OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2025-04-28-accounts

Tru8teo8' Annual Report for the perlod P•rtDd liwl ¢iai0 P•k¥d ¢J•t• Ch•rlty nm• St Nlarlo Jwotsl8 Syrbn Orthodox CPrtJr¢h Ba8thkn Otrr n•rn• ¢h•rfty l• knom by R•ghbrnd ch•rfty nun•r (11 an 120&389 Chvlty• wknclp•l ddr••• 3 H•ron got• Po•trod• 887 530 NTh• ofth• ¢harftytru•tses nwag• th• ch•rlty Tnxts• ranv4 IYlk• Iyany) Rev Bknin C Llahannan GEORGE KURiAN Jibi PanthanthwJubl w)irted on 01ffj2125 wrted on 01h)2125 V)itt￿l ￿ 01102125 Trustee Jinson T Ouse Eidhose P ham Raiu V Vwghese Bal￿ Thomas lu Paul Sunny K KurAkne Shaj T fvtsthew Sh Trustee Tft￿te8 W>Ybted on 01mY25 4p)inteAI 01n)2125 Tn￿ts6 01102125 01102125 Jinbj ￿ 01AY2125 01102125 pp)i)ted on 01ffj2125 01102125 TnJsts6 Tr￿Ste8 Truste8 Tntststr 10 TrLL8te8 11 12 13 14 15 16 17 18 19 20 Nn•• of th• tru•ts•• for th• chvlty, K any. (for •x*ryh. any¢u•todlan tru•t•••) TAR rth￿2

Nan of chI•1•x•￿• or n•ff•• ol ••nlor •t•ff mDntsr• (Opuonal Inforrrthn) Section B Structure. governance and management D•scrlpkn of th• ¢harW• tnmts CONSTrrurK)N Type of govemKJ document le9. tnjst dethl. ccnstilu¢KM)) the chary is ¢onstibJted leg Intsl. assouatiffi. ccvnparyl TnJstse selectw)n mefP)ds leg. apwnted ty. el￿ted by) Additlonal govern•nc• kn8uo• (Optl¢)n•l Infornth) You may ehoo•o to inckK •Jditi)nal infomation. whwe ' pOr￿leS aThl prcKgJures ado￿￿ ts the I￿UCtI)n trainiThJ of trustees: the chartys (xganisatKinal Str￿tUre and any wbjer ne￿￿k with wh￿h th8 cTrwity • re￿#￿*hip with any relat•J . tru$te8s' cMsKJeratkM of mapr risks and the system a￿1 w￿0￿UreS to man¥J8 Section C Objectives and activ ities ema￿0 to promote hrk8tkan sp gospd,. to conduct Euch￿￿t. sacrwnents according to fth, tradith)n and custcThs ol ￿0b118 church ,' to 8slab]ish Charita￿ hosprtals for the benefft of the members and Of1￿ communty aThl the gemral publ￿. Summary of th• obJ•¢ts ol th• ch•rlty Mt out In Its gov•rnlng do￿n￿nt TAR Atsr¢h 2012

A(;Iiiovp iiw. iils a ri(1 pprfr)r ma ric.é! Sumnwry rf th• nwln a¢hl•v•nwnts of th• charlty durln9 th• s••r n 8ucce89 durlng the p88t ￿hr - N8w year 8efvk88 Werè e0ThJ￿1￿J cm 31112r2(r24 - knnual general., was C¢)nduct8d - knnual rep(Kt. Acc(yJnts 8fKI hitemal audit report was aFprLyrtAI . pa8•k)n wegk •er¥es were cOnd￿ted 89 per our trJitnn nry more ur¢ TAR 2012

Sectioii E Flnanclal revlow ur un curr ur8 W8 r8l•kng buSkllry lund• wlth On #kn ol bjylry our rmn buldKYJ We hm polky of a mlnknurn c•Jh f•••m to meot ouigdngs frjr •lM monlhg or £10,CKKI whkthor h minimum Brl•l •l•t•nnt ol ¢h•rlW• polley on r•••N•• D•llh ol •nyfvnd• nts1￿Ity In d•ll¢li Furth•r flnneW r•vl•wd•tslh lo￿￿1 Inftyn¥kn You ny ehoo•• b knckAI• athJith￿oI NifrymaU￿. whorn tho ¢hartty'$ sources of fvnds {InckKIINJ arry ftwthistrfjl: hN o>wKlituro t SUPF¢rted th8 key obWes oftro ¢h8ntrf, ¥IV8Stmenl and ¢bi￿t￿P$ including any ethtal in4wlment py Section F Other optional information Section G Declaration tru•b•J d•¢l•rn that th•y have •ppr4x•d th• Ir￿t•••' rnport abov•. Slgn•d on hh•ff ofthb ¢harW• tr￿to•S 8lgnatsrn{•) Full nwTh(• Rov Bibii C Ulahannan Po•lUon {•q 8•crntsry, Chlr, Charman D•t• TAR rth 2012

Ch•flty N•m• 81M• '• J•coblt• 8 rf•n Orthodox Church O￿lIat)n No •nyi 1209e89 Recel ts and ments accounts or Opor rom Peri&J start date 21108r2024 To Period end 28104f2025 Sectioii A Receipts and payments Unr••trfct• d fund• Endowm •nt funds toth• n￿rnt £ n••r••t £ R••trlctsd lund• T¢)Li1 funds nMr••l £ lo ts nMM•t£ A1 Recelpts Hoty Qurbano Donati Offertoryl donabon Sub5criptyon I mernbers) 3.135 1.029 14.867 1135 .. 14,867 Pewnnal I Church annual day cebbralion) Christmas donations Lel¢m 75 922 243 250 140 185 922 Holy vfftk Donation Famity Conferece Sunday schoovyoulh Church Building harvest Fest 140 185 2.425 1425 878 Interest 326 326 Sub total(Gmss income for AR) 24474 A2 Asset and Inveslment sales. (see table). total .21,724 2,761 24474 A3 Payments Rent- Church VicarAJI￿anc¥ MSOC 2,613 3,290 1.565 2.613 3.29D 1,565 1.000 6.160 1,938 .400 Holy week exponso Food & Refroshment8 Chufch 8uH)lie8laxpen￿s Christma$ gxpensots Bank Charges 6.160 1,938 49

S111)day School 256 Sub total 17370 A4 Asset and Investment purchases, (seo table) Sub total Total payments Net of recelpts/(payments) AS Transfers between funds A6 Cash funds last year end 22.557 28,132 Cash funds this year end 25,307 35,337 Section B Statement of assets and liabilities at the end of the peri 17270 72 1751 5,576 Unrestric Restricted funds Catsgories Details funds to nearest to nearest £ 81 Cash funds CURRENT HSBC SAVINGS HSBC MEfRO BANK 2.595 6.394 25.307 Total cash funds 10,029, 2430I', OK Unrestrlc R•strlctsd funds funds to nearnst to n•arest £ Dotalls B2 othor monetary a88ets Fund l• Ththl¢h Co•t loptlonal) B3 Inv•8kn•nt •8MI• D•tall• b•lo

Fund to thl¢h D•tall• B4 A81•ts r•tsln•d for th• ¢h•rlty'• own u•• Fund to kn¢xmt du• loptkn¥•l) Detalls B5 Liabiliti Syrd ty one or trustees behalf of am the trustee5 Signature Print Name Anish Mathew