BETHESDA SHALOM

Registered charity 1182981 · accounts filings on the Charity Commission register

Meeting for the public worship of God which includes the preaching/teaching of the Bible, the Lord's Supper, prayer, praise, fellowship, and almsgiving; including evangelistic outreach and the discipleship of believers.

Causes: Religious Activities · website · Get email alerts

Latest income
£75k
Latest spending
£61k
Registered
2019
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that unrestricted cash reserves stood at £24,293 at the end of the financial year, with a stated policy to use these for the completion of church building restoration. The charity reported total receipts of £74,724 against total payments of £60,521, resulting in a net surplus for the period.

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

What the accounts disclose

Reserves policy: cash reserves of £10,000 to be used for the completion of the restoration of the Church building (held: £24k)
At the close of the financial year 2024/25, there are cash reserves of £10,000 to be used for the completion of the restoration of the Church building, including £3000 for the production of a Church sign. — page 4
Per its FY2025 accounts as filed with the Charity Commission.

Discloses 4 of 6 completeness components.

Property (HM Land Registry)

1 registered title in England and Wales held by the charity’s company or corporate body (1 freehold); recorded price paid £130k. All charity-held property. Contains HM Land Registry data © Crown copyright, OGL v3.0.

Register events

Trustees · trustee networks

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

Operates in: Wolverhampton

Income and spending

Financial year endIncomeSpending
31/03/2025£75k£61k
31/03/2024£148k£158k
31/03/2023£56k£64k
31/03/2022£92k£99k
31/03/2021£263k£375k

Common questions

Is BETHESDA SHALOM financially healthy?

Per its FY2025 accounts: The accounts state that unrestricted cash reserves stood at £24,293 at the end of the financial year, with a stated policy to use these for the completion of church building restoration. The charity reported total receipts of £74,724 against total payments of £60,521, resulting in a net surplus for the period.