REGISTERED CHARrrY NUMBER: 1203090
Rep)rt of the Tn￿le¢S a￿1
Asbmole & Co
Flrst Floor
I St John's Court
upp￿ Fforest Way
SA68

Contents of th¢ FInd￿la1 Statrrnents
forthe Year Endo131 Marck
Re￿￿ of the Trustees
I to 3
Stst¢ment of Financial Activiiies
Balance Sheet
Cash Flow Ststement
N(rte5 to th C8sh Flow Ststcm¢
Notes to Ik FinaTKial Sts*meMs
9 to 14
Detailed Statement of FinatKia] Aclivities
Is

The tr￿￿ee$ present their rew1 with the financial ststements of chBrity for the year ended
31 March 2025. The tnth have adopted the provisions of Acwmting and Rep)rting by Charities:
Staiement of Recommended Prnclice applicable ts) clwities prepwi￿ their aL*ounts in ￿OrdanCe with the
Financial Reporting StsNlard applitable in the UK and Rewlilic of Ireland (FRS IQ2) (effective l J8nu8ry
2019).
CBer5alem Evangelical ChuTch w&$ registered with the Charity Commission on 16th May 2023 and became
operational in October 2023. The ￿ets of the PThlLKJ5 tharity were transferr&l on 1st (ktO￿r 2023.
o￿Ecr[vEs AND ACTIVITIES
Objective8 And aims
Thc obj¢¢￿ for which Charity is esthlth¢d ￿ #ated in its governin8 dLxument is ￿ advance the
Christian faith for the benefit of the public within Goryeinon aThJ the surroujmling ￿IghboUrhocrf1 in
accordHn¢e with th¢ B&sis of Faith by providing faciliiits f￿ Christian w(M5h1￿ prnyer. religiows edLKatio
Bible Studyi outreach aTHJ paswral care f(r the I￿[ ¢ommunity.
Publlc benetli
The tnLSt¢es confinn tknt have eomplied with their dity in $￿tI(￿ 17(5) of the 2011 Charities Act with
regard lo the Charity Commissi(m'$ 8eneral guida￿¢ on wbli¢ i￿11 wlKn reviewing the Clwity's aims
8nd obje¢tives in planning fLY future *tivilie&
ACHIEVEME￿5 AND PERFORMANCE
ChAril*ble activities
Welcoming and inte8rntinB new pts)ple into the lift of the thurch remains a key Friority for th¢ Charity. This
is primarily achieved throu8h the promotion of the Christian gospel, sthvir* the public [w￿rIt through a
rBn8e of activilies.
- Regular Sunday public worship 9ffvi￿S. both morning and ev￿lA8
- Hosting visiling missionaries and speakers
- Sunday School sessions
- Friday evenin8 m¢eun8s r(( children and yothh
- Mother5 and toddlers group
- Women's meetings on w￿￿ne￿Y$ aThl Thwsdays
- Bible Study ond Prnyer meetirgs On'f￿sdaY evenings
-'Christianity Explor¥J' me¢tings. nmning as a weekly seTics over six weeks, designed to explain the
Chrisli3n message to those Seeking io thldetstand the Bible
- Providing fJnatKial and prayer SUp￿rt kn other chrI￿1&n workers atNI organisations in the UK and oYerse&s
-carol 5ervic¢5 and other spKi81 servi￿ through0￿ the ycar
- Regular E(Jok group5 to encourage # d¢epxr w¥lerstandin8 of Christianity
- Other aclivities ￿￿ed ￿ f05*r hLwitslily and fellowship
All meelings aTe 5UPWrted by volth)ws and are 0￿1 to everyone.
Tr Charity poss¢sses its own church building and has Contin￿ fly￿ the year to n￿intrIn th¢
premises, ensurtng it remains suithble for aFKJve activitie
During the year we have Seen I￿[eaSed attendaTKt at all seNicts and have run additional Christianity
Explored Cou￿5 at a IIKai Ca(é _ Hope aThJ LighL We Contin￿ to supwrt on a regu]ar basis Christian
wtrkers and have increased tk numttr of thos¢ we supixyrt with the ￿lIti￿ of Missionaries in Liberia who
provide moJic&l care aid.
Page I

of the Tntstees
forthe YearEn&d 31 March 2025
FINANCIAL REVIEW
Flnan¢i•l position
The results for the peri￿ ￿ the financial N)sition of the Charity are shown in the financial
ststements.
The net surplus for the pericKI amountwj to £77.fA)7 (2024: ￿43.927).
Reserves policy
The ttILSttts consider that a sum equivalent to a qiiarter of a years cfrrnting expaJdytUTe is a sutTici¢nt sum
of money to have readily available in reseTre. Ba*d ￿ this financial year th¢y tharity's minimum
requirwnent for reserves wou]d have I￿en £30,71XI (2024: £16.(Kg). Act￿1 free were £238,997
(2024 .£171531).
FUTURE PLANS
Ow future plans are to continue with ow main ￿tIvItIeS to ￿)eve the dwities principle activity, the
promotion of the chris¢ian 8osp¢I.
STRucfuRE, GOVERNANCE AND MANAGEMENr
Governing document
The charity is controlled ty its goveming d￿Urn￿ a of trw81a￿1 cm<itut4s a Charitable IncorW￿td
Our T￿￿te¢S
Tr TnLSttts are Andrew Griffiih5 {aMir), w￿ne Huts aThl Emry5 Rol￿ No Thistee receives any
payments from the Charity.
Our SlatT
Charity ha5 two fidl time employeffj a ministrr aT¥J an evan8elisL
REFERENCE AND ADMII¥ISTRATIVE DETAILS
Registered Charlty number
1203090
PrlD¢lpo14ddress
39 Penyrtk￿I R(rAI
GO￿el￿on
SA4 4GA
A P Griffiths Chalr
E W Hughts
E T RobeTts

REFERENCE AND ADMINISTRATIVE DETAILS
Independent Exlmlner
Mrs S K Keith FCCA
A4)mol¢ & Co
First Floor
I St John's Cowl
Upper FfOr￿ Way
Enterprise Park
Swdnsea
SA6 8<y2
Appmved by order of the bogrd of trustees on.....24..aAnMary..%Q2fj...... and signed on its Ixhalf by..
A P GritTiths. TnJs*e
Page 3

I[kIe￿￿Jen1 Examillerfs RetK>rt to the Tn￿lee$ of
C￿]ern Evan eli
Independent ex*miDer's ryr¢ to the ¢nLStee8 of C¥rsalem Evangtlical Church GoneinoD
I report to the charity lTr￿ on my exami[￿￿ of the of Causal¢m Evangelical Church
GorseiTM)n (the TrLbSt) for the year etxtsl 31 Mawh 2025.
ReJponsibilities basij of report
As the charity truslees of th¢"fnLd you are reS￿￿81b]e ts the Fwatation of the xc(wnts in aLxordance with
the rwuirements of the Charities Act 2011 fft Acf).
I report in respect of my examinthon of th¢ Th￿eS accL)unts cvried Lmrt untsr SeLtion 145 of the A¢t and '
carying my examitmtion I have followd all applithle DjttCti￿ given by the Ch￿lty Commission
der Seaion 145(5Xb) of the A
Independent ex4mlner'J slat¢ment
I have completed my examinatioTL I confirn) th81 Th) material matt¢r5 have come to my attention in
connection with the ¢x8mination giving me cause to believe that in any materiai respect:
acLx)unling record8 were not kq>t in Ytspect of the Tnjst as rv4uired by kntion 130 of the A¢ or
the accounts do not accord with those recorth. (
th¢ ￿0￿nts do nLrt t￿nplY with the 8ppli¢abl¢ rquirements co￿erning the fonn conteni of
accounts set oui irA the Chariti&s (Accounts aThJ Rewts) Re8ulations 2W8 other than any requirement
that the accounts give a and fair view which is not a matter co￿81dered as part of an indepeTMl¢nt
examination.
I have no con¢eft￿ and have come acr￿ (Alv matiers in rA)nnethon with the examination lo whi¢h
attention should t¢ drn￿ in thi5 rep)rt in order to enable a pyopw ufftkrstsnding of the pKxounts to be
reache
5 Keitn
Mrs S K Keith FCCA
The ASS￿latIon of CharRred Certified ACCO￿tants
A5hmole & Co
First Floor
I St John's Court
Upper Fforest Way
Enlerprise Park
Swansea
SA68
101 12oz(a
Page 4

for ihe YearEnded 31 March 2U25
PERIOD
ilior23
3113125
Total
3113124
Total
nds
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
195,808
195.808
807,306
Investmen¢ income
4,957
4.957
651
Total
2(Xl,765
2(KJ,765
807.957
EXPENDITURE ON
Ch4rl¢•ble 4¢tlvitles
Choritsbk Activities
123.158
123.158
64,036
NET INCOME
77.6
77.607
743,921
RECONCILIATION OF FUNDS
Tolai funds brwghi fon*zrd
743.921
743,921
TOTAL FUNDS CARRIED FORWARD
821,528
821.528
743,921

31 FAarch. 2025
2025
2024
fijnds
FIXED ASSETS
Tangible assets
550.(
550,1KKJ
550,IJJ)
CURRENT ASSETS
Debtors
Cash at bank
10
327
273,(I
327
273.097
194,710
273,424
273,424
195,121
CREDITOILS
Amounts fajling due within
(1.896)
(1.896)
(1200)
NET CURRENT ASSETS
271.528
271.528
193,921
TOTAL ASSETS LESS CURRENT
LIABILITIES
821,528
821,528
743,921
NET A&SETS
821528
821,528
743,921
FUNDS
Unresrricled fund5
12
21.528
743.921
TOTAL FUNDS
821.528
743,921
The financial statements were approved ty the B￿d of arA authorised for issue on
2:L6..1.o..l..l.%.o.Z(a. and were signgj on its ixhalf by:
APGriffiths.Tn
Page 6

forthe Ye4rFd]&d 31 March 2025
PERIOD
i/ior23
TO
3113r24
YEAR ENDED
3 IlJt25
Notes
Cash lknivs from opcradng aedvltles
Cash generated from Omions
73.430
744.059
Net cash provided by operntin8 ￿tIVItieS
73.430
744.059
C*sh liows from IDve*lDg •¢ltvlties
PUrth￿ of tan8ible fLxed assets
Interest reiziv
(550.(th)
651
4.957
Net cash provided byl(used in) investing artivitits
4957
(549J49)
ChAnge In ￿$h *nd cqulvwlexts
In the r¢portlng perlod
Cash and ￿5b equlv41ents at the
beglnnlllg of the reportlng perlod
7&3
194,710
194.710
C￿h And CAsh equlvalents it the end
of the ￿portIng pemd
273,097
194,710
Page 7

forjtt YearEtthdll Ma￿h 2Q25
RECONCILIATION OF NET tNCOME TO NET CASH FIAIW FROM OPERATING
ACr￿TiEs
PERIOD
1110123
YEAR ENDED
3113125
3113124
Net income for the repjrtimg period (*s per the St*tement of
FlnaDclal Actlvltks)
Adjustments for:
Interest receiv
Decre&sel{increase) in deb￿¢$
Increase in ￿edItorS
77.607
743.921
{4,957)
(651)
(411)
1200
Net provlded by optrntloDs
73,430
744.059
ANALYSIS OF CHANGES IN NET FUNDS
At114r24
Cash flow At 31rJn5
Iyet casb
Cash at bank
194.710
78J87
273.(V)7
194.710
78.387
273,097
Total
194,710
78,387
273.097
Tr Jwt¢s forni of ffflancial statanents
Page 8

ACCOUNTING POLICIES
Basls of preparing the ItDaDdal statements
The financial statements of the charity. which is 8 public irnefit eTrtity under FRS 101 have been
prepareA in a¢cordance with the chariti￿ SORP {FRS 102) 'Acc(Amting athd Reporti￿ by Charities:
Ststemenl of Recommended Practice applicable to djarities pryi￿ their accounts in *cordance
with the Financial ReFQrting StsTKJard applicable in the UK a￿1 Republic of Ireland (FRS 102)
(effective l January 2019),. Financial Retrfing Standard 102 Tr Financial Rewrting Standard
applicable in the UK and Republi¢ of Ireland. and the Charities Act 2011. ThE firwicial statements
have trten pre[￿ed under the histori(31 (x)st Conventio￿ as m(xlifieJJ by IIK revaluation of certain
ID¢om¢
All I￿Orne is recogniseAJ in the Ststement of Financia] Activities once charity has enliilemenl lo
the it 19 probttble that the ineome will k rettivd and IIK amount be Me￿]red reliably.
Expenditur¢
Liabililies aye re¢ogntsed &s exF*ndilurE as sLyJn &5 the¥e is a legal or constrwtive obligation
Committing the charity to thai eX￿￿lturE i¢ is probable that a tr￿￿fer of ¢¢￿)0M1¢ Ixnefits will
required in gettiem¢nt 4TrJ th¢ amount of the obligation can be measur&J reliably. Expendilure is
accounted f(Y on an aciyuals basis and has been classified uTrJer he&Jings that aggregate all cost
related io the L7tegory. Where c05L8 (annot be directly attributed to particular heAdings they havc
been alloc*ed io activities ffl a i*sis consistent wtth the use of resourcu.
Tangtble fixed &sJ¢ts
No dep￿18110n is provided on freehold prom as the amount th&t is dq)r￿]•ttd is Ik dIffere￿e
iknveen cost and residual val￿. In ￿ q)inion of th¢ trusl¢¢s, the residu￿ value of the propxty
equates to at leL8t its carying valu¢ and there is therefore no depreciation to provide.
Taxatlon
The rha]ity is exemFrt fr￿Tr t&% LM) its charitsble activittes.
Fund *c¢ountln8
unrestrict￿ ￿Tr￿S can Ix in acwdw with the charithle obieaives ￿ the discrdion of the
Rtstricted funds Lmdy for wticular pwp)Se5 Wtthin the objects of the charity.
Restrictions arise spwfid by the dO￿r or when fuTMIs 8tE Tal￿d for Fwticular restricted
Further explanation of the mture and purp￿ of exh fund is I￿lUd￿J in the JM)tes to the financi81
statements.
PM$lon ¢08t$ ¥od oth¢r tKbSt-r¢tlrrm¢nt bettefjts
The chJJity operates a defmed Contrib￿lOn p￿s￿on scheme. Contributior6 pay&ble to chari￿$
pe￿￿10n Scheme aTe c1Wg￿ to Stst¢m¢nt of Financial Activities in the wiod to which
relate.
Contin￿1...

Noks io theF"
iK)NATIONS AND LEGACTES
PERIOD
IiiOll3
3113125
3113124
Donations
Gift aid
151.177
44.631
807,306
195.808
807,306
INVESTMENT INCOME
PERtOD
1110123
YEAR ENDED
3113f25
31n124
t￿￿￿11 account inleT¢5t
4.957
651
CHARITABLE ACTIVITIES COSTS
Support
C4)sts {
)ie 5)
Direct
Totsls
Charitable Adivitits
121,858
1.3(K)
123.158
SUPPORT COSTS
Charitsble Activities
1.300
TRUSTEES, RELKUNERATION AND BENEFITS
were no trustees, remunerntion or (Mher benefits for I￿ year e￿ 31 March 2￿25 for the
period ended 31 MaTrh 2024.
Trnstees, ¢xpeo
There were no tnL4teeg' expenses kxid fc¢ the year ended 31 March 2025 nor for the period ended
31 MaT¢h 2024.
Page io
)ntinuoJ...

STAFF cosrs
PERtOD
1110123
YEAR ENDED
3113t25
3113r24
Wages and salari
Social security costs
69.876
2,132
33.816
1.823
I,(M)8
74.104
36.647
The average monthly number of employees dwing the Ye￿ wa5 as follows:
PERIOD
Iiior23
TO
31f3ll4
YEAR ENDED
3113125
Totsl Stsff
No employees received ¢molum¢nts in of W.{￿}.
COMPARATIVES FOR THE ￿ATEMENT OF FINANCIAL A￿1VITIEs
Unrestricted Restricted
furnl
funds
INCOME AND ENDOWMEKfs FROM
Donations and l¢wi
807,3(h5
807.306
Investsnent income
651
651
Tot•1
807.957
807,957
EXPENDrruRE ON
Cbaritsblt 4ftivlties
Charitable Artivilie5
64.036
64.036
NET INCOME
743,921
743,921
TOTAL FUNDS CARRIED
FORWARD
743.921
743.921
Page 11
continued...

TANGIBLE FJXED A&SETS
Freehold
co
At l April 2024 and 31 March 2025
550,CI)O
NET B(K)K VALUE
At 31 Ma￿h 2025
550.OtKJ
At 31 March 2024
550.IXK>
Freehold Property VAS V8h￿ on 19 NovemEer 2(Y24 on an Op￿ market tAsiq by Fresh Estate and
Letting agents.
10. DEBTORS: AMOUNTS FALLINC DUE WITHIN ONE YEAR
2025
2024
Other debtixs
327
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
21r25
2024
T&xation and SLKial ￿UrIty
Other creditors
596
1,31XI
12lX)
1,896
1200
12. MOVEMENT IN FUNDS
Net
movement
in fuTrJs
At
3113125
At 114r24
Unrestrlcted hnds
General fvnd
Misslon fimd
Capital Fund
171531
21J90
550,LKK>
23&997
31531
550,0(M)
743.921
77.607
821.528
TOTAL FUNDS
743.921
77.607
821,528
Page 12

fordK Y¢¥rFnthdlLMarclQ
12. MOVEMENT IN FUNDS- conthilled
Net movement in Incl￿ in the alM)ve are L8 follows:
R¢sources Mov¢mw)I
Unrestrlrted funds
Gerkrdl fund
Mission
175,424
25.341
{108.958)
(142W)
6&466
).765
(123.158)
77.607
TOTAL FUNDS
2C￿,765
(123,158)
77,607
Comparntivu for movtmtnt ID funds
Net
movement
in fuTxIs
At
3113124
UDTtstrld¢d fuD
Generdl fund
Mission fund
Capital Fufy
Ir2.531
21.3
550,(MX)
172.531
21,3Y)
550.0(K)
743,921
743,921
TOTAL FUNDS
743.921
743.921
ComFffilive rtt movement in in aiK)ve are as follows:
IrKomin8
Resour
res4)urces expended
Movement
in fimds
Unrestrleted thnds
Genernl fu￿1
Mission fund
Capitsl Fund
229,547
28.410
55Q(MXJ
(57.016)
(7.020)
172.531
21J
550,(
807.957
(64.036)
743,921
TOTAL FUNDS
807,957
(64.036)
743,921
Page 13
(x)ntin￿l...

Caewsalan Evaug¢li(al G((sei￿ll
13. RELATED PARTY DISCIL)SURES
There were rdatrA paty trollsackn forts year ended 31 March 2025.
Page 14

PEIUOD
iiior23
TO
3113124
3113r25
INCOME AND ENDOWMENTS
DoDatIO￿ and Iwcles
DO￿lI0n$
ifi aid
151,177
44.631
807J(kS
195.808
807J06
velttnent ineome
Deposil account interest
4957
651
Total IDcomlrJg re50urtts
2W,765
807.957
EXPEND￿uRE
Ch#ril*ble #etfviti
Wa8e5
S(￿1&1 security
Pensions
IMurance
Light and he
Miscellaneous expu
Publicty
Mission
Lawn
Child
69.876
1132
33.816
1.823
1,008
4J15
3.054
4.082
1201
7,020
280
49
3.138
8(Kl
3(Ki
1,950
4.467
3.409
12,914
14.2
1.033
&252
1,820
1.100
559
Cleoning
Ministry
121,858
62,836
Support costs
Governance costs
Accountancy 8nd legal fecs
1,3CK)
Totsl resourws expeThled
113.158
64.036
Net ineome
77.607
743,921
Page 15