RE515TERED CHARITY NUMBER: 1201263
Drt of the Trustees and
Urb3udlted Financial Statements
for the Period
tember 2022 to 31 December 2023
35@
for
Biserlca Raul Vietii
Henry R. Davls & Co. Limited
Chartered Accountants
33 Chester Road West
Queensferry
Dees¢de
CH5 ISA

Btserica Raul ViEIIi
of the Fi
l￿d3Se
ancial Statemen
tem
er2
22to31De
torthe P
mber 2023
PaÈe
Reportof the Trustees
IndependÈnt Examiner's Report
Statement OF FtnatKial ktlvltles
Balè>)ce Sheet
Notes to the Financlal Statement5
Detailed Statement ol Financial Activltles

Biserica Raul Vktii
Re
for the Peri
e Tru5
ee5
ber 202
Decemb r 2023
The trustees present their report with the finaDil85 slatements of the chafity for the period 3 September 2022 to
31 December 2023, The trustees have adDPt@d the provisions of Accounting and Reporting by Charities.. Statement of
Recommended Prattice applicable to charities preparing theif accounts in accordance with the Financial RÉporting
Standard applicable in the UK and Republic of Ireland IFRS 1021 lelfective l January20191.
oBJE￿IVES AND ACTIVITIES
Oblectlve5 and aims
The principal activity through the period under review was that of the advancement of the Chrfstian Faith,
accordance with the Basis of F8lth. IncludinE, but not limiied to the preventloTh arsd relSed fo need, hardship 3Nd
51ckness, the advancement of education and the provision of facillties. in the interests of social wÈlfare.. The trustees
confirm that they have referred to the 8uidance contained in the Charity Commission's general guidance when
revlewing the charity's aiffls and objectives.
Publlc benefit
Thè trustees conflrm that they have complied with their duty to have due regard to the commissB)n's public benefit
guidance when exerctsing any powers 01 dutles to which the guldance is rejevènt.
ACHIEVEMENT AND PERFORMANCÉ
Charltable activities
During the perioLI. the charlty has 5uicesslvlly took care of iv5 members from a spirltual and physlcal p&r5pective,
making sure they grew splritually, through the churches activlties. A150, members that were in need, due to
unforeseen circumstances, have been supported morally and finonclally, to make sure they have the basic needs
cover￿.
We have also successfully contillued the lin3ncial and moral support offered to the AREA/APME minSstry, who
operates in Romanla and worldwide, for the purpose of spreading the Good News of Jesus Christ and improvement of
the livittg standards forthe peoplethey encounter, through their mi55ionaries.
The Church h?s also managed to help d￿fferent people from outside the Church, meeting basic Ilving r*eEd5, when the
opportunity arose.
FINANCIAL REVIEW
Flnanclal posillon
The financial results ol the charity, ace set out on the followin8 paees. A small surplus of E2,2T3 has been made in the
ye8r.
STRUCTURE. fjOVEftNANCE AND MANAGEMENT
Governing document
The charlty is controlled by its governing d(Kument, a deed of trust and constitutes an unlncorporated charltv.
Reerultment and 3ppolxtment of new trustee5
The Trustees are the leade¥5hip ol the Church, who have to be members of th@ Church ènd who are invited to join the
leadership when the need arises.
Besides being restK)nsible for the spiritual well being of church members and people in the community+ they are
responsible for making sure that the Church complies with charity law, that proper financial accounts are kept and
independently reviewed, that meetings and decisions are recorded and th31 policie5 and proTrdufes are developed
and followed. The Trusr*e5 continue to cornplywith their dutles having due regard to guidanTr on publx beneflt.
RÉFERENCE AND ADMINISTIIATIVE DETAILS
Reglstered Charlty number
1201263
PaEe I

Biserica Ra_ol VJoLii
ort f h Truste
for the Period 3 Se
ber 2022 to
ber 2023
Princip31 address
6 Westbourne Crescent
Bucklev
CH7 2LD
Trustees
A fjrecu lappoinied 3.9.221
V Mutu (appointed 3.9.221
A Petenchea (appointed 24.11.221
IndependÈnt Examlner
Zoe Devenport FCA FCC4
Henry R. D8vis & Co. Limited
Chartered Accountants
33 Chester Road West
Queensferry
DeÈslde
CH5 ISA
Approved by order of the board of trustees on..
and stgned on its behall by..
A Grecu- Trusiee
Page 2

Inde
Blser
endent Emaminer's Re
ca Raul Vietii
ort to the Tiust2eLof
ITKlependent eJ¢amlner's report to thetrustees of Blserlca Raul Vletll
I report to the charlty trustee5 on my ex3min8tion of the accounts ol Biserlca Raul Ifietit (the Tru5tl lor the period
3 September 2022 to 31 Decembe¥ 2023.
Responslblllile5and b8slsof ¥eport
As the charity trustees ol the Trust you ale respDnsible for the pre￿ratIon of the a￿Ount5 In accordance with the
requirements of the Charities Act 20111'the Act'l.
I report in respeci of my examln2tlDn of the Trusi's accounts c3rried out under Section 145 of the Acr and in carryin8
out my examination I have followed 311 applicable DirectlON5 given by Ibe Charity Commission under Sectlon 14515llbl
of theAct.
Indepeftdent emamlner's 51atement
I have cornpleted my examination. I conflrm that no material matters have cotne to my attentM)n in connection with
the examination glving me cause to b&lieve that In any material respect..
accounting records were not kept in respect of theTrust as reoulred by Section 130 of the Act,. or
the accoNnts do not accord with those records,. or
the accounts do not comply with the appllcable requirements concerning the form and content of accounts set
Out in the Charities (Accounts and Reportsl ReButstions 2008 other than any requirement that the accounts
give a true and falr viewwhich Ss not a Matter considered as part Df an independent exarnination.
I have no concerns and have corrte across no other matters In connection with the eKamin8tion to which attention
should be drawn in this report in order to enable a proper understanding of the accountsto be reached.
Zoe Devenw)rt FCA FCCA
The Institute of Chartered Accountants in England and Wa5es
Henry R. Da￿S & Co. Lrmlted
Chartered Aecountènt5
33 Chester Road West
Queensferry
Deeside
CH5 ISA
Date-.
Pa8e 3

ement of F¢nan l A tivi
he Perio
er 2022 to 31 D
for
em
er 2023
Unrestrlcted
fund
Notes
INCOME AND ENDOWMENT5 FROM
Donations and legacies
41,112
Investment income
Total
41,113
EXPENIYTURÉ ON
Raising funds
15,142
Charltable actlvlties
Church activities
23,698
Total
38,840
NETINCOME
2,273
TOTAL FUNDSCARRIED FORWARD
2,273
The notesform part of these financial ststements
Page 4

nce Shee
31 December 2023
Unrestricted
fund
Notes
FIXÈD ASSETS
Tan8Sble assets
418
CURRENT ASSETS
sh at bank and In hand
2.575
CREDITORS
Amounts falli￿due within one year
17201
NET CURRENT ASSETS
1.855
TOTALASSEFS LE55 CVRRENT LIABILITIES
2,273
ASSETS
2,273
FUNDS
Unrestricted funds
2,273
TOTAL FUNDS
2,273
ents were approved by the Board o* Trustees and authorised for issue
. and were signed on its behalf by..
on
A Grecu- Trus
The notes ft)rm part of thesefin3ncial statements
Page 5

Biseii.cLBdUl￿I*til
he Financial Statements
forthe Period 3 se
tember 202
IDe
embeT 2023
ACCOUNTING POUCIES
Bosls ol preparlngthe flnancSal statements
The financial statements of the charity, which is a public benefit entity under FRS 102, have bÈÈn prepared in
aciordance with the Charities SORP IFRS 1021 'ActDuntirig 8nd Reporting by Charitie5.' Statement of
Recommended Prarti¢È appllc8ble to charities preparing their atcounts In accordance with the Financial
Reporting Standard applicable In the UK and Republic of Ireland IFRS 1021 leffective l January 20191,, Financial
ReportinE Standard 102 'The Financial Reporting Standèrd applicable in the UK and Republic of Ireland, and the
Charities Act 2011. The financièl statements have been prepared underthe historical cost convention.
Income
All income is reccgnised in the Statement of f inancial Actiwties once the cha¥ity h35 entitIen￿nt to the funds.
it is probable thai the income will be received and the arnou￿t can be measured reliablv.
Expewrtliture
Liabilitie5 are recogni5ed a5 expellditure as s(M)n as there is a legal or constructive oblieation comrriiiing the
chhFlty to that expendlture, it is prolkble that a tiansfer ol economic benefits will be required in settlement
and the amount of the tsbllgation ian be measured reliably, Expenditure is accounted for on an accw315 basis
and has been classified under heading5 that 468rwte all cost related to the category. Where costs cannot be
directly attTibuted tts partlcular headlngs they have been allocated to actI￿tIeS on a b3sls consistent with the
use of resource5.
Tanglblellxed asset5
Depreciation is provided at the following annual late5 in older to wrlte off each asset over its estimated useful
Computer eoulpment
33% on cost
Yaxallon
The charity is exemptfrom tax on its charitable 8Ctivities.
Fund accouThtin8
Unrestricted funds can be used In 8ccordanTr with the charitable objectives at the discretion of the trustees.
Restricted funds can only be used for partic￿lar restricted purposes withln the objects of the tharity.
RestrictlQll5 &rise when specified bythe donor or when f￿ndS a¥e raised forp3rticul3r restricted purposes.
Further expkgnation of the nature and purpose of each fund ts Included in the notes to the financial
statements.
Hire purthase and leaslnE¢ommlrment5
Renrals paid under operating leases are charged to the Statement of Financial Actlvlties on a strai6hi Ilne basls
overthe perlod of the lease.
Page 6
contiTrued...

Biseraca Raul Vietii
to
the
he Financi31 Statefflen
nLinu
er
tember 2022 to 31
ember 2023
INVESTMENT INCOME
Deposit account interest
TRU5TEES' REMUNERATION AND BENEFITS
There were no trustees. remuneration or other benellts lorthe period ended 31 December2023.
Trustees, expenses
There were no trustees. expenses paid for the period ended 31 December 2023.
TANGIBLE FIXED ASSETS
Computer
equipment
CQsr
Additions
627
DEPRECIATEON
Charge foryear
209
BOOK VALUE
At 31 December 2023
418
CREDITORS: APIIOUNTS FALLING DUEWtrHIN ONE YEAR
Other creditors
720
MOVÉMENT IN FUNDS
Net
movetnent
in funds
At
31.12,23
Unrestricted funds
General fund
2,273
2,273
TOTAL FUNDS
2,273
2.273
Net movement in funds, included in the above are is follows..
Incom¢ng
resources
Re50urce5
expended
Movement
in funds
Unrostrlcted lunds
General ftAnd
41,113
138.8401
2,273
TOYAL FUhlDS
41,113
138,8401
2,273
Page 7
continued.

8lserKa Raul Vietii
ot
he Fin
statemen
ued
for the Period 3 Se tember 2022 to 31 Decefflber
023
REiATED PARTY DISCLOSURES
There were no relaied party tran￿(tIonS forthe period ended 31 December 2023.
Page 8

Biserica Raul Vlerii
Detailed
nt ol l-ln
ntial Attlvl
for the Period 3 Se
tember 2022 to 31 December 2023
INCOME AND ENDOWMENTS
Donatrons ahd legacles
Donatlons
41,112
Irsvestment income
Deposit account interest
Total INomlng resources
41,113
EXPENDITURE
Ralslngdonatlons and lo#a¢iÈ$
Donationsmade
15.142
Charltable artlvltie5
Hire of plant and machinery
Rates and water
Insurance
Llght and heat
Telephone
Postage and stationery
Advert15ing
Pastoral Services
Miscellaneous Expenses
IT & Computercosts
Travel
Food & Kitchen ExpeTr5es
Entertainment
Repairs & Renewals
Motor Expenses
Subscriptions & Membershlps
Staff Training
Computer equipment
747
332
942
5.972
589
255
172
3,609
843
1,141
1.266
420
4,172
30
829
155
209
22,663
SLSPPOrt costs
Flnance
Bankcharges
118
G0Vem￿ce£05ts
AccoLfntancy and lesal fees
917
Total resourcesexpended
38,840
Net Income
2,273
This page does nol form part of the 51atutory f¥nancial statemeftts
Pase 9