KING'S CHRISTIAN CENTRE - MOLD

Registered charity 1181815 · accounts filings on the Charity Commission register

To advance the Christian faith in accordance with the Statement of Beliefs in such ways and in such parts of the U.K. or the world as the Trustees may think fit; andTo relieve sickness and financial hardship and to promote and preserve good health by the provision of funds, goods or services of any kind, including through the provision of counselling and support in the U.K. or the world.

Causes: Disability · The Prevention Or Relief Of Poverty · Religious Activities · website · Get email alerts

Latest income
£112k
Latest spending
£100k
Registered
2019
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that unrestricted cash funds stood at £37,800.82 at the year end, which exceeds the trustees' stated reserves policy target of approximately £5,000 (one month's running costs). The charity reported a net surplus of £11,303.08 for the period, with total receipts of £111,637.28 against total payments of £100,334.20.

Automated summary of the FY2025 accounts; the evidenced findings below carry the verbatim passages.

What the accounts disclose

Reserves policy: approximately 1 month’s running costs, currently set at £5,000 (held: £38k)
King’s Christian Centre holds a reserve of approximately 1 month’s running costs, currently set at £5,000. — page 4
Per its FY2025 accounts as filed with the Charity Commission.

Discloses 4 of 6 completeness components.

Public fundraising profile: JustGiving — Kings Christian Centre Mold (matched by registered charity number).

Register events

Trustees · trustee networks

Trustee list from the Charity Commission register (current, not historical).

Operates in: Flintshire · Romania

Income and spending

Financial year endIncomeSpending
28/02/2025£112k£100k
29/02/2024£102k£98k
28/02/2023£108k£86k
28/02/2022£0£0
28/02/2021£0£0

Common questions

Is KING'S CHRISTIAN CENTRE - MOLD financially healthy?

Per its FY2025 accounts: The accounts state that unrestricted cash funds stood at £37,800.82 at the year end, which exceeds the trustees' stated reserves policy target of approximately £5,000 (one month's running costs). The charity reported a net surplus of £11,303.08 for the period, with total receipts of £111,637.28 against total payments of £100,334.20.