KING STREET CHAPEL TIVERTON
Weekly programme of worship and prayer, evangelism, instruction of adults, young people, and children, pastoral care for people of all ages, and practical help to individuals both in congregation and in the local community
Financial health, per its FY2025 accounts
The accounts state that unrestricted reserves stood at £36,340, an increase from the previous year, with income decreasing to £32,693 and expenditure to £29,450. The trustees confirmed that these cash funds are sufficient to meet current expenditure requirements, primarily for building maintenance and charitable activities. The charity relies heavily on volunteers, with only one small administrative staff role currently paid.
What the accounts disclose
“The trustees are satisfied that the cash in hand on 31 March 2025 (£36,340) suffices, and is not more than sufficient, to meet expenditure requirements in the course of the present financial year” — page 5
“During the year, a person who is closely related to the trustee Leo Hamidullah received payments totalling £916 [2024: £808] for providing catering services to the charity's outreach Luncheon Club.” — page 9
“During the year, a person who is closely related to the trustee Leo Hamidullah received payments totalling £916 [2024: £808] for providing catering services to the charity's outreach Luncheon Club.” — page 9
Property (HM Land Registry)
Register events
- Received assets from another charity (07/12/2018)
Trustees
- LEO MATTHEW HAMIDULLAHchair
- Andrew Webber
- Donna Shaddick
- IAN EDWARD MOBBS
- Paul Grant
Income and spending
| Financial year end | Income | Spending |
|---|---|---|
| 31/03/2025 | £33k | £29k |
| 31/03/2024 | £42k | £31k |
| 31/03/2023 | £31k | £34k |
| 31/03/2022 | £29k | £33k |
| 31/03/2021 | £29k | £31k |
Common questions
Is KING STREET CHAPEL TIVERTON financially healthy?
Per its FY2025 accounts: The accounts state that unrestricted reserves stood at £36,340, an increase from the previous year, with income decreasing to £32,693 and expenditure to £29,450. The trustees confirmed that these cash funds are sufficient to meet current expenditure requirements, primarily for building maintenance and charitable activities. The charity relies heavily on volunteers, with only one small administrative staff role currently paid. Its FY2025 accounts were independently examined.