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2022-12-31-accounts

TRUSTEES ANNUAL REPORT FOR THE FINANCIAL YEAR

1[st ] January 2022 TO 31[st] December 2022

Rock Community Church, Salem Chapel, New Park Street, Devizes SN10 1DY is registered with the Charity Commissioners (No: 1050624) and is constituted by Deed of Trust.

The Charity objectives are:

Our activities include:

Sunday worship and midweek groups for fellowship, teaching and prayer

Children’s groups

Parent and Toddler group

Support and fundraising for Christian charities and missionary work overseas and in the UK Pastoral support and Christian counselling Luncheon club

Courses that include: enquirers, Christian discipleship, parenting, pre-marriage

The management trustees have been claiming Gift Aid direct from HMRC and are pleased to report that there have been no issues with this.

This year, the trustees are pleased that the mortgage on the building has been totally redeemed and the release of the monies has helped in covering the budget.

The Church Council has meet regularly during the course of the year and has kept minutes of these meetings, seeking at all times to remain compliant with applicable charity law. Through what has been another tough year, the management trustees have been very grateful for all of the contributions that the volunteers have given to the charity and for all the financial contributions they have received.

The Church Council continues to regulate expenditure with day-to-day financial matters delegated to an administrative team. Strict safeguards continue to be in place under our procedures, which we reviewed along with the Reserves Policy during the course of the year. The management trustees are pleased to report that the charity has continued to be solvent throughout the year.

The trustees are responsible for keeping proper accounting records, which disclose with reasonable accuracy at any time the financial position of the charity. They are also responsible for safeguarding the assets of the charity and hence for taking any reasonable steps for the prevention and detection of fraud and other irregularities. In line with the Charities Act 2011, the Trustees have prepared financial statements using an independent examiner that give a true and fair view of the state of affairs of the charity for that period. In preparing the financial statements, the trustees are required to:

1

The management trustees have carried out health and safety risk assessments and have noted that there are adequate safeguards in place. These assessments are carried out at least three times during the year with a report being given to the next trustees meeting. The management trustees have ensured that there has been a fire safety risk assessment with accompanying fire drills. The trustees continue to make risk assessments of the charity and amend, adjust or alter any necessary criteria that have arisen from such an audit. They are pleased to report that there have not been any serious incidents during the past year.

This year the Church Council have reviewed a number of policies and have amended, revised or altered those policies to make sure that they are fit for purpose.

The Church Council seek to continue to work closely together to ensure that the charity remains solvent and moving forward.

For and on behalf of the Management Trustees

Rev David Fiddy MA, Chairman

30 May 2023

2

ROCK COMMUNITY CHURCH

NEW PARK STREET

DEVIZES

WILTSHIRE

SN10 1DY

Registered Charity: 1050624

STATEMENT OF ACCOUNT

AND

INDEPENDENT EXAMINATION REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2022

Luke Silver Accountancy & Taxation Services 25 Ellicombe Close Minehead Somerset TA24 6DQ

Mobile: 07710 456376

E-mail: luke-silver@puresilver.org.uk

Independent Examiner’s Report on the Accounts

Accruals Accounts

Report to the trustees/members of Rock Community Church

Registered Charity Number 1050624

On the accounts for the year ended 31[st] December 2022

Set out on the following pages

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity¹s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to: examine the accounts under section 145 of the 2011 Act; follow the procedures laid down in the General Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act; and

state whether particular matters have come to my attention.

Basis of independent examiner’s report

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention:

(1) which gives me reasonable cause to believe that in any material respect the requirements

(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Signed L A Silver

Date: 31 March 2023

Luke Silver, HNC Business & Finance Accountancy Practitioner

25 Ellicombe Close, Minehead, Somerset. TA24 6DQ

Independent Examiners Report to the Trustees and Church Council

Introduction

Thank you for submitting the accounts for independent examination. They have been well maintained and the treasurer and others responsible are to be commended for their hard work.

Charity Law and Financial Regulations

The independent examination has been carried out in accordance with the Charities (Accounts and Reports) Regulations 1995 (Statutory Instruments No 2724) and the Accounting by Charities Statement of Recommended Practice (SORP).

Signing of Accounts

I shall be obliged if you will please forward a copy of the signature page for my records after the accounts have been signed by a representative appointed by the Trustees and Church Council. A spare copy is enclosed.

Conclusion

There are no other matters I feel need to be brought to your attention.

Please do not hesitate to contact me for further clarification or for further assistance.

Luke Silver

Date: 31 March 2023

ROCK COMMUNITY CHURCH

REPORT OF THE TRUSTEES AND CHURCH COUNCIL FOR THE YEAR ENDED 31[ST] DECEMBER 2022

ACTIVITIES REVIEW

The financial results are set out in the enclosed accounts.

The principal activity throughout the year under review was that of the advancement of the Christian faith and the extension of the Kingdom of God.

TRUSTEES AND CHURCH COUNCIL MEMBERS

The trustees and church council during the year were as follows:

David Samuel Fiddy

11 Dowse Road, Devizes, Wiltshire. SN10 3FN

Nicholas Rigby Herrod-Taylor

Crookwood Mill Farm, Stert, Devizes. SN10 3JA

Wendy Doreen Hodder

3A Castle Lane, Devizes, Wiltshire. SN10 1HJ

Caroline Reid

22 The Clock Inn Park, Lydeway, Devizes. SN10 3PP

STATEMENT

We certify that the books, vouchers and information produced to enable the independent examination of our accounts to be conducted contain a full and correct record of our financial transactions and activities to the best of our knowledge and belief.

SIGNED ON BEHALF OF THE TRUSTEES

Please print name: David S Fiddy

Date: 25 April 2023

Rock Community Church

Statement of Financial Activities for the year ended 31st December 2022

Statement of Financial Activities
for the year ended 31st December 2022
Notes Unrestricted
Funds
2022
£
Resources Arising
Donations, Legacies and Similar
3a
33,932
Incoming Resources
Income from Activities for
3b
0
Generating Funds
Investment Income
3c
2
Other Incoming Resources
3d
101
Total Incoming Resources
34,035
Resources Used
Direct Charitable Expenditure
Grants Payable in Furtherance of
4a
661
the Charitable Objects
Costs of Activities in Furtherance
4b
26,534
of the Charitable Objects
Resources Expended on Managing
4c
512
and Administering the Charity
Total Resources Expended
27,707
Net Movement in Funds
6,328
Fund Balances b/fwd at 01.01.22
197,681
Transfers
Gains and Losses Building Valuation
0
Fund Balances c/fwd at 31.12.22
204,009
Restricted
Total
Total
Funds
2022
31.12.22
31.12.21
£
£
£
17,673
51,605
34,942
0
0
0
0
2
1
0
101
16
17,673
51,708
34,959
5,600
6,261
7,120
1,755
28,289
29,697
11,904
12,416
4,052
19,259
46,966
40,869
(1,586)
4,742
(5,910)
22,239
219,920
219,920
0
0
0
0
0
20,653
224,662
214,010

LAS

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31/03/2023

Rock Community Church Rock Community Church
Balance Sheet Notes 2022 2021
£ £ £ £
Fixed Assets
Tangible Assets 2 180,079 180,105
180,079 180,105
Current Assets
Cash at Bank & In Hand 6 44,583 40,603
Creditors:amounts falling due within one year 7 0 0
Net Current Assets 44,583 40,603
Total Assetsless current liabilities 224,662 220,708
Creditors:amounts falling due in more than a 8 0 6,698
year
Net Assets 224,662 214,010
Capital and Reserves
Income Funds:
General Fund 204,009 201,973
Designated Funds 5 0 0
Restricted Funds 5 20,653 12,037
224,662 214,010

LAS

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31/03/2023

Rock Community Church

Notes to the Accounts for the year ended 31st December 2022

1.Accounting Policies

(a) These accounts have been prepared on a accruals basis and include income which has been received or that is receivable at the year end.

(b) The recommendations of charities SORP have been followed in the preparation of these accounts.

2. Tangible Fixed Assets
Equipment
Cost
01-Jan-22
Revaluation
Cost at
31-Dec-22
Depreciation
01-Jan-22
Charge
Depreciation at
31-Dec-22
Net Book Value
31-Dec-22
Net Book Value
31-Dec-21
Church
General
Restricted
2022
Building
Equipment
Equipment
Total
£
£
£
£
180,000
25,184
5,360
210,544
0
0
0
0
180,000
25,184
5,360
210,544
0
25,108
5,331
30,439
0
19
7
26
0
25,127
5,338
30,465
180,000
57
22
180,079
180,000
76
29
180,105

The annual committements under non-cancelling operating leases and capital committements are as follows: 31st December 2022 : None 31st December 2021 : None

LAS

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31/03/2023

Notes to the Accounts for the year ended 31st December 2021 (continued)

3. Incoming Resources
a) Donations, Legacies and Similar
Incoming Resources
Gifts and Donations
5
Gift Aid Donations
Gift Aid Tax Rebate
Visiting Ministers (Offerings)
b) Income from Activities for Generating
Funds
Fund Raising
c) Investment Income
Bank Interest
d) Other Incoming Resources
Other Income
Grants
Total Incoming Resources
Unrestricted
Funds
2022
£
28,652
1,840
3,440
0
33,932
0
0
2
2
101
0
101
34,035
Restricted
Total
Total
Funds
2022
31.12.22
31.12.21
£
£
£
17,673
46,325
31,229
0
1,840
3,420
0
3,440
293
0
0
0
17,673
51,605
34,942
0
0
0
0
0
0
0
2
1
0
2
1
0
101
16
0
0
0
0
101
16
17,673
51,708
34,959

LAS

4 of 7

31/03/2023

Notes to the Accounts for the year ended 31st December 2022 (continued)

4. Resources Expended
a) Grants Payable in Furtherance of the Charitable
Objects
Overseas Mission Support
Overseas Missions Projects
Appeals
UK & Local Evangelism
Visiting Missionaries
AoG Dues
Other
b) Costs of Activities in Furtherance of the
Charitable Objects
Salaries and Expenses
Visiting Ministries
Youth
Little Acorns
Lunch Club
Insurance
Structural Work / Maintenance
Equipment Costs
Legacy Fund
Other
c) Resources Expended on Managing and
Administering the Charity
Administration
Utilities
Mortgage Interest & Settlement
Depreciation
Sundries
Professional Fees
Project
Total Resources Expended
Unrestricted
Funds
2022
£
0
0
0
0
0
661
0
661
26,265
150
0
0
0
0
0
0
0
119
26,534
48
0
0
19
0
445
0
512
27,707
Restricted
Total
Total
Funds
2022
31.12.22
31.12.21
£
£
£
4,300
4,300
5,500
0
0
0
0
0
0
250
250
75
0
0
0
0
661
945
1,050
1,050
600
5,600
6,261
7,120
0
26,265
26,133
0
150
30
5
5
0
90
90
5
312
312
5
626
626
592
171
171
2,283
0
0
0
551
551
480
0
119
169
1,755
28,289
29,697
0
48
64
2,062
2,062
2,205
6,185
6,185
738
0
19
36
143
143
103
406
851
906
3,108
3,108
0
11,904
12,416
4,052
19,259
46,966
40,869

LAS

5 of 7

31/03/2023

Notes to the Accounts for the year ended 31st December 2022 (continued)

5. Designated & Restricted Funds

5. Designated & Restricted Funds
Balance Income Transfer Expend Balance
01-Jan-22 31-Dec-22
£ £ £ £ £
Restricted Funds
Youth / Children 258 30 0 5 283
Little Acorns 271 155 0 90 336
Lunch Club 409 493 0 312 590
938 678 0 407 1,209
Restricted Funds
Missions 7,197 200 3,393 5,600 5,190
Building 8,437 245 4,954 6,516 7,120
15,634 445 8,347 12,116 12,310
6. Cash at Bank and in Hand
31-Dec-22 31-Dec-21
£ £
Current Account 37,577 33,599
Deposit Account 3,674 3,672
Property Trust Account 3,332 3,332
Cash in Hand 0 0
44,583 40,603
7. Creditors: Amounts Falling Due Within One Year
31-Dec-22 31-Dec-21
£ £
Tax and National Insurance 0 0
Independent Examiners Fees 0 0
0 0
8. Creditors: Amounts Falling Due In More Than One Year
31-Dec-22 31-Dec-21
£ £
Assemblies of God Property Trust Mortgage 0 6,698
0 6,698

LAS

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31/03/2023

Notes to the Accounts for the year ended 31st December 2022 (continued)

9. Staff Costs and Numbers

9. Staff Costs and Numbers
Gross Wages and Salaries
Employer's National Insurance Costs (incl above)
Pension Contributions (incl above)
2022
£
26,265
0
0
26,265
2021
£
26,133
0
0
26,133

The Charity had 1 employee during the financial year.

No employees received emoluments of over £50,000. (2020: None)

The Charity operates payroll under a PAYE scheme.

10. Trustees and Other Related Parties

David Fiddy received payments during this financial period. David Fiddy is a trustee. The total cost during the year was £26,265

11. Risk Assessment

The Trustees actively review the major risks which the charity faces on a regular basis and believe that maintaining the free reserves stated combined with the annual review of the controls over key financial systems carried out on an annual basis will provide sufficient resources in the event of adverse conditions. The trustees have also examined other operational and business risks which they may face and confirm that they have established systems to mitigate the significant risks.

12. Reserves Policy

The trustees have considered the level of reserves they wish to retain, appropriate to the charity's needs. This is based on the charity's size and the level of financial committements held. The trustees aim to ensure the charity will be able to continue to fulfil its charitable objectives even if there is a temporary shortfall in income or unexpected expenditure. The trustees will endeavour not to set aside funds unnecessarily.

The trustees have decided that sufficient funds will be set aside to cover building running costs during the financial year.

13. Missions

The trustees have taken the policy that 10% of the general income will be allocated to Missions during the financial year.

LAS

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31/03/2023

ROCK COMMUNITY CHURCH

NEW PARK STREET

DEVIZES

WILTSHIRE

SN10 1DY

Registered Charity: 1050624

STATEMENT OF ACCOUNT

AND

INDEPENDENT EXAMINATION REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2022

Luke Silver Accountancy & Taxation Services 25 Ellicombe Close Minehead Somerset TA24 6DQ

Mobile: 07710 456376

E-mail: luke-silver@puresilver.org.uk

Independent Examiner’s Report on the Accounts

Accruals Accounts

Report to the trustees/members of Rock Community Church

Registered Charity Number 1050624

On the accounts for the year ended 31[st] December 2022

Set out on the following pages

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity¹s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to: examine the accounts under section 145 of the 2011 Act; follow the procedures laid down in the General Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act; and

state whether particular matters have come to my attention.

Basis of independent examiner’s report

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention:

(1) which gives me reasonable cause to believe that in any material respect the requirements

(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Signed L A Silver

Date: 31 March 2023

Luke Silver, HNC Business & Finance Accountancy Practitioner

25 Ellicombe Close, Minehead, Somerset. TA24 6DQ

Independent Examiners Report to the Trustees and Church Council

Introduction

Thank you for submitting the accounts for independent examination. They have been well maintained and the treasurer and others responsible are to be commended for their hard work.

Charity Law and Financial Regulations

The independent examination has been carried out in accordance with the Charities (Accounts and Reports) Regulations 1995 (Statutory Instruments No 2724) and the Accounting by Charities Statement of Recommended Practice (SORP).

Signing of Accounts

I shall be obliged if you will please forward a copy of the signature page for my records after the accounts have been signed by a representative appointed by the Trustees and Church Council. A spare copy is enclosed.

Conclusion

There are no other matters I feel need to be brought to your attention.

Please do not hesitate to contact me for further clarification or for further assistance.

Luke Silver

Date: 31 March 2023

ROCK COMMUNITY CHURCH

REPORT OF THE TRUSTEES AND CHURCH COUNCIL FOR THE YEAR ENDED 31[ST] DECEMBER 2022

ACTIVITIES REVIEW

The financial results are set out in the enclosed accounts.

The principal activity throughout the year under review was that of the advancement of the Christian faith and the extension of the Kingdom of God.

TRUSTEES AND CHURCH COUNCIL MEMBERS

The trustees and church council during the year were as follows:

David Samuel Fiddy

11 Dowse Road, Devizes, Wiltshire. SN10 3FN

Nicholas Rigby Herrod-Taylor

Crookwood Mill Farm, Stert, Devizes. SN10 3JA

Wendy Doreen Hodder

3A Castle Lane, Devizes, Wiltshire. SN10 1HJ

Caroline Reid

22 The Clock Inn Park, Lydeway, Devizes. SN10 3PP

STATEMENT

We certify that the books, vouchers and information produced to enable the independent examination of our accounts to be conducted contain a full and correct record of our financial transactions and activities to the best of our knowledge and belief.

SIGNED ON BEHALF OF THE TRUSTEES

Please print name: David S Fiddy

Date: 25 April 2023

Rock Community Church

Statement of Financial Activities for the year ended 31st December 2022

Statement of Financial Activities
for the year ended 31st December 2022
Notes Unrestricted
Funds
2022
£
Resources Arising
Donations, Legacies and Similar
3a
33,932
Incoming Resources
Income from Activities for
3b
0
Generating Funds
Investment Income
3c
2
Other Incoming Resources
3d
101
Total Incoming Resources
34,035
Resources Used
Direct Charitable Expenditure
Grants Payable in Furtherance of
4a
661
the Charitable Objects
Costs of Activities in Furtherance
4b
26,534
of the Charitable Objects
Resources Expended on Managing
4c
512
and Administering the Charity
Total Resources Expended
27,707
Net Movement in Funds
6,328
Fund Balances b/fwd at 01.01.22
197,681
Transfers
Gains and Losses Building Valuation
0
Fund Balances c/fwd at 31.12.22
204,009
Restricted
Total
Total
Funds
2022
31.12.22
31.12.21
£
£
£
17,673
51,605
34,942
0
0
0
0
2
1
0
101
16
17,673
51,708
34,959
5,600
6,261
7,120
1,755
28,289
29,697
11,904
12,416
4,052
19,259
46,966
40,869
(1,586)
4,742
(5,910)
22,239
219,920
219,920
0
0
0
0
0
20,653
224,662
214,010

LAS

1 of 7

31/03/2023

Rock Community Church Rock Community Church
Balance Sheet Notes 2022 2021
£ £ £ £
Fixed Assets
Tangible Assets 2 180,079 180,105
180,079 180,105
Current Assets
Cash at Bank & In Hand 6 44,583 40,603
Creditors:amounts falling due within one year 7 0 0
Net Current Assets 44,583 40,603
Total Assetsless current liabilities 224,662 220,708
Creditors:amounts falling due in more than a 8 0 6,698
year
Net Assets 224,662 214,010
Capital and Reserves
Income Funds:
General Fund 204,009 201,973
Designated Funds 5 0 0
Restricted Funds 5 20,653 12,037
224,662 214,010

LAS

2 of 7

31/03/2023

Rock Community Church

Notes to the Accounts for the year ended 31st December 2022

1.Accounting Policies

(a) These accounts have been prepared on a accruals basis and include income which has been received or that is receivable at the year end.

(b) The recommendations of charities SORP have been followed in the preparation of these accounts.

2. Tangible Fixed Assets
Equipment
Cost
01-Jan-22
Revaluation
Cost at
31-Dec-22
Depreciation
01-Jan-22
Charge
Depreciation at
31-Dec-22
Net Book Value
31-Dec-22
Net Book Value
31-Dec-21
Church
General
Restricted
2022
Building
Equipment
Equipment
Total
£
£
£
£
180,000
25,184
5,360
210,544
0
0
0
0
180,000
25,184
5,360
210,544
0
25,108
5,331
30,439
0
19
7
26
0
25,127
5,338
30,465
180,000
57
22
180,079
180,000
76
29
180,105

The annual committements under non-cancelling operating leases and capital committements are as follows: 31st December 2022 : None 31st December 2021 : None

LAS

3 of 7

31/03/2023

Notes to the Accounts for the year ended 31st December 2021 (continued)

3. Incoming Resources
a) Donations, Legacies and Similar
Incoming Resources
Gifts and Donations
5
Gift Aid Donations
Gift Aid Tax Rebate
Visiting Ministers (Offerings)
b) Income from Activities for Generating
Funds
Fund Raising
c) Investment Income
Bank Interest
d) Other Incoming Resources
Other Income
Grants
Total Incoming Resources
Unrestricted
Funds
2022
£
28,652
1,840
3,440
0
33,932
0
0
2
2
101
0
101
34,035
Restricted
Total
Total
Funds
2022
31.12.22
31.12.21
£
£
£
17,673
46,325
31,229
0
1,840
3,420
0
3,440
293
0
0
0
17,673
51,605
34,942
0
0
0
0
0
0
0
2
1
0
2
1
0
101
16
0
0
0
0
101
16
17,673
51,708
34,959

LAS

4 of 7

31/03/2023

Notes to the Accounts for the year ended 31st December 2022 (continued)

4. Resources Expended
a) Grants Payable in Furtherance of the Charitable
Objects
Overseas Mission Support
Overseas Missions Projects
Appeals
UK & Local Evangelism
Visiting Missionaries
AoG Dues
Other
b) Costs of Activities in Furtherance of the
Charitable Objects
Salaries and Expenses
Visiting Ministries
Youth
Little Acorns
Lunch Club
Insurance
Structural Work / Maintenance
Equipment Costs
Legacy Fund
Other
c) Resources Expended on Managing and
Administering the Charity
Administration
Utilities
Mortgage Interest & Settlement
Depreciation
Sundries
Professional Fees
Project
Total Resources Expended
Unrestricted
Funds
2022
£
0
0
0
0
0
661
0
661
26,265
150
0
0
0
0
0
0
0
119
26,534
48
0
0
19
0
445
0
512
27,707
Restricted
Total
Total
Funds
2022
31.12.22
31.12.21
£
£
£
4,300
4,300
5,500
0
0
0
0
0
0
250
250
75
0
0
0
0
661
945
1,050
1,050
600
5,600
6,261
7,120
0
26,265
26,133
0
150
30
5
5
0
90
90
5
312
312
5
626
626
592
171
171
2,283
0
0
0
551
551
480
0
119
169
1,755
28,289
29,697
0
48
64
2,062
2,062
2,205
6,185
6,185
738
0
19
36
143
143
103
406
851
906
3,108
3,108
0
11,904
12,416
4,052
19,259
46,966
40,869

LAS

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Notes to the Accounts for the year ended 31st December 2022 (continued)

5. Designated & Restricted Funds

5. Designated & Restricted Funds
Balance Income Transfer Expend Balance
01-Jan-22 31-Dec-22
£ £ £ £ £
Restricted Funds
Youth / Children 258 30 0 5 283
Little Acorns 271 155 0 90 336
Lunch Club 409 493 0 312 590
938 678 0 407 1,209
Restricted Funds
Missions 7,197 200 3,393 5,600 5,190
Building 8,437 245 4,954 6,516 7,120
15,634 445 8,347 12,116 12,310
6. Cash at Bank and in Hand
31-Dec-22 31-Dec-21
£ £
Current Account 37,577 33,599
Deposit Account 3,674 3,672
Property Trust Account 3,332 3,332
Cash in Hand 0 0
44,583 40,603
7. Creditors: Amounts Falling Due Within One Year
31-Dec-22 31-Dec-21
£ £
Tax and National Insurance 0 0
Independent Examiners Fees 0 0
0 0
8. Creditors: Amounts Falling Due In More Than One Year
31-Dec-22 31-Dec-21
£ £
Assemblies of God Property Trust Mortgage 0 6,698
0 6,698

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Notes to the Accounts for the year ended 31st December 2022 (continued)

9. Staff Costs and Numbers

9. Staff Costs and Numbers
Gross Wages and Salaries
Employer's National Insurance Costs (incl above)
Pension Contributions (incl above)
2022
£
26,265
0
0
26,265
2021
£
26,133
0
0
26,133

The Charity had 1 employee during the financial year.

No employees received emoluments of over £50,000. (2020: None)

The Charity operates payroll under a PAYE scheme.

10. Trustees and Other Related Parties

David Fiddy received payments during this financial period. David Fiddy is a trustee. The total cost during the year was £26,265

11. Risk Assessment

The Trustees actively review the major risks which the charity faces on a regular basis and believe that maintaining the free reserves stated combined with the annual review of the controls over key financial systems carried out on an annual basis will provide sufficient resources in the event of adverse conditions. The trustees have also examined other operational and business risks which they may face and confirm that they have established systems to mitigate the significant risks.

12. Reserves Policy

The trustees have considered the level of reserves they wish to retain, appropriate to the charity's needs. This is based on the charity's size and the level of financial committements held. The trustees aim to ensure the charity will be able to continue to fulfil its charitable objectives even if there is a temporary shortfall in income or unexpected expenditure. The trustees will endeavour not to set aside funds unnecessarily.

The trustees have decided that sufficient funds will be set aside to cover building running costs during the financial year.

13. Missions

The trustees have taken the policy that 10% of the general income will be allocated to Missions during the financial year.

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