ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST MARCH 2022
JOY HOUSE
CHARITY REGISTRATION NUMBER 1047691
Independent Examiners Ltd
Unft2
The ￿r￿jbrXIge Centre
Dethng Lane
Erfjsham
F018 8NF

JOY HOUSE
coiirEPnS OF THE FINANCIAL sfATEMEtirs
FOR THE YEAR ENDED 31sr MARCH 2022
Pa
4t06
Ind•pend•nt Ex•mln•rf• R•wt oh the Accounts
stst•m•rt of Fln•nd•l Actlvltt••
B•l•nc• Sh••t
Mot•• to the Accounts
IOto16

JOY House
LEGAL AND ADMZNIsfRATIVE INFORMATION
CHARfTY NUMBtR
1047691
WORKIPIG P4AMES
JOY House MINI￿RIEs (W¢YkuJg name}
MARLESDEN CHRISTfAN FELLOWSHIP IF*￿JS name)
srART OF FINAMCZAL YEAR
01 Aprd 2021
END OF FIHANCZAL YEAR
31 M￿h 2022
TRUSTEES AT 31 MARCH 2022
Mrs Betty Srnfth ICh•rpersryTrl
Bbhop Anne RL*tyt5
Mr Yaw 5wpLYt9
The exéstlng trustees apptht new truste￿ folkwlng the Pr￿￿kn5 la•J c*Jt in the Chafftvs govemkn9 Instrument.
LEGAL sfATUS
Unk)c(rywat￿ Cth¥ty
GoveRNING IiisfRUMENT
Dttlar4tkn rfTrust Datejj 25th Apr￿ 1995
REGisfRATION DATE
25th Aprl 199S
OBJECTS
To Jdvance and prcKklm the thrlstkryn f*th by the prLYn(*kn ￿ the gospel rfour Jesus Chr*st and to extend the
Chrlstian evangdkal fa￿h In the U.K. and etsth¥here.
CORRESPONDENCE ADL)RESS
111 Abwccrn Crescent
Harrcw
M%ldlesex
HA2 OPY
PRIfvIARY BANKERS
Lkyds TSB P£
25 Gresh¥n Street
L(md
EC2V 7HN
INDepeNDENT EXAMIPIER
Dcfina Lepptt
Indep&)dent Examkners Ltd
Unt2
The Bro•Jrldge Busine55 Centre
Ddling Lane
Bosham
18 8NF

JOY House
TRusfEES' REPORT
FOR THE YEAR ENDED 31sr MAROI 2022
IntrodurtloTr
The trust￿ rf the chwty, Jtry HLwse Mini5trE5. present ther rwt the f￿￿¢￿￿15t3tw￿￿t5 ￿ the char*y for
they end￿ 3110312022.
The trustees have &cfJted the prry6ths rfAcciJunting RepOrt￿g by ch￿leS. Statement d Recommended
PrxtKe applKabk to charrt￿5 preparing th•r ￿C￿ntS In acccrdance v4*h the financkil Wcrtln9 Standwd applkable
n the UK and Repyblic of Trely)d IFR5102) leffertNe l 2005).
Joy Hcyjse Ministr*s ts a reg15tered w￿h the Cunmbskn rl Engknd W*. wéstrat
nurnber: 1047691
Ne￿ trustees cl Joy House Min15trles are ￿p￿tal by the vJ5tkng &)¥d.
The ConstStutkn provlde5 for a rninimum cl three trust&s to J maximum cé nlne trustees, d whKh no more than
three can be ncn-member5. All trustees gfve up thdr time fr* and no tnJ5tee Is pJbJ.
The folkn￿ng Trustees have served thrwghout the Kcounting pttKx1, extept where Indtatej:
Mrs Betty Smr¢h {Chalrl
Mr Yaw SarP￿0
8L4hcp Ann Roberts
Gov•mlng d0￿Mert
Its governlnq d(￿Um￿t *rtklps rA Ass(tl&kn as set ¢wt ￿ 2510411995.
Org•nlutlon•l *ryrtur•
The char5ty empbys ffve pastors, al cl rq>crt to the btjyd cl trustee5. The trustees g￿e thelr time vduntaré
and receNed no benrffcs kn the char*y. No exp￿Se5 haNE be￿ re£lamtsJ by any (* the trustee5 frthm the Ch?￿tY In
the perlod concerned.
The general gOvern￿Ce d the chwty 15 the respcffislbthty cl the Trust￿. ho￿, the day-ttrday 9)eratI￿ Is
de*ated tg Rev Martkn Ossa, Senhy Post￿. Re4 Martkn Ossd matters rf vwfjdtk￿ to Trnstees, meetlng5 for
declskjn maklng.
Roawltm•nt •nd •pptslntmert of MW Tn•t
Appokntment and removal of truStee51d￿￿s 6 In ￿C¢￿d￿Ce the cmSt￿￿t￿￿ rfthe chwlty.
Nwrnalty, the Trustees mtet fwr tthes per to conskjtr c(nskIerat￿S and q)watths rfthe Charity.
Alms pyrpow•
Our purpose a5 recorded in wr ¢onst*utkn J5 to advance prockiin the Chr15tkn fath by the prcfflctbn c<the
Gospel c* wr Lc¥d Je5U5 Chrst to extend the ChrEtkin EV￿g*al F&th in the U.K and *ewhwe.
Achl•v•m•rts and perf(¥rnianc•
During the flnancfai year endtyl 3110312022. the ￿t￿lt￿ (f Jrry Hwse Mknstr*s has th￿ged In St￿ but not in
purpose. Due to the COVID 19 pand￿￿￿ and the resu￿￿9 shut dcf*¥n ￿ publ￿ me&in9s f¢r a great part ￿ the year,
we have nrt b￿n to have ￿Jr 9&hwing5 & rAJr desS3nat&J mett￿g place. Inste&l we have had
online meetings and smaTr hc¥¥te fa￿¥Sh￿S.
Our members, receNaY the necessary p￿tr￿al suppcrt h the d¢Jwn pwkny. Small hrme gr(NJps Continu￿ to
meet when safe and necessary to mrtN*e exh rther. m￿berS (Njt to thew IMM￿1&￿e cc4nmun*y to offer
support dursng th￿ difficult time.
We team81 up with Brent Bcmjgh Cwn¢￿ to esucatin ￿ COVID 19 v&cnatin5 to the ktal ctrnmunty.

JOY HOLISE
TRusfEES' REPORT (continued)
FOR THE YEAR ENDED 31￿ MARCJI 2022
We also dk1 give up c*h our mL%sths abrrk4Y as we suppLrt& to the poy in Gh￿a. SL￿th AfrKa and
Indka, severely by the
As tc(k down was Ilfted. ￿ have return&Y to In-petsth servKes Ilrer tm) services every Sunday tr members. We
still hokl slyne meetings on zcon. We ccfitinue to dfer extrd C￿nsel￿g sesskns to the bweaved and depress&l
we see ptsrcNe ch?￿ge.
FIDJndal r•vl•w
Tot& restyjrces for the perKé were £103.579 T(*al restyJrce5 eXp￿dea were E108,064. A full review rfthe
ffnanck?I pOs￿knn rfthe charlty can be ￿n0 on the attxhryl financi* statements.
Rl#k m•naoem•nt
The trustee5 have J duty to hYentTh and rvth the r*5ks to the chwlty is exposed to and emsure Jppr(¢Jrfate
contm* are In pkxe fDr re05c￿ab￿ assurance Jg*nst frJJd trrry.
The Dlrectcrs tlo nrt perce￿ any maJw r15ks to the charky CuT￿tty.
Futurn Plan•
obse￿￿9 the Increase kn mwtal heath dbabll*y c(¥nmunty. the Trustees are pr(yo51n9 a focus the ywth
and mental he*th greattr ¢olabwatkn wlth rthw mknistr*s 9wnrn￿t mrye effectlve delfvery
of our purpose.
10. Pybllc Ixn•flt
Trust￿ have pabj due to thè Chartr C(ThmlsslJn Guhy￿ce 'llJblt knrft. In d￿lI1n9 wh4t the
char￿V undertakes. All artfvltles undertak* by Jry H￿se Mkni%trk5 ￿ thusseAI on wr Ch¥Itab￿ purp05e5.
Xl. Golty (¥nc•rn
Aftw maklng apprcprl*e enqu￿$, the Trustees ITr￿ è re&onablp exp￿tat￿ that the charty has ad¥uate
resource to contlnue In operatKnal extstence for the tseseeable fvture. For thLs reason. they ¢￿tInue to adcpt the
gthng ccnctrn bJ5is m preparing the financtal st&anents. Furthw detals regtrdlng the aloptkffj rf the g￿n9 ccncern
basLs can be fwnd In the ¥countlng pokE5.

JOY HOUSE
TRUSTEES. REPORT (continued)
FOR ThE YEAR ENDED 31sr MARCH 2022
Tru¥tse¥' Revpvrwlbilltl
The tharlt*5 Act 2011 requtres the trustee5 to prq)we I￿￿Ck1 statements ts exh year whkh presents
true and falr vkw of the state of affar5 d thè Charfty and rf the surpbJs rf the thot p•rnJ. In preparthg
those finantKIl Stat￿￿ts the trustees are rE¥4y￿e1 to:
l) Sdect sukable accountkng p(*IEs an41 app￿ them cwslst•)t
11) Make Judgements and &stkn*es that are reascnabk and prudent
111) Preparè ftnancw statements the gohg ccficwn ba$15 unlss t Is knappr￿riatè to presume that the trust wll
conthue fft existsy)
The Trustees tre re59c￿SIb￿ for keephg proper Kcwntkng r￿ryd5. vthrh d&tlc6e vlth rea$￿ab￿ xcury at any
tirne the finantL41 pastt￿ d the Thar￿y. They are *0 re5Pfffis&ie ts 54fegu¥ding the assets of thè
h￿(e for t•kJng reasonabk step5 fv th• pr•Mtth deteLtkn (* and L*her trrwulrt*s.
l approve the attxhed stat￿￿ent rf ¥£t￿lEs balance shee¢ and c(mflrm that I have m•Je a
Informatb)n neceS￿ry fty ts preparrtth.
ApPr￿a by theTrustees cffj...
j7111￿)5
S¥Jned on th* bthalt by Trustet...
Prfnled Name:

JOY HOUSE
INDepENDEKf EXAMINER'S REPORT ON THE Accouvrs
FOR THE YEAR ENDED 315r MARCH 2022
RepLft to the trusteesl mwnbas crfjty Htyjse ￿ the xctyjnts tr the 31st Marth 2022.
Respertlve respOn￿bIlItI￿$ of trust￿ and ex•mlner
The charf¢y's trust￿ we responsible ftr the prepar&&￿ cl the pKcwnts. The charfcy¥ trustee5 Cl￿$*￿er that an
audlt is not required for thts year under Sect*￿ 144 rf the ￿arrtIeS Act 2011 (the Att) and that an
hdependent examlnatth ts need&l.
It Is my respon5ibAf(y to..
examlne the accojnts under sKtkn 145 (Ithe Chwltks Act,
to folkw the pr￿edureS W dovm in the gener& Dwe£tths gkn by the Charty Crynm15sth lund
sertth 145{5){b) cl the CTh¥rties Act.
to state whtthw p¥tKul¥ mattus have ctme to my att•it*yTr.
8a*t% of Indewnd•rt •x•mln•rfs tht•m•nt
My eKamlnatlon was carrled Lwt In KC¢Xd￿ce wth genwal dtrtttkns by the thartty Crynmlsslcffl. An
examlnatlon Includ¢s J rkni cl the ￿C￿J￿tlrtg record5 kept by the chwlty and a comparLson ￿ the Kcounts
presented wkh those re(￿d5. It aLso kncludes ccffisK1eratkn tl any unusu* twns LY disckjsures kn the accwnts, and
S￿ng explanath)ns frem the trustees c￿C￿nIng any such m&ters. The prrKedur¢5 undertaken do not p￿￿de *1
the evldence that woJk1 be rffjuirgj kn an aud6t. and C￿Se4￿￿tty no cylnkn Is 45 to whether the aCc￿ntS
present a Yrue and lalrf vlew a)d the repryt ts Ilm*•J to thc6e matttrs set (*Jt In the statement bdgw.
Ind•p•ndert 8￿mIne￿* •t•t•m•nt
In c￿TreCt￿n wlth my no matttr has CLYne to my attenthjn
kh gfves me reasc￿ab￿ cwse to belort that kn, matww resp￿t. the Nu*ements:
to keep xcountlng rK¢yds kn xccrdance w￿h 130 rfthe Charlt*s kt; and
to prepare accoJnts Ythkh ¥c¢Td wth the KcrJJntkng r￿(￿dS and ccffipty the Kcountln9
r4ulrernents rf the Charltles Act
have nrt been mrt;
to In my wlnkn. &tentkn shoJk1 be to a pr(yer undwstandkng Lythe xcwnts
to be ￿h¢￿.
Donna LePp￿t
Independent Examiners Ltd
Unt2
The Bro*lrkl9e Bushess Qntre
Delling Lane
Bosham
P018 8NF
Date..
27th Ja)uary 2023

JOY HOUSE
srATEMeNT OF FINAPKIAL ACYIVThIES
FOR THE YEAR ENDED 31sr MARCH 2022
unrtstrtt￿I
Funds
ReStr￿te￿
Funds
Total
2021122
Total
2020121
INCOMZNG RESOURCES
Clonattons & LcgKles
103,572
103.572
115,211
Investment Income
28
TOTAL INCOMING RESOURCES
PAYMENTS
C05t5 ￿ Charltab* Act￿￿￿5
108,064
108,064
101.639
RESOURCES EXPENDED
NET IMCOMINGI(oiyfGOING) RESOURCES
{4485)
{V85)
13.600
TRANSFERS BETWEEN FUNDS
NEf MOVEMENT IN FUNOS
RECOIICILIATIOII OF FUND&
Bakinces Brayght Forward
10.958
10,958
12,6421
OALANCES CARRItD FORWARD
473
Movements on all r￿￿Ve5 and all recoJni5ed gah)s and ID5s￿ ￿ shiwdn ab(rt Al the ¢￿9￿￿￿K)n'$ operattc*)s
cL*sed as cc4)tinuing.
The nrtes ftwm part rfthtse finantial st*wnents. frrtjnd ￿ pages:_
ioto16

JOY HOUSE
BALANCE SHEET
AS AT 31 MARCH 2022
Unrestr￿e￿
Fund
RestrKted
Fuftd
Total
Totsl
31-MaTr22 31-M4￿21
Nrtes
Tangib￿ sk55*5
Inv&strnent Assets
6.705
6,705
8,940
Debtors & Wayments
Cash at bank and In hand
1.638
1,638
3,608
Total Curr•nt Aw•ts
Cr•dIto￿. amfyjnts
wf(hin fme year
NET CURRENT ASSErs
I￿70
1,870
1,590
(232)
{232)
2,018
TOTAL ASSETS less cUr￿l lthifkfjes
6h73
6,473
10,958
Credltorn: arn￿nts fthg due In mtye
than one year
NET ASSETS
473
4n
10,958
FUNDS OF THE CHARtrY
General Funds
Restrkted fvnds
6.473
6,473
10.958
TOTAL FUNDS
73
73
Approv&1 by the Trustee5 ￿ ...
Soned on thw behalf by Trustee......
prtnted Name..

JOY HOUSE
NOTES TO THE Accouifrs
FOR THE YEAR ENDED 31sr MARCH 2022
I. ACCOUNTING POLICZES
The princlpal ￿cOUntIng pc4te5 are bekn4. The accwntkng pdtiE5 have beth applw cC￿S￿tentty
thr￿jghOut the year.
Basls of preparntlon:
The financw statwn&)t5 have been prepar&1 undtr the hist(ml ccst conventt*) w6th ￿ern5 at CC6t or
tran5KtKn value UTr￿5$ rtherwtse stat8J in the re*v￿t nctes. The ￿an¢￿ Statern￿ts have been prepared in
accordance wrth the Statement rf Recc*nma)deil PractKe.' Acc(￿nting and Rep(rting by (Jar(t*5 preparing their
ccount5 sn ￿cordanCe wrch the Flnancwl Rep(rttr19 Standard appI￿ab￿ in the UK and R4¥Ub￿ d Irdjnd {FR51021
lthctwe l January 2015) - (Charitjes SORP - FRS1021 the ch¥rt￿$ Att 2011.
The Charfty meet5 the c* a pubk b￿eft entty und¥ FRS102. Assets labllitle5 we hfckilty rKc9nLs&J at
hlstrtal cost unle55 rtherwtse stat•J kn the r￿p￿t ￿cO￿At￿g pdty nrtes.
AJMMm•rrt of Golno CO￿¢rn
eparatkn of the ￿e￿ntS Ls crt a gcrfng C(￿ceM basts. The trustees ¢ffisklw that there we no mattrw Uncert￿ntIeS
ab￿t the Char￿Y'S abiif(y to ccntlnue as a gdng r￿cern.
Rerngnltlon of In￿mIng R•*wrc
These Jre Included In the statement Gl Anan¢￿1 ktfvt*s (SOFA)
. the charky bKcmes tht￿ted to the re50urces'
. the trustee5 are v6rtu4ty cert*1 they ￿11 reLd¥e the re5wrces: and
. the monÉtary va*Je can be measured wfch suffkknt r*b*ty.
Intomlng R•>￿r¢￿ wlth Related •xp•ndltyr•
Where inc¢ynlng res(￿rreS have rdot8a exp&1drtU￿ la5 fvndr*kng w CLmtr¥t hcome) the Incomkng resour
and related expend￿Ure are reported grc6s kn the SOF
Grnnts •nd Doftatlom
Grants and donatths ¥e knClUd￿ kn the SOFA Wh￿ the chwty has Un(￿d￿tha1 ent￿lEment to the
resources.
T•x R•cl•lm• on Oon•tlon• •rn1 •311ts
Inc¢mlng res￿r£e5 frrm tax reclalms we the SOFA at the same tlme a5 the t&x Is recew.
Contra¢tval Inc*m¢ •nd P•rform•nce Rélated Grnnts
This In¢￿Jded in the SOFA once the rd&ed gc#xls or serltts h•5 del¥tred.
Gifts In Klnd
Gffts In klnd are accwntal fDr at a reasonable *tknate rfthw ¥￿e to the charlty c* the Jnwnt actuaty realls8J.
Gfts In kind ftt cr distrtbutth are kncluded In the ￿(c4jnts a5 gtts whw 5dd ry distributgj by the charfcy.
Gfts in kind tr use by the charfty are kncluded In the SOFA as income r￿able.
Voluntwr Help
The value of any ¥dynt￿ hefp retwed 6 nrt the ￿C￿ntS de5crb& In the Trustees, R4+0rt.
l>on•t•d Servlcw and Fadlltl
These are onty includ8J in inccxning res￿rCeS (vAth ￿ ￿Ul¥￿nt amtyjnt n res￿￿e9 expend8Jl where the bentslt
to the charfcy ts reasonabty quantrfmble, mea5urabk and mattrk?l. The v*e on these re5wrces ts the
estknated value to the charfty cl the serte (* f¥lhty r￿a￿ed.
Znvestment Income
This B included in the accwnts Whe￿ r￿avtib
Investment Gal￿ and Losses
Th& Included any gain or k)ss on the s* rf investments and ga￿ resufcl)g frryn r￿￿[lIng ￿veStm￿t5 to
market value & the end (* the yew.
This page nrt fwm p&t the st&utcry fin￿Ck¥ statanents
io

JOY HOUSE
NOTES TO THE Accoupirs
FOR THE YEAR ENDED 31sr MARCH 2022
I. ACCOUNTING POLICIES {contlnu•d)
Expenditurn and Llabilities
Llablllty Recognltion
abiifcles are wcgnLsed as SLMJn 45 thwe Is a c(ffistructhe oblkJatvTr c¢ynmfcting the charty to pay wt
resources.
Include C￿t$ of the prep¥atkn and examlnatkn (* statutory &count5. the crAts ¢* the trustee5 meetlnu5 and cost
of any ￿al bSvi5e to twstees C￿ g(Nffnance rx C¢￿St￿ut*￿al matter5.
Grnnl¥ wlth P•rfom¥•nr* Condltlo
Where the charrty gwes a grant wf(h ccrtrdfcths payment bekng a Speci￿ ￿ of swvlce or output to be
provlded. such grants ¥e C￿lY r&¢4nlsed h the SOFA ￿(e the the grant ha5 Prov￿*Y the spec
servKe or output.
Grnnts Payable wIthO￿ P•rfomianc* Condlllon•
These are only rect)Jn+5eAJ In the accounts V1h￿ a crJnmItm￿t has be￿ maje thwe are no £￿￿5th)nS to be rnet
reL3ting to a grant whkh remakn In ecfitrol rfthe ¢h¥ty.
Imi•*tmènts
lnve5trnp￿tS quot￿1 ¢J) a retcljnl5￿ 5trxk excha)ge are V￿￿j at mwket v*Je at the yw ￿d. Othw Inve5tmtht
assets are In¢￿￿ed at trustees. best estknate rA mwk& vthe.
Pen•lo
Penslon c￿trI)Ut￿l)S are charg￿1 to the St&wnent rl Rnanc5al a5 they becwne payabk.
Ftsnd Accourrtlry
Funds he￿ by the charY(y are ekhtr:
l. Unrnrtrfct•d fund•
rhese are funds whth be useA h) xctrdance v4*h the ch¥*Vs obJtttl¥es. at the rfthe
trustees.
2. Rertrlrt•d fu•)d•
These are fvnds that can fA)ty be US￿ tr partkutr restrtttsy purprse5 the c*•J￿t5 clthe charfty.
3. Deslgnated funds
These funds are fvnds set aslje by the trustees unre5tr*teJ g￿er￿ funds ftr sprfhk purposes
pr¢e£ts.
Furthw explanatkn ¢y the nature purpose ￿ t&h fund the nrtes to the finanri415tatements.
Flxed A••ets
Fkxed Assets are capftali58J rf they can be Us￿1 for mtye year WKI cr6t at knt £1,500. ThÉry are valued at
cc6t or, ff gfted, at the value to the char￿Y ￿ r￿elpt.
D•prndatlon Expen•e
Depreciatim is cakulared at a rate to wrte df the c(st L* t￿￿1)￿ T￿0￿ assets ovw th* esthm&ed usthil lives. The
rates applkd are 4$ f(4k)￿.
ture5, Fttings & EquIpm￿t
Motor
25%
25%
There ha5 no chan9e to the ￿£￿rbt1ng IVwL*kn Nles methojs rf xcwntlngl sknce last year.
Thts page doe5 nc¢ frKm pwt rfthe statutcry fin￿Ck￿l statunents
li

JOY HOUSE
NOTES TO THE ACcOuP￿s
FOR THE YEAR ENDED 31sr MARCH 2022
Z TANGIBLE FIXED ASSErs
Futures. Flttts)gs Mrtcr V￿￿teS
& Equ￿rn￿r
2021122
At l Aprll 2021
Addf(ws
At 31 March 2022
18,358
14,985
33,343
18,358
14.985
33.343
At l Aprll 2021
Char9e the Y
17.594
191
6.809
2.044
24,403
2,235
At 31 March 2022
17.785
8,853
26,638
Net Book Valu•
At 31 March 2022
573
6,132
.177
4705
8,940
At i AprH 2021
764
The annual comm*ments n(￿-￿¢d￿ng lease5 capf(d CL•mm*m￿tS ¥e as fo￿>*$.
31st M￿h 2022 '. N(￿e
31st M￿h 2021 . ￿￿e
Th￿ page nct form part rf the statut￿¥ fmancd statanents
12

JOY HOUSE
NOTES TO THE ACCOUt4TS
FOR THE YEAR ENDED 31sr MARCH 2022
3. INC0141NG RESOURCES
Unrestrkted Restr(tt&J
Fvnds
Funds
Total
2021122
Total
2020121
Nrte
a) Donations & Leyd•s
Tf(he5, Gifts & I￿￿1n95
Gft Aid Tax Recover*
othtr donat1￿$
Grants-other
Grants-HMRC Furkwgh
71,946
17.439
1.107
13.080
71,946
17,439
1,107
13,080
78,958
11,787
24,466
115 211
b) Imiertmert In¢ome
Interest R¢e
28
Th￿ paJe dr￿ fDrm part rfthe statUt￿Y financk4 statements
13

JOY HOUSE
NOTES TO THE ACCOUPITS
FOR THE YEAR ENDED 31sr MARCH 2022
4. RE￿uRcEs EXPENDED
UnreStrKt￿ Restrtt
Funds
Fund5
Tot•1
2021122
Totsl
2020121
N¢te
Ch•rltable Actlvltles
Bank Charges
Gfts & Donatths
Evangelism Expen5e5
Char￿ab￿ MLssh)n5
OutreKh Costs
Prlnting, Post&)e & Statk)nwy
Refreshment Costs
Rent & Rates
RepaEr5 & Malntenance
Sundry Expenses
Telephone Cc6ts
Websfce Costs
Staff CoJl•:"
Pastoral All¢)wances
Empbyer's Natth* Insurance Cc6ts
Depreclatlcn expense
883
5.430
5.205
4,940
4.570
887
690
41,262
5,948
790
1.180
738
883
5,430
5.205
4.940
4,570
887
690
41,262
5,948
790
1.180
738
1,346
3,015
1,960
9,180
4,110
8,264
843
17,675
9,152
1,355
1.519
25.860
5,439
2,235
25,860
5,439
2,235
35,850
4.199
1,099
Independent Examlner Fee
Insurance Ctyt5
840
1.168
840
1.168
810
1,260
This pJJe rJLt fDrnI Pat (fjthe statutrry ￿Th￿claI statwnwts
14

JOY HOUSE
PIOTES TO THE Accoupifs (contlnued)
FOR THE YEAR ENDED 31sr MARCH 2022
S. RESTRICTED FUNDS
The Charity held no ReStr￿t￿ Funds durkng thi5 W the pre4kns 1knanC￿tr perbj.
6. INVESTMENTS
The Charity hdd no Investment asstts durng th& w the pre1￿5 perkd.
7. CASH AT 8ANK AND IN HAIID
Unrestr*téd Restrttèj
Fvnds
Fund5
Tatsl
Total
31-Mo￿lI 31-Ma￿21
Current Wc - TSB
Current A/c - Santand
Savln9s Wc - TSB
869
91
678
869
91
678
1,881
156
1,570
1,638
. DEBTORS AND PREPAYMENTS
The Char￿V no Debt1*5 durfng thb ry the pre4th5 I￿￿c￿ Ps*k<l.
9. CRtDrroRS AND ACCRUALS AMOUNTS FALUNG DUE WrnIJ14 ONE YEAR
uDreStrtt￿ Restrkt
Funds
Funds
Total
Total
31•Mar-22 31-MaTr21
Payrdl
Independent Examlner's Fee
1,030
840
1,030
840
1,590
Thts page d￿S nrt pwt rfthe statut(Yy staternents
15

JOY HOUSE
P40TES TO THE ACCOUNTS {continued)
FOR THE YEAR EPIDED 31sr MARCH 2022
10. CREDITORS AND ACCRUALS AMOUNTS FALLING DUE fm MORE THAN ONE YEAR
The Charty held no kng term Ifab*tE5 durk)g thls cff the prth•￿s flnan¢W pwxxl.
11. srAFF COSTS AIID NUMBERS
TOTAL
2021122
TOTAL
2020121
Gross Wages & S**5
Empbyers National Insurance Costs
pensk￿ CMtrSbutkns
27,400
5.439
35.850
4,199
Average number d￿npl￿ee5 who engw￿l *) &Yh rf the f¢1k￿ng xtbmteg:
TOTAL
2021122
TOTAL
2020121
Charltabk ActMt*s
The Charlty operates J PAYE sch•*e to pay al empw memb￿5 rf stdl. The Charlty mémbers ¢Y staff
on a self empk)ygJ basls and no empk)yee5 r￿￿41ed eM0￿MentS kn the ran9e cl £50.000 to £60,000.
12020121- None)
12. AIIALYSIS OF NET ASSETS 8eYwEEN FUNDS
Unre5trtted
Funds
Fiestrtt
Funds
Tot•1
Total
jI￿aTrI2 31••Tr21
Tanglble Axed Assets
Net Currwt Assets
Lcng Term L￿￿11￿*S
6.705
{2321
6.705
(2321
8,940
2,018
13. TRusfEES AND OTHER RELAnD PARTIES
No payments were m&e to tnjstees ￿ any persons (C￿￿￿ted wth thun duthg th15 financial perlrx1. Nts materlal
transaEtK)n tcK)k pke betww the and a trustee ￿ any Pe￿ cC￿nett￿ w￿h them.
{2020121- None)
14. RISK ASSESSMENT
The Trustees actively revk*v the Maj￿ rbks whth the chkn ft£e5 on a wulw basls and bel2ve that maintalnlng
the free re5erve4 stared combine(I with the annual rfthe ccntrols over key fin￿Ch￿l systans cathed out on an
annual ba5LE wni provhde sufflcRnt re%￿rCeS in the evwt (* alvwse C(na￿¥￿S. The Trustees have also examlned
other operational and business rtsks whKh thw f&e and c¢mfimi th& they haNE e5tablish&Y sy5tem5 to rn￿19ate the
signTI Kant dsks.
15. RESERVES POLICY
The Trustees have constduey the kwel r* ￿tr¥e5 thry w6h to rttan, apprr4iriJte to the charty5 negjs. This Is
bas￿$ on the charfcy'5 sEe and the ftnanchil Crynmltm￿)ts hekl. The TnJstee5 aim to ensure the chèrrcy will be
able to continue to fu￿1 fcs charitabk rtJJettNes everb rf thwe s a tunpixary 5hcfftfal kn IncL¥ne or unexpected
expendfcure. Th¢ trustee5 endeavtyjr nrt to ser a5Kle funds unn&essanTr.
16. PUBLIC BENEFZT
The Charrcy ￿kn￿￿edge5 rts reqvirement to d￿n(￿strate c￿rIY th& * rnust have Ch￿itable purpose5 or'ams. that
a￿ for the public ben￿t. DetaiLs d how the charty has acheved thi5 are provKled in the Trustees report. The
Trustees cu)flrm that they have paMJ due regard tts the Charty Ccxnmi5sKffi gvK1ance ￿ publK benefft before
deCId￿g wh& the char*y shwkl undertakE.
Thts page dces fTWtn pdt rfthe 5tatut(Yy stateM￿ts
16

JOY HOUSE
P40TES TO THE ACCOUNTS {continued)
FOR THE YEAR EPIDED 31sr MARCH 2022
10. CREDITORS AND ACCRUALS AMOUNTS FALLING DUE fm MORE THAN ONE YEAR
The Charty held no kng term Ifab*tE5 durk)g thls cff the prth•￿s flnan¢W pwxxl.
11. srAFF COSTS AIID NUMBERS
TOTAL
2021122
TOTAL
2020121
Gross Wages & S**5
Empbyers National Insurance Costs
pensk￿ CMtrSbutkns
27,400
5.439
35.850
4,199
Average number d￿npl￿ee5 who engw￿l *) &Yh rf the f¢1k￿ng xtbmteg:
TOTAL
2021122
TOTAL
2020121
Charltabk ActMt*s
The Charlty operates J PAYE sch•*e to pay al empw memb￿5 rf stdl. The Charlty mémbers ¢Y staff
on a self empk)ygJ basls and no empk)yee5 r￿￿41ed eM0￿MentS kn the ran9e cl £50.000 to £60,000.
12020121- None)
12. AIIALYSIS OF NET ASSETS 8eYwEEN FUNDS
Unre5trtted
Funds
Fiestrtt
Funds
Tot•1
Total
jI￿aTrI2 31••Tr21
Tanglble Axed Assets
Net Currwt Assets
Lcng Term L￿￿11￿*S
6.705
{2321
6.705
(2321
8,940
2,018
13. TRusfEES AND OTHER RELAnD PARTIES
No payments were m&e to tnjstees ￿ any persons (C￿￿￿ted wth thun duthg th15 financial perlrx1. Nts materlal
transaEtK)n tcK)k pke betww the and a trustee ￿ any Pe￿ cC￿nett￿ w￿h them.
{2020121- None)
14. RISK ASSESSMENT
The Trustees actively revk*v the Maj￿ rbks whth the chkn ft£e5 on a wulw basls and bel2ve that maintalnlng
the free re5erve4 stared combine(I with the annual rfthe ccntrols over key fin￿Ch￿l systans cathed out on an
annual ba5LE wni provhde sufflcRnt re%￿rCeS in the evwt (* alvwse C(na￿¥￿S. The Trustees have also examlned
other operational and business rtsks whKh thw f&e and c¢mfimi th& they haNE e5tablish&Y sy5tem5 to rn￿19ate the
signTI Kant dsks.
15. RESERVES POLICY
The Trustees have constduey the kwel r* ￿tr¥e5 thry w6h to rttan, apprr4iriJte to the charty5 negjs. This Is
bas￿$ on the charfcy'5 sEe and the ftnanchil Crynmltm￿)ts hekl. The TnJstee5 aim to ensure the chèrrcy will be
able to continue to fu￿1 fcs charitabk rtJJettNes everb rf thwe s a tunpixary 5hcfftfal kn IncL¥ne or unexpected
expendfcure. Th¢ trustee5 endeavtyjr nrt to ser a5Kle funds unn&essanTr.
16. PUBLIC BENEFZT
The Charrcy ￿kn￿￿edge5 rts reqvirement to d￿n(￿strate c￿rIY th& * rnust have Ch￿itable purpose5 or'ams. that
a￿ for the public ben￿t. DetaiLs d how the charty has acheved thi5 are provKled in the Trustees report. The
Trustees cu)flrm that they have paMJ due regard tts the Charty Ccxnmi5sKffi gvK1ance ￿ publK benefft before
deCId￿g wh& the char*y shwkl undertakE.
Thts page dces fTWtn pdt rfthe 5tatut(Yy stateM￿ts
16

JOY HOUSE
P40TES TO THE ACCOUNTS {continued)
FOR THE YEAR EPIDED 31sr MARCH 2022
10. CREDITORS AND ACCRUALS AMOUNTS FALLING DUE fm MORE THAN ONE YEAR
The Charty held no kng term Ifab*tE5 durk)g thls cff the prth•￿s flnan¢W pwxxl.
11. srAFF COSTS AIID NUMBERS
TOTAL
2021122
TOTAL
2020121
Gross Wages & S**5
Empbyers National Insurance Costs
pensk￿ CMtrSbutkns
27,400
5.439
35.850
4,199
Average number d￿npl￿ee5 who engw￿l *) &Yh rf the f¢1k￿ng xtbmteg:
TOTAL
2021122
TOTAL
2020121
Charltabk ActMt*s
The Charlty operates J PAYE sch•*e to pay al empw memb￿5 rf stdl. The Charlty mémbers ¢Y staff
on a self empk)ygJ basls and no empk)yee5 r￿￿41ed eM0￿MentS kn the ran9e cl £50.000 to £60,000.
12020121- None)
12. AIIALYSIS OF NET ASSETS 8eYwEEN FUNDS
Unre5trtted
Funds
Fiestrtt
Funds
Tot•1
Total
jI￿aTrI2 31••Tr21
Tanglble Axed Assets
Net Currwt Assets
Lcng Term L￿￿11￿*S
6.705
{2321
6.705
(2321
8,940
2,018
13. TRusfEES AND OTHER RELAnD PARTIES
No payments were m&e to tnjstees ￿ any persons (C￿￿￿ted wth thun duthg th15 financial perlrx1. Nts materlal
transaEtK)n tcK)k pke betww the and a trustee ￿ any Pe￿ cC￿nett￿ w￿h them.
{2020121- None)
14. RISK ASSESSMENT
The Trustees actively revk*v the Maj￿ rbks whth the chkn ft£e5 on a wulw basls and bel2ve that maintalnlng
the free re5erve4 stared combine(I with the annual rfthe ccntrols over key fin￿Ch￿l systans cathed out on an
annual ba5LE wni provhde sufflcRnt re%￿rCeS in the evwt (* alvwse C(na￿¥￿S. The Trustees have also examlned
other operational and business rtsks whKh thw f&e and c¢mfimi th& they haNE e5tablish&Y sy5tem5 to rn￿19ate the
signTI Kant dsks.
15. RESERVES POLICY
The Trustees have constduey the kwel r* ￿tr¥e5 thry w6h to rttan, apprr4iriJte to the charty5 negjs. This Is
bas￿$ on the charfcy'5 sEe and the ftnanchil Crynmltm￿)ts hekl. The TnJstee5 aim to ensure the chèrrcy will be
able to continue to fu￿1 fcs charitabk rtJJettNes everb rf thwe s a tunpixary 5hcfftfal kn IncL¥ne or unexpected
expendfcure. Th¢ trustee5 endeavtyjr nrt to ser a5Kle funds unn&essanTr.
16. PUBLIC BENEFZT
The Charrcy ￿kn￿￿edge5 rts reqvirement to d￿n(￿strate c￿rIY th& * rnust have Ch￿itable purpose5 or'ams. that
a￿ for the public ben￿t. DetaiLs d how the charty has acheved thi5 are provKled in the Trustees report. The
Trustees cu)flrm that they have paMJ due regard tts the Charty Ccxnmi5sKffi gvK1ance ￿ publK benefft before
deCId￿g wh& the char*y shwkl undertakE.
Thts page dces fTWtn pdt rfthe 5tatut(Yy stateM￿ts
16

JOY HOUSE
P40TES TO THE ACCOUNTS {continued)
FOR THE YEAR EPIDED 31sr MARCH 2022
10. CREDITORS AND ACCRUALS AMOUNTS FALLING DUE fm MORE THAN ONE YEAR
The Charty held no kng term Ifab*tE5 durk)g thls cff the prth•￿s flnan¢W pwxxl.
11. srAFF COSTS AIID NUMBERS
TOTAL
2021122
TOTAL
2020121
Gross Wages & S**5
Empbyers National Insurance Costs
pensk￿ CMtrSbutkns
27,400
5.439
35.850
4,199
Average number d￿npl￿ee5 who engw￿l *) &Yh rf the f¢1k￿ng xtbmteg:
TOTAL
2021122
TOTAL
2020121
Charltabk ActMt*s
The Charlty operates J PAYE sch•*e to pay al empw memb￿5 rf stdl. The Charlty mémbers ¢Y staff
on a self empk)ygJ basls and no empk)yee5 r￿￿41ed eM0￿MentS kn the ran9e cl £50.000 to £60,000.
12020121- None)
12. AIIALYSIS OF NET ASSETS 8eYwEEN FUNDS
Unre5trtted
Funds
Fiestrtt
Funds
Tot•1
Total
jI￿aTrI2 31••Tr21
Tanglble Axed Assets
Net Currwt Assets
Lcng Term L￿￿11￿*S
6.705
{2321
6.705
(2321
8,940
2,018
13. TRusfEES AND OTHER RELAnD PARTIES
No payments were m&e to tnjstees ￿ any persons (C￿￿￿ted wth thun duthg th15 financial perlrx1. Nts materlal
transaEtK)n tcK)k pke betww the and a trustee ￿ any Pe￿ cC￿nett￿ w￿h them.
{2020121- None)
14. RISK ASSESSMENT
The Trustees actively revk*v the Maj￿ rbks whth the chkn ft£e5 on a wulw basls and bel2ve that maintalnlng
the free re5erve4 stared combine(I with the annual rfthe ccntrols over key fin￿Ch￿l systans cathed out on an
annual ba5LE wni provhde sufflcRnt re%￿rCeS in the evwt (* alvwse C(na￿¥￿S. The Trustees have also examlned
other operational and business rtsks whKh thw f&e and c¢mfimi th& they haNE e5tablish&Y sy5tem5 to rn￿19ate the
signTI Kant dsks.
15. RESERVES POLICY
The Trustees have constduey the kwel r* ￿tr¥e5 thry w6h to rttan, apprr4iriJte to the charty5 negjs. This Is
bas￿$ on the charfcy'5 sEe and the ftnanchil Crynmltm￿)ts hekl. The TnJstee5 aim to ensure the chèrrcy will be
able to continue to fu￿1 fcs charitabk rtJJettNes everb rf thwe s a tunpixary 5hcfftfal kn IncL¥ne or unexpected
expendfcure. Th¢ trustee5 endeavtyjr nrt to ser a5Kle funds unn&essanTr.
16. PUBLIC BENEFZT
The Charrcy ￿kn￿￿edge5 rts reqvirement to d￿n(￿strate c￿rIY th& * rnust have Ch￿itable purpose5 or'ams. that
a￿ for the public ben￿t. DetaiLs d how the charty has acheved thi5 are provKled in the Trustees report. The
Trustees cu)flrm that they have paMJ due regard tts the Charty Ccxnmi5sKffi gvK1ance ￿ publK benefft before
deCId￿g wh& the char*y shwkl undertakE.
Thts page dces fTWtn pdt rfthe 5tatut(Yy stateM￿ts
16

JOY HOUSE
P40TES TO THE ACCOUNTS {continued)
FOR THE YEAR EPIDED 31sr MARCH 2022
10. CREDITORS AND ACCRUALS AMOUNTS FALLING DUE fm MORE THAN ONE YEAR
The Charty held no kng term Ifab*tE5 durk)g thls cff the prth•￿s flnan¢W pwxxl.
11. srAFF COSTS AIID NUMBERS
TOTAL
2021122
TOTAL
2020121
Gross Wages & S**5
Empbyers National Insurance Costs
pensk￿ CMtrSbutkns
27,400
5.439
35.850
4,199
Average number d￿npl￿ee5 who engw￿l *) &Yh rf the f¢1k￿ng xtbmteg:
TOTAL
2021122
TOTAL
2020121
Charltabk ActMt*s
The Charlty operates J PAYE sch•*e to pay al empw memb￿5 rf stdl. The Charlty mémbers ¢Y staff
on a self empk)ygJ basls and no empk)yee5 r￿￿41ed eM0￿MentS kn the ran9e cl £50.000 to £60,000.
12020121- None)
12. AIIALYSIS OF NET ASSETS 8eYwEEN FUNDS
Unre5trtted
Funds
Fiestrtt
Funds
Tot•1
Total
jI￿aTrI2 31••Tr21
Tanglble Axed Assets
Net Currwt Assets
Lcng Term L￿￿11￿*S
6.705
{2321
6.705
(2321
8,940
2,018
13. TRusfEES AND OTHER RELAnD PARTIES
No payments were m&e to tnjstees ￿ any persons (C￿￿￿ted wth thun duthg th15 financial perlrx1. Nts materlal
transaEtK)n tcK)k pke betww the and a trustee ￿ any Pe￿ cC￿nett￿ w￿h them.
{2020121- None)
14. RISK ASSESSMENT
The Trustees actively revk*v the Maj￿ rbks whth the chkn ft£e5 on a wulw basls and bel2ve that maintalnlng
the free re5erve4 stared combine(I with the annual rfthe ccntrols over key fin￿Ch￿l systans cathed out on an
annual ba5LE wni provhde sufflcRnt re%￿rCeS in the evwt (* alvwse C(na￿¥￿S. The Trustees have also examlned
other operational and business rtsks whKh thw f&e and c¢mfimi th& they haNE e5tablish&Y sy5tem5 to rn￿19ate the
signTI Kant dsks.
15. RESERVES POLICY
The Trustees have constduey the kwel r* ￿tr¥e5 thry w6h to rttan, apprr4iriJte to the charty5 negjs. This Is
bas￿$ on the charfcy'5 sEe and the ftnanchil Crynmltm￿)ts hekl. The TnJstee5 aim to ensure the chèrrcy will be
able to continue to fu￿1 fcs charitabk rtJJettNes everb rf thwe s a tunpixary 5hcfftfal kn IncL¥ne or unexpected
expendfcure. Th¢ trustee5 endeavtyjr nrt to ser a5Kle funds unn&essanTr.
16. PUBLIC BENEFZT
The Charrcy ￿kn￿￿edge5 rts reqvirement to d￿n(￿strate c￿rIY th& * rnust have Ch￿itable purpose5 or'ams. that
a￿ for the public ben￿t. DetaiLs d how the charty has acheved thi5 are provKled in the Trustees report. The
Trustees cu)flrm that they have paMJ due regard tts the Charty Ccxnmi5sKffi gvK1ance ￿ publK benefft before
deCId￿g wh& the char*y shwkl undertakE.
Thts page dces fTWtn pdt rfthe 5tatut(Yy stateM￿ts
16