WHOLENESS THROUGH CHRIST
ACCOUNTS
FOR THE YEAR ENDED
31ST DECEMBER 2025
Scottish Chaiity No. SC 037891
and
England & Wale5 Charity No. 327055

TAR Wholeness Through Christ
Charity Commission
OSCR
Period start date
Monlh
01
PericKI end date
Month
Year
2025
Year
From
01
2025
To
31
Reference and admlnistration detalls
Charity namo
other names charity18
known by
Registered charlty
number
Wholeness Through Christ
v￿C
Er7gland & Wales 327055
Scotland SC037891
Charlty's prfn¢lpal
address
51 Maddiston Road
Brightons. F￿knrk. Scouand
FK2 OJR
Postcode
ebsite
www.wholenessthroughchri$Lor9
Names of th¢ charity trustses on date ol approval of Tru$tees' Annual Report
Dateè.acted if
r.;bodyl e
led
.sl.y.ear
appoint Itustee11 .
Ivy Blair
Derek Townshend
Trustee
Trustee
Trustee
Tnjstee
Pauline Townshend
Tnjstee
Trustee
Richard Haywood
Trustee
June. December
Trnslee

Reference and administratlon details
Independent Examiner
Narrie'& Address"-
Louise McAulay
Nelson Gilmour Smith
Mercantile Chambers 53 Bothwell Street Glasgow G2 6TB
Structure, Governance and Management
Type of governlng document
The Trust is administered in accordance with the terms
ofthe Trust Deed.
Trustso recruitment and
appointmant
RecruTtmen( apporntrnent and renTr)val of trustees is in
acLYJrdance with the Trust Deed.
Objectives and activities
Charitable purposes
To oiFer release arKI healing through the Christian gospel.
Summary of the main actlvities
in relation to these oble¢ts
Hohjing retreat courses for prayer ministry.
Encouragement to branches of Ihe charity throughout the
UK to meet the needs of the communities around them.
Achievements and performance
Summary ofthe main
achievements of the charty
during the financlal period
Improvemen15 have been made in reaching financial
targets this year through cutting costs and again through
an increase in gifts.
We conb'nue to find a sharp increase in people needing
support. This has resulted in an increasing demand on
the work of the charity and a greater Impact on the
community around the charity's shop in Falkirk.

Financial revièw
Brief ststement of the Charlty's
flnances.
The charity's finances have remained stable
Reserves Policy
Brief statement ol Ihe charity's
policy on reserves
11 Is the Iruslee's polKy to hold in reserve, whe
possible, monies to cover the PAYE and National
Insurance costs for the year ahead and also three months
wages f¢r staff.
Details of any deficit
Athough there was a defi￿t in 2025. This was due to
rerriving less gifts than were expected and 2150 monie$
being spent on a new property that was covered from
esignaled Mnds- wh￿h were set aside for this purpose.
Howevef, a gift that was exFecled in 2025 gift arrived al
the beginning of 2026 which cleared the loss and the
charity exFects to remain lo a w)silNe financial posrtion
going foTh¥ard.
Other optional Information
The charity continues to runs a charitylcoffee shop where refreshments, (home baking,
coffees and leas) are provided free. The￿ Is also no charge for other donated items in the
shop, (books elc}. The shop offers a listening ear and prayer seNice, particularfy for those
who are struggling with issues in their INes. Although thi5 shop does provTrde some extra
income for the charity. the aim of the Shop is lo help the local Community in whatever ways we
can. We regUla￿Y help people (through the next door supemiarket) where they can collect
food for free.

ststement of Trustees, Responsibilities
Charity law requires the Trustees to piepare financial slalemenls for each financial year
which shows a tme and fair view of the stale of affair5 of the charity and its financial activities
for that period. In preparing those financial ststemenls, the Trustees are required lo.. select
suitable accounting policies and then appty then consistentty.. make judgements and
eslimales that are reasonable and prudent stale whether applicable accounting standards
and slalements of recomm8nded practice have been followed. subject lo any departures
disclosed and explained in the financial statements.. and prepare the financial statements on
the going concem basis ijnless il is inappropnate to presume that the Charity will continue In
operational existence.
The trustees are responsible for keeping accounting records wh￿h disclose with reasonable
accuracy al any time the financial position of the Charity and to enable them lo ensure that
the financial statements comply wlh the Charity and Trustee Investment (Scotland) Act 2005
and the Charities Accounts Regulations 20Cé las amended). They are also responsible for
safeguarding the assets of the Charity and hence for taking reasorbable steps for the
prevention and deleclron of fraud and other irregularities.
Declaration
The trustees declare that they have approvgd the I￿￿te¢s, roport above.
Signed on behalf of the charlty's trustees
Slgnature(s)
Full name{$l
Ivy Blair
Posttlon (e.g.
Chalr)
Trustee
Date
23107126

Wholeness Through Christ
OSCR SC037891 1 CC 327055
Independent Examiners. Report to the Trustees
I report on the accounts of the Charity for the year ended 31 December 2025 which are set out on pages 6 to
12.
Respective responsibilities of the Trustees and Examiner
The Charity's Trustees are responsible for the preparation of the accounts in accordance with the terms of the
Charities Investment (Scotland) Act 2005 and the Charities Accounts (Scotland Regulations 2006 (as
amended).
The Charity's Trustees consider that the audit requirement of Regulation 10(1} (a) to (c) of the Accounts
Regulations does not apply. It is my responsibility to examine the accounts under section M(1) (c} of the Act
and to state whether particular matter5 have come to my atiention.
Basis of Independent Examinerfs statement
My examination is carried out in accordance with Regulation 11 of the Charities Accounts (Scotland)
Regulation 2006 (as amended). An examination includes a review of the accounting records kept by the
Charity and a comparison of the accounts presented with those records. It also includes consideration of any
unusual items or disclosures in the accounts, and seeking explanations from the Trustees concerning any such
matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and
consequently I do not express an audit opinion on the view given by the accounts.
Independent Examiner's statement
In the course of my examination no significant matter has come to my attention:
l. which gives me reasonable cause to believe that in any way material respert the requirements:
to keep accounting records in accordance with Section 44 (1) (a) of the 2005 Act and Regulation 4
of the Accounts Regulation 2006 (as amended); and
to prepare accounts which accord with the accounting records and comply with the Regulation 8 of
the Accounts Regulations 2006 (as amended) have not been met.. or
2. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the
account to be reached.
Louise McAulay BACC CA
Partner, Nelson Gilmour Smith
Independent Examiner
Mercantile Chambers
53 Bothwell Street
Glasgow
G2 6TB

¥¥HOLENESS THROUGH CFIRIST
Statement of Financl81 Activities
For the year ond*d 31 Docember 2025
2024
Total
Funds
2023
Total
Funds
Unrestricted Funds
General Dosignated
Restricted
Notè
In¢omo and Expendlturn
Ineome and endowmènts from:
Fee8
Gifts and Gfft Aid
Interest
Charitable Activities
Total incomlng resourGe5
53,612
6.OC6
4.149
63.767
5.720
59,332
6,006
83.525
8.228
5,526
97,279
5.720
Exponditure on:
harttable aetlvltlès
Costs of G&nÈraJng Funds
Direct ch8ritsble activrty
Support costs
New BulldirvJ Cost
Total rosources expended
4,231
72.322
1,5(10
4.231
78.042
1,500
179
7.356
75,957
1,100
5.720
179
179
78.053
5.720
84.413
Net incomlnty{outgolngl rtrsources
lor year
Nat tranÈf¢r5 betwoon funds
Nèt movement in luTrds
114.2861
(179)
(14.4651
12,866
{14,286)
1179)
{14,465)
12,866
Fund balances brought fonvard
at beglnning of yèar
P.604)
420.672
418.068
405,202
Fund balancgs carrled forward
at ènd of year
16.890
420.493
403,603
418.068

WHOLENESS THROUGH CHRIST
Balance Sheet
As at 31 Decamber 2025
2025
2024
Note
Fixed assets
264,079
70,629
Current assets
Debtors
Cash al bank and in hand
228
146,434
146,662
351,465
351,465
Credltors due < 1Year
C￿dItorS
7,138
4.026
Net current assets
139,524
347.439
Nèt assets
403,603
418,068
FINANCED BY...
Unrestrlctsd Fund
Other Funds
Designated
General Fund
420,493
16,890
420.672
2,604
403,603
418,068
Approved by the Trustees on
J£ JLL
2026 and signed on their behalf by
Trustee

WHOLENESS THROUGH CHRIST
Notes to tho Accounts
Yèar anded 31 December 2025
General Informatlon
The charity is an unincorporated organisation for public benefft regrslered as a
charity in Scotland. The address of charity 51 Maddiston Road, Brightons, Falkirk
FK2 OJR
Slat8ment of Compliancè
The financial slalemenls have been prepared in compliance V￿th FRS 102, "The
Financial Reporting Standard applicable in the UK and the Republic of Ireland",
the Statement of Re￿mmended Pract￿ applrcable to charities preparing their
accounts in accordance wlh the Financial Reporting Starkdard appI￿able in the
UK and the Republic of Ireland IFRS 102) (Charitses SORP IFRS102)) and the
Charities and Trustee Investment IScolland} Act 2￿J5 and the Charit*s
Accounts Iscodand) Regulations 2006 las amended).
Accountlng Policies
Going concern
There are no material ijncertainties about the charrys ability to continue.
(a}
(b}
Disclosure exempllons
The entity satisffes the criteria of being a qualtyry entity as defined in FRS 102.
- No cash flow statement has been presented for the charity
Icl
Judgements and key sources of e51imatson uncertainty
The preparation of the financial statements requires management lo make
judgements, e51imales and assumptions that affect the amounts reported.
estimates and judgements are continually reVIe￿d and are based on experience
and other fa¢tors, including expectations of future events Ihal are believed lo be
reasonable under the clreumstances.
{d}
Incoming resources
All incoming resources a￿ incIL￿ed in the statement of financigl activities when
entftlemenl has passed lo the charity,. It 15 probable that the etr)nomic benefits
assock9ted with Ihe transaction will Itow lo the charity and the amount can readily
be measured.
(el
Resources expended
Expenditu￿ is recognised on an accruals basis as a liability is incurred.
Expenditure includes any VAT which cannot be fully re(x)vered, and is clasSif￿d under
headings of the slalemenl of financial activit'es to whKh it relates..
expenditure on raising funds indudes all investment management costs.
expenditure on Gharilable activities includes all costs incurred by a charity in
undertaking activities that further ils charrtable aims for the benefit of ils beneficiaries,
including those support costs relating lo g0veMan￿ of the charity apportioned lo
Charitable activities. Govemance costs comprise the independent examination.
I￿al ad￿￿ for TNslees, costs associated wlh constttulional and statutory
requirements and str8legic management thrcrtjghout the year.

WHOLENESS THROUGH CHRIST
Notes lo the Accounts {Contlnuod)
Year ended 31 December 2025
Accountlng Policies {contlnued)
Fund Accounting
Unrestricted funds are available for use at the discrefion of the trustees in furtherance of
the general objectives of the charity.
Designated funds are unrestricted funds earmafked by the tnjstees for part￿ular future
project or commitment.
Re81ricled funds are subpcted lo reslriclions on their expenditure imposed by the donor
or through the terms of an appeal.
Fixed Assets
Properties are induded in the a(xounts al valuation, no depreciation is charged.
Equipment and furniture have been wrillen off to Ihe in￿rne and expenditure account
in the year of acquisition.
io
Igl
Donations and L8gaclgs
Unrestricted
FurKJs
Restricted
Funds
Total Fund8
2025
Donations
Gifts & Grft Aid
Gifts from Canaja
18,075
35.537
53,612
18,075
41,257
59,332
5,720
5,720
unresth.cl
Funds
Restricted
Funds
Total Funds
2024
Donations
Gifts & Gift Aid
Gifts from Canada
38.736
34,789
73,525
38,736
44,789
83,525
10,000
10,000
Staff costs
2025
2024
Salaries and wages
Employers Contributions lo pension sd)emes
42.853
3,503
46.356
43,466
1,265
44,73
The average number of employees during Ihe year was 1 (2023". 1).
No employee re￿iVed remurwalion of more than £60,000.
Trustees do not receive remuneration for servK*s rendered as TnJstee5.
2025
2024
Support costs
Independent examination fee
Accountancy lee
1,500
1.100
,500
1,100

10
WHOLENESS THROUGH CHRIST
Notes to the Accounts Icontlnuod)
Year ended 310ecgmber 2025
Fixed Assets
Property
Cost
As al 1 January 2Q25
Additions
As al 31 December 2025
70,829
193,450
264,079
Depreciation
As al 1 January 2025
Charge for year
As at 31 December 2025
Nel book value al 31 December 2025
264,079
Net book value al 31 December 2024
Debtor8
2025
2024
Amounts due within one year..
other Debtors
Prepayments
228
228
Creditor8
2025
2024
Amounts due wthin one year.
Accruals
Other lax and social security
5,325
1.813
38
1,100
2,926
4,026

WHOLENESS THROUGH CHRIST
11
Note8 to the Accounts (Continued)
Year endad 31 Dècember 2025
10. {al Unrestrlctod funds
2025
Balance at
31 Dec 2024
Balance at
31 Dgc 2025
Income Expenditure
Transfers
Doslgnated Funds
Propety Fund
New Centre Fund
rfare Fund
70,629
345.618
4.425
420,672
2,6041
18,06
193,45D
1193,4SO)
264,079
151.989
4,425
420,493
16,89D
03,
03
(179)
General Fund
1791
178,053
232
63,767
3,767
Unrestrlctod funds (contlnuodl
2024
Balance at
31 Dec 2023
Balanc8 at
31 Dec 2024
Income
Expendilure
Trarksfers
Dgslgnated Funds
Property Fund
New Centre Fund
rfare FurKJ
70.629
337,756
4,425
412,810
7.608
70,629
345,618
4,425
420.672
2.604
7,862
7,862
79.417
General Fund
74,413
74,413
The Propety Fund was sel up lo all￿te within reserves an amount 4ual to
net book valLE of the charity's property as in the opinion of the Iruslees
these are non distributable.
The New Centre Fund was established lo sel asmje funds for a new *ntre.
A new centre was bought in the Falkirk area during the period. As designated
funds spent on this purchase have now been used for the intended purpose, this
expenditure has been transferred to the Propety Fund.
The Airfare Funcl was established to set aside fijnds for airfares from the UK lo WTC
in Windsor, Canade lo help run retreats there.
10 Ib) Restri¢ed Funds
2025
Balance at
31 Dec 2024
Balance at
31 Dec 2025
Income ExpenditUTe
Transfers
Consuttancy Fees
5.720
5.720
5,720)
15,720
Re5trfced Fund$
2024
Balance at
31 D8c 2023
Balance at
31 Dec 2024
Income
Expenditure
Transfers
Consultanw Fees
10.000
,DOO
10.0001
10,000
The charity received relricted funds towards the cost of consultanw fees.

WHOLENESS THROUGH CHRIST
12
Notes to th& Accounts {Contlnued)
Year ended 31 Dacember 2025
11.
2025
Nel
Current
Assets
Fixed
Assets
Current
Liabilities
Total
2024
Unreslricled - General
- Other Funds
{9,752}
156,414
(7.138)
264,079
116,8901
420,493
Restricted
,079
46,662
7,13
403,603
2024
Net
Current
Ass81s
Fixed
Assets
Current
Liabililies
Total
2024
Unreslrirted - General
- Other Funds
1,422
350,043
{4,026}
70,629
12,6041
420,672
Restricted
1,465
26
12.
Related Partles
Trustees do not receive remuneration lor services ￿ndered a5 Trustees.
There are no related paty transactions lo be digdosed.