R¢5trlrtedfunds
Restrkt2d
6,341
6,740
Total Funds
45,828
24.328
70,156
Page8

140TESTOTHE FINANCIAL
MEiirs
I DEC£M
R2023-
Net movemelit In funds, Induded in the aboNE are as folltt
In¢i)mlnB Resoufces
Resour￿$ expanded
Movemert
Funds
At 1.123
Unréstri¢ted funds
Genernl fund
39.487
237.564
213,635
63A16
Rostrkted funds
Re5trirted
6,341
16.$97
16.198
6.740
TOThi FUNDS
45￿28
254,161
229.833
70,1
Cornparthes fur movemort Infunds
Net
m(wement
In funds
Trartsfer
At
31.12.22
At 1.1.22
funds
U•rèstrl¢ted fvnds
General lund
Restrkted fund5
fte5trtrted
1628
39087
7,431
{l.￿j0)
6,341
Tot￿ Funds
44,2
1.538
45,828
Comparative net movemem in funds. Sncluded In the above Jre 35 follow".
Incomi
Resouros
expatvled
Movement
Ftmds
Utt¥*str5rted fun
General bJnd
Restrlrted funds
Restrtcted
222.912
220,284
2,628
16.714
17,804
Ii.OXt
Total Funds
239.626
238,088
1,538
10. RELATED PAAfi OISCLOSURES
There are ng related partytransxtion5 forthe ￿arended 31 DecerAber 2023.
Pagè 9

FECH
FOR THE YEAR ENIXD31 DECEM
2023
2022
INCOMEAJID ENDOWNMEPITS
Dottatlonsand Lop¢les
Oon0tion5
Gfft Ald
Giants
152235
33556
165,239
37,776
6,715
195,295
209,730
0th4r YradlnRActs¥lllos
Revlve Sths
20,867
IIA62
Other Irtcome
Other Income
Rental
21.799
162orJ
18,$34
Totsl In¢rfflln8 Rewurc•s
254.161
239.626
EXPENDinJRE
IDvestmMt Manatement Costs
Property Repalts
chall￿b1•Act￿t[es
Wa8es
Rent. Rates artd W*
In5Utance
Ught and Hlèt
Tdephone
Postage and Ststk)nery
Sundrles
Repairs ènd R¢rw4als
Events and Acuvltles
Food and Caterlng Costs
Mlnlslry Support and Expenses
Gfft5
Chlldren and Yixrth CDst5
Card and StAye F
DeP￿1￿￿on a￿1 Tangiblt Ftsed A95ets
Mortpge Inierest
Nank Char8eS
137.368
128,133
837
4.222
5,824
4,154
5,577
1,261
4.45ts
2,IYJ6
13.757
19.443
7.761
5,391
13.572
2.129
13,773
3,874
8,646
12,735
1,836
4,315
2,358
178
2.432
224.929
235,851
This pa¢t&o¢sts*fNmprtoltt**3wtWbl)abK*lst•teFnerts
Page 10

RisfL4N UFÈ
FOR THEVTAR E140ED 31
BER2
2023
2022
Support Corts
Govemance Costs
Legal ond Prole5slonal Fees
Accountancy Fees
2.555
2.349
478
1,959
Total Resource5 Eyperthd
238.68B
Nrt In¢ome
£24328
£L538
Page 11