REGISTERED CHARtrY NUMBER: 251377
eTNs
UTraudll•d Flnanclal Sla
Y r End•d JO N<)v•mbèr
21
& Parln2rs
Char￿￿ kncou￿ts IICAEWI
Red18￿1 Ho
157 Redland R¢)ad
RedlaThJ
Br￿t01
BS6 6YE

Contents olthe Flnan¢ial Slalemenls
d 20 Novernber
R•portoftr* TnMts••
Ind•pbndent Examlnees Report
Statement of FlnanclNI A¢tlvl¢
B•l•ru She•t
Nof•s tt* th• Fln•n¢lal 8tst•menl•
5 b) 10
Dotslqd Stst•mant of Fknanclal Ac15vllkn•
11 kj 12

Chrlstian Seloncè Brf￿a
Re rt ofthe Trnstees
forthe Year Ended 30 November 2021
The trustee5 present their report wth the fina￿￿￿1 3t8tPJTwts of the for the year e￿ 30 No¥emt)eT 2021 The
trustees have *lopted the of Acts)sJnbNJ and Reporting by Charrt*s. Ststemant of ReC0ft￿)en￿ed Prathc
applicab￿ to th￿tE$ prepanrYJ their a(ts)unts In aCrUdan￿ with 1he FinarKi81 ReForbng Standard ap[￿Kab￿ in the UK
and Republic of I￿land IFRS 1W21 lthc*ve 1 J￿￿ary 20191.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Goveming do¢ument
The charrty 15 cL)ntrOl￿ by its gx)vemir¥J dotrJment, a (kned ￿trUSt and ¢xJnsl*utès an unuwrpor*&a L*arty.
REFERENCE AND ADMINISTRATIVE DETAU
Regtsiered Charity number
251377
Prlnelpal addrn$8
51 North V*w
Westbury P8rk
Brislol
BS6 7PY
TMtg0•
Mrs SF Fer9uson
Ms B Page
msMO￿r
Independent Ex•rnlrw>r
Worrnald & Partnèrs
Chartered Acwuntants IICAEWJ
Redl8nd House
157 Redland R¢Md
Redland
Bristol
BS6 6YE
Apwov•a by ord8f01t￿ ofbwsts••on.4I... ... ... ...
.. and its ￿ha￿tsY..
Mrs SF F•r9uson- TnJsle8
Pa￿1

de Thlent ExamlMf R
rttoth8T
Chrislsan Science Soci?
Bri•tol
Inilependent examiMrfs reportto the twusts8s ol Christian Science Sodety, Btstol
l ￿port to the charty trl￿tee$ ￿ my exammatx)n cl the ol Chn8tsn Soence SOL•. (the Trust) for t
year eThled 30 Novemter2021.
R•SpOn￿bIll￿$ and basis of reFKfft
As the charrty trustees of Ihe TnLSt you are fry Ihe prepwatijn of the ac￿Unts in arYXWdar￿ %Mth the
quwements oflhe charl￿sAct 2011 ￿ Adl.
I report in respect of my examinatDn ol the Trusfs *counts caN*d L4rt under sethn 145 of the Ad and in carrying out
rny exarnin8tDn I ha¥* follow￿ al aprAK￿kn tA'reiX￿ gibEn by the Charty Ccanmls8th under sedicln 1495llbl of the
Independent examlTrxe$ $t•ttment
I have Comp￿ted my examinatK)n I c£)nfm that M ffAtenal Matt￿ ha￿ to my at*nts)n in c¥xsTrec*on wth Ihe
•xaninatDn gNing ￿ cau88 lo telieve that in any ma*iial
aC￿untsn9 recorrJ$ b%tre N)t kept m rtspecl olthe Trust as rnqured ty wl#)n 130 ofthgN£t'. or
the accounts do not accord wrth Ih)$0 w)rd$. or
the accounts do not c4)m￿Y with the wr4uble requwnents o)ncemtrg the lo￿ and rx)n￿l of &rA)￿Int9 8et out
the Charrt￿8 IA(£ounis and ReFh)rtsl R89uL4bcffjs 2C#J8 oll*r any requiremwt that the pKc0￿nts gi¥e a
Irl￿ lairv*wwhich is rk)t a mthrcw(knred as part of an ￿￿ependent examinal*)n.
I habe no o)ncems and havè orre crther mattw¥ ￿ ￿nneCtron the exwninatKJn kj *A+Jth attentK)n S￿)uld
drawn in thi$ wort ￿ order ¢0 a prcw uTrderslandrvJ oflh• actounls lo t• rgad¥J.
NA Dando
Wormald & Partner8
Charter8d Acojuntsnts IICA
Redland House
157 R8dland R¢)•
Redland
Bristol
BS6 6YE

Ch
ststement of Flnancknl Actfvlt
lorihe Y•ar Ended 30 Novèmbèr 2021
2021
UnRstri(le(I
fvnd$
2020
Total
fvJrn1s
INCOME AND ENDOIWEKfs FR(￿1
Donab"on8 and leg8C*S
43,193
1.092
otIErtradirvJ a￿￿￿e5
Investrrtsnt inrn
2.176
T¢)lal
3,589
55,606
EXPENDITURE ON
RaBing
420
31,878
23,886
Totsl
32,296
24,366
NET INCOME
61.293
31,242
RECONCIUATION OF FUNDS
Totsi fvnd8 brouohtfol￿rd
1,087,239
1.055,997
TOTAL FUNDS CARRIED FORWARD
1,148,$32
1,087,239
The notes form p8rt offv ffinarval stst￿
Pa￿3

¢hr1611•n Sc
30 Nov•rnb•r2021
2021
Unrestritsj
fiJThJs
2020
Totsl
nds
FIXED ASSETS
Tangbk assets
Inve5trnent5
303.(133
816.771
303,233
e58.987
919.e64
962,220
cuRREP￿ ASSETS
2.172
231.217
2.212
124,977
Cash at bank and n haTrJ
127.189
CREDITORS
Arnounts faNing due With￿ on• y•
14.7211
12,1701
NET CURRENT ASSETS
228.e68
125.019
TOTAL ASSETS LESS CURREKf LiABiunES
1.148,532
1.087,239
NET ASSETS
1.148,$32
1.087,239
FUNDS
Unrèslri¢Xed fvTrJs
10
1,148,532
1,087.239
TOTAL FUNDS
1,148,532
1,087,239
The fiMncia
slaternents V*we wprov•J by tho P•)¥d of Tft*t•88 and auth¢Jrwd kjr ￿sue on
.L. ... ggned on rts behaKty'
SF F¢ryuson- TNste
The notes f(￿rn ofthe¥e fin8n¢ial ¥tsternents

Christian Sci
oc*
lknt•s to the Fina￿la1 Slaknmgnts
for the Year Ended 30 Novembef 2021
ACCOUNTING POUCIES
Basis of prepar￿9 the financial stat•m8nts
The finanaal statements of the d)arty, beneffit enbty un￿r FRS 102, have teen prepared in
accoidarbc8 with Ihe Charities SORP IFRS 7021 AcuMJntiThJ and Rep)rtng by Charths. Statern￿t ol
Reo)mm&nded Practs'￿ tharitEs prepar¥￿ thwr aoxunts n ￿0)rdan￿ wth the Finanoal
Report￿9 Standartl Ihe UK and Re￿￿￿ ol Irdand IFRS 1021 le118th.ve 1 January 20191,, FinanLyal
Reporbng Stsndard 102 FinarKa81 Re[￿1￿j St￿ard applh*le ￿ the UK and Repu￿￿ of Ireland and the
CharitEs Act 2011 The finanoal Stal￿ents have W prepar&J under the hi&ortal cost ct)nvention, ￿lIh thts
èxc*ptK)n of li￿stMents whiL* arn *idudèd at marknt val￿, as by the rèv8luatb)n of L*rtain a&*Èts
Incoffl?
AJI Intsjme is rets¥n￿d in the Statement of FinarKAI Aeb"%MliÈs tsn￿ the tharity has entillement to tho fvnds. it is
Obab￿ that the inwme wll be re￿Ned and the ar￿Unt can be ffEasured re￿ably.
ex￿ndItur•
ab11rt￿$ 8re recxjgnwl as expendrture as sow as the￿ • a Wl LY cortstructiva oblig8tic•) eommithw th
tharrty to that expendrture, rt is wc*)abk Ihat a tran8fw of banafits be rtquir8d in 8ettk8rnenl and
the amount of the rk)IvJabon can t* nwsured reliabty Expe￿litU￿ ts 8co)unted for ￿ an •xYua* basis and
ha$ been d86*fièJ under hewJings that &3grg3ate JI r))st reLqtsd to the category. ￿re costs cannot be
directly attr*ut¢d to partrwlar he•Jing5 they have alkxaled to a bass consi8tent ￿1th the t
of resources
T•nglble flx•d a•••ts
t￿p￿￿?110n prowded al th• frAkJwNJ anrthl rates li (xderlo t•rt8 df•ach ass•t 0￿r ts •8tinated lif•.
ant machinery
Fixtures and fithros
Cornwlerewipment
15% balanc• basis
15% re0￿￿3 balanL* ba&s
33.33% on redwng bal￿￿
Stocks
Stocks are ¥aK￿ al the of wst net ¥¥￿. •lknr mthrrfj br ob8okgts 8nd 8k)w
nThying rt¢ms.
Taxa￿On
The charty Is exempt frc*m tax On bts thar#abb ac11￿8.
Fund a¢countln
Unrestrict•J funds can be kn acc&Vd￿C•I￿th the dwi11*•￿ otpdwes at th dix¥ebon oflhe trustees.
Restncaed frJnd3 be us&J for partrular restrirted pu￿￿e9 *ithin the (*)Jecas of the tharity ReStr￿￿on$
8ri8e then by the donor or luTh18 are r8*8d partthar re8triclad purposes.
Further expkiThalion ofthe nathjra and ofeath luTrJ IB in Ih8 TrJteBto the finanaal Btstwnen
OThER TRADING ACTMnES
X121
21720
Sa* of Books
Sak ol Penodicals
Sak of miscellane￿ It
1,2L
1,527
595
1,79)
2,176
Pa>5
c¢ntinued...

Christian S¢4trn¢e So¢*
Notss tr> thg FIna￿la1 Stalernents. ¢(￿lInUed
for the Year Ended 30 November2021
INVESTMENT INCOME
2021
2020
Rents ￿￿￿ell
Renl- Pathng Sp
DNideThY IrKon
Deposrt ac(x)unt intwest
GainlL06s cfi Inveslrnent
6,171
5,405
4.180
7.851
5.440
4.676
24.473
52,340
TrUSTEES' REMUNERATION AND BENEFffS
Th¢re ￿re no Iruste¢$' r¢rwrerBkn or ofvr bemfts for th• ￿¥T ￿ded Xl NfftrTthr 2021 Th)r for t￿ year
ended 30 Novernb8r 2020.
Th•r¢ r>) In￿tee8. experw8 P8iJ *>r tho ￿ wded 30 2021 kjr the year ended
30 Novemter2020.
COMPARAnVES FOR THE STATEIAENT ￿ FINANCIAL ACTMTIES
UnTestricled
Thjs
INCOME AND ENDO%WENTS FROM
ts)natr)n8 aryl leg**¥
1,oa2
0[￿r Irajiro aclwtrs
Invts￿rntnt *thrne
2.176
Tot*1
EXPENDITURE ON
23,886
Tot•1
24,368
NET INCOME
31.242
RECONCIUATION OF FUNDS
Tol¥l fvnd• brought for￿￿￿
1.055,*7
TOTAL FUNDS CARRIED FORWARD
1.087,fJ9
P*Je 6
continued...

Fina
- con11nued
forlh Year Endvd 30 Nov•mbor 2021
TANGIBLE FIXED ASSETS
Re&Jing
Roorn Dev
Cost
ChI￿th
Buiklirvd
Organ
COST
At 1 Decemter 2020 and 30 ￿)￿b￿2021
259,
42,759
DEPRECIATK)N
Al 1 D￿mber 2020
Ch8rge for year
At 30 Noverlthr 2021
NeT BOOK VALUE
At 30 November 2021
259.690
42.759
At 30 November 2U20
259.69)
42.759
Ftttures
and
PAIt and
equiwent
Totsls
COST
At 1 Decemtér 2020 and 30 Nosynbef 2021
450
744
304,944
DEPRECIATrON
At 1 Decemt*r 2020
Charge lor year
174
41
814
1,711
140
AI 30 Noverr*•r 2021
215
979
857
1,851
NET BOOK VALUE
At 30 Novethr 2021
r35
303,093
At 30 Nov8nknr 2020
278
377
130
303,233
FIXED ASSET INVESTMENTS
2020
Sh8re8
Other
446,411
170.360
443,￿7
215,020
616,771
658,987
dIti￿al infomialth) as fr)l(F*8
'5ted
investrnents
MARKET VALUE
At 1 D8C8mter 20
Gainno85 on investh*nt
443.￿7
At 30 Novenknr 2021
446,411
NET BOOK VALUE
At 30 Novernber 2021
446,411
At 30 November 2020
443.￿7
jntinued...

Christian Science Socie
lo thè Financial Slaknrnents- continued
forthey
FIXED Ass￿ INVESTIIIENTS- cont•}￿d
Cost orvaluation at 30 No¥trnbw 2021 15 rep¥￿eM￿j by."
LL8ted
livestments
Valuath)n in 2021
Cost
2,444
443.￿7
448.411
Inve3tmonts l*t8d urltyt&Y)￿re as fr4knb*.'
2021
2020
COIF Charib"¢s &¢bal Equty Fund
Cambndge & CountE8 Bar4( Bu$ntss BoThJ
COIF ProFety Fund
55.827
83.6CO
75.593
64.949
85.411
170,
215,020
STOCKS
2021
2020
2.172
2,212
CREDITORS: AMOUNTS FALLWG DUE bMTHIN ONE YEAR
2021
2020
Oiher ¢TrJitor8
4,721
2,170
10.
MOVEMENT IN FUNDS
Nèt
nTh)vemenl
At
301121
1.12.20
Unréstrlcted fund•
Geneial fund
gnaled Captsl FuTrJs
Unresthtsj L¢gao Fufrj
573.299
253,692
260.248
61,293
834.592
253,692
260,248
1,L*7.239
61.293
1,148.532
TOTAL FUNDS
1.C87,239
61,293
1,148.532
Net m¢)v8meni in funds, the abobp •n as Ic4kn￿.
Inc￿lThJ
r*Sour￿$
Rwurce• m0veff￿nt
exFended
in funds
Unrestroetsd funds
Ganèral bjnd
I32,￿)
61.293
TOTAL FUNDS
93.589
132,2961
61293
PasE 8
c£)nb"n￿d...

Chrfthn Science Soc"
P4)t•_s to Flnancill Statements- con¢ln
November 2QL1
forthe Year Ended ￿.- .
10.
MOVEMENT IN FUNDS. ¢ontIn￿d
Comparntiv•J for rno¥•mfrnt In fun
rrv)verr*nt
fvnds
1 12.19
30.11.20
Unrestrictsd lund•
Generdl tund
Dewgnated Caprtal Furnjs
Unrestrided Legacy F￿rnY
542,057
253,692
260,248
31.242
573.239
253.692
280,248
1.055.937
31,242
1,087,239
TOTAL FUNDS
1.C65.997
31,242
1.087,239
ComparBtN¢ ¢lèt movernènt in fr¥Kls, the ab¢Ne 8re as ffi)NM.'
Inc4)miro
resourc•s
Rosources
em￿nded
Movement
In funds
Unre•trlet•d fun0*
General tsnd
124.3861
31242
TOTAL FUIKIS
55.6C
124,3661
31.242
A year 12 moth arnl prKir 12 ffl￿th$ (x)rt+ined P￿t￿)n o a8 frlby•48'.
Al
1.12.19
nTr)veryEnt
3011.21
Unr¢8trbct•d funds
Ger¢ral fund
C*sgn8led Capilal FuThJ$
Unrest￿led L•gacy Fur¥J
Y2.057
253.692
260,248
2.535
634,$92
253.892
260,24e
1,055,997
92.535
1,148.532
TOTAL FUNDS
1,055.Y37
92.535
1,148,532
A Qjffent 12 8n¢J )Yar 12 nTr)ntr* nv)verMnt li fvnd4 Mid(wJed in the abovo are
as foll￿#￿.
Ino)mir
resour
Ro80U￿$
exFendeA1
Movement
in funds
Unre8tsl¢t•d fundi
General fund
149,197
156.e621
92,535
TOTAL FUNDS
149.197
(s6.￿2)
92,535
Pa￿9

Chrlsllan Science Soc"
Brislol
thè_Flnanekl ststrmo1ts. eontlnué_d
fortht Year ended 30 November 2021
11.
RELATED PARTY DLSCLOSURES
Ther8 were rKs rda18d party trartsacbc￿ torth• ywerbg•d Xl N¢)v•mb•r 2021.
PasE 10

Briitol
forth8 Y•ar End•d 30 November 2021
3J21
2020
INCOME AND ENDOWMENrs
Dona￿0￿8 and legackn
Collectsons
Dorolions
Gift a¥J
870
42,323
633
430
43,193
1,092
Othertrading #etlvltl••
sa￿ of Book5
so￿ of PeriDSI(%ks
sa￿ ol lAiscellan￿US Itwns
1.$27
s95
1.7
2,178
knvestment Ineome
Rents rèc*N8d
Rent- Path'ng Spxe
Divthnd Ineom
Deposit aco)unt inlerest
GainlLos8 on Inv•strMnt
6,171
6,405
4,180
22.950
7.851
4,676
24,473
48.6C
Totsl kncomlng r•iourcg•
55,6C
EXPENDtruRE
R)*lng dono110Th• •nd 10g•¢1••
Advert151ng
420
Olh•r
Stock
Purcha888
Donations
41
3.201
2,961
2.250
4,842
5,273
Support ¢o•t•
Oth•r
Rates and water
Insurance
Light and heal
Ttlèphon•
Postage and ¥tstrorory
Sundries
Repairs & R8rknÉls
CkanirKJ & Gardenng
Wages
Managerrent Fee
Membership fee
Plant rnathirery
Fixture$ and fittings
Computer equipment
210
1.553
2,877
1.143
1.177
210
3.254
1.896
3.810
1.307
1.651
1,147
1.661
12,133
1,(B2
4,130
1.307
41
57
49
26.161
17.785
This pajè does Mi fom part ofts slautNy f¥)an0￿ stateff*nts
p￿11

christian Sci•nce Socie
Dglall8d Slat8m8nt of Flnanclal Actfvltles
forthe Year Ended 30 November2021
2021
2020
Other
Gov$man￿ Costs
A¢tr)untsr
70
828
Totsl ￿SOUrceS exp&￿ed
32,2
24.366
Net Income
61,293
31.242
This p4e rKIt form ofthe statuiNy fmaniid Statem￿1&
PèJe12