CHRIST APOSTOLIC CHURCH HOUSE OF
BREAKTHROUGH
Charity Number: 1209134
8A Taylor Street, Heywood, OLIO IED
TRUSTEES, ANNUAL REPORT AND RECEiwfs & PAYMENTS
ACCOUNTS
For the finAnci81 year ended 31 MAr¢h 2026
I. TRUSTEES, ANNUAL REPORT
Reference and Administrative Detalls
Name of Charlty: Christ Apostolic Church House of Breakthrough
Charlty Number.. 1209134
Legal Strurture.. Charitable Incorporated Organisation (CIO)
CIO Type: Foundation CIO
Reglstered Office: 8A Taylor Street, Heywood. OUO IED
Flnanclal Year: l April 2025 to 31 March 2026
Strurture, Governance and Management
Christ Apostolic Church House of Breakthrough 15 a Charitable
Incorporated Organisation registered with the Charity Commission for
England and Wales.
The charity is governed by its Constitution and is managed by its trustees
in accordance with its charitable objectives and governing document.
The trustees are responsible for overseeing the activities, finances and
governance of the charity and for ensuring that charitable funds are
used appropriately in furtherance of the charity's objectives.

Charitable Objectlves
The princi￿11 objectiTrs of the chiirch nre to advnnce tlio Chrlstlnn falth
worship. pra￿r, 8lble teachlnB, evaii8ellsm, dlsclpleshlp and
Chris￿￿n felloiyship.
The church also seeks to provide pastoral support and approprlate
assistance to indki idiials and familles withln the church and wlder
conimunity.
Artivities During the Year
Durins the financial year the church:
conducted regular Sunday worship servlces,,
held prayer meetings and Bible study,.
conducted evangelism and outreach activities;
provided pastoral care, prayer and spiritual support;
organised church programmes and Christian activities;
supported church members and the wider community where
appropriate.
maintained its place of worship and met the ordinary operating
costs of the church.
Achievements and Performance
The trustees are grateful for the continued progress of the church durlng
the year.
The church continued its regular worship, prayer, evangelism and
Christian fellowship activities. The trustees remained committed to
ensuring that available funds were used responsibly and for the
furtherance of the charity's objertives.
Financial Review
During the year the church received £14,480.96 in ordinary charitable
income, principally from offerings, tithes, anniversary giving and
voluntsry donations.

The church also received a temporary £150.Cp) loan to assist wlth a rent
payment. This amount was subsequently repaid to the lender and is
therefore not treated as charitable income.
Total ordinary church expendrture was £13,685.29, with a further
£150.CQ representing repayment of the temporary loan.
At 31 March 2026, the church held cashlbank funds of £795.67.
The trustees confirm that there were no outstanding liabilities at the
year end.
Reserves
The trustees aim to maintain sufficient funds to meet the church's
ongoing commitments and to enable the charity to continue its activities.
Public Benefit
The trustees have considered the Charity Commission's guidance on
public benefit and believe that the activrties undertaken by the church
during the year further its charitable objertives and provide public
benefit.
Statement of Trustees, Responsibilities
The trustees are responsible for maintaining proper accounting records
and for preparing accounts that accurately reflect the financial activities
and financial position of the charity.
The trustees confirm that the accounts have been prepared on a receipts
and payments basis and that the information contained in these
accounts is based on the charity's financial records.

2.RECEIPTS AND PAYMENTS ACCOUNT
For the year ended 31 March 2026
Receipts
Recelpts
Offerings
7,173.06
Tithes
4,597.
Anniversary income
5.(Kl
Voluntarymillful donations 900.(K)
Other charitable income
TOTAL CHARITABIE
INCOME
14A80.%
Temporary loan received ISO.LIJ
TOTAL CASH RECEIPTS
14.630.96
The £150.00 included in March receipts represents a temporary loan and
is not included in charitable income.
PAYMENT5
Payments
Church rent
CAC LDCC contributions
Gas for church
Prayer week
Utilities
Sunday school certificate
Northwest vigil
Petrol for church
Wise bank detail acquisition
Zoom/Klarna
Robert Dyas/Office expenses
Baptismal materia15
Return for rent
I2,[￿.(￿)
520.IX)
392.(Kl
61.43
50.1J)
55.(M)
50.(X)
45.00
103.92
29.94
35.(M)
93.(X)

Other church running expenses
190.00
TOTAL ORDINARY CHURCH PAYMENTS 13.685.29
Repayment of temporary loan
150.00
TOTAL CASH PAYMENTS
13A35.29
. NET MOVEMENT IN FUNDS
Total charitable income
14.480.%
Total ordinary church payments
113,685.29)
Net increase from charltable actI￿tIeS 795.67
The temporary loan of £150.00 received and the subsequent £150.00
repayment have no net effect on the church's funds.
RECONCIUATION OF CASH FUNDS
Funds brought forward at l April 2025
Net increase in charitable funds
Funds carrled forward at 31 March 2026 795.67
795.67
Opening funds l April 2025
Charitable income
14,480.96
Temporary loan received
150.LXI
Less ordinary church payments (13,685.291
Less loan repayment
1150.00)
Closlng funds
795.67
STATEMENT OF ASSETS AND UABILITIES
As at 31 Mareh 2026

Assets
Assets
Cash/bank funds
Cash in hand
Other assets
TOTAL ASSETS
795. 67
795. 67
Liabilities
Liabilities
Outstanding loans
Unpaid bills
Other liabilities
TOTAL LIABILITIES
NIL
Net Assets
£795.67
The charity's net assets at 31 March 2026 were £795.67, consisting of
unrestricted funds.
7. NOTES TO THE ACCOUNTS
Note l- Basis of Accounting
These accounts have been p￿Pared on a Recelpts and Payments basls In
accordance with the appllcable requirements of the Charities Ad 2011 and Charlty
Commission guidance for eli8ible charities.
The receipts and payments ba51s records transactions when money Is actually
received or pald.
Note 2- Funds
All funds held by the charlty durlng the year were unrestricted funds and were
available for the general charitable purposes of Christ Apostolic Churth House of
Breakthrou8h.

Note 3-Temporary Loan
Durin8 the year the church received a temporary loan of £150.IXI to asslst wlth a rent
payment.
The full £150.00 was subsequently repald to the lender. The loan Is therefore not
treated a5 income of the charity and there wa5 no outstanding loan liability at 31
March 2026.
Note 4- Assets
At 31 March 2026, the charlty held cashlbank funds of £795.67.
The charity had no other material assets.
Note S- Liabilities
At 31 March 2026, the charlty had no outstandin8 liabilities.
. TRUSTEES, DECLARATION AND APPROVAL
The trustees declare that they are satlsfied that the accounts glve a true and falr
summary of the charity's financial activities and financial positlon for the year ended
31 March 2026.
The accounts were approved by the trustees on:
Date: 20
ot
Q2G
Signed on behalf of the trustees:
Full Name:
Dmi
Posltlon: Chalr of Trustees
Signature:
Date: lo
IoiG