REGISTERED CHARITY NUMBER: 1052518
Unaudlt•d Hnandal Statsments
forthe Ye•r End4d 31 December 2024
Klway Churth Wombourne
Dalton Pardoe Llmlted
Chartered ACC￿ntsnts
794 Pligh Street
Kingswlnford
West Mldland5
DY6 88Q

way Churth Womboume
Contents of the Flnandal Statements
for the Year Ended 31 DeC¢m￿r 2024
Truste￿ Report
I to 2
Independent Examlner's Reyt
5tatemert of FFnandal Acilv
Statemerrt ￿ Ftn•Klal Po
6 to 13
Detalled Statement ol Flnandal Athltles
14 to 15

forthe Year Ended 31 (le¢ember 2024
The trustees prexnt thelr report wlth the flnancial ststements of the charlty for the year ended 31 December 2024. The trustees have
adopted the provlslons of Accountln8 and Reportln8 by Charjtles: Statement of Recommended Prartlce appllcable to charltles preparing
thelr accounts Sn accordance wlth the Flnanclal Reportlng Stsndard appllcable In the UK and Republic of Ireland IFRS 102} {effectlve I
January 2019).
08JEcnvES AND AcnvmES
Objertlves and alms
The prlnclpal artfvity ofthe Churth ts:
Llvlnl forjesus, transtornilng Ilves. bulld1￿ eommunlty.
ACHIEVEMENTS AND PERFORMANCE
Charftable and Fundrnlsln8 Artlvltle5
Klngsway Church has had another great year of supportlng those withln the church congregatlon and alw helpln8 those wlthln our
comrnunlty of Wombourne Vllla8e.
Many of our events are on a seasonal rollln8 pro8ramrne now and we ha￿ ¥ery popular Easter. ￿l¥est and Chrlstmas eornmunlty days
s well as regular clubs each week for the toddlers. chlklren• Vouth and eldedy. These contlnue to yow In numbers and quallty and are
appreclated by all who get Involved. The Coffee Lounge contlnues to be a huge success as people 1￿M the church and the wlder
omrnunlty loln us on Tuesday and Thursday momlw tor a hot drlnl cake, crnft. game orthat.
The blwst chan8e to our stsffing structuie thls year has been the addbtlon ot our Adrnlnistratlon Manager and she has alieady proved
to make a huge dlfference In the or8anlsatlon, siructure and108bstlc5 of our church. We are al￿adY phnnlng Increasln8 her hours so that
we un Increase her capaclty I
We contlnue to have a large and Incredlbty hard workln8 group of volunteers who th•lr tlmÈ and talents throughout the week. We
are so 8ratefvl foi the teams that we have.
Looklni forward, as we contlnue to yow. we are looklng Into 8rants to help tacllltste Improvements to our upstsSrs communlty space
and we have now Increased seatln8 t•paclty In the maln churth audltorlum to 246 whkh Is our m•xlmum number of seatlng walloble In
that room.
We are very thankfvl for the Ilnanclal support * regularfy recefve fffjm our churth con8re8•tlon.
FINANCIAL REVIEW
Overvlew
Ttr￿ Statement of Flnanclal ArtfvStles show an Income of £314.032 (UII,768 . 20231 and expendlture of £242,387 {£260,486 . 20231
resultln8 In a surplus for the year of £71,645 1 É51.282 . 20231.
Funds Increased over the year from £527,581 a5 at 31st Decernber 2023 to £599,226 at the balance sheet date, represented by:
Unrestrlcted funds
Restrlrted funds
£537,434
£61.792
STRucfuRE. GOVERNANCE AND MANAGEMENT
Gove¢nln8 documert
The charlty Is controlled by Its governln8 documenL • deed of trust and constltutes an unlncorporated tharlty.
REFERENCE AND ADMINISTRATIVE fKTAILS
Re8lstered Ch•rlty number
1052518
Prlnclpal address
Klngsway Church
Hlgh Street
Womboume
West Mldlands
WV5 9DN
Pa8e I

Klrway Church Wombourne
TNstees' Report
forthe Year Ended 31 Ottember 2024
Trustee$
J H Prfce (Assodate Pastor)
P A Freeman {Elderl
S T Revltt {Elder)
Mrsj Eagleton (Treasurerl
Mrs D Chamberlain (Pastor)
Independent Examlner
Colln Dalton FCA
Dalton Pardoe Limlted
Chartered Accountants
794 High Street
Klngswlnford
West Mldlands
DY6 8BQ
GOING CONCERN
The Trustees conslder that the charlty remalns vlable for the year ahead.
Approved by order of the board of trustees on 30 September 2025 and slgned on Its behalf bv:
S T RevStt IElderl-Trustee
Page 2

Independent Examiner's Report to the TTUStees of
Kingsway Church Wombourne
Independent examiner's report to the trustees of King5way Church Wornboume
I report to the charity trustees on my examlnation of the accounts of Klngsway Church Wombourne (the Trust) for the year ended
31 December 2024.
Responsibilities and b3515 of report
As the charity trustee5 of the Trust you are responsible for the preparation of the accounts in accordance with the requirements of the
Chafilies Act 20111'the Act'l.
I report in respect of my examlnatlon of the Trust's accounts carrled out under Sectlon 145 of the Act and in carryin8 Out my
examlnation I have followed all applicable Directions given by the Charity Commission under Section 14515llbl of the Act.
Independent examiner'5 Statement
Since your charity's gross income exceeded £250.OCiI your examiner must be a member of a listed body. I can confirm that l am
quallfied to undertake the examlnation because l am a member of the Institute of Chartered Accountants in England and Wales, whlch is
one of the listed bodies.
I have completed my examlnation. I confirm that no material matter5 have come to my attention In connection with the examination
£lvln8 me cause to believe that in any material respect:
accountlng records were not kept In respect of the Trust as fequlred by Section 130 of the Act- or
the accounls do not accord with those records.. or
the account5 do not comply with the applicable requirements concerning the form and content of accounts set out In the
Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a true and fair view
which Is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the exarninatlon to whlch attention should be drawn In
this report in older to enable a proper understanding of the accounts to be reached.
Colin Dalton FCA
The Institute of Chartered Accountants In England and Wales
Dalton Pardoe Llmlted
Chartered Accountant5
794 High Street
Klngswlnford
West Midlands
OY6 88Q
Date..
Page 3

In8sway Chur¢h Wombourne
for the Year Eruled 31 December 2024
3L1124
Total
3L12.23
Totsl
fund5
Unrestrlrted
fvnd
Restrlcted
funds
INCOME ANO ENDOWMEfiTS FROM
Donallons and legacles
68.910
311042
309,917
Other tradln8 actfvltles
Investment income
1,387
516
L149
Totsl
314.032
311,768
EXPENDITURE ON
Charltable actlvltles
Expendlture
53326
22¥952
239,463
Other
20N35
20A35
21,023
Totsl
S3326
241387
260,486
NET INCOME
Translers between fvnds
16217
7L645
51,282
16
12A351
Net movement In funds
52A93
7L645
51.282
RECONCIUATION OF FUNDS
Totsl fvnds bmught forward
42.740
527581
476.299
TOTAL FU14DS CARRIED FORWARD
537N34
61.792
599226
527.581
The notes fonn part of t￿￿ flnandal ststements
Page 4

31 Oecember 2024
3LIL24
31.12.23
Totsl
funds
Unre5trlcted Restrkted
fund
lunds
Notes
FIXED A55ETS
Tan8lble assets
743Jl39
743m9
744,713
CURRENT ASSETS
Debtors
Cash at bank
io
li
15.568
124,972
17,014
87,109
61,792
748
61.792
140
104.123
CREDITORS
Amounts falllng due wlthln one year
12
112,4391
(12,359)
NET CURRENT ASSETS
61.792
91,764
TOTAL ASSETS LESS CURRENT UABILMES
61792
8712110
836,477
CREDITORS
Amounts fallln8 due after more than one yeir
13
1271974)
(271J741
1308,896)
537A34
61.792
599226
527,581
FUNDS
Unrestrlcted fvftd$:
General fund
Re5trlcted funds:
6ulldlng fund
Food bank
Tranqulllty
New Horlions
Nomlnated Funds
Hollday Club
Coffee Lounge
16
537834
484,841
9,968
4,122
L156
42.717
33.610
859
518
61.792
42,740
TOTAL FUNDS
599.226
527,581
The flnènclal staternents were approved by the Board ofTrustees and authorlsed for Issue on 30 Septernber 2025 Ind were s18ned on Its
behall by:
J Eagleton ITieasurer). Trustee
The notes form part of these financlal ststements
Page 5

Klwway Churth WomlM)vme
for the Year Ended 31 DKember 2024
ACCOUMnN6 pouaES
Basls of preparlry the Ilnandal ststements
The finantlal statements of the charlty, whkh Is a pubfk benefft entlty under FRS 102, have been prepared In accordance with
the Charitles SORP (FRS 1021 'Accountlng and Rewrtin8 by CharltEes: Statement of Recommended Practlce applicable to
charlties preparlng thelr accounts In accordance wlth the FinatKlal Reportlng Standard appllcable In the UK and Republic of
Ireland (FRS 102) {effectfve i January 2019}'. Financhl Reporting Standard 102 Yhe Flnanclal Reportlng Standard applIcab￿ Sn
the UK and Republic of Ireland, and the Charlties Att 2011. The financial statements have been prepared under the historical
cost conventS0n.
Income
All income 15 recogntsed In the Statement of FlnandalActi¥I￿ once the charlty ha5 entltlement to the funds. It Is probable that
the Income wlll be recelved and the anK)unt can be measured relkbty.
Exp*￿It￿re
Liabilitles are recognlsed ￿ expendItU￿ as soon as there is a kEal or construth obllzatlon mmmlttlng the tharlty to that
expendlture. bt Is probable that a transfer of econom* benefits wlll be requlred In settlement and the amount of the obllgatlon
can be measured iellabty. Expendlture Is accounted for on an accruals basss and has been classlfled under headlngs that
agg￿gate all cost related to the category. Whewe costs cannot be dlrectiy attrlbuted to partkular headlng5 they have been
allocated to actlvlttes on a basls conslstent wlth the use of resourcek
Grants offued subject to condltlons whlth have Mt been met at the yeaf end date a￿ rK>ted as a commltment but not accrued
as expendltuie.
Tan8lble fixed a55ets
Depreclatlon Is provEded at the followlng annual rntes in orderto write off each asset over Its estlmated useful Ilfe.
Freehold property
Flxtures and fittin8S
not provided
20% on reducEng balan
No deprecktlon Is provlded on freehold property as. In the oplnlon of the trustees there has been an increase In the value
between the date of purthase and the balance sheet date.
Taxatlon
The charityls exernpt from tsx on Its chorltsble actlvltk5.
Fund Jccountlnz
Unrestricted fvnd5 can be used in accordan￿ with the charltable obiertiwes at the dIsc￿tIon of the trustees.
ftestr￿ted funds can only be used for particular restri￿ purposes within the objects of the charlty. RestrKtions arise ￿then
spedfied by the donor orwhen fvnds are rnlsed for partKular reslrlrted purposes.
Donated goods
These a￿ only InC￿ded In Incomlng ￿sOUrceS wlth an equfvalent amount In re￿￿r￿ expended where the beneflt to the
Charlty ts reasonabty quantlnable, measurable and material.
Page 6
continued...

Klwway Church wom1￿urne
Notes to the Flnanclal Ststements- contlnued
for the Year Ended 31 December 2024
DONATIONS AND LEGAaE5
31.12.24
Total
funds
31.12.23
Totsl
funds
Unrestrlrted
funds
Restrlcted
funds
Planned glvlng
Offerlngs
Glft ald tsx recelpts
Other gbfts and donatlons
1,646
21,998
43,342
36.146
141,646
21,998
43.342
105.056
132,021
20,481
42,857
114.558
68.910
243.132
68,910
312.04Z
309.917
OThER TRAOING AcrivmES
31.12.24
rotal
funds
31.12.23
Total
funds
Unrestrlcted
funds
Restrlcted
fvnds
Other sundry Income
1,387
INVESTMENT INCOME
31.12.24
Total
fundi
31.12.23
Total
fund5
Unrestrlcted
funds
Restrlcted
funds
Deposlt account Interest
516
633
1,149
464
OTHER
31.12.24
T¢)tal
fund$
31.12.23
Total
fvnds
Unr¢strl(ted
funds
Restrlcted
funds
Interest payable and slmllar chJr8es
Support costs
19,535
900
19.535
20,203
820
ZOA35
20835
21,023
TrUSTeES' REMVNERATION AND BENEFITS
There were no trustees, remuneratlon or other benefits for the year ended 31 December 2024 nor for the year ended
31 December 2023.
No Trustee recefved remuneratlon for elther 2024 or 2023
TnbSte¢s' expenses
There were no trustees, expenses pald for the yearended 31 December 2024 nor foi the year ended 31 December 2023.
Page 7
contlnued...

Klrysway Chuvth Wombourfte
Notes to the FSn•ndal Statements. ¢ontlnu¢d
forthe Year Ended 31 Decernber 2024
STAFF COSTS
31.1124
31.12.23
Wa8es and salarles
85.265
73,674
85.265
73,674
The average monthty number of emPkn￿ dUrf￿ the year wa5 as follows:
3L12.24
31.12.23
Admlnlstraiion
No emptoyees recelved emo1u￿nts In excess of É60,(M)O.
COMPARATIVES FOR IHE sfATEMENT OF FINANCJAL AcnvmES
Unrestrlcted
fund
Restthd
funds
Totsl
fvnds
INCOME AND ENDOWMENTS FROM
Donatlons and legacles
200,789
109,128
309,917
Other tradlnl actlvltles
Investment Income
1.387
245
1,387
464
219
Totsl
202.421
109.347
311,768
ExpeNDITURE ON
Charltable ac¢l¥ltle$
Expendlture
145,594
93,869
239,463
Other
21,023
21,023
Totsl
166,617
93,869
260.486
INCOME
35.804
15.478
51,282
RECONauATION OF FUt4DS
Total funds brought fonvard
449,037
27,262
476,299
TOTAL FUNDS CARRIED FORWARD
484.841
42,740
527,581
PaBe 8
contlnued...

KlnBsw•y Church Womboume
Notes to the Hnandal Statements. ¢ontlnued
for the Year Ended 31 Decernber 2024
TANGIBLE FIXED ASSETS
Flxtures
and
tlttlngs
Freehold
property
Totals
COST
At ljanuary 2024 and 31 December 2024
736,647
19,692
756,339
DEPRECIATION
At l January 2024
Charge for year
11,626
1,614
11,626
1,614
At 31 December 2024
13,240
13,240
Nrf BOOK VALUE
At 31 December 2024
736.647
6.452
743,099
At 31 December 2023
736,647
8,066
744.713
OEBTORS: AMOUNTS FAWNG DUE WIThIN ONE YEAR
31.12,24
31.12.23
Glft ald tsx recelvable
15.568
17,014
ii.
CASH AT BANK
General
fund
Bulldlnl
fund
Food ￿n￿
Tranqulllty
Bank current account
Bank deposlt account
21,915
41,265
5,444
9,968
1.482
Totsl
63,180
5,444
9,968
1,482
31.12.24
Total
funds
31.12.23
Total
fvnds
New
Horlzon5
Nomlnated
Funds
Coffee
Lounge
Bank current account
Bank deposlt account
1,322
12,717
30,000
859
53.707
71,265
58,401
28,708
Totsl
1.322
42,717
859
124,9n
87,109
Page 9
continued...

KIng5w￿ Clwrch Wombourne
Notesto the Fln¥nclal Statements- contlrbued
for the Year Énded 31 December 2024
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
31.1224
31.12.23
Bank loans and overdrafts Isee note 141
Accrued expenses
7.539
4,900
7,539
4,820
12A39
12,359
CREDITORS; AMOUNTS FALLING DUE AFTER MORE ThAN ONE YEAR
31,1224
31.12.23
Bank loans (see note 141
271.974
308.896
LOANS
An anatysls of the maturlty of loans 1$ 85ven below:
31.12.24
31.12.23
Amounts fallSTrB due wlthln one year on demand:
Bank loans
7.539
7,539
Amounts falllng between one and two years:
Bank loans- 1-2 years
7,539
7,539
Amounts f8lllnB due between two and flve years:
Bank loans. 2.5 years
22.617
22,617
Amounts falllnB due In more than flv• years:
Repayable by Instalments.,
Bank loans more 5 yr by Instal
2410
278,740
SECURED DEBTS
The followlng securèd debts are Included wlthln credttors:
31.1224
31.12.23
Bank lo•ns
279.513
316,435
The bank loan from Klngdom Bank Is secured over the Freehold Pmperty.
Page 10
contlnued...

Notes to the Flnandal Ststen*nts. conilnued
for the Year Ended 31 December 2024
16.
MOVEMENT IN FUNDS
Net
movement
In fvnds
Transfers
between
funds
At
31.12.24
At 1.1.24
Unre5tr1cted funds
General fund
484•1
55M28
537N34
Restrfcted funds
Bulldlng fund
Food bank
Tranquility
New Hof120ns
Nominated Funds
Hollday Club
Coffee Loun8e
3,759
9.968
IM82
1322
41717
326
33.610
6￿7
518
341
859
42.740
16217
2I35
61.792
TOTAL FUNDS
527yI
71￿5
599.226
Net movement In ￿nds, induded in the above are as folbws:
Incomlng
resources
Resources
expended
Movernent
In fvnds
Unresirfrted fund5
General fvnd
244889
I￿9,061)
55h28
Restrfcted funds
Bulldlng fund
Food bank
Tranqullity
New Hortsons
Nomlnated Fund5
Coffee Lounge
3,759
4I46
326
338
&607
341
liJ78
17.1321
417
48.749
1.711
(42.1421
11.3701
(53,326)
16217
TOTAL FUNDS
314,032
1242.387)
71,645
Pa8e li
ontlnued...

Notes to tho Flnandal Stateme￿. contlnued
forthe Year Ended 31 December 2024
16.
MOVEMENT IN FUNDS. umtlmied
COMP￿lIVes for movement In fvndl
Net
moveff*nt
In funds
At
31.12.23
At 1.1.23
Vnyesirlcied funds
General fund
449.037
35,804
484,841
R•rtrl¢t•d fvnds
Bulldlng fvnd
Food bank
Tranqulllty
New Horlzons
Nomlnated Funds
Hollday Club
Coffee Loun8e
{7,715)
{1,103)
(9.585)
L685
4,122
1,156
5.225
10,741
894
1,002
32,608
665
518
33,610
665
518
27.262
15,478
42,740
TOTAL FUNDS
476,299
51,282
527,581
Cornparat5ve net movernent In fvnds, Included In the aboh* are as follows:
Incomlng
resources
Resources
expended
Movement
In funds
Unrestrfrted funds
General fund
202.421
1166,6171
35,804
Restrlcted funds
Bulldlng fund
Food bank
Tranqulllty
New Horl2ons
Nomlnated Funds
Thrfve Sumrnei Camp
Hollday Club
Coffee Lounge
48,286
{S6.th)11
16.0091
{13,1311
{2441
{14,6391
13.5501
17,715)
11,103)
19,585)
90
32,608
3,546
334
47,247
3￿50
665
813
665
518
{2951
109,347
193.869)
15.478
TOTAL FUNDS
311,768
1260,486}
51,282
Page 12
contlnued...

forthe Ye¥r Ended 31 Deceffl￿ 2024
17.
RELATED PARTY DISCLOSURES
There were no retstsd party trdnsactk+ns for the ￿arerrfled 31 De￿fflber 2024.
ULTIMATE CONTROWNG PARTY
The charfty Is controlled by the tnstees.
dge 13

Klngsway Church Wombourne
Detalled Statement of Flnanclal Actlvltles
lor the Year Ended 31 December 2024
31.12.24
Total
funds
31.12.23
Total
funds
UnrÈstrlcted
fvnds
Restrlcted
funds
INCOME AND ENDOWMENTS
Donatlons and legacles
Planned glvln8
Offerlngs
Glft ald tax recelpts
Other glfts and donatlons
14L646
21,998
43,342
36,146
141.646
21,998
43,342
105fv56
132,021
20,481
42,857
114,$58
68,910
243,132
68,910
312M42
309,917
Othertradln8 acElvltks
Other sundry Sncome
1,387
Inv•stm•nt Income
Deposbt account Interest
516
63J
1,149
464
Tot•1 Inwmln8 rnsoyrces
244
69,543
314A132
311,768
EXPENDITURE
Ch•rltsble artlvltles
Wa8es
Rates and water
Insurance
Llght and heat
Telephone
Flxed runnln8 costs
Repalrs and malnten4nce
Pastoral expenses
Caterln8 and cleanlnl
Health and safety
Small groups
Worshlp
Chlldren & youth
Communlty
Food bank
New horlions
Nomlnated fund expendlture
Tranqulllty fund expendbture
Thrlve summer camp expendlture
Coffee lounge expendlture
DeP￿latIOn of tanllble flxed assets
Overseas mlsslons
8S.26S
517
1699
io.iio
IA58
7h38
5,667
8,169
4,387
5A95
85265
517
2.699
,iio
IN58
7038
5106
8,169
4J87
5895
73,674
455
1,029
12,769
1.185
6,875
60,610
5,130
4,576
8,317
17
2.361
7,464
1,363
6,009
244
14,639
13.131
3,550
295
2,016
13.754
139
2A65
10.329
&803
2N65
10329
IA03
7,132
7,132
41142
2,464
42,142
2A64
1370
lJ70
1.614
20.737
1.614
20.737
168.626
$3.326
221052
239,463
Other
Bank loan Interest
19,535
I9￿35
20.203
Thls page does not form part of the statutory financlal ststements
Page 14

Klngsway Church Wombourne
Detalled Ststement of Flnandal Actlvltles
for the Year Ended 31 December 2024
31.12,24
Totsl
funds
31.12.23
Total
funds
Unre5trlcted
funds
Restrlcted
funds
Support costs
Governance ¢0sts
Independent examlners fee
900
900
820
Total resources Èxpended
189.061
53326
242A87
260,486
Net Inmme
55N28
16217
71.645
51,282
Thls page does not form part of the statutory flnanclal ststements
Page 15