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2025-04-03-accounts

Shiloh Christian Fellowship Financial Statements 31 March 2025

coher 54 Hamitton Road era4.

Shiloh Christian Fellowship Contents

Page
ApprovalStatement 1
Accountant's Raport 2
Statement of Financial Activites incorporating the
Receipts anc Payments Account
3
Statement of Aalunons 4
NotestotheFinancialStatemants 5

Shiloh Christian Fetiowship Year Ended 31 March 2025

Statement of Responsibilities of the Members of Committee

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The Charity Commission requires the directors of the camparry to prepare financial
Salements for the year giving 2 sistement of balances of the company and of the reosigts and
Payments for the year. in preparing these the members of the commifiee are required to:
select sukable accounting policies and apply them consistenty.
make judgements and estimates that are reasonable and prudent:
Prepare financial statements on the going concam basis unless itis inappropriate to
Dresume That the company wil conéinue to opersie.
Th directors of the company are reeponsible for keeping proper accounting records which
Giclose Wilh reasonable accuracy at any Gime the financial position of the company and to enable
mem to ensure that the financial statements comply with the Charity Commission's rules.
They a9 also responsibe for safeguarding the assets of the company and hence for taking
reasonable stops for the prevention and detection of fraud and other iraguisrilies
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Approved by the bard of directors and signed on its behalf by:

Gordon Director 25th June 2025

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4
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Shiloh Christian Fellowshap Year Ended 31 March 2025

Accountant's report on the Financial Statements to Shiloh Christian Fellowship

As Stated On page 4 you have approved the Financial Statements for the year ended 34 Merch 2028 tach comprise the Reosipts and Payments account, the Statemert of Belances and the relaime notes. In accordance with your instructions | have examined the sccourting records and information and explsrations supplied to me and certify that the Statements are correct and in Commauance with the records and have been properly prepared in accordance with the Charity Commission's, excapt that seperate bank accounts should be meintsined for restnciedand urwestricted funds Tamer eet Mavi Broad Street AdvisoryM‘Linited Mee~———— iB, Q Chartered Accountants a 2 4 Hamitton Road mo) BT 4LG = 25th June 2025

2

Shiloh Christian Fellowship Statement of Financial Activities incorporating the Receipts and Payments Account for the year ended 31 March 2025

Receipts and Payments
for the year ended 31 March 2025year ended 31 March 2025ended 31 March 202531 March 2025
Payments Account
the year ended 31 March 2025year ended 31 March 2025ended 31 March 202531 March 2025March 20252025
£ £ £ £
Grants
received
Cash
Donations
ElectronicDonation
interest
Expenditure
Unrestricted
Funds
23,515
4,765
0
—2x
Restricted
Funds
st
2025
Funds
Total
23,515
4,765
0
ame
2024
Funds
Total
16,075
2,081
0
aes
Accountants fees
BankCharges
Heat
& Light
Rates
insurance
Repairs
Marketing
Subscriptions
ChristianDonation
ChristianMissions
Depreciation
390
99
1,383
184
683
1,500
788
179
20
2,000
1,508
390
b)
1,383
184
683
1,500
788
179
250
2,000
1,508
354
66
1,257
175
682
0
288
0
2,250
2,500
150
Surplus of incorne overexpenditure
Prior year adjustment
18.315
34,000
0 19,315
34,000
10434
0
Openingbalances:
Representedby
Closing balances:
FixedAssets
Bank
Debtors
Creditors
Accruals
1,350
67,134
0
0
354
as
1,350
67,134
0
0
-354
es
0
57,696
0
0
0
FinedAssets
Bank balances
Debtors
Creditors
Accruals
70,163
51,872
0
0
390
70,163
51,672
0
0
-390
1,350
67,134
0
0
~354

3

Shiloh Christian Fellowship AsStatementat 31 Marchof Balances2025

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||||||||||||| |---|---|---|---|---|---|---|---|---|---|---|---| |2026|2024| |Freed|Assets| |oe|2|70,963|1,350| |Current|assets| |arr|aaa|51,872|er13e| |c|0| |51,672|87|134| |Current|liabilipes| |ped|330|34| |0|0| |-a90|354| |at|ent|assets|51,282|66,780| |=|aes|=| |Funds|3| |Prior|yoar adjustment|34,000|4| |cee|as|as| |The financial|statements|were|approved|by|the|mambers|of|the|Management|Committee|on|

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peer oe and are signed on thelr betalf by: M.Gordon Chairperson Treasurer a

ne

4

Shéioh Christian Fellowship Notes to the Financial Statemonts For the year ended 31 March 2026

1 Accounting policies

The fhancial statements have been compilad on 9 basis that enables the surplus to be calculated in accordance with UK Generaitly Accapted Accounting Practice and in accordance wih the recommended practios for accounting and reporting by charities as issued by the CharitiesCammission. Being 2 company charity the accounts have been prepared on the sccruats t , tong with a statement of balances at year end

Land & Property
Equipment
Computer suitevoffice furniture
Fodures & Fittings
NBV E/Fwd
£
56,587
1.350
0
13,764
Depreciation Net Book Value
£
£
0
56,587
138
18s
0
0
1.373
12,361
71,871 1,808
70.163
10% reducing balance basis.
Funde
Fixed
assets
Bank balances at31 March 2025
Dettors
Creditors
Accruals
£
Total
=Restricted
70,163
51,672
i
0
290
£

Restricted Unrestricted
0
70,163
0
51,672
0
°
0
0
9
300
bis as a
no

3 Funde

5