REGISTERED CHA￿ NUMBER: 282667
REPORT OF THE TRUSTEES AND
VNAUDThED FINANUAL STATEMENTS
FOR TME YEAR ENDED JIST DECEMBER 2024
FOR
MiIL8ERRY MOUSE MINZSTRY TRUST
Clemence Hoar Cummlngs
Chartered Accountants
Rlverslde House
1-5 Como Street
Romford
Essex
RM7 7DN

MEILBERRY HOUSE NTNISTRY TRUST
CONTENTS OF THE FINANCIAL sfATEMEwrs
FOR THE YEAR ENDED 31ST DECEM8ER 2024
Page
Report of thg Trust9¢4
I to 2
Independent Examlner's Report
statsment of Fhthnelal Artlvltles
Balance Sheet
NDte5 to the FI￿ancIal Statements
S to 12
Dwtalled Statement of Flnanclal Attlvltles
13 to 14

MULBERRY HOUSE MINISTRY TRusr
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2024
The trustees present thelr repert wilh the nnanclal statements of the charity for the year ended
31st December 2024. The trustees have adopted the tKovisions of Accoyntlng and Reportlng by Charities.,
Statement of Kecommended Practice èppllcable to charitles preparfng thelr ac¢ounts In accordance wlth
the Finantial Reportlng Standard &ppllcable In the UK and Republlc of Irelarrfl (FRS 1021 {effec￿ve I
January 2019).
OBJECTIVES AND AcYIvrrIES
Objectivès and atms
The obJect of the charlty Is the advancement of the Christian faith. Thls Is achleved by supportlng
appropriate projects and by maklng funds avallable to other Chrl*lan mlnlstrles.
FINANCIAL RRVXEW
Reserves pollcy
The Charity doesn't hold Its own reserves as the trustees have committed to rneet shortklls in monthly
cashflow requlrements from thelr own personal funds by making additiDnal donatlons tts cover the
arltles ongolng activities. In addltion to this adjustments to staffing have been made over thé year to
help reduce the ongoing operatlwlg costs.
STRUCTURE, GOVERNAMCE AND MANAGEMENT
Governing docutnent
Mulberry House Mlnlstry House 5s oovomed by Its constitutlon dated 30th March 1981, It Is regIste￿d as
a ch4rity wlth the Charily Comrnlssion. In the event of the charily being wound up. all of the Fnembers
agree to contribute £1.
Re¢r41itm¢nt and appolntment of new tnistees
The board of trustees cortsist of R George, A J George, S J George, and H Ashworth of the d)arlty and
hlstorically there have been ng other appolntments of addltlonal tr(thes
ShoLtld the current twstees consider that additiorlal skills Bre requlred at board level, they will approach
sultable pÈrsons wlth a ￿eW to appolnting thetn as trustees.
OrgBnlsJtlonal structur0
The tmstees ère jolntly responsible for the overall administratlon of the charity. Day to day
adminlstration is delegated to appropriate persons.
Xnductlan and traJnln9 of now trustees
If and when additlonal trustees are appointed to the board. the txisting trustees will provide them with
an appropriate Indurtlgn and tralning package. This will Indude prev5ous accounts of the charity and
btsard minutes and well as copies of Charity Comm5sslon guldance on the lutles of trustees.
R¢lHted partles
MLtlberry F8cilitie5 Lfmlted Is a company whose d1￿Ctors durfng the year Included R J George and A J
George. It owns certain freehold property that was used by the charlry to conduct its charitable actyvlties.
REFERENCE AND ADMZNisfRATIVE DETAILS
R4gister•d Charfty numb*r
282667
Principal address
Mulberry HoLt5e
Chelmsford Road
Hlgh Ongar
E55ex
CM5 9NL
Trnstees
R George Ireslgrjed 24.8.24)
A J Georye
S J Georye
Aghworth
Page I

MULBERRY HOUSE MINISTRY TRUSY
REPORT OF THE TRUSYEES
FOR THEYEAR ENDED 31ST DECENBER 2024
REFERENCE AND ADMINISTRATIVE DETAILS
Znd¢p0ndant Examiner
Lee Blund¢n FCCA CTA
Clemence Hoar Cummings
Ch8rtered Aceountsnts
Riverside House
1-5 Como Street
Romford
Essex
RM7 7DN
Soli¢ltors
Cooke Matheson
8 Grays Inn Square
Gray'5 Inn
Londo
WCIR 5JQ
Barclay5 Bank PLC
20 The Town
Enfield
Mlddlesex
EN2 6LY
Approved by order of the board of trustees o
by..
and sigrted orn Its behalf
S J George - TrLStee
Page 2

INDEPENDeNT EXAMINEII'S REPORT TO THE TRUSTEES OF
MVLBERRY HOUSE MINISTRYTRUST
Independettt èxaminee$ report ta the trusteès of Mulberry House Minlstry Trust
K ￿ptsrt to the charity tr￿SteeS my examlnatlon of the èccounts of Mulberry House MinistrJy Trust (the
Trust) for the year ended 31st December 2024.
Respohslbiliti•$ and basls of report
As the charfty trustees of the Trusl you are responsible for the prèparation of ihe acctsunts In accordance
wlth the requlrements of the Charitles Art 2011 {'the Att'l.
I report in ￿$pert of my examination of the Trusvs att¢unts cariied out under Sertlon 145 of the Att and
in carying out my exatninatioTr I have followed all appllcable Directions given by the Charity Commlsslon
under Section 145(5){bl of the Ad.
Independent examiner's statémtnt
I hFJve cumpleted my examlnatlon, I confirm that materlal matters have come to my bttentlon In
conrnectlork wlth the examlnatlon givlng me cause to believe that Sn any materfal respect,.
ttounting ￿e0rdS were not kept in respert of the Trust as required by Section 130 of the Act. or
the accounts do not accord wlth those records; or
the accounts d¢ not Comply with the applSrable requlrernents concerning the form and GorEtent of
accounts set out in the Charitles (Accounts and Reports) Regulations 2008 other than any
requireTnellt that the account5 glve a trye and falr view which Is not a matter consldered as part of
an Independent examination.
I have no torKerns and have come across no other matters in connertlon with the examinatlon to whlch
attentlon should be drawn In thls report in order to enable a Proper vnderstandlng of the a¢vunts t¢ be
reached.
Lee 8lund8n FCCA cfA
aementr Hoar Cumffling5
CharterEd Acc(iuntants
Rlverside House
1-5 Como Street
Romford
Essex
RM7 7ON
Date..
f Jon¢ lozs
Pag6 3

MULBERRY HOUSE MINISTRY TRUST
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31ST DECEMBER 2024
2024
Totr41
fund*
2023
Total
fvnds
Llnrestrlrted
funds
Restrlcted
fund
Notes
INCOME AND ENDOWMENTS FROM
Charitable actlvitles
114,916
114,916
174,513
Other tradin9 actlvltieg
3,406
3,406
3,695
Total
118,322
118,322
178,208
EXPENDITURE ON
Ralslng funds
50.173
50,173
51,520
Charltahlq actlvltles
Semlnars & Events
69.249
69,249
80,109
Total
119N22
It9,422
131,629
NEf INcof•lEI(EXPENDITUkE}
(I,ioo)
(I,ioo)
46,S79
Re¢oNCILIATION OF FUNDS
Total funds brought forward
(391,215)
(391,215) (437,794}
TOTAL FIJNDS CARRIED FORWARD
(392.315)
{392.315) 1391,215)
The notes form part of these financial statements
Page 4

MULBERRY HOUSE MINISTrY TRusr
BALANCE SMEET
31ST DECEMBER 2024
21124
Total
funds
2023
Total
funds
Unrestricted Restricted
funds
fund
Notes
FIXED ASSETS
Tanglble assets
153,667
153,667
154,227
CURRENT Assyrs
Stocks
Debtors
Cash at bank and In hand
12
13
9,890
3,456
54835
9,890
3M56
52,835
11,330
53,137
2,732
6fj,181
66.181
67,199
CREDITORS
Amounts falllng due wlihln one year
14 {OL¥163)
{612,163) (612,6411
Ngf CURRENT ASSETSI(LIABILITIES)
{545,982)
(545.982) (S45,4421
TOTAL ASSETS LESS CURRENT
LXABILITXES
(392,315)
(392,315) 1391,215}
NET ASSETS/{LIABILITIES)
(392,315)
(392,315) (391.215)
FUNDS
Unrestritted
15
(391315) {391,2151
TOTAL FUNDS
(392.315) {391,215}
The flnancial statements were apprDved by the 8oard of Trustee5 and authorfsed for Issue on
QR.I..Q6,A2ol¥.-.......,..... and were slgned on its behalf by-.
S J George - Trustee
The notes foym part of these finandol ststements
page 5

MULBERRY HOUSE MINISYRY TRUST
NOTES TO THÈ FINANCIAL sfATEMENTS
FOR TPIE YEAR ENDED 31ST DECEMBER 2024
A¢COUNTIP4G POLICIES
Basis of preparlng thtt finan¢lal st&tements
The financial statements of the charity, which is a publlc benefit entity under FRS 102, have been
prepared In accordan£e with Ihe Charftles SORP (FRS 102) 'Accountlng and RePOrtin9 by Charities..
statement gf kecommÈnded Pracu¢e applicable to charits.es preparlng thelr accounts In ateordancè
with the Flnancial Reportlng Standard applicable In the UK and Republlc of Ireland {FRS 1021
{effe£tive l January 2019}'. Fin6nclal Reportln9 Standard 102 'Th¢ Flnandal Reportlng Standard
applicable in the UK and Republlc of Ireland, and the Charlties Act 2011. The financial statements
havè been prepared under the hlstorical cost convention.
The financlal statèments have been prépared on a 9olng con￿rn basis. Thls assumes that the
charity will contlnue forthe fo￿seeable futu￿.
The valldlty of thls assumptlon depends on Ihe contlnued flnandal support of the trustéés and
creditoff.
If the chadty were unable to contlnue, adjustments would hav¢ to be made to reduce the balance
sheet valuos of assets to their recoverable amounts, to provlde tor any further Ilablllties that mlght
adse and to reclasslfy ffxed assets as current assets. Long rerm liabilltle5 would also have to b¢
redassSfied as current liablliues.
The trustees believe that It is appropriate for the financlal statements to be prepared on the golng
>ncem ba51s.
Xncome
I Income is recogr*ised In the Statement of Financlal Artlvities On￿ the charlty ha5 entl￿eMent to
the funds, 1¢ Is probable that the income will be recelved and the amount be measured reliably.
For legacles, entitlement Is taken as tt)e earlSer of the date on which elther.. the company is aware
th3t probable has beern granted. the estate has been flnallsed and notification has been made by
tl* executor(s) to the Trust that a distribution will ae made, or when a dlstribution is recelved
from an estate. Recelpt of a legacyi In wholé or in part, Is only considered probable whèn the
amount can be measur¢d rellably and thÈ Company has been notified of the Èxecutorfs intention to
make a distributlon. Where legacie5 have been notlfled to the Companyi or the Cornpany Is aware
of the 9rantlng of probate, and the crltèria for income rewgnltion have not been met. then tl)e
legacy Is treated as a contlngent asset and dls¢losed if material.
Donations are credlted to the Statement of Flnanclal Attivitses (SOFA) l# the year in which they are
receivablE. For ¢ondltion41 doTratlDns, where a clawback provtslDn Is In place should the eveat
donated to not take place. these donatlons are recognlsed On￿ the event h05 tèk¢n place.
Expendltu
Liabllliles a￿ recognlsed as expenditure a5 sopn as there is a le9al or constrticrive obllgauoa
commltting the charfty to that expendIt￿re. it Is probable that i transfer of èconomlc beneflts will
be required in settlement and the amount of the obligatlDn can be measur¢d rellably. Fxpenditure
is accounted for on an accruals basis aftd h35 been classified under headings that aggregète all
cost related to the category. Where ￿$t$ cannot be directly attrIb￿ted to particular headln9S they
have been allocated to attivllles on a basls conslstent with the use of ￿sOurceS.
Tangibl4 flxed ass¢ts
Depreclailon Is provlded at the following annual fates In order to write off eath asset over its
estlm¥ted usefvl Ilfe.
Freehold property
Flx¢ures and fittlngs
2.5% on cost
25% on reduclng balance
stocks
stocks are valued at the lower of cost and net reallsable value. arter maklng du2 allowan￿ for
obsolete and slow movlng Items.
Page 6
contlnued...

MVLBERRY HOIJSE MINISTRY TRUST
NOTES ro THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31ST DECEMBER 2024
RAISING FUNL)S
other tradln9 actlvltles
2024
2023
Op¢nlng stock
Closlng Stock
prtnting
P05ts9e
blications cost
11,330
(9,890)
X7,485
8,828
22.42Cty
12,958
(11,3301
17.230
8,552
24.110
50,173
$1,520
CMARXTABLE ACTIVITIES COSTS
Support
costs (see
note 61
Semlnars & Events
69,249
SUPPORT cosrs
Informatlon
tethnology
Management
nan
SemSnars & Events
63,160
325
1,596
Human
resources
Governance
costs
Deprpciatlon
Totals
S¢mlnar5 & Events
1.948
560
1,660
09.Z49
Support costs, Sn¢luded In the above, are as follow5-
2024
2023
Semlnars
& Events
activltles
Wages
Social Security
Pensions
Dlroct Costs
Insuran
Aifvert151n9
Subscrlptlons
Rates and water
kepair5 Bnd renewals
Sundrle5
Computer running costs
Travel
DepreciatlDn of tangible fiyed assets
Independent ÈKam1n¢rs fees
52.487
781
974
7.SS6
1,342
20
325
643
556
397
1.923
25
560
1,660
S6.303
2.280
1,716
7,727
1,428
1,141
256
3,124
1,063
1,017
1,571
106
627
1,750
69,249
80,109
Page B
continued...

MULBERRY HOUSE MINisfRY TKVST
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31ST DECEMBER 2024
ACCOUNTING POLICIES- ¢ontlnuad
Taxatlo
As a charity, Mulbèrry House Mlr)Istry Trusl Is exempt from tax on income and galns falling wlthln
sectlon 505 of the Taxes Art 1988 or s256 of the Taxatlon ¢f Charg¢able Gains Act 1992 to the
extent that these are applied to Its tharltable oblerts.
Fund accountlng
Unrestrlrted fund5 can be used in aceordaTrce wlth thè ¢harltable objectfves at the d[S¢r¢￿0￿ of the
trustees.
Deslgnated Funds are Un￿$t￿tted funds 'Hng fenced, by the trustses ft)r partlcular purpose5.
Restrtrted funds can only be used for pèrtleular restrlcteis purposes wlthin the objects of the
charity. Restrfctions arfse when spe¢lfled by the donor or when funds are ralsed ft)r partlcular
restricted purposes.
Further explanatl¢n of the nature and purpose of each fund Is Included Ill the notes to the flnancial
statements.
Hlre pur¢has¢ and leaslng ¢ommitm•nts
Rentals pald under operatlng leases are charged to the Staiement of Flnanclal Act("vities on a
straight line basis over the pedod of the lease.
Pen$lon costs and other postrvetlrement benorrts
The tharity operates a deflned ¢ontrlbutiort pension scheme. Contributions payable to the charity's
pension schétttÉ are charged to the Ststement of Financial Artlvitie5 in ihe period to which they
relate.
CHARITABLE AcnvrriES
2024
2023
Donatlons
Glft aTd
Legacies
101,515
8.748
4.fj53
118,487
6,526
49.500
114,916
174,513
OTHER TRADING ACTJvfrxES
2024
2023
Sales of goods
3A06
3,695
Paoe 7
Continued...

MULBERRY HOUSE MINISTRY TRUST
NOTES TO TPIE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31ST DECEMBER 2024
OTHER
2024
2023
Support costs
69,249
80,109
TRVSTEES. REMUNERATION AND BENEFXTS
There were no trustees. remuneration w other beneflts for the year ended 31st De￿mber 2024
nor for the year ended 31st December 2023.
Trustres. expenses
There were tto trustees, expensés pald for the year ended 31st Dècember 2024 nor for the year
ended 31st Decernber 2023.
STAFF COSTS
The average monthly number of eTnployees durlng the year was as foll0WS.'
2024
2023
Average number of èmployees
No employees received emoluments lrt excess of £60,000.
10. COMPAIiATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted Restrirted
fvnds
fund
Total
funds
ENCOME AND ENDOWMENTS FROM
Charitable artlvitl¢s
174,513
174,513
Other tradTr￿ act(vitl¢s
3,695
3,695
Totsl
178,208
178.208
EXPENDifuRE ON
Ra1sing fvnds
51,520
51,520
Charktable athvities
Seminars & Events
80,109
80,109
Total
131.629
131,629
NET INCOME
46,579
46,579
RECONCIUATION OF FUNDS
Total funds brought forward
(437,7941
(437,794)
TOTAL FUNDS CARRIED FORWARD
(391,215)
(391,2151
Page 9
contlntsed...

MULBERRY HOUSE MINISTRY TRUST
NOTES TO THE FINANCIAL STATEMENTS- cont¢nued
FOR THE YEAR ENDED 31ST DECEMBER 2024
11. TANGiaLE FIXED ASSETS
Fixtures
and
flttlngs
F￿hold
propèty
Totals
COST
At Lst January 2024 and
31st December 2024
40,140
231.792
271,932
DEPRECEATION
At 1st January 2024
Charye for year
31,588
357
36,117
203
117,705
560
At 21st De￿rnber 2024
31,945
86,320
118.265
NET BOOK VALUE
At 31st December 2024
8,195
145,472
53,667
At 31st December 2023
8,552
145,675
154,227
i srocKS
2024
2023
stocks
9,890
11,330
13. DE8TORS: AMOLINTS FALLING DUE wfTHIN ONE YEAR
2024
2023
Other debtors
VAT
p￿paymentS and accwed rncome
49,500
232
3,405
329
3,127
3,4S6
53,137
14. CREDITORS: AMOUNTS FALLING DUE WITHIN OMÈ YEAR
2024
2023
Tra¢Je creditors
Taxatlon and soclal serytrfty
Other Credltors
1.693
310
610,160
2,133
448
610,060
612,163
612,641
IS. MOVEMENT IN FUNDS
Net
movement
In funds
At
31.12.24
At 1.1.24
Unrestrirted futtd$
General fund
(391,215)
(1,100) (392,315)
TOTAL FUNDS
(391.215}
{J,XOO) (392,315}
Page 10
continL¢8d.,,

MULBERRY HOUSE MINISTRY YKusr
NOTES TO THE FINANCIAL STATEMENTS- Continued
FOR THÉ YEAR ENDED 31ST DECEMBER 2024
IS. MOVÈMENT IN FUNDS- contiJ%ued
Net movement In funds, Indvded In th¢ above are as follows..
Incomlng
r¥ources
Resources
expend¢d
Mov¢ment
funds
Unrestrirted fun¢ls
General ￿nd
IA8,322
(119,42ZI
{I,ioo)
TOTAL FUNDS
118,322
(119.422)
(I,ioo)
¢¢4mparati¥es for movoment l# funds
Net
movement
in funds
At 1.1.23
31.12.23
Unrèstrirt•d funds
General fund
1437.794)
46,579
(391,215)
TOTAL FVNDS
{437,794}
46,579
1391.215)
Cgmparative net Movement In funds, Induded In the above are as follows..
Incomlng
Resources
resources
expended
Movement
funds
Unrestrlrted funds
General fund
178,208
(131,6291
46,579
TOTAL FUNDS
178,208
1131,6291
46,579
A current year 12 mijnths and prlor year 12 months Comblned posltlon Is ès follows-
Net
movement
In funds
At
31.12.24
At 1.1.23
Unrestritted funds
General fund
1437,7941
45,479
{392,315)
TOTAL FUNOS
{437,794)
45.479
(392,315)
Page 11
contlnued..

MULBERRY HOUSE MINISTRY TRUST
NOTES TO THE FINANCIAL STATEMENTS- COn￿n￿ed
FOR THE YEAR ENDED 31ST DECEMBER 2024
I& MOVEME14T IN FUNDS- Continued
A currÈnt year 12 months and prl¥r year 12 months comblned net movement In funds, included In
the above are as follows.,
Incornlng
resour
Résources
expende
Movement
In ft5nds
Unresirrcted funds
General fund
296,530
(251,051)
45,479
TOTAL FUNDS
296,530
(251.051)
45,479
16. RELATED PARTY DISCLOSURES
Dvrlng the yèar the charity received dtsnatlons totalllng £25,769 (2023 £43,966) from Its trustees.
At year end the charity owed £608,510 to trv5tees (2023 £608,510),
Mulberry F￿lItIeS Llmlted Is a company whose dlrettors durlng the year Induded R J George, A J
George and S J George. It owns certaln freehold property that was used by the charlty to Condutt
ts tharltable activitles.
Page 12

MULBERRY HOUSE MINJsfRY TRUST
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 315T DECEMBER 2024
2024
2023
INCONE AND ENDOWMENYS
Charftable activltles
Donatlons
Gift aid
Legacies
101.515
8,748
4,653
l18,487
6,526
49,500
114,916
174,513
Other trading actlrfitles
5aks of goods
3,406
3,695
Totsl Incomlng resour¢es
118,322
178.208
EXPENDITURE
othar tradlng artlvities
Opening Stock
Printing
postage
Publications cost
a051ng sto¢k
11,330
17,485
8,B28
22,420
(9,890)
12,958
17,230
8,552
24,LlO
(11,330)
50,173
51,520
Support co$ts
Managemont
Wa9es
Social securlty
PenslQnS
Direct Costs
Insurance
Advertlslng
51487
781
974
7,556
1,342
20
56,303
2.280
1,716
7,727
1,428
1.141
63.160
70.595
Flnarnce
Subscrlptlons
325
256
lTrfomiatlon t¢¢hnology
Rat&s and water
Repair5 and rEnewals
Sundrles
643
556
397
3,124
1,063
1,017
1,596
5.204
resourc8S
compuler runnlng costs
Travel
1,923
25
1,571
106
1,948
1,677
Depreciation
Freehold property
Carried lotW8rd
357
3S7
357
357
This page does not form part of thÈ gtatutory finanaal Statements
Page 13

MULBERRY HOUSÉ MINISTRY TRUST
DETAILED STATEMENY OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31ST DECEMBER 2024
2024
2023
Deprerlatlon
Brought forward
Flxtures and flttlng5
3S7
203
357
270
560
627
Govèmance costs
Indepèndent examlners fees
1.660
1,750
Total resour￿$ expended
119,42Z
131,629
Net {expenditurel/lncomo
(I,ioo)
46,579
Th1$ page does not fDmi part of the statutory financlal sratements
Pège 14