REGisfEREDCHARITY NUMBER". 1189932
ETRU
FOR THE YE4R ENDE
M8ER 2024
Rl

CHRISTIAN
CONTENTS OF THE FINANCIALSTATEMENTS
R ENDED
I DECEMBER 20
Report of the Trustees
Ito2
Independent Ex•mlner'J Report
ststement of Flnan¢lo1 A¢llvllles
Balance Sheet
Notes to the FlTranclal Ststements
6t09
Detalled Statement ot Flnanclal Actly￿e$
Iotoll

REPORT OF
E YEAR END
The trustees present thelr report wfth the flnandal statemeftts of the charlty forthe year ended 31
Oecember 2024. The trustees have adtspted tl* pro¥Tslons of A¢counttn8 and Reportfn8 by Charnles:
Statement of Recommended Pracilce appllcable to Charl￿e5 preparfn8thelr accounts In accordance wlth
the Flnandal Reportln8 Standard oppllcable in the UK and Republlcof Ireland IFRS 1021 leffeC￿Ve I
January 20191.
STrUCTURE. GOVERNAN￿ AND MANAGEMENT
Govemlry docurnent
chris￿3n Llfe Church. a Charitsble Incorporated OrBanlsatlon ICIO}.15the reglstered vehlde for the
Church based on Ed8arStreet wlthin the Chrlsiian Llfe Centre.
The CIOwas setup In June 2020: Hereford thrlstlan CommunltyTrust15101741 transferred Its
ciperafjons to the Chrlsty3n Llfe Church111899321 on tsr January 2021,
The CIO hos adopted a I0￿datIon m¢)del ￿￿StItutIOn**￿1th 1$ ￿ft$1dered the Go¥emln8 Document.
AEFERENCE ANO AOMINISTrAnvE DEfAILS
Re￿1t•r•d Ch•rlty numb•r
1189932
Prlndpal address
a)rlstlan Llfe Centre
133 Edgar Street
Hereford
Herefordshlre
HR4 9JR
Trusteos
KG Xlndamba
M Farkas
Ms E Rud8e
C P Rud8e
J Lowther
Ind•p•nd•nt Exomln•r
A J Francls & Co
Marshall Bu51ness Centre
Faraday Road
Hereford
HR49NS
Page I

FTHETR
R ENDED
R¢vl¢wlor lh• Y••r
Th15 year saw number of members malntsined or sn8htly Increase. rts 3 congregallons In Hereford, Ross
and Leominster contlnue to be I￿elY and act6ve. The Hereford cor8regation has Its own bullélng for
Sunday5 and mld-week actlvmes. kn55 and Leomlnster congregatfons meet In hlred bulldln8s. We hav• a
group In Ledburythat meets In homes. thrted io trrtplorethe p￿￿bIlIty of 5tartln8 a con8regatlon In
Klngton.
Revive communlty ￿fe in Chrlst5an Llfe Centre, ￿n1$nUes to be a hub of artmty durln# the week. It
made 8 small profit thls year a5 well a5 brln8ln8 mary benefits to the communlty. The Talk Communlty
Hub run by the Revl¥e manager Is well SF)okefi of by the ￿￿tt¢ll. Various groups hlre rooms in the centre,
Includlng 8roups from the toundl, NHS and a It)cal youth charlry. Thelr actlvldes all8n wlth the churches
slon to serve the ¢ommunlty e¥)eclallythose In need I1￿UdIng sorne wSth mental health Issue5 ond
demen￿8)
The church beneffts from Its Ilnks wlth other local churches and Is Involved In regularlolnt worshlp
events. known as.clty Pralse". We also beneflt from our conf￿￿on to the Catslyst network of churche
Leaders of Chrlstlan Lffe Church partkularly benefit from the Input and advl¢e of catal￿ leader5.
The trustees have set DLtr reserves pollty as to hold In reserve a mlnlmum of 2 rnonths, expendlture and
rè happy wlth the adequaty of the level ol reserves held.
Approved byorder of the board of trustees on 15th Ortober 2025 arml slgned on Its behaWbv'.
J Lowther-Tru5tqe
Pa8e 2

NDEPEN
IN
R'SR
Independent wmlnerfs r•port to thetru5te•s oeth)qsll•n ilh Churth
I report to the tharlty tNstees on rny examlnallon of the accounts of Christian Ufe Churth (the Trust) for
the year en4Jed 31 December 2024.
R•sponslbllltl•s and b•sls ol report
As the thailty tnJ5tees of theTnJ5t you are responslblefor the preparatlon of the accounts In accordan¢e
wtth the requlrements of the Charmes Aci 20111'the Art'l.
I report In respeLt of my exarnln*lon of the Ttusvs accounts tarrfed out under sertlon 145 of the Act and
In carryln8 Out my examinatiThi I have followed all appltable Dlrect(ons 8lven bythe Charlty Commlsslon
under sectlon 14515llbl of the l£t.
Independent •x•mlnerfi •t*¢•m•nt
I hwe completed my exaMIna￿On. I confimi that materlal matters have come to my attentlon In
connection wlth the examln8ilon 81v[￿ me causeto bdleve that In any rTr4tsrlal respect:
Iccountlng records were not kept In rÈspert of the Tn￿t as requlred ty sethon 130 of the ACL. or
Ihe accounts do not accord wlth those records- or
the accounts do not compty wlth the appllcable requlrements concemlrvlthe form and conteni of
attounts set out In the Charttles (Accounts and Report51 Regulattons 2ry)8 other than e41y
requlrement that the accounts 8lve a true and falrvle*whlth1s not a matter consldered as part of
an Independent examlnatlon.
I have concerns and have come across no other matters In wnneL11on w￿h the examlnatlon to whlch
attentlon should be drawn In th15 report in ordef tv enable a proper understand5n8 of the accounts to be
reached.
A4 Houston FCA
The In5tftute of Chartered Accountants In
England and Wales
For and on behalf..
R J Francls & Co
Marshall Buslness Cent
Faraday Road
Hereford
HR49NS
15th October 2025
Page 3

UFECHURC
MENT
FOR THE YEAR ENDED
ECEWER 2024
Unrnrtrfcted
Funds
31.12.24
Tot•1 Funds
31.12.23
Totsl Funds
FuTrds
DEN
WM
Donatfons and LÈ8acles
FROM:
213.756
10.439
224,195
195,295
other tradlng actlvltfes
other lrncome
28,531
35.565
28.531
42.287
20,867
37.999
6,722
Totsl
277.852
17,161
295.013
254,161
Ralslng Funds
Chr15dan Llfe Church
Revlve
231,143
iOA48
19.374
250,517
10.448
222,072
7,761
Totsl
241,591
19,374
260.965
229,833
36,261
12.2131
34.048
24,328
L•1
63,416
6,740
70,156
45,828
RRIED F
99.677
4.527
104.204
70.156
The notes forni part ofthese finanual statements
Page 4

IIF
SH
I DE(SMBER
31.12.24
Totsl Funds
31.12.23
Total Funds
Funds
Funds
FIXED ASSErs
Tanglble assets
S13.230
8.692
52L922
518,321
CURRENT ASSErs
Debto
sh at bank and In hand
32,434
76.856
31434
82,129
29,591
54.575
5,273
109,290
5,273
114,563
84,166
CREOITORS
Amounts falllng
wlthln one year
522,843
9,438
532.281
532,331
NET CURRENT ASSET51 LIA8ILmES 1413,5531
14,1651
1417.7181
1448,1651
TOTALASSET5 LESS CURRENT
LIABILMES
99,677
4,527
104,204
70,156
NEY ASSETS
99.677
4,527
104.204
70,156
FUNDS
Unrestrlrted funds
Restritted funds
99,677
4.527
63.416
6,740
TOTAL FUNDS
104.204
70,156
The financlal statements were approved by the Board of Trustees and auth<xlsed for Issue on 15th
October 2025 and were s18ned or• its behalf ty..
J Lowther
The notes part of these ftrtanoal statements
Pa8e 5

UFE
HE
INAN
DKEMBE
ACCOUNTING POUCIE5
B•i150f prnythi th•ln•ntl•l rtatsrn•rtJ
The flnanclal 5tatement5 01 the tharity. whlth ts a wbllc bendlt entlty under FRS 102, have betn prepared
In accordance w￿h the Charldes SORP IFRS 1021 'ACcountI￿ Repcyllno by Ch•d￿e5. St•tem*nt ¢
R•tommended Practke applloble to charlttes prep4rtngthelraccounts In accor&nc• wlth the FlnJThd•l
Repordng stsndard 9p￿1(0b1e In the UK and Republlc of Irdand IFRS 1021 reffea1￿ l J•nuary 20191,,
Frmntlèl Repordn8 Stsndard 102'The FlnanclBI Reponin8 stsndard app1kab￿ In the UK and Republicol
Ireland. ond the Ch•rJ11•5 Act 2011. Th•tlnihdal stateménts have been prepred underthe hlstorkal aist
cotTr•ntlon.
Inp)me
All income1$￿C01n￿edlntheS￿temenIQlF[￿•nCW1Itl￿tteJorKethéc￿r1tyh11 entttlementtothefund5.
tt Is probat￿thI£ the Incom• WW be recew •nd thtamount can be measured ￿lL•b￿.
Ewwdftyr•
Llablllttes are reEognised as expendlture as soon as there Is a leyl or COr￿trUC￿¥e obltytiors tommlthn8the
tharity ro that typendrture, It Is probable ihat a tAnsf¢r of eCor￿mIe benefttswlll be requ1￿1 In settlernent
4nd th•4mount of theobliptlon can be measured reliab￿. Expendhure 1$ bccounted foron w •ttru•b b151s
and h15 bwn thsslfted und?r headlny tht gB8re8ate all cost related lo the c•te80ry. Whefe costs unnot
dlreEtly ottrlbut•d to partb¢v￿r h￿dI[￿ they have been wllmed to artl¥4fjes on • b•sis conjiment wlth
th• us• of ￿50*ar￿&
Tw¥lbl•ftM•d
Depredatlon Is wryAded •t the followlr* wnual In ￿dIr to wrltt off uch is5et over its est5m4ted
useful Ilfe.
Freehold pmperty
Sport5 Brel
FLYture5 ind fftttn8S
- In •£cord•rtce wrth the property
. 25% on reducln8 balarKe
. 25% on redwI￿a balarKe
T•v•tlon
The charftyls exew from tsxon tts tharhable actl¥ltres.
Fund •rwuntln4
Unwtrfcted funds￿n be used Inxcordmwtth thechirftsbleoblectlves at the dls¢feYon ofthètrnstees.
Restrlcted funds can on* be ￿Sed for ￿rtICular restri¢ttd purpDse5 wlthln the object5 of the chartty.
RÈxrlcdons arlse when specthed by the donor or trthen funds8￿ ralsed for parlEular re5trktpd purp05e5.
Further explanatfon ofthe nature and purpose ofeath fund is induded Inthe notes to the flnanclal
5tstement5.
Page 6

LSTATEM
ENDED
I DECEMBER 2024-contlnue
2024
2023
¢)ThEII IRADING AcrNm
Revive Sales
28J31
20,867
RAISING FUNDS
Proptrty repiirs
THiISTEES' REMUNERATION AND BÉMEFITS
Th•re wtre no trustee's remunerntlon Of 0thtrb￿￿￿ts1OrIthé yearended 31. Dqcembei 2024, noTf¢f
tttèyear endtd 31# December 2023.
TNrt••¢•xp•rb
Th•ri wer• no trustee5' t¥p•rw patd for the￿ ended 31. December Xt24, norfortré y•r ended
31" De<ernter 2023.
TANGIBIE FIXEO ASSE15
Freehold
Property
FlxtLrres
& flttlnBS
Totils
COST
At l Jan 2024
A￿dI￿On5
SLYI.251
593
31,251
9,105
532,ClJ5
9.105
At 31 Dec 2024
s￿.251
593
40,356
541,21XI
DEPRECIATION
At l Jan 2024
Charge for Year
342
62
13A32
5,442
13.774
At 31 Dec 2024
18,874
19.278
NEf BOOK VAWE
At 31 Dec 2024
5(O,251
21,4182
521,922
At l Jan 2024
500,2SI
251
17,819
518,321
Page 7

snAN UFE CHUIICH
NOTESYO TH
nNAN
AL
TEMENTS FOR ThE
ED
IDE
EMBER 20Z4-
DE8TOAS: AMOUNTS FALLW46 DUE WITHIN ONE YUR
31.12.24 31.12.23
Other debtors
Prepayments and accrued Income
26.224
6,210
23.327
6.264
31434
29,591
CREDITORS.. AMOUNTS FALU14G DUE WITHIN YEAA
31.12.24 31.12.23
Taxatton and sodal securSty
Other credltors
2,044
530,287
532,281
532,281
532,331
Net
m￿efflent
In funds At 31.12.24
MOVEMENT IN FUNDS
At 1.1.24
Lthr•thrtod lunds
Gener41 Fund
63A16
36,261
99,677
Restrl¢wl fvnds
Restricted
6.740
12.2131
4.527
Total Funds
70,156
34.048
104,204
Page 8

TE
THE FI
STATEMENTS F
YEAR ENDED31 DEC
MBER
Net movement In lunds. Induded In the above are as follthvs
IrKomln8 Resowces
R¢sour¢es expanded
Movement
Funds
At 1.1.24
General fund
63,416
277￿$2
241.591
99.6TI
Re5trlcted funds
Restrl¢ttd
6,740
17.161
19,374
4.527
TOTAL Ful￿$
70,156
295,013
260.965
104.204
Comp•rthfoY mo¥wn•rf In fund5
Net
Trdn51ei
between
funds
At
31.12.23
At 1.1.23
In fvnds
Unr•firfd•d funds
General lund
R•strlcted fundi
Restrlcted
39.487
23,929
63,416
6,341
399
6,740
Total Funds
45.828
24.328
70,156
Comparatlve net fflo¥ement Sn fund& Included In the abty¥e are a5 follthv:
IncDmlr¥
reSoUr￿S
Resourtes
e¥panded
Movernent
Fund$
Vnrestrlcted funds
Generdl fund
R*slrkted funds
*lestrlcted
237,564
213.635
23,929
16.597
16,198
399
Totsl Funds
254.161
229,833
24,328
RELATED PARTY DISCLOSURES
There are no related party transacdons forthe yeHr ended 31 December 2024.
Page 9

AILED STATEMENTOF nNANCIAL AcnvmES
R ThE YEAR ENDE
20241
2023
INCOME AND E14DOWNMENrs
Oon•tlons •b￿ L¢ptl¢s
DOna￿onS
Glft Ald
Grants
181367
37,106
6,722
152,235
33.556
225,195
195295
Oth•rTrwMniActfvftl
Revlve Sales
28,531
20.867
Oth•r Incorn•
Other Income
Rental
24.987
16,3L))
21,799
Totsl Incomh¥ R•wJrns
295,013
2S4,161
EXPENDrruRE
Inws¢m•nt Man•pm•nl Cmts
Property Rep#1
Ch•rltabh Atilvlil•s
Wa8es
Rent, Rates and Water
Insurance
Ll8ht and Heat
Telephone
Posts6e and sta￿onery
Sundrles
Repalrs and Renewals
Events and Athvltles
Food and CoterlTh8 c*￿ts
Mlnistry Support and Expenx5
Glfts
Chlldren and Ywth Costs
Card and Strlpe Fees
Depreda￿On and Tan8lble FIApd A55ets
Mortgage IntÈre5t
Bank Char8es
132,999
1,163
4,673
7,580
599
137,368
968
4,154
5,577
1,261
4.284
1.309
13,757
19,443
7,761
5,391
13,572
2,129
694
30,242
24.363
10,448
11,727
19,327
2.774
716
5,504
4,234
2,432
257,435
224,929
Pa8e 10

HRJsnAN UFE
MENTOF FINANaALACTNm
R ThE YEAR ENDED 31
CEM8
2024
2023
pport Costs
Go¥Èrn•n¢• Costs
Lè8al and Professlonal Fees
Accountsncy Fees
875
2,655
2.555
2,349
Totsl Resourcos Expended
3,530
N•t Incom•
£34,048
£24.328
Th5P•8e does Mtfom)partoftheststLrtwfflNrttsl slaternents
Page 11