CHARITY REGISTRATION NUMBER.. 1193360
Cheshire Evangelical Trust
Charitable Incorporated Organl•atlon
Unaudited Financial Stat•m•nts
31 March 2024

Cheshire Evangelical Trust
Financial Statements
Yearended 31 March 2024
Page
Trustees, annual report
IrKlependent examinerfs report to ts tnA%tees
Statement of financial activrties
Statement of financial position
Notes to the financial statements
The following pages do not forni p*1 of the flnanclal ststements
Detailed slatement of financ￿1 athitses
Notes to the detailed ststeM￿t of activities
12
13

Cheshire Evangelical Trust
Trustees. Annual Report
Year ended 31 March 2024
The Iruslees Present their r&port and fin8nci81 ststements of the charity for the period
ended 31 March 2024.
Reforen¢• anit admlnl8tr8tlv• d6ts1
Rtylsternd charlty name
Chesh're Trust
Charity registration number
1193360 2 February 20211
59 Rod
Appl8
Warmglf
WA4 SAL
Prlncipal offl¢fj
The truJt••¥
MfSCGr•y
Mr R J 8rLK*
MrSJBr
MrDRBr￿•
XX- Tn￿ th"spensation
Indepgndont èxamln•r
Giles PAattrx** FCA Charter8d Actounlant
18 Mulberry A¥•
Tum5kn8 Park
Widnes
Ch881¥re
WA8 OWN
Strueture, govèrnance and manag•nwt
The Charity is managed on a daily basis by tr* l••d Trustee Mr S C Giay and Adminlstr8lor Mr A D
ObJKtlv•8 and a¢tlvltles
To SLSPPOrt Charities and Individuals invdv•J kn Ev•yllsm, Education. Relief of Povety 8nd Social
Care IhroughoLrt the UK and the wider TrAryld.
The ChBrity also offers administrative wjF¥X￿ lo *wJividuals in the execution ol their charitable
donations.
Achi•v•ments and ￿rfO￿nanC¢
During the period lo 31 March 2024 ts Ct• swrted numfjrous Organisalions and individuals
gimng £61,535 from income of £55,757 tXxY¥J 2022 funds of £236,784 were transferred from
Frodsham Evangelistic Trust (Charity I¢A8825 1 wh8n it was wound up in accordan￿ with the
Trust Deed. Of that total, at the year erMI a £4,846 femains in reslr4ctsd funds as il is s*Jbjecl lo
the wishes of what were the Trustees of Frodkn EV*￿91[%11¢ Trust.

Cheshire Evangelical Trust
Trustees, Annual Report (¢ontrn
Year ended 31 March 2024
Financial ravigw
Overall resfjNas deuoased lo £217,869 in th• ww)J.
Reserves Policy
11 is the policy of the charity that unrestrthd have not been designated for a specific use
should be maintained al a levd equivalent to at loast six months expenditure. The trustees ¢J)nssder
that reserves at this lev&1 will 9nsure that, in •¥•rt of a signiflcanl drop in funding, they will be able
lo continue the charity's current acttvrt￿$ wlMl• ￿￿O￿$•ration is given lo ways in whid) additsonal funds
may be raised. At the balance Sheet d•te th• l•b*l of free reseNes is considerably higher than thss.
however, it is expected th81 planned expenditift in the next eighteen months will reduce the level of
reserves. sU￿1￿s funds arg placed on dekv)SA.
Public 8•nefh Statement
The Charity's main activrtias are dgsubed ￿ tr• obpclives and activTties Statement. SLtpport lor
organisations and individuals involved in education, relief of poverty and social care is
mainly by monetary grant.
Gifts made to organisalions and indivhknls wY401¥•d in wangolism included gifts to, L&S Dewhurst.
Living Waters, YWAM, Life Chur¢h Wmigkn. St &thns Hartford. Navigators, Warrington House of
Prayer. S J Wood. J Cavanagh, Com8rnknna C*A*th lrt. and Ollvla Rigby.
Grants made lo organisations in social and we induded Living Waters. Care, Right to Life.
Epiphany Trust and Christian Solidarty.
The charity trustses confimi that they have with their duly lo have due rogard to the
guidan¢e on public benefit published by the CL¥TrM￿ in oxgrcising their powers or duties.
Plans for future yrlod$
The charity was incortM)raled on 2 February 2021 to ￿￿tinue the otyectives of Frodsham Evang61istic
Trust ICh8rity number 10588251 The chwity I￿1 cffj on the operations as seen in the publK bengfit
statement as seen above. adding to the IK4t ol b•rkn' s.
The Iruslees, 8nnual report was apyov•d w 6th 2024 and si
trustees by..
on behalf of the board of
ph
Trustee
Charfes Gray
Rithard John BNce
Trustee

Cheshire Evangelical Trust
Independent Examinerfs Rep¢)rt to th• TN•tees of Cheshire Evangelical Trust
Yoar ended 31 March 2024
I report lo the trustees on my examinatr￿ ¢y *• fin•￿la1 slatements of Cheshire Evangglical Trust
I'lhe charity'l for the year ended 31 Marth 2024.
R•spon$lbilitlos and basis of report
As the trustees of the charity yoil are resttyrfbb8 tr the preparallon of the flnancial slalements In
accordance with the requirements of the Chw#*s Aci 2011 Ilhe Act.).
I report in respect ol my exaTninalion of Ihe knancial statements carried out under section 145
of the 2011 Act and in carrying out my exankn￿ I have followed all the applicable Directions giver)
by the Charity Commission under sects"￿ 14gSMbl the Act.
Ind6pond•nt 8Xomlnorf# $t•temgnt
I have completed my examination. I ¢￿firM Ih•l rK) material Matte￿ have come lo my attention In
connection with the examination gwing me c*￿• kn b•lieve that In any material respect..
ac¢x)unting records were not kept in ryt of the charity as required by section 130 of the
Act.. or
the financLg1 st8tements do rnt accorf t*th IIKIs8 records,. or
the financial statements do Tr)t c(YnFty wilh the applica￿e requirem8nls conceming the
form and content of accounts set ￿ Ml tr• Charities (Accounts and Roportsl RegUlat￿S
2008 other than any reqUireM￿t th•t ** xcounts give a 'lru8 8nd fai￿ view which is not a
matter considered as part of 8xamin8lion.
I h8v8 no concerns and have come arxoss matters in Connection with the examination lo
which attention should be drawn in rw in tyder lo enable 8 p¥oper undeistanding of the
accounts to b8 reacw.
Giles Mattocks FCA
Chartered Accountsnt
Independont Examingr
18 Mulberry Avenije
Turnstone Business Park
Widnes
Cheshire
WA8 OWN
61h June 2024

Cheshire Evangelical Trust
Statement of Financial Activiti••
Year ended 31 March 2024
2024
2023
Total
Funds
l*Y•¥trKaed Reslricled
funds Total fttnds
Income and endowments
Donations and legac￿S
Investment income
51567
51567
487
41
4190
1186
Total income
S5757
55757
49892
Expendiiuro
Expend¢ture on charitable activities
(7
796
2987
59783
68763
Support Costs
Total expenditur•
1752
1752
1728
2987
61535
70491
Net expgndltur8 and net movement In
fund$
127911
129871
(5778}
1205991
RoconcSllatlon of funds
Total fur¢ds brought forward
21 $814
7833
223647
244246
Totsl funds Corr[￿ for4Yard
21￿23
4846
217869
223647
The ststemenl of finan¢i81 activities incknjes ￿ g￿$ losses recognised in the year.
Al income and expenditure derive from ¢￿tIM￿ thilies.
The noteg on 11• 11 l•nN 01th￿ flnaT￿l41 $tat•monts.

Cheshire Evangelical Trust
Statement of Flnancial Position
31 March 2024
2024
2023
Note
Flxed assot$
Investments
Current assots
Debtors
Cash at bank and in hand
218421
224175
218421
224175
Creditors: amounts talllng due wlthln •n• y•w
Net current assets
12
552
528
217869
223647
Total assets less CUfTont Ilabiliti•s
Net assets
217869
223647
217869
223647
Funds of tho Ghartty
Restricted funds
Unrestficted fund5
4846
213023
7833
215814
Totsl tharity funds
13
217869
223647
These ffnancial statements were approfftl by ty
June 2024, and are signed on behaff of the twd by..
of trustses and authorised for issue on 6th
Ste
Trustee
ades Gray
Rithard Jo
TDJ8tse
n Bruce
Tho notsB on p499• 110 11 Iw• w of tho¥e financlal staternents.

Cheshire Evangelical Trust
Notes to the Financlal Statem•nts
Year ended March 2024
Gen•ral Infomiatlon
The ch8rtty is a public ￿nefft entity *MI • r•gbsl8red charity in Engla￿1 and Wales and is
unincorporated. The address of tl* pr￿)￿ is 59 Red Lane, Appleton, Warrington, WA4
SAL.
stst•m?nt of compll•n¢e
These financial stslements have in compliance with FRS 102. The Financ41
Reporting Standard applicable in th• UK the R8put4ic of Ireland., the Statement of
Recommended Practice applicabl• kj woparing their accounts in accordance with the
Financial Reportir¢9 Stsndard app1￿•blO ir¢ UK and Republic of Ireland IFRS 1021 (Charities
SORP IFRS 10211 and the charit￿ Acl 2011
Accountlng poll¢l•s
8a81$ of preparation
The financial statements have been on the historical cost basi5. The financi81
stslements arg prepared in stèrtry WWI li th• kniclKj￿¢ cutrency of the entity.
Golng con¢em
There ar& no mal8ri81 uncertainties abc*rt tho dwty's abilty lo continue.
Dlsclosure exemptlons
The entity satisfies the criteria ol beiTrJ • w•hfying onlty as defined in FRS 102. As such,
advantage has b&en taken of the folb*ry di•dosure exemplicns avallable under paragraph
1.12 of FRS 102.. {al No cash flow 5tatafft￿ h•s been preseoled for the company.
Ibl Discfosure$ In res￿1 of financl•l instr￿n￿¢S havg not been wes8nted.
Judgements and key sour¢o8 ¢)1 w￿rtaInty
The wepardlion of the f￿an￿￿1 sta*nwts requires management to make judgements.
estimates and assumptions that 4ff•cl rgWrt8d. These estimates and judgerrents
are continually reviewed and are based M •xpThnce and other factors, including expectations
of future events that are believed to be r•a•cm&* under the circumstsnces.
Fund accountlng
un￿Stricted funds are ava￿a￿• fr* u•• •t th• discretion of the trustees to further any ol the
¢h*ity's purposes.
DesvJnated fun(ts are unrestricted •wrn•*•d by the Irustses for particular fu￿re project (
commitment.
Rostricted funds are subjected to res*thY* on their expenditure dedwed by the donor or
through the terms of an appeal. arKJ fa# of two Su￿lasSes.. reslricled income fvnds or
endowmgnl ftJrKIs.

Cheshire Evangelical Trust
Notes to the Financial Statsm•nts
Year ended 31 March 2024
A¢¢ountlng pollct•8 (¢ontlnu•tlJ
Incomlng resour¢es
All incoming resources arn includwj in sl•t•m6nl of financi81 acts'vities when entitlement has
passed to the charity", it is wob8bl& th* •rAJnomic bweffts associated with the transaction
will flow to the charity and the arrKwnl be rnhably measured. The following specific pol*C￿$
are appti8d to parkncu18r cale9ories of irKom&'.
income from donalw)ns or gfants is rw)Mod whon theie is evidenc$ of enlillement to Ihe
gtft, receipt is probable and its am(xrt ￿ be measured reliably.
Iggacy income is fecognised ￿en rwjt i8 probab￿ and ￿titlement is estsblish8d.
income from donated goods is m•a•w•d al the fair value of the gocds unless this is
impractical to measure reliatly. in *tK*Tr caw the value derived from the cost to the don(x
or the estimated resale V4￿. 0￿*￿1 facilit￿8 and serv￿8 ar0 rgcognised in the
accounts whèn received rf t￿ valu• reliably measureAI. No amounts a￿ indudsd for
the contribution of general v(kntews.
income from cOntr￿lS for the $￿ty of servicas 1$ recognised with the delivery of the
onlfacted seTViC8. This is d•ssrf•d * wirestn'cted funds unless ther8 is a wntractua
reqLEiremenl for il lo be SFenl M a p•tcu* purpw and retttrn8d rf UnS￿nI. in which case
rt may be regarded as restric￿1.
Resources expended
Expenditure is recognlsed on an accNals b•w• •$ a Ilabllity is in¢Ltrred. Exp8ndkure Includes any
VAT which cannot be fully recover8J, wxl classified under headings of the statement of
financial ath"vitsgs lo which il rgL3tM".
gxwndilufe on raising fijnds the Costs of all fundraising activities. evenls,
nonrycharitsble trading act4Vrtl￿, aTrJ Ih of donated goods.
expendilure on charitable activtrti￿ all costs incurred by a charity in undertaking
actwities that further its charrt4bl• the benefit of its bengficiaries, including those
SUFPOrt costs aThY costs rdatry to of the charty apporth)ned to charitable
a¢livilies.
other expenrfrture in¢1￿leS ￿ exp￿ that is naither related to raising f4Jnds for the
Ch￿'¢Y nor part of Its 8xpenthtur8 ￿ th•it•*)be actNilies.
All costs are allocated to expendth refl8cting the use of tho resourca. Direct costs
attributsble to 8 single acliwty are to that activity. Sharèd costs are apportioned
between the acttvilies they contribute to cm * r••￿￿8b1e, justifiable and consistent basis.

Cheshire Evangelical Trust
Notes to the Financial Statem•nts (w•*•¥•*
Year ended 31 March 2024
Donatlons and1ogacl•s
Umtrrt•J Restr¢cted Total Funds
Funds
2024
Tot•1 Fund
2023
Donatlons
Donations
51567
51567
48706
4x706
Invo8tment income
Total Funds Total Fund•
2024
2023
FLY
Bank int8resl receivable
41
4190
1186
Expenditure on charltable
actlvlties by fund type
UrKestr•J Restric￿ fotal Funds Total Fund•
FuThYs
Funds
2024
2023
'recl Charitable AclNities
Direct charitable 8xpendilur8
567
2987
59783
68763

Cheshire Evangelical Trust
Notes to the Financial Statem•nts
Year ended 31 March 2024
Exp•nditure on charitable acti¥i¥•• type
Acttvities
undertaken Total funds Totsl fund•
directly
2024
2023
Direct Charitablg Activities
59783
59783
68763
Support Costs
Administration
Legal and ProfessKJnal
Independent examinatlon foes
1200
1200
552
1752
1200
2024
2023
Fees payable lo the independent fry."
Independènt examination of Ihe firthci•t •ta*Thnts
552
528
10. Staff costs
The total staff costs and em￿0ye• bonrfts fty th• roporting period arg analysed as follows..
The average head counl of ernpby￿ tt• pertod was Nil.
No employeè recewed employee ￿efft1 d nYM• than £60.000 durfng the period.
11. Trnst•e rnmunoratlon and •xpMw•
no remUnerat￿n or other bernfits fr¢yM •n*1ym￿t with the charity or a related entty were
received by the trustees.

Cheshire Evangelical Trust
Notes to the Flnancial Statem•rt•
Year ended 31 March 2024
12 . Credftor5: amounts falllng du• yw
2024
2023
Accwals and defeThed income
552
528
13. Analy$l$ of char5tsblè funds
Unrnstrlct•d funds
1 Aw'l
2023
At 31 March
2024
Income Exp8ndilur8
Gonerdl funds
215014
55757
{58548)
213023
Restrlctod fund8
*A1
At 31 M•rch
2024
2023
Ir￿oMe Expenditure
Restricted Fund
7&33
129871
4846
14. Anaty$l$ of n•t assets b•tw8•n Iwdl
Total
Funds Total
2024 Funds 2023
Ih•stykXed Restricted
F￿￿S
Funds
Investments
Curr8nt assets
21￿23
217869
223647
Net ￿50￿
21 X123
4846
217869
223647
10

Cheshire Evangelical Trust
Management Infomialion
Yearended 31 March 2024
The following paw do nat l•vm of the flnan¢lal statements.
11

Cheshire Evangelical Trusl
Detailed Ststement of Financial A(ahlll••
Year ended 31 March 2024
2024
2023
In¢om• and •ndowment$
Donatlonj and l•gacl•$
Donations
51567
48706
Investmant income
Bank irslerest ￿CeiVable
4190
1186
Totsl income
55757
49892
Expenditur¥
Expèndlture on charltsble actlvltl•s
Legal and profession81 fees
Travel costs
Administration
Grants and Donations
552
528
1200
59783
1200
68763
61535
70491
Total ¢xp•Trdithre
61535
70491
Net deficit
15778}
1205991
12

Cheshire Evangelical Trust
Notes to the Detailed Statem•nt of Flnm¢l•l Activities
Year ended 31 March 2024
2024
2023
Expenditure on Charltablo a¢llvltl
Direct Charltable Activit￿$
Actlvitles umlertakon dlre¢tly
Legal and Profes&on81 Fees
Travel Costs
Administration
Grants and Donations
552
528
1200
59783
1200
68763
61535
70491
Expenditure on ¢harltablo actlvlt
61535
70491
13