REGt>tERED CHARrrrf NUMBER: 251377
ofth• Trustee$ and
Unaudlted FIna￿l￿ S&thm•nts
forthe Y Ended 30 N
b•r 202
Wormakj & Partners
Chartered Accountants IICAEW)
RedL3nd House
157 Redland Road
Redland
Bnstcl
BS6 6YE

Contents olthe Financsal Statements
for thg Y•ar End•d 30 Novembèr 2020
Pa9e
R•port ofthe Trust
Indepgnd•nt Examin￿8 Report
statement of FinBncial Athil
Balan¢¢ Sh•gt
Notos to th• Flnan¢lal Stat•rn
5 to 10
Detalled Statomgrf of Fknonclal Acllvltl••
11 to 12

Chrlstlan Scl•nc• Soc
Brf6tol
rtofth•T
lorthe Year ErAded 30 Ilov•mber 2020
Tho trustéès pr88enl their vAlh the fmncial staten￿ts of charity for the year erbjed 30 November 2020. Th
twstees have adopted the ol Accounting and Reportirmj by Charibes.. Statement of Reeomrnended Practice
appl￿b￿ to charil'es p￿paring thwr a(￿￿Trts in ar&a)rdar￿e ￿th the Finan(4al ReFM%b"ng Slandard app￿￿￿ in the UK
and Republic of Ireland IFRS 1021 (effective 1 Jarmthry 20191.
STRUCTURE, GOVERNAMCE AND MANAGEM
Governlng doeumen*
The charity is controw by its wverrwJ d(￿nent a d89d oltrust an un¥wFmted tharity.
REFERENCE AND ADMINISTRATNE DEfAILS
RegTrstered Charlty nUrn￿r
251377
Principal addr•¥•
51 North V￿W
Weslbury P&rk
Bristol
BS6 7PY
Tru$t*es
Dr MT F8rguson l¢Jeceas&126.220}
Mr5 SF Feryuson
Ms B Pag6
Ms M 0￿r lappcinted 25.1201
Inde￿ndent Ex•mln•r
Womwkl & P8rtner8
Chartered Accountants {ICAEWJ
Rodland House
157 Redland Road
Redland
Bristol
BS6 6YE
Approved by order ollhe toard of twslees on ..........
. svJned on its behall ty..
Mrs SF Ferguson- Trustee
Page 1

In
ndent Ex4mln•¢s R•
Chths
to the Tntst••s of
Independent exomin¢rfs reiKlrt t¢ the trvstees of Christian k￿ne• So¢*ty. Br￿1
l Teport to the charty trnstses on my examinatron of Ihe ac(thJnts of Christi8n S(#en(e soc￿. BIi5tG4 (the Trust) for Ihe
year ended 30 November21T20.
Responsibilltles and ba$ls of r•port
As th8 Charity Iwstses of the Trusi ar& resF*)nsit4e ts the of the in awdarKe ¥thh the
requirements of the Charit￿$ Act 2011 (Il* Aeri.
I report in resFed of my examI¥￿tth d Ihe Trusys accourts cam8d under seclKsn 145 of the Act and #i tarrying out
my èxarnination I have al aFfJlKatJe tirecl*Th wen by Ihe Ch•rity CommissM ￿der 8ecl#)n 14515Mbl of the
Independent examin•es statement
I hav8 complèted my examination. I rA)nfirm that rKJ matwial rnatters have comè to my attenb)n IA connection wilh thè
examination giving rne cause lo belkve that in any maler5al reS￿L
3c¢ounting rwds ￿￿e Tr)t kept in respect ol the Trust as requ￿1 by sectim 130 of the Art. or
the accounts (Jo not actL¥d vAlh those records." or
the accounts do not (x>mrAy with Ihe apph'r2ble reqU1￿MentS conceming the fr*rn and uJnt8nt of ￿￿Unts s8t out
in th& Charites IAio)unts ?￿j ReFx)rtsl RegulalwJ)$ 2(￿8 0th8r than any reqU1￿ment that the ac￿unt$ give a
true and faff vivwwhth ks Mt a mattercl￿Klered as part of an UMkF￿1ent exaninalx>n.
I have no cortèms and have across ￿ cther mailers in C￿￿1#)￿ th8 exarn1nati￿ to vrt*h att8ntK)n slK>ukl
b8 dra￿ sn this report in ¢yderto enab￿ a woper understaThSNJ Of1￿ *rJJunts to be w(heLI.
N A Dando
Wormakl & Partners
Chartered A¢counlaThts (ICAEW)
Redland House
157 R8dland Road
Redland
Brist
BS6 6YE
Date..
Pa9e 2

ststemenl of Financial Acttv
lorth Y•ar Ended 30 Ilov•rnber21120
2020
Unreslrthd
fvrKIs
2019
Total
fvmd5
INCOME ANO ENDOWMEKfs FROM
Donations and legac￿$
2.260
Other tradiro activ￿05
Investrnent income
2.176
52,340
2,671
49,474
Total
55.608
54.405
EXPENDITURE ON
Raising funds
2,429
31,587
Total
24.366
34.016
NET INCOME
31242
20.389
RECONCILIATION OF FUNDS
To¢al fiJnd5 brought forwaw
1.055,997
1.035,608
TOTAL FUNDS CARRJED FORWARD
1.087,239
1.055.997
The notes forrn part ofttwe finanfial statements
Page 3

30 Nov•mb•r 2020
2020
Unresfricted
funds
2019
Total
lunds
FIXED ASSETS
Tangib￿ assèts
Investments
303,233
658,987
303.413
634,513
.220
937,926
CURRENT ASSETS
Stocks
Debtor5
Cash at bank and in harhj
2.212
2.274
124.977
117.192
127.189
119.634
CREDITORS
Amounts falling du8 wilhin one year
10
12.1701
11.5631
NET CURRENT ASSETS
125.019
118.071
TOTAL ASSETS LESS CURReNT UABL
1.087.239
1.055.997
NET ASSETS
1,087,239
1,055,997
FUNDS
Un￿str￿1ed funds
11
1.067.239
1.055,997
TOTAL FUNDS
1,087.239
1.055,997
The financ￿1 statemonts ￿re aFvovgJ by Ihe Bowd (rf Tntst*s aThJ aulhu15￿ for i8sue on
and We￿ sKJrtd on Is t*h4r ty.
SF Ferguson- Twslee
The rths frmm part ofthese finarKi81 stalernents
Pag8 4

Ch
to the Financial Stateme
forthèy
N¢)v¢mbeT 2020
AccouimNG POLICIES
Basls ol prèparing the financial statements
The finandal Statements of Ihe charity. is 8 benefft entyty under FRS 102, have been tffepared in
accordarKe wth the char￿eS SORP IFRS 1021 'kcounb"rYJ and R8wrbng by Charities.. Stsletnent of
Recornmended Pr8C￿e appficaNe to chariti8s wep8ring their accounts in act()rdance ￿th the Finanual
ReportiNJ Standard applicab￿ in the UK and Republic of IFRS 102) leffethve 1 January 20191.. Fin8ncAal
Reporting Starjdard 102 Tr Financ481 Rep(xbThJ Standard applcth in the VK and Republi¢ of Ireland, and thè
Chatpknes Act 2011. The ffinanck81 ststements have been p￿a￿d under the historicaf cost Convent￿n, *ith the
Incom•
All ineon* is recogThsed in the State[r￿t of Fir*ncsal Actriibes 0￿e the thaiity has 8ntilknrn￿t to the funds. it i¥
probable thal the income receNed and the arThyJnt ca) be meawred reliabty.
ExpendNure
L￿g￿litieS a￿ recogni%ed as e¥penrfrturt as as thèrg 15 8 kgal or (a)nstru¢bv6 obligation ￿)MmItt1n9 the
Charity to Ihat 8yndtture. It Is prE¥bable that a traFbSfrr of ecffiomic tw*frts wll ￿ required 4) setuement and
the amount of the oblKJation can be measurnd ￿118b￿. Experwjrfure is accounted for on an accruals basis aTrJ
has been classffled under heathros Ih8t d￿regate 811 cJJ5t re￿ted to the catewy. Where costs cannot be
diTecYy attribjted to pothlar headYvJs ha￿ to on a basi8 £th￿Stent V￿th the use
ol resourc•s.
Tanglbl• fixod
DeP￿(la￿on is prwded at the fdb)vrirvJ ann￿ rates in Ixder lo write off e&h asset ov•r its esbmated usefvl lrfe.
PLant and Machinery
Fix¢ur88 and frtts"rKJS
Computer equipment
15% on reduc¥￿ ba￿nce basis
15% on reduang balan￿ basi5
. 33.33% on reduaro b3sK%
Stocks
Stocks a￿ value*J at lh8 Imr of ¢ost and n8t reatsabkn V￿u6. after rnthn9 ally+r￿ lor obsi)l•t8 and dow
rnowng itom5.
Taxatlon
The charity 1$ exempt from lax on ts tharilth acbts.
Fund a¢¢ounting
Restrid8d funds Ixn onty te used for partiwtar reslrirAed wrp)ses W￿h1n the oLyects of th9 th8rity. Restric￿n$
arise when specffied bYts￿ ¢S)norotwhen funds arn raised forpartitsjlar restri￿ purpoB8S.
Further expl8natw of nature aTrJ purpose ofeath lu￿1 is ￿uded in the notes to lh8 ffinanrAal statements.
OTHER TRADING ACTiv¥llES
2020
2019
Sale ol Book%
Sale of PerioJrAIs
Sale of MiscelL4n8OUs Mems
121
1,967
583
1,527
595
2.176
2.671
Page S
corlinued...

Chrislian Scienc
f•rth• Y•ar EndBd 30 Xowmb8r 2020
INVESTMENT INCOME
2020
2019
Rents 18C￿V￿d
Rent. Parksrg Space
Diwdend ineome
Deposrt account lnie￿st
9,725
5,910
4,813
7,851
5.440
4.676
24.473
26,542
52.340
49.474
TRUSTEES, REMUNERATION AND BENEFrrs
Thère were no trusiees. remuneralion ￿ other t*nefits for thè 30 Novenknr 2020 nor for Ihe year
ended 30 Novembei 2019.
Tru$t•es' •xpens•s
There hEre rKJ tr￿*tee$. expenses paKI ts the yew ended 30 No¥embw 2020 rn)r for the year ended
30 November 2019.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTlVtriES
Un￿$1￿cted
fijnds
INCOME AND ENDOWMENTS FROM
Donath)ns and
Other trading activibes
Inveslrnenl ir￿c¥ne
2.671
49,474
Total
54.405
EXPENDrfuRE ON
Raising fvnds
2,429
Other
31,587
Total
34,016
NET INCOME
20,389
RECONCILIATION OF FUNDS
Total funds broughtfonvard
1,035,608
TOTAL FUNDS CARRIED FORWARD
1.055,997
continuèd...

to the Flnandal Stateft￿ts-
forthe Ye
Novernt￿r 20
TANGIBLE FIXED ASSEFS
Rea¢1ing
Rwrn Dev
Church
Bwkliryj
Organ
COST
At 1 De￿rn￿er2019 and Novemt*r2020
259.6
42,759
DEPRECIATKIN
At 1 December 2019
Charge for year
At 30 November 2020
NET BOOK VALVE
At 30 Novtrrrthr 2￿20
259,690
41759
At 30 NoveTrknr2019
259,690
42.759
F￿rr•S
Comwter
uipm8nt
Totsl8
COST
At 1 Dwnber 2019 aTrJ 3i) Novembèr2020
450
744
304.944
DEPRECIAnON
Al 1 December2019
Charge foryear
125
49
1.531
67
At 30 November2020
174
23
614
1.711
NET BOOK VALUE
At 30 November 2020
276
377
130
303.233
At 30 November 2019
325
194
303.413
FIXED ASSET INVESTMEMTS
2020
2019
Shares
Other
443,967
215,020
422,244
212,269
658,987
634.513
Add￿¢￿al infennatK￿ as folows:
Liskny
investsments
MARKET VALUE
At 1 December 2019
Gainnoss on nveslm8nt
422.244
21.723
AI 30 November 2020
443.9S7
NET BOOK VALUE
At 30 November 2020
443.967
At 30 Novemb8r 2019
422.244
There were no investment assets outside the UK.
Page 7
continued...

hrlstl•n Sclen¢•
Notes to the Flnan¢lal Stst8ments- ¢ontlnu•d
theyear Ewjed 30 Novemb•r2020
FIXED ASSET INVESTMEpifs.wrtinyed
2020
2019
COIF Charft￿$ Global Fquty Fund
C8mbrKlge & Cijuntes Bank Business Bond
COIF Pfcoerty Fund
55.827
83.6LK)
75,593
47,808
83,600
80.861
215.020
212.269
STOCKS
2020
2019
2,212
2.274
DEBTORS: AMOVIUS FALLIMG DUE WtrHIN ONE YEAR
2tr20
2019
PrepayTnents and acuusd irK¢
10.
CREDITORS: AMOUNfs FALLI4G DUE WttHIN ONE YEAR
2020
2019
2,170
1.563
11.
MOVEMENT IN FUNDS
At
1.12.19
mtsvèmanl
in fvnds
30.11.20
Unrtstrieted funds
General frjnd
Designated Capital Funds
Unreslricted Lega￿ Fund
542.057
253,692
260248
31242
573.299
253,692
260248
1,055.997
31242
1,087,239
TOTAL FUNDS
1.055,997
31,242
1,087,239
Nel rnovemeTht in fuThas, ¥ntlNJed in Ihe art a¥foIry￿.
Incoming
Resources
exp8nded
Movement
in fijnds
Unrestrlcted funds
General ftjnd
124.3661
31.242
TOTAL FUNDS
55.608
124.3661
31.242
cLJntinued...

otrs to the Flb)anctal Stattmon
lorthe Ye¥ Ended 30 N*)v•m
. contlnued
11.
MOVEMENT IN FUNDS- ¢onllnu•d
ComparatiV•s for rnoverr*nt in funds
Net
At
30.11.19
1.12.18
in funds
Unr•strlct•d lunda
General fund
Deswnated C4)ital Fund5
Unreslri¢ted Legacy F￿d
521,668
253,692
260,248
542,057
253,692
260.248
1.035.608
20.389
1.055,997
TOTAL FUNDS
1.035.608
20,369
1.055.997
Comparalwe net rrrfwen*nl n funds. nthe at•￿9 a￿ as folows..
Irthnmng
Rasourc8s
expended
Movem8nt
frjnds
Vnr•5trfctad fund¥
General fund
134.0161
20,389
TOTAL FUNDS
{34,0161
20,389
A Current year 12 Th)nths and prnr year 12 months Cfjmbw￿ Fosi￿n is asfolThvs.'
Nèt
movement
funds
1.12.18
30.11.20
VnrestrlctsdfuAds
General fijnd
Designated Capital Funds
Unrestricted Legacy Furn
521,668
253.692
260,248
51.631
573,299
253,692
260.248
1.035.608
51.631
1.087.239
TOTAL FUNDS
1.035.608
51.631
1.087.239
A Current y 12 months year 12 mnths (xjrTkn￿8d net nTh)Ye￿ in fijnds. indud•J in the above are
as foll￿$..
In￿rThr￿j
Resources Movement
resources expended
in funds
Unrestricted fvnds
General ftjnd
110.013
{58,3821
51.631
TOTAL FUNDS
110,013
158,3821
51,631
Page 9
cc*)tinued...

N+)tes to the Finantial Stst
Y•ar End•d 30
12.
RELATED PARTY DISCLOSURES
Pa9e 10

Iwis¢lan S¢i•bK• S
Stat•m¢nt of FIna￿la$ Activili05
lor the Year Ended 30 Nov•mb•r 2020
2020
2019
INCOME AND ENDOWMENTS
Donations and legacleg
coled￿n9
DonatK)ns
1,829
17
414
Grfl aid
430
1.092
2260
Oth•r tradlng a¢lMtI•s
Sale of Books
Sale of Periodiia¢s
Sale of Mlscdlan￿JS Items
121
1,967
583
1,527
2.176
2.671
Inv•$lm•nt 4ncorn•
Rents receNed
Rent- Pafknng Spac•
D￿}dend ince4nè
Deposit account interest
GainlLoss on Invesbnenl
9.￿0
7,851
5,440
4.676
24,473
9,725
5,910
4,813
2.484
26,542
52,340
49,474
Total Incomlng r•sour¢es
55,608
S4,405
EXPENDtruRE
Ralslng donatlons and 18gxkns
Adverti8ing
2.429
Oth•r
Stock
Purchases
Lecture
Donations
62
2,961
120
3,435
2,725
2.2
5.273
8.780
Support costs
Oth•r
Rates and water
Insurance
Light and heat
Telephone
Postage and stationery
Sundrie5
Repairs 8 Renewals
Cleaning & GardenirvJ
Wages
Managernent Fee
Membership lee
Plant and machinery
Fixtu￿$ and fittings
CompLrter equiprnent
210
1,553
2,877
1.143
1.177
210
3,254
192
1.507
2,795
1.156
913
69
3,439
2.753
7,211
1.226
3.810
1,307
49
67
57
78
17,785
21.991
This page dc*s rK)Iform part ofthe staluw fjnanclal stat•mants
Pag811

D•talled Statement ol Finartial Adivi
rth¢ Year ETrded 30 N•)vember2020
2020
2019
Oth•r
Governance costs
Accountsncy
828
816
Total rèsources expend
24.366
34,016
N•t In¢om•
31242
20,389
Thi5 page does not fcrfm part ofthe staluw ffin8r￿1 staternents
Page 12