an
Terrace Row Presbyterian Church
(a congregation of the Presbyterian Church In Ireland)
Charity Accounts
(for the year ended 31 December 2025)
Registered with the Charity Commission for Northern Ireland
Registration Number NIC105552

Presbyter
STATEMENT OF FINANCIAL A¢TIWTY
Ilty Ihe year ended 31 Decen￿er 2025
In¢ome and End￿eTrts from..
OonatiM8 and legauei
charitable aciMts'e8
Olhw tradinè activ￿
InVe￿m*nI¥
155.442
36,745
10.717
192.187
10.717
24.875
10.807
9.037
198.e64
5.539
25.007
8.C69
24,326
24.875
6,489
3.398
4,318
5.839
Toial
190204
57.419
247.623
281,805
Expendibjre on..
R•iBing bjnth
Chant8bk* •th"b"¢•
700
239.6S8
15.081
37,094
15.081
287.347
28.931
Totsl
203264
S2,17S
255.439
297.618
Net IncomtllExpendbJr•l
.13.080
5244
-7,616
5,813
-3254
.3254
3.394
Tf•n•lern bth*en
-2.80$
2.805
0•in￿lI￿O¢S) M r•valu•Oon
N•t nw•m•M
-19.119
8.049
-11,070
42.419
RI￿￿11110￿ ol fvjnth..
Tolal funds trwght l¢rwwd
274.035
321,874
595,709
828.128
Tolol ftmdB ￿￿1•d fcfivard
254.918
32k,723
01 I P¥8e
Terrace Row Pre$b¥i•rl•n Churth
l*ioTrlreia￿￿I￿l

Presbyter
8ALAN(E SHEET
As•t 31 D•c•mb•r 2025
Fts•d axs¢ts:
TaTr8ible assets
Heritage assets
Investments
12
120.212
120.212
135,293
74,305
74.305
75.703
Totsl ftx•d •sMts
74,3C6
120.212
194.517
2IO,996
Current aM•ts
Oebtors
Current Investments
ash at bank and hand
14
13.559
13.559
6,875
167.052
209.$11
376,￿3
377,838
Tothl ￿ry•nt •u•ts
180.611
X19.511
39),122
384,713
U•biii¢l•¥:
Credltors.. Amounts falllni
due wltbln one year
16
N•t ￿ll•nI •u•ti or
Ihbllld•s
ieo.611
209.511
J,122
384,713
254.916
329.723
584,639
5%,709
Creditors.. Amounts fallin8
dtse aft•r [￿re than one
v•ar
17
Totsl net •M•ts Or Il•bnw•s
254,916
329.723
584.639
59S,709
021 Page
Terrac• Row PrèslNi*rwn Churth

Presbyter
an
OALAN(E SHEET
As •t 31 D•c•mb•r 2025
Funds of th• th•rfty
Endowment fund5
Aestiirted fvnds
Vnrestrlrted fvnds
18
18
18
329,723
329.723
254.916
321,674
274,035
254,916
T¢i•l tharlty funds
254.916
329,723
584,639
595,709
Approved by the Klrk 5esslon al a meettrq on 10 February 2026 and *ned on ￿h•If by
David Brownlee
Clerk of Sessl
Tom Moore
Trustee
03 | Pa8e
Terrace Row Presbyl•rl•n Churth

Presbyter
an
G POACCOUNTINUOES
BASIS OF RNANCIAL STATEMENTS
The tinanckql ststements have been prepared in accordznce with Accountin8 and Reporting by Charides..
Statement of Recommended Prathce applicabk to charitles preparin8 their accounts in accordance wtth
Financial Repothng Standard applicab￿ in the UK and Ireland IFRS1021 leftective l Janvary 20151.
The financkil ststements have been prepaved under the historical cost convenkn'on except for investment a￿et5,
whKh are shown at market value. The financial 5tatew*nts irKlude all transactions. assets and liablllties for
which the con¥re8ation Is responslble In law. They do not includethe accounts of church 8roup5 that owe thelr
affiliation to another body, northose that are informal gathering5 olchurch ffern￿r$.
FUND ACCOUNMNG
Endowment funds are funds. the upital of whKh rTw4 be retalned erther perminentty orat the congregatlon's
dIScre￿on,. the income derived from the endOW￿nt Is io be Used efther as vestrkted or unrestrided Income
fund5 dependin8 upon the purpose for whKh the endowment was establlshtd the firm pL•ce.
Restricted fvnds comprise lal incom• from endowmeThts whkh Is to be expeThded onty on the restrfcted
purpose5 Intended by the donor and Ibl rtvenue don•iions or8ranis for a sptcffic wn4rwdonal actt
Intended by the donor.
Unr••lrfthd fund• w• irKom• are to b• Ipent on th• c￿￿•9•￿.1 g¢n•r¥ purpow•. O*i•W fvTrd• •r¢
g•nwal frjnth oot by the ￿ngrega¥￿ for ule th Ihe ￿[•.
041 Page
TerrKe Row Prestyterl•n Churth

ACCOUNnNG pouaES(contdl
INCOMING RESOURCES
R•¢o8nltk+n of Incomlw r•sowc•s
Thest are Sncluded in the Staternent of Financial Activities ISOFAI when..
the congregation becomes entitled to the le￿jrCes.'
the trustees are virtualty certain they wlll recerwe the resources- and
. the rrKJnet¥ry va￿¢ can ￿ measured wmh SUffi￿nt re16abty.
1111 lfi¢¢mlr4 wlth nl•t•d •xpffidltw•
Where incoming re50ur£es have related exFendtture l•$ wY(h fvnd1al￿n8 Inc¢)mtl th• In¢omln4 r•source5 arHI
related expendlture are reported 8r0s5 in the SOF
11111 Gr•nts •NI dM•tlorts
Grants and donatlons are On￿ In¢￿ded In the SOFA when the Congre￿On has uncondltlon¥l entltlement tothe
r¢sources.
Ilvl T•[ r•cWms on drMwdt)ns •nd iffts
Incomlng resources from tax reC￿lmS art Included In the &)FA atthe saff* tfjme as the gwtto whkh they relat•.
lvl Contr•ctuJl IrKorn• p•rforni•nc• r•l•t•d ir•nts
Thls Is only Included In the SOFA once the related qOL*Js or sewvKe5 have been del￿red.
IVD Glfts In klnd
Glfts in klnd art actourted for at a reasonable esllmate of thelrvalue to the chartty or the amount actually
realised. Gifts in kind for use by the charity are included ift the SOFA as incoming resources whtn receivab￿.
Iv151 D¢n•t•d s¢r¥k•s •nd f•d¥tl•s
Thèse are only included In In¢tsmln8 resources (with an equNalent arrA)unt In resources expended) where th•
benefft tothe ¢haTity is reasonably quantifiable. measurable and material. The ¥a￿e placed on these resources
Is the estlmated value to the charity of the 5er¥ice or facility received.
l¥llll Volunt••r h•lp
Th• v•lue ol any vc4untary hdp recefved IB n(rt infJJd8d rb Ihe acc￿￿* d¢•tybed in the IlJ•t¢eB' *nrwal report
051 Page
Terra￿ Row P￿$bYterban Chyfth
pri￿tryLEr1￿ LMTrh..Tr

Presbyter
Inv•stm•nt Incom•
This Is incI￿led In the accounts when rtcewable.
1111 IN￿$tM•ftt K•lns *)d los
Thls includes any gain or10s5 on the of investff*nts and any ￿[Tr Of loss resuhfjnq from fevaluln¢
Investments to market value at the end of the year.
PENDITURE AND LIABILMES
11111 Ll•b5111y r•¢OV￿on
LIabIl￿e$ are rec¢y4nised as as th•r• ￿ a ￿¢•1 or ￿nstrUCti￿ oblvAation comTh￿ttIngthe cowrwt6on to
pay out resources.
Il¥) Go¥•rnMc• corts
These •re shown wr(hin ¢harltablt èc16vit6e5 and include the costs of prepar•tton and ex•mln•tlon of •ttounts,
the cost$ ol trustee meetlngs and tost of aTry ￿831 advice to trustees on Rovernance or constltutlonal matters.
lvl Grwrts wlth p•rforrn•nc• condltlom
Where the chartty 6lves a 8raTrt wrth cond1￿0￿$ for fts payment beiry a 5pecfft level of 5ervlce or output to be
provlded, such grants are only re¢o8nlsed In the SOFA once ihe ret1p￿nI of tht Irant has provided the 5peclfied
servlce or output.
IVD Gr•nts p•y•bl• T*5th￿l ￿rtoM1•nc• condftloffl
Thèse art ofily recoBlli5ed in the accouThts when a commitment has been made Jnd the￿ are no cofidknons to
be met relating to the grant which remain In the control of the ch•rty.
l¥lll S•Jpport costs
Support costs include central fvnciions and have l)een allocated io acUv*y cort ute8orie$ on a ￿$1$ consistent
wrth the use of resource5. e.8. allocatsng property costs by floor areas, or per c•plta. st•ff costs bythe ￿me
spent and other c05t5 by their usage.
061 Page
TerrKe Row Pftsbytori•n Churth

Presbyter
(l) T•￿Ible Fk¢edAs%ts
Tangible fixed assets for use by charrty are caprtalised rfthey can be used for more than one btar, and cost at
least E2500. They are valued at cost or. if gifted. at the value to the charity on receipt
Depreciation 15 recorded on alltan8ible fixed assets other than freehold l•nd. at rate5 calculated to write of the
cost, less es16mated resklual value. of e￿h a55et over rls exF*rted useful life. on a 5tra¥ht line ba515. os follows
Bulldln8S'.
Fixtures, fitknn8s and equipment
Motor Vehkles
Computers, software and technlcal eqvlpn*nt
- ¢)ver 50 years
. over 10 years
- over 4 years
- over 4 ￿ar5
. ov•r SO ye4
- over 4 years
1111 Inv•stm•nts
Investments quoted w a recognlsed stock excharvde are valued at market value at the year end. Ot￿1
Investment assets are Included at trust¢e¥ best estimate of market v•lue.
071 Pa8e
T*rr•c• Row Pr•strrt•rl•n Chwth

Presbyter
an
DONATIONS AND LEGAOES
Recorded 8ivln8
Loose collertion5
Donatlons and 86fts
Glft Ah
L•8acles and btquèst
127.986
1.796
24.313
2.339
152,299
4,135
4.364
31,389
158,649
1,040
1,940
37.235
25,6
5,729
155.442
36.745
192,187
198,864
CHAR￿AoL£ AcnvmES
Into￿ frorn chartt•ble
activI￿e$
Fees from weddln8s and
funerals
Membershlp fee5
Fundralsln8 events
1,895
8,822
1,895
8.822
2.016
3.523
10,717
10,717
5,539
081 Paee
T•ffKe Prèsbyi*rian thurth

Presbyter
an
OTHER TRADING AcnvmES
Property Rental
TradlnR income
24,CKXI
875
24,ffQ
875
24,C(Q
l.Crf)7
24.875
24.875
25.CK17
INVESTMENTS
De￿5ft Interest
General Investment Fund
Other investment income
4.633
1,856
3.762
8.395
1,856
556
5.759
1754
556
$56
6.489
4.318
10.8Q7
8,069
091 Page
T•wrace Row Pr¢sbyI*r￿n (hurth

an
OThER INCOME
Insuranc• clèlms
Other income
GTant5
3.398
5,092
3.945
9,037
19,377
4.949
24,326
3.945
S.639
3.398
RAISING FUPIDS
FWO envelopes
Fundraising events
70)
70)
650
70)
1,340
10 I Page
Terrace Row Presbyierlan Churth

Presbyter
CHARITABLE AcnvmES
General Assemb
Assessrnents
Presbytery fees
Ministry and support staff
costs
Other running expersses
Oonations to Missions ond
charilles
16.313
16.313
17,228
1,131
128,037
1,131
128.037
67,374
1113
125.184
13,277
88,576
2,050
23,817
34,316
Governance costs
936
Presbyter
930
202.564
37.094
239,658
267,347
OTHER EXPÉNDITUAE
Oepreclatlon
Investment proFerdes
expenses
15.081
15.081
28.931
15.081
15.081
28,931
11 I Page
Tèrrace Row Prestrn1￿ft Church

Presbyter
an
io.
EMPLOYEES
Employrnqrt Costs
Wages and Salarles
Sockl Securfty co￿$
Pèn51on contrlbutions
110,877
7,520
lo3,￿6
6,356
11,922
128.037
122,184
Numb•r of Employ
The avera8e number ofempbyees, IKludin8 the mlnistei Oft￿ ton8ft80￿orn, dvrlng th• was:
Average nurnber of
•mployees
Thère were ho employtts In rtteipt of ernpl0￿ beneffts Sn excess of£60.(XXI.
121Pa
Terrace R¢w Presbyter5gn Churth
PErkntpriwii ￿r￿h￿l7 I4v￿r￿lI

Presbyter
ii.
PENSION COSTS
The minister of the con8regation i% a member ol the Prestyterian Chvrch in Ireland Pensb)n Scheme120091. This
Is a scheme operated by thè PresbyteTiaTr Church in Ireland, a separnte reeistered charlty. The corvdre8a￿0n pays
an a55e55ment to the Presbyterian Church in Ireland equwalent to the empbyerfs pension contribution foi the
Scherne and based on the stipend to the minister. The Presbyterian Church in Ifetand Pension Scheme
12009155 a funded Scherne of the deflned benefft type. providing defined beneffts based on rareer avera£e
revalued salary. The kheme has a$5e15 held in a separatety administered fund managed ￿ a board of trustees.
The Presbyterian Chvfch and the Scheme Trustees have a8re*d • fundin8 plan to ensure the Sche￿￿ is
sufficlently funded to meet current and fijture obl&atrons. A fomMI schedule of conlributfon5 Was drawn upon
25 November 2015 whereby the Presbyterian Church agreed io pay from 31 December 2015 contribJtions of
24% of pensionable salaries to cover the accrual of beneffts for fijture s•Tht•, expen￿$, Ihè cost of In￿rf￿8
death In se￿Ice beneffts and fundingthe scheme deficrt.
The contrIbU￿on5 mad• bythe tor¥re8ation durin8 the year were
Contrltwjllons
8,411
11,146
Othèr employeès are, where approprbate, enrolled In an Automavc Enrolment Scheme
operated ty NEST
ContrlbuttoTrs
1,229
776
131 PaKe
Te1T￿￿ Row Pre5bylervdn Church
l4<ty*ItA•Ytyip1 Iht Prr%bilwi4n ChyTihiri htlat*l

Presbyter
li
TANGIBLE FIXED ASSETS
Cost or tAlu•tton
At start of year
Additions
D15P05a15
386.39J
407.295
793,645
At end of year
386,350
407,295
793.645
D•pr•cl•tlon
At start of year
Provls4on foryelr
D15posals
658.352
15.081
9.IXII
At end of year
294,970
378,463
673.433
N•t b¢ok V•lu•
At start of y•ar
97.49)
37.833
135,293
At end of year
91.3
28.832
120.212
141P4e
Terr￿ Ri>w Presbyterhn Churth
PrrknitwI￿ (I￿r(hir4 lir￿￿

Presbyter
13.
INVESTMENTS
2025
74,305
2024
75.703
General In¥e51mpnt Fund
Investment Propertie5
tType of Investrnentl
74,305
75,703
Value at start of year
Addttrons
Dlspouls
Impairrnent
Gains / (Losses) on
revaluatton
75,703
70555
1.754
3,394
Valu• at end of year
74,305
75,703
OE8TOIiS
25
6.185
7374
2024
6.875
GIftAld Recoverawe
Insurarbce Prepaid
other prepayrnents
13.559
6.875
15. CASH AT WIK AND IN HAND
))25
2024
104,403
114,9fA)
I62.1￿7
154,428
89.095 89.￿
19.444
Dan5ke current accounts
Flagstone Deposlts
Hampshlre Trust Bank
Owan15a￿tsTh Acttrjnts
376.$63
377,838
151 Page
T*nK* Row Prestrrterljn Chlrth

Presbyter
an
16 CREOITORS: •m￿n¢ d¥e withln on• y
2025
2024
Rent Recelved In Advante
Sundry Accruals
17 CREDITORS: arn￿nt lalllw du• •ft•r th•n on• y•
2025
2024
161 Page
Terrx• Row Pr*sbyterl•n Church

Presbyter
an
FUND BALANCE5 AND RECONauAnON OF FUNDS
Fund
Balance at
start
Galnsl
Losses
Balance at
end
IKome
Exwnd.
Transfer
UN•rtrkt•d Funds
General Fund
274.035
190,2LM
203.264
254,916
274.035
190,204
203,264
254.916
Restrfcl•d Funds
Property Fund
283,957
16,ISS
15,081
285.042
Unlted M(sslonary app•al
Sunday School
2,669
1077
15.405
12.527
1.205
5.547
1.077
Benevolent Fund
5,160
18,970
395
5.371
Church Oryni5ations
Special Collecdon>
uVF¥nds
19.335
4.162
1.745
19.361
21.806
9,841
10.880
321.674
57.419
52,175
329,723
OTHER BALANCES AND RECONauAnONS
En1*y￿nI Fund5
Total
171 Page
T*rr•c* Row PreSWer￿n Chwth
14((Nip￿￿OIIhPpl•Sbvfw1•Trchufcttl￿

Presbyter
an
20RELA7ED PARTY TRANSAcnoNS
Two of the Trustees. the minister of the congregation and the Ywth & Famtty worker ￿(eIved remuneration of
£65,426 and expenses of £10,396 for acbne in theSr capac￿. Pension tontritrwthorbs wtre £8.751. None of the
othertrustees receNed any remunerati￿.
Duringthe year the con8regatign contributed folk)wlnR amounts to Fundsof iht General Asstmbty of the
Presbyterian Church in Ireknd a separate charrtv
£16.313 for congregational assessrnentS
£12,527 towards the Unf(ed Appeal
£1,324 toward PCI Wodd Dev Appeal
The congrega￿On contrlbuted £1.113 towards Preswery durln8the ye•f
Th•r• w•r• no oth•r party transèctlons.
18 I Page
T•rr•c• Row Prnsbfi•r5•n Chufth