Bearwood Cha Registered Charity No. 1049(X)9 STATEMENT OF FINANCIAL ACTIVITIES for the year ended 31 St December 2020 The Wakeling Pathership 24 Ethelburt Avenue SoLrthampton S016 30D
BEARWOOD CHAPEL TRUST TRUST LNFORMATION_ YEAR ENDED 315T DECEMBER 2020 TRUSTEES JEiltan IlaTms Janc Linton tall Millcrship Zoe Rippengal Dagmrf Sharpl ELDERS Jonathan GlIllg Harms Ian Millcrship Bob Sharples Stephen Sturman DaN"id Williams (P&8tot) Jamcs Williams (Lntil 31 December 2020) (L'ntil 4 Octt>ber 20201 OPER.4TING ADDRESS Bearwo(Kl Chapel Brdnvood Road Smethwick West Miillands B66 4DII BANKERS Natwesi Bank PIC Sort Code: 600210 Account No. 93032498 EXAMINER The Wakcling Parniership 24 Eihelburt Avenue Sollthaniplon Hants S0163DD RECJ. CHARITY NO. 1049(M)9
BearWol Cbapel Trust
Trustee5 R rt for tb¢ Y¢ar "nded 31- Decernber 21120
The Trustees are pltrdsed to preqent their report on the actii'iiies of Bear(x)d Chapcl Tnl4jrinÈ 2020 and to confm thai the
TtUSt's rt1n aims. the advanctment of the Christian faith and the rEliif of sllffering and hardship. remaTrtt unchan(Fed. To enable
li io achieve Ihcse Br.0(x] Cha1 srrii'ei to conLinUC proyide a wid¥ rang¢ of5eTriccs lo thL community - for whTrch
there 15 unrestricted actess. HOW'eer. frorn the end of Marcb 2020. during the coirlly19 pandemic. tho actiTr'ities have been
scvLrcly reitntted in accordance with CJovernTntnt le4[11n and guidaTKe. These activitIL and eNents were aitned at eligaO
nd supporting the local community and ivere seeTL ab Stepping siones in the growob ad developmellt of the Chapel'b work and
also in %prcading the gospel messagc in the 14eaTr4"IMxi Are& The acÉivilie5 during the weeL included..
January th hl4rch 20211
Monday
Monday Group- mainly attended by those M'ho hai"t rLt1{L thc PTogrdThm¢ inbllldcd a short talk and the
singillg ot'ttaditional hymus wcll &% the opportullY foi fcllvwthtp.
'I'uc5day
Ttddler Gmup. Around 30 n]utThs. dads orDidpaTcnts att£ndcd th¢iits)ddler5.
Wednesdayj
"rhuTb
Bearwood Cha Chari No. 1049009 West Midlands Statement of Financial Activities for the ar ended 31st Decem Recei &Pa ments Accouftt 2020 Restricted Designated General Funds Funds Funds 2019 Total Yor ar Total for yoar Oonations, Legacies and Other Similar Rteeipts= Weekly Offerings Donations Tax Recovered Operating Activities to further charitable objects: Community Café Operating Activities to generate funds: Investment income receipts.. 530 18.531 3.2(Y2 530 63.297 4,152 171 3.325 69,269 12,086 1,742 197 950 171 50 50 £0 £20,313 £68,300 105 £86,724 £47.987 ments.. Payments for generating fund5- Charitable Payments= Grants & Gifts payable Charitable activitie5= Community Cafè expenses staff salaries & expenses Speakers Expenses Outreach and Events Youth WDrk Support Costs= High Street Presence Project Church Ligh[ Heat & Water Maintenance. Renovations & Upkeep Equipment Sundry Expenses Managernent & Administratson: Printing Ststionery & Postage Subscriptions and Professional Fees Insurance Premiums 9.695 9,695 8,640 387 387 45.999 2,191 44.433 50 3,458 45.999 158 214 246 2,3 2.963 2,883 6,816 1,759 321 2,620 4,968 9,156 1,157 523 2,883 6,816 1,759 321 933 933 2,522 2,522 1,533 1,533 £387 £17.9 £76,271 1,505 1.900 1.492 £B2,Y55 £5e,815 Transfer been funds 1£2(X)I £200 Net ReceiptslPayments 1£11.028} (£3871 £3,444 1£7,9711 £3,789 Balanee brought forward as at 1st January 2020 £38.581 £1.016 £7.067 £46.664 £42,895 Balanco carned forward at 31st Decemb8r 2020 £27,553 £629 £10,511 £38,693 £46,864
Bearwood Cha Re Chari No. 1049009 West Midla¥KIs Statement of Assets & Liabilrlies at 31st December 2020 Assets & Liabililies 2020 2019 CURRENT ASSETS Current Asset Investments StewaTd5hip Services Deposit ACCOtt- 55420 Cash at Bank and in Hand Fiiday Clubs Natsonal Westminster Current Account Communty Café National Weslrriin5ter A¢coLmt Community Café Cash Toddlers Fund Cash West 8romwch (Monday Group) Account & Cash 17.686 17,636 258 19,536 570 60 256 327 21,007 26.933 956 60 217 353 29,027 £38,693 £46.663 Representing Balances on the follovrng Acccwnts: Unrestrtcted and Designated Funds: General Fund 10,511 7,067 Designated Fur 629 1,016 Restricted Funds: General Missionary Fund (Inckjding Rachel Newby Fd) staffing Fund High Street Presence Project Building Refurbishment Fund Reserve Fund Toddlers Fund Monday Gro Friday Clubs 6,763 25,378 2,708 9,574 5.384 1,400 2,000 709 328 258 27,553 2,000 870 353 508 38,580 TOTAL FUNDS £38,693 £46,663 Non-monetary Assets: Property (including shop and flat) at 4451445a BeaThvood Road. SmethMck. B66 4DH- Purchase price £115,000 Fixiures. futniture & equpment at the Churth premises is currentfy uwed for £61.120. Further fthes, furnire & equipment is insure(I h)r £84,775 at the Communty Café. The church building is held by the trustees. UABILITI There are no outstsnding labltb"es. These accounts were approved bythe T[ltee¥ on: Signed on their beha by: knr4 Postion Try&&( . Date.. l8fr(* ZOLI
Bearwwd Cha Warle West mIdn$ No. 1049009 Notes to the Accounts for the ar ended 31st Dember 2020 11 ACCOUnj Policies 21 Tradlny TIE Church ha5 not a tradirvJ thity in pUt ol ils ctrAritablp obj. 3) 8tstus Bearwd Chapel Trust k8 an Uninc dwrty YerwJ Charity c(xntnW I nLrntÉr 104W3.1 trLtst ako sub5klkwry chib whth we regthed t•) 12th August XTh. Thèse are The Svrdine BoLHn8 Bequest and Trust Prcwty AdminBter8d ICW Be Gc6pd Hal. 41 t)onations R2chd Nvwby Birminghsm Cfy 90n A & J Farahat Agapt West Srnetrthick tsgrewal c1h Mission to Europtr M¥sG. GNiryJ 2020 2019 750 250 £8.640 Charged to General Fund Charged to Geneftl Missrywry Fu1 R NbY {RestrthJ F) 250 £9.&95 £8.640 S} Re$trl¢ted FuTrJs Openirwj bakrKe 6,763 25.378 CIDslng balance Expense Genéral MBsKfiary Fund I. staffing Fund High Street Presence PrOjt Building Refurbi%hrnent Fund R8serve FLMd Toddler5 Fund Monday Group Friday Clubs 10.832 1.195 45.933 9.574 1,1 870 13X)I 327 I2)) 12CK)I . £47,987 £58.815 £27,552 Both FThday dubs 5toppèl runniro in D 3)19. In Feb )WaS trarthrrvj lo Gerwal Fun(k. Brtts have 61 Trustees Remunera0 aTrJ Expenses None of the Trusts were retnurwth. 0 bitstse ILY cl ts¥"rfarrilyl %%we rrTthrsJ £487 ts Èywses iUrred by thn.
Independent Examiner's Report on the Accounts Report to the tteeS of Bearw(KMI Chapel TnLSt RIstered charilN' number 1049(M)9 On accounls for the vear end 31" Decemkr 2020 Respective responsibilities of tnjstees and examiner The charils s trnstees are responsible for the preparation of the accounts. The charih s ttustees consider that an audit is not required for this ear under section 144(?) of the Chanttes Aa 2011 lthe 2011 Act) and that an indedt aMinaon is need. Il is my restM)nsibilily lo.. elamine the accounts under section 145 of ihe 2011 Act: to follow. the piocedures Iwd doii.n in the gffletal DIrethi(S giTr bi. the ChaTiIv Comtrnssion under seclion 145{5)(b) of the 2011 Act: and lo state iN'h¢ther particular tnatters haire come to MN attention. Basis of independent ekgminer's report My examination was cwried out in accoidance iiith the Gtheral Directions gii'en bN' the Charitv Comniissioners. AR eNamination includes a rei"iew" of the acCoting records kept bv the charitv and a comparison of the accounts prtsented ii'ith those record5. It a]so includes consideration of any" unusual items or th'sclo5ures in the account& and seeking explanations from vou &$ trLEStees concerning an% such matter5. The procedur undertak'en do noi proi'ide all the eiridence that Nlould be reqwred in an authL and consequendj I do nol express an audit opinion on the i'iew b!. the accounts. Independent eiaminer's statement In connection iiith rn. examina(ion. no matter h&8 corne 10 m%. altention". (l) H'hich gives me reasonable cause to beliei'e that in material resped the requirernts. to keep accounting Tecorlls in accordance Hith stttion 130 of the 21111 Act: and to prepare accounts iihith accord 1th the accountmg records and compli." iiryth the accountini) reqwrernents ofthe 2011 Act have not been mei. or (2) to i¥hich. in m%". opiniotL alltion should be in older lo enable a proper understaThdin¥ olthe aOuntS lo be teathed. Signed Date 23/11 Name mk- Wak"eling Ad(tress The Wak"eling Partnership 24 Ethelburt Ai'enue, Southampton S016 3DD Telephone 0203-336-7460