Carn]el Ministries UK Trustees Report and Accounts for year ending 30/4/2023 Registered charity no. 1194400
Carmel Ministries UK Trustees Report and Accounts for year endRng 301412023 Le l & Administrative Detsils Registered Clwity No. 1194400 Trustees: Barry Cheesman Barry Richardson Tagaram Ebenezer S&5ty Peter Smee Registered Address: 12 Stable Lane Seer Green Bucks HP9 2Yr Bankers: CAF Bank Independent Examiner: Roxanne Fox 4 Radley Avenue Silver End Essex CM8 3GJ
Carmel Ministries UK Trustees Report and Accounts for year ending 301412023 Legal & Administrative Details Report of Trustees pp 4-5 Independent Examin&s Report Receipts & Payments Account Statement of Assets & Liabilities
Carmel Ministries UK Trustees Report and Accounts for year ending 301412023 Report of Trustees: Structure Governance and Man ement: The Charity was registered in May 2021. Four Trustees were appointed at inception and these continue to serve in this capacity. Details as per page 3. of Ob'ectives: The Objects of the Charity are to support the charitable activities of it's parthers in India. Funds are granted to support church planting, p&storal rninisty. the relief of poverty, education, training and healthcare improvements. There is signifiant emphasis on investing in projects that increase the wellbeing and life choices of disadvantaged children and young people. Activities: During this second year of operation. the Trustees have been delighted that donations have exceeded those made during our initial year of operation despite the increased cost of living. We are grateful for the generosity of all our supporters who have enabled us to make grants totalling approximately £44,000 in this reFK)rting period. All our grants have been made thmugh our principal Indian partner- Carniel Ministries, ElUr Andhra Pradesh. Our partrAer's Children's Home has continued to function effectively despite some disruption due to the ongoing construction work associated with the rebuilding of the Operational Centre. Once agai Si11r1C2nt funds have been allocated in helping to complete this vital work. 2 new church centres have been completed in rural villages. A sigt)ificant proportion of our funds have continued to be directed toward meeting the tangible needs of those serving with our partner in these nwal locations. We hop that the educational projects impacted most by Government imposed "lock- downs" during Covid-19 would be able to re-open during this year. Whilst this became possible, student registrations have been low. to date. due to some ongoing concern about the virus in the communities served. We are confident that the situation will have improved before our next repKlrting period. Risk Man ement: The Tntrs are aware of the need to ensure that donations are spent r¢sponsAbly and hav¢ systems in place that monitor both the award and application of all funds.
There is no Reserves Policy as we have no employees or managerial costs. All officers of the Charity are volunteers. Funds are transferred as soon as they become available and when ants have been approve We consider this report to be an accurate and fair account of the Charity's activities during the 2022-2023 reporting period. On Behalf of Trustees Barry Chee (Ch 27th October 2023
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Xs£ 1,7625) 1374AJ 1.043 137&•3 1.043. 2.37U3 C#*Lty3JZ3 11.ljl tffl) W 1 d I