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2022-12-31-accounts

Community Life Church 2022 Year End Report SERIOUS INCIDEpif DECLARATIOPI We, the underslgned, decla￿ on behalf of the Trustees and Leadershlp team of the Cofflmvnlty Ufe Church - Caftnock. that t1￿ were no Artou= Inc5dcnts durlng the year 2022, whlch should have been ￿ported to the Charfty Commisslon, but were not. Gary Howell Chalr of the Trustees john TY￿11 Senlor Leader and TwsuTer

2022 Year End Report 2of33

2022 Year End Report

Contents

Serious Incident Declaration .............................................................. 1 1. Introduction ................................................................................. 4 2. Leadership Team .......................................................................... 4 3. Year End Summary ....................................................................... 5 3.1. Building Maintenance and Repair.......................................... 5 3.2. Policies and Codes of Practices............................................. 5 4. 2022 Financial Report .................................................................... 5 4.1. Conclusions ....................................................................... 5 4.2. Summary .......................................................................... 6 4.3. Account Balances ............................................................... 7 4.4. Total Assets ...................................................................... 7 4.5. Income ............................................................................. 7 4.6. Expenditure..................................................................... 11 4.7. Surpluses and Balances .................................................... 13 4.8. Trends ............................................................................ 14 4.9. Tithe Fund ...................................................................... 15 4.10. Missionary Giving ........................................................... 15 5. Comparison with Previous years ................................................... 16 5.1. Income ........................................................................... 16 5.2. Expenditure..................................................................... 17 5.3. Surplus / Deficit ............................................................... 18 6. Intermediate Reports .................................................................. 18 7. Current Account Reconciliation ..................................................... 24 8. Kingdom Bank Savings Account Reconciliation ................................ 26 9. Appendix 01. Full Trial Balance Chart of Accounts ........................... 27

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2022 Year End Report

1. INTRODUCTION

The Community Life Church – Cannock is a local church based in Cannock Staffordshire. We were formerly known as the Hednesford Pentecostal Church. We changed the name to reflect changes in local town boundaries and the church’s vision.

We own a church building at:

Community Life Church, Hill Street, Heath Hayes, Cannock, WS12 2DP, UK.

This building is used for numerous church and community activities. However, it is now too small for the Sunday morning congregation. The Sunday morning service is therefore held at the:

Hayes Green Community Centre, Heath Way, Heath Hayes, Cannock, WS12 3XP, UK.

The church’s website is: www.communitylifechurch.uk.

The church is governed by a Leadership Team, members of which also serve as the church Trustees.

The church is an “Assemblies of God UK” Pentecostal Church. The national offices of Assemblies of God UK are:

Assemblies Of God Great Britain Gf/Fl2 No.1-2 The Cottages, Deva Centre, Manchester, England, M3 7BE

The church is a Registered Charity (England & Wales), No 1052553.

2. LEADERSHIP TEAM

The Leadership Team Members throughout 2022;

Mr Gary Howell (Chair of Trustees), Mr John Tyrell (Senior Leader & Financial Officer), Mrs Sandra Tyrell, Mrs Ruth Howell, Mr Stuart Lees, Mrs Mel Lees, Mr Colin Ball, Mrs Michelle Ball, Mr Garry Ball.

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2022 Year End Report

3. YEAR END SUMMARY

Through a grant from Biffa Award, major renovation work was completed on the church building. This included a new tiled roof, new front doors, and LED light fitting throughout the building.

The church’s “Hope at Christmas” campaign gave £ 584 in food vouchers and nearly 50 Christmas presents to families in most need.

Each week, the church helps people in the community who are struggling because of unemployment, benefit changes or substance addictions. Help is provided through our Community Fund, food donations and local Food Bank vouchers. Church members have proven generous in financially supporting the Community Fund and providing food produce.

3.1. BUILDING MAINTENANCE AND REPAIR

The church building on Hill Street has been kept in a good state of repair, with various maintenance and repair projects being performed.

The required safety inspections have been performed. The central heating gas boiler is serviced on an annual basis. The Fire Alarm and emergency lighting is tested each week. The Fire Alarm’s smoke detectors are tested annually. All the electrical equipment undergoes PAT testing.

3.2. POLICIES AND CODES OF PRACTICES

The Leadership Team recognises its responsibilities for the Health & Safety, Safe Guarding, other polices and Risk Assessments. All the policies and codes of practices are regularly reviewed.

4. 2022 FINANCIAL REPORT

4.1. CONCLUSIONS

The General Fund realised an annual surplus of £99. The church’s finances therefore remain precariously balanced. The rising costs currently being experienced necessitates an increase in income.

However, no withdrawals from the Church Reserve Fund were necessary this year.

In the last couple of years, the church’s General Fund income has reduced to the levels of 2014. To compensate for this the expenditure has also been drastically reduced. This was achieved through reducing the salary costs.

All the accounts have been reconciled.

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2022 Year End Report

4.2. SUMMARY

The following table summarises the End of Year balances for the various departments, accounts, and funds.

General Fund

General Fund
Offerings £ 55,491.57
Subsidiary Income £ 2,293.42
Building Fund £ 1,175.00
Transfers £-
Expenditure £ 58,860.65
Surplus / Deficit £ 99.34
Balance Brought Forward £ 1,640.64
Present Balance £ 1,739.98
Offerings
Missionary £ 6,939.28
General £ 55,491.57
Accounts check
Total Money £ 27,176.88
General Fund £ 1,739.98
Missionary Balance £ 1,107.00
Church Tithe Fund £ 522.99
PAYE & Pensions £ 1,068.95
Grants Balance £-
Youth Training £ 1,837.78
Special Projects £ 1,126.75
Strategic Reserve £ 18,021.38
Other Designated Funds £-
Departments £ 1,719.02
Community Fund £ 33.04
Account Total £ 27,176.88
Error Check
£ 0.00

The “Total Cash in Hand” is the sum of all the accounts. The “Total” at the end of the table, is the sum of all the department and fund balances. If the two figures were not the same, it would indicate that there was an accounting error.

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4.3. ACCOUNT BALANCES

This table shows the End of Year Balances for physical accounts.

1200 CO-OPERATIVE BANK £ 2,963.18
1220 KINGDOM BANK LTD £ 22,043.20
1230 PETTY CASH £ 451.48
1232 Debtors £-
0011 Lunch Club £ 1,204.81
0012 Roses Women's Ministry £ 287.94
0013 Parent & Toddler Group £ 226.27
Total £ 27,176.88

4.4. TOTAL ASSETS

4.4. TOTAL ASSETS
Building £ 380,000.00
Fixtures & Fittings £ 42,000.00
Accounts £ 25,457.86
Departments £ 1,719.02
Liabilities £ 4,589.51
Total £ 444,587.37

4.5. INCOME

An abridged breakdown of the income is as follows.

2022
General Fund Offerings £ 55,492
Subsidiary Income £ 2,293
Building Fund Offerings £ 1,175
Church Mission Income £-
Transfers from other Funds £-
General Fund Income £ 58,960
Project Fund £ 4,372
Missionary Offerings £ 6,939
Community Fund Offerings £ 4,356
Departmental Income £ 5,055
Grand Total £ 79,682

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2022 Year End Report

The General Fund is the unrestricted and non-designated money, available for the everyday costs of the church. The majority of the General Fund Income (74 %) comes from the offerings from the church members.

The Subsidiary Income included hire charges for the church building.

The Project Fund income primarily comes through the sale of donated goods at the Lunch Club. Although this isn’t restricted money, it is used for the purchase of new equipment, projects, or special events (Family Fun Day, Children’s Christmas Party).

The Community Fund is a reserve which is used to help people in need, with the purchase of food or electricity. Most recipients are people from the community, who coming seeking assistance. Occasionally the fund has been used to help some individuals in the church’s congregation. Income to the Community Fund is from designated gifts from members of the congregation.

The church’s financial performance in October was very good. This was due to the receipt of two substantial gift that were the tithe of inheritance money people had received. Such gifts have been rare.

The expenditure for the month was also higher than normal. This was because of the cost of renewing the church’s website hosting plan. The plan is for three years.

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As the following pie-charts illustrates:

94 % of the income into the General Fund was through offerings.

74 % of the total income is the General Fund income.

The Missionary Income was a far higher percentage than normal due to the special offerings that were taken for the situation in the Ukraine.

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2022 Year End Report

----- Start of picture text -----
2022 General Fund Income
4%2%
General Fund Offerings
Subsidiary Income
Building Fund Offerings
94%
2022 Income
6%
5%
9%
General Fund Income
Project Fund
6%
Missionary Offerings
Community Fund Offerings
Departmental Income
74%
----- End of picture text -----

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2022 Year End Report

4.6. EXPENDITURE

An abridged version of the expenditure is as follows:

2022
Ministry Expenses £ 7,781
Overheads £ 4,951
Employment Costs £ 36,827
Building £ 3,049
Tithe & Missionary % £ 6,252
Transfer to Other Funds
Total General Fund Expenditure £ 58,861
Projects Expenditure £ 3,664
Missionary Expenditure £ 6,917
Community Fund Exp £ 4,360
Departmental Expenditure £ 4,841
Grand Total £ 78,644

The General Fund expenditure includes ministry costs, overheads, and employment costs. The employment costs (wages, NI contributions and pension contributions) are the largest General Fund expenditure (63 %).

The church qualified for the Government’s Employment Allowance Scheme, which has reduced the year’s Employer’s National Insurance Contributions by £2,476.

The total building insurance[1] and maintenance cost for 2022 was £3,049; this does not include the final renovation work paid for by a Biffa Award grant.

The cost of hiring the Hayes Green Community Centre for Sundays was £2,588.

The church designates 10% of its General Fund income to the Tithe Fund and 1 % to the Missionary Fund.

1 The Insurance cover includes things like Public Liability and Contents Insurance.

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2022 Year End Report

2022 General Fund Exp

----- Start of picture text -----
11% 13%
5%
8% Ministry Expenses
Overheads
Employment Costs
Building
Tithe & Missionary %
63%
----- End of picture text -----

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2022 Year End Report

----- Start of picture text -----
2022 Expenditure
6%
5%
9%
Total General Fund Expenditure
Projects Expenditure
5%
Missionary Expenditure
Community Fund Exp
Departmental Expenditure
75%
----- End of picture text -----

4.7. SURPLUSES AND BALANCES

2022
General Fund £ 99
Projects Fund £ 708
Missionary Fund £ 22
Community Fund -£ 4
Departments £ 214
Grand Total £ 1,039

A graph of the General Fund’s surplus as the end of each month is as follows:

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2022 Year End Report

4.8. TRENDS

The following graphs show fluctuations in the balance of the General Fund and the monthly income and monthly expenditure.

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2022 Year End Report

4.9. TITHE FUND

The church has maintained its commitment to support missionaries, charities, disaster relief funds and other ministries. £5,667 or 10 % of income to the General Fund was assigned to the Tithe Fund. 1 % of the income to the General Fund was assigned to the Missionary Fund.

The total Tithe Fund Expenditure was £5,779.

4.10. MISSIONARY GIVING

As well as the 1 % of the General Fund that is allocated to the Missionary Fund, monthly payments to various missionaries were made from the Church Tithe Fund. In addition, members of the congregation donated to the missionaries whether through offerings taken when the missionaries visit, monthly designated giving, or from the Missionary Boxes.

People collect their loose change in the Missionary Boxes and twice a year the money is submitted to the church.

In 2022 there were extra Missionary Offerings especially for humanitarian aid for the people in the Ukraine, who had been invaded by Russia. The money raised for the Ukraine totalled £2,385.

As well as the 1 % of the General Fund’s income that is donated to the Missionary Fund, £100 per month is transferred from the Church Tithe Fund to the Mission Trip Fund. This money would finance future short-term missions abroad.

A summary of the missionary income and expenditure is as follows:

2022
Missionary Offerings £ 6,353.87
1 % of General Fund £ 585.41
Tithe Gifts to Missionaries £ 2,816.00
Total £ 9,755.28

The total amount given to missionaries is equivalent to 17 % of the General Fund Income.

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2022 Year End Report

5. COMPARISON WITH PREVIOUS YEARS

5.1. INCOME

The total church income for 2022 was 25 % lower than 2021. The General Fund income was 23 % lower than 2021.

The annual General Funds income was the lowest since 2014.

2019 2020 2021 2022
General Fund Offerings £ 67,139 £ 57,310 £ 55,198 £ 55,492
Subsidiary Income £ 8,123 £ 23,910 £ 17,400 £ 2,293
Building Fund Offerings £ 1,500 £ 1,271 £ 2,410 £ 1,175
Church Mission Income £ 2,395 £ 2,520 £ 2,020 £-
Transfers from other
Funds
£ 7,000 £ 5,200 £ 9,400 £-
General Fund Income £ 86,157 £ 90,212 £ 86,428 £ 58,960
Project Fund £ 3,521 £ 4,086 £ 14,794 £ 4,372
Missionary Offerings £ 3,320 £ 1,185 £ 3,002 £ 6,939
Community Fund
Offerings
£ 2,985 £ 5,125 £ 4,731 £ 4,356
Departmental Income £ 14,313 £ 6,279 £ 7,381 £ 5,055

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2022 Year End Report

Grand Total £ 110,297 £ 106,886 £ 116,336 £ 79,682

5.2. EXPENDITURE

The General Fund Expenditure was 4 % lowest since than 2014.

The total expenditure for 2022 was 32 % lower than 2021. This was achieved through redundancy of staff in late 2021 and sizable wage reductions for the staff.

2019 2020 2021 2022
Ministry Expenses £ 11,174 £ 7,509 £ 6,480 £ 7,781
Overheads £ 6,476 £ 5,135 £ 5,168 £ 4,951
Employment Costs £ 58,377 £ 66,300 £ 65,011 £ 36,827
Building £ 3,961 £ 3,424 £ 4,035 £ 3,049
Tithe & Missionary % £ 7,385 £ 7,998 £ 6,313 £ 6,252
Transfer to Other Funds
Total General Fund
Expenditure
£ 87,374 £ 90,365 £ 87,007 £ 58,861
Projects Expenditure £ 3,112 £ 3,399 £ 16,183 £ 3,664
Missionary Expenditure £ 3,913 £ 2,068 £ 2,083 £ 6,917
Community Fund Exp £2,930 £ 5,169 £4,917 £4,360

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2022 Year End Report

Departmental
Expenditure
£ 14,603 £ 9,048 £ 8,202 £ 4,841
Grand Total £ 111,932 £ 110,050 £ 118,391 £ 78,644

5.3. SURPLUS / DEFICIT

----- Start of picture text -----
Surpluses
£500
£-
2019 2020 2021 2022
-£500
-£1,000
General Fund
-£1,500
----- End of picture text -----

The General Fund saw a surplus of £99 in 2022. The first annual surplus since 2018.


2018.
2019 2020 2021 2022
General Fund -£ 1,216 -£ 153 -£ 579 £ 99
Projects Fund £ 409 £ 687 -£ 1,388 £ 708
Missionary Fund -£ 594 -£ 884 £ 919 £ 22
Community Fund £ 55 -£ 44 -£ 186 -£ 4
Departments -£ 289 -£ 2,769 -£ 821 £ 214
Grand Total -£ 1,635 -£ 3,163 -£ 2,055 £ 1,039

6. INTERMEDIATE REPORTS

The names of donors and recipients have been redacted for data protection reasons.

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2022 Year End Report

Short Term Liabilities Short Term Liabilities Short Term Liabilities Short Term Liabilities
PAYE & Pension Contrib. £ 1,068.95
Total Grant Money £-
Total Designated Funds £21,761.57
Total £22,830.52
Long Term Liabilities
2330
MORTGAGES
£-
Subsidiary Income
5100
Administration Charges
£- £-
5140 Sales £- £-
5150 Miscellaneous £- £-
5151 Men's Ministry £- £ 244.00
5152 Funeral Donations £- £-
5153 Ladies Roses Ministry Donations £- £ 7.00
5154 P.A.Y.E. Correction £- £ 494.62
5200 Community Centre WIFI £- £-
5300 Transfers £- £-
5400 Room Hire Charges £- £ 47.80
5401 Hall Hire: Radmoor Training £- £ 90.00
5402 Hall Hire: Lunch Club £- £ 1,210.00
5403 Hall Hire: £- £-
5404 Hall Hire: £- £-
5405 Hall Hire: Heath Hayes Girl Guides £- £ 200.00
5406 Hall Hire: Craft Club £- £-
Total £ 2,293.42

General Income

General Income
4120 General Fund Transfers £- £-
4220 General Fund £- £-
4121 General Fund Non Gift Aid £- £24,350.83
4122 General Fund Cheques £- £ 1,678.00
4123 General Fund Miscellaneous Offering £- £ 520.00
4141 £- £-
4142 Kingdom Bank Interest £- £-
4148 Petty Cash Tin Corrections £ 52.12 £ 8.80
4149 Gift Aid Tax Repaid £- £ 5,791.06
Gift Aid Donations £- £23,195.00
Offerings Sub Total £55,491.57
Offerings & Transfers Total £55,491.57

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2022 Year End Report

Building Fund Building Fund Building Fund Building Fund
4321
BF Non Gift Aid
£- £ 110.00
4323 BF Special Offering £- £-
4330 BF Standing Orders & Bank Receipts £- £-
4349 BF Gift Aid Tax Received £- £ 205.00
BF Gift Aid Donations £- £ 860.00
7400 Building Maintenance £ 316.78 £-
7401 Church Insurance £ 1,799.89 £-
7402 Decorating £- £-
7404 Church Cleaner £ 932.50 £-
7405 Gardener / Painter / Odd Jobs £- £-
7410 Building Professional Fees £- £-
7411 Building Project 01 £- £-
7412 Building Project 02 £- £-
7413 Building Project 03 £- £-
Totals £ 3,049.17 £ 1,175.00
Surplus / Deficit -£ 1,874.17
Missionary
4420 Missionary Offerings £- £ 2,665.00
4431 Missionary Boxes £- £ 223.87
4432 Mission Trip Fund £- £ 1,100.00
4433 AOG Ukraine Heaters (Non Gift Aid) £- £ 620.00
4449 Gift Aid Tax Back £- £ 315.00
Gift Aid Donations £- £ 1,260.00
Agreed % of General Fund £ 585.41
6700 Visiting Missionaries £ 2,393.00 £ 170.00
6701 Missionary Support £ 2,946.43 £-
6702 AOG Ukraine Heaters £ 890.00 £-
6706 Mission Trip Fund £ 100.00 £-
6707 Joseph Barkat £ 588.00 £-
Totals £ 6,917.43 £ 6,939.28
Amount Brought Fwd £- £ 1,085.15
Current Balance £ 107.00
Mission Trip Balance £ 1,000.00

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2022 Year End Report

Departments
Lunch Club B/F £ 946.86
4002 Lunch Club Income £ 3,782.45
6002 Lunch Club Expenditure £ 3,524.50
Balance £ 1,204.81
Roses Women's Ministry B/F £ 252.94
4003 Women's Ministry Income £ 35.00
6003 Women's Ministry Expenditure £-
Balance £ 287.94
Strategic Reserves B/F £18,021.38
Strategic Reserves Added £-
Strategic Reserves Subtracted £-
Balance £18,021.38
Parent & Toddler Group B/F £ 305.45
4000 Parent & Toddler Group Income £ 1,237.50
6000 Parent & Toddler Group Expenditure £ 1,316.68
Balance £ 226.27
Community Fund B/F £ 37.22
4005 Community Fund Income £ 3,760.00
4249 Comm Fund Gift Aid Tax Repaid £ 111.25
Comm Fund Gift Aid Giving £ 485.00
Community Fund Usage £ 4,360.43
Balance £ 33.04
Ministry Expenses
6010
Visiting Ministry
£ 150.00
6020 Evangelistic Support & Events £-
6030 Special Church Activity £-
6031 Hayes Green Comm Centre Hire £ 2,588.00
6032 £-
6033 Off Site Storage Hire £-
6050 Pastoral Expenses-Food £ 681.78
6051 Special Financial Support £-
6052 Gifts & Special Payments £ 76.08
6060 Children's Work £ 38.65
6061 School Work £-
6070 Tracts & Leaflets £-
6101 Worship Resources £ 946.91

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6102 Copyright License £ 306.17
6110 Thirtyone: Eight £ 170.20
6155 AOG Year End Adjust £-
6200 AOG Subscriptions £ 1,290.00
6201 Men's Ministry £ 165.12
6202 £-
6300 Trustees & Leadership £ 36.00
6301 £-
6310 Conferences £ 1,247.58
6320 Books & Literature £ 84.34
6330 Advertising £-
6350 Training Courses £-
Total £ 7,780.83
Employment Costs Employment Costs Employment Costs Employment Costs
7501
Wages 01-Employee 001
£23,718.84
7502 Wages 02-Employee 002 £11,359.92
7503 Wages 03-Employee 003 £-
7504 Wages 04-Employee 004 £-
7540 £-
7550 Employer's National Insurance -£ 5.66
7555 Pension Contributions £ 1,754.32
Total £36,827.42
Overheads
7560 Travel Payments £ 203.05
7580 Gifts £-
7600 Office Consumables £ 299.52
7610 Postage, Envelops & Packing £ 100.09
7620 Computer Software £ 346.78
7630 Office Equipment £ 123.99
7631 Furnishings £-
7632 Storage Hire £ 260.00
7634 Window Cleaner £ 53.00
7635 Cleaning Equipment and
Consumables
£ 37.89
7636 Refreshments £ 104.95
7637 Sundries £ 13.99
7660 £-
7670 Professional Fees £ 260.34
7671 Co Op Bank Charges £ 19.00
7672 Co Op Bank Debit Card Charges £-
7673 Kingdom Bank Charges £-

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2022 Year End Report

7680 Transfer to Other Funds £-
7701 Gas £ 652.25
7702 Electricity £ 901.00
7703 Water Rates South Staffs £ 116.65
7704 Domain Name etc £ 1,131.18
7705 Landline & Broadband £ 192.81
7706 EE Mobile Phone £ 104.34
7707 £ 30.34
Totals £ 4,951.17
Church Tithe Fund
0004 Balance Brought Forward £ 635.62
Tithe Payments £ 5,779.29
Tithe Earned £5,666.66
Balance £ 522.99
Project Fund
4500
Projects Fund: Lunch Club
£- £1,066.00
4501 Projects Fund: Fun Day £- £ 135.50
4502 Projects Fund: Christmas £- £1,397.76
4503 Projects Fund: Building Repairs £- £1,647.77
4504 Projects Fund: Funerals £- £-
4505 Projects Fund: £- £-
Gift Aided Donations £- £ 100.00
Gift Aided Tax Refund £- £ 25.00
Balance Brought Forward £- £ 418.92
6500 Special Projects £ 1,781.73 £-
6501 Fun Day £ 70.00 £-
6502 Building Repairs £ 414.71 £-
6503 Christmas Projects £ 1,397.76 £-
6504 Food Bank £- £-
6505 Trx to General Fund £- £-
Totals £ 3,664.20 £4,790.95
Difference £1,126.75
Youth Training Fund
4600 Youth Training Fund £- £ 20.00
Gift Aided Donations £- £-
Gift Aided Tax Refund £- £ 12.50
Balance Brought Forward £- £1,805.28

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2022 Year End Report

Youth Training Fund Expenditure £- £-
Totals £- £1,837.78
Difference £1,837.78

7. CURRENT ACCOUNT RECONCILIATION

People’s names have been redacted off the statement. Period End Current Account Balance[2] : £ 2,963.18 31[st] December 2022 Bank Statement Balance: £ 3,043.18 Difference: £ 80.00

Uncleared Transactions:

Date Description Debit Credit Balance
31/12/2022 Income £ 60.00 £- £ 3,103.18
31/12/2022 Missionary Giving £- £ 120.00 £ 2,983.18
31/12/2022 Community Fund Giving £- £ 20.00 £ 2,963.18
Totals £ 60.00 £ 140.00 £ 80.00

The current account reconciles.

2 See section 4.3. Account Balances on page 7.

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2022 Year End Report

8. KINGDOM BANK SAVINGS ACCOUNT RECONCILIATION

Kingdom Bank statements are received once each year in April. This statement informs us of interest that was added to the account on 31[st] December.

The account reconciles.

Period End Account Balance[3] : £22,043.20 30[th] December 2022 Bank Statement Balance: £22,043.20 31[st] December 2022 Interest Added: £ 92.67 Final Balance: £22,135.87

3 See section 4.3. Account Balances on page 7.

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2022 Year End Report

9. APPENDIX 01. FULL TRIAL BALANCE CHART OF ACCOUNTS

The names of donors and recipients have been redacted for data protection reasons.

N/C Transaction Debit Credit
0001 General Fund B/F £ - £ 1,640.64
0002 BuildingFund B/F £ - £ -
0003 MissionaryBalance B/F £ - £ 1,085.15
0004 Church Tithe Fund B/F £ - £ 635.62
0005 Project Fund B/F £ - £ 418.92
0006 Mission Reserve B/F £ - £ -
0007 Strategic Reserves B/F £ - £ 18,021.38
0008 CommunityFund B/F £ - £ 37.22
0009 Youth TrainingFund £ - £ 1,805.28
0010 £ - £ -
0011 Lunch Club £ 946.86 £ -
0012 Roses Women's Ministry £ 252.94 £ -
0013 £ - £ -
0014 Parent & Toddler Group £ 305.45 £ -
0020 BUILDING £ 380,000.00 £ -
0021 FIXTURES & FITTINGS £ 42,000.00 £ -
0022 F/F DEPRECIATION £ - £ -
0030 EQUIPMENT £ - £ -
0031 EQUIP. DEPRECIATION £ - £ -
1200 CO-OPERATIVE BANK £ 101,803.82 £ 98,840.64
1210 £ - £ -
1220 KINGDOM BANK LTD £ 22,043.20 £ -
1230 PETTY CASH £ 30,535.59 £ 30,084.11
1232 Debtors £ 555.11 £ 555.11
1233 Youth Club £ - £ -
1234 Lunch Club £ 3,782.45 £ 3,524.50
1235 Women's Ministry £ 35.00 £ -
1236 £ - £ -
1237 Parent & Toddler Group £ 1,237.50 £ 1,316.68
2110 £ - £ -
2150 £ - £ -
2151 Missionary003 £ - £ -
2152 DevelopingPastors £ 900.00 £ 900.00
2153 Anne Donaldson's Books £ 240.00 £ 240.00
2154 Comm Fund 001 £ 30,042.58 £ 30,042.58
2200 £ - £ -
2210 P.A.Y.E. £ 6,361.72 £ 7,130.78
2215 NEST Pensions £ 4,651.84 £ 4,951.73
2220 Invoices £ 115.00 £ 115.00
2330 MORTGAGES £ - £ -
3000 £ - £ -
3050 Grant 01 - Heath Hayes Parish £ 740.71 £ 740.71
3051 Grant 02 - £ - £ -
3052 Grant 03 - £ - £ -
3053 Grant 04 - Support Staffordshire £ - £ -
3054 Grant 05 - Staffs CountyChurch £ 300.00 £ 300.00
3055 Grant 04 £ - £ -
3056 Grant 07 £ - £ -

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2022 Year End Report

3057 Grant 08 £ - £ -
3058 Grant 09 £ - £ -
3100 ACCUMULATED FUNDS £ - £ 288,516.70
3111 £ - £ -
3150 Strategic Reserves £ - £ -
3200 Profit & Loss Account £ - £ 134,988.55
4000 Parent & Toddler GroupIncome £ - £ 1,237.50
4001 £ - £ -
4002 Luncheon Club Income £ - £ 3,782.45
4003 Women's MinistryIncome £ - £ 35.00
4004 £ - £ -
4005 CommunityCollection Income £ - £ 3,760.00
4120 General Fund Transfers £ - £ -
4121 General Fund Non-Gift Aid £ - £ 24,350.83
4122 General Fund Cheques £ - £ 1,678.00
4123 General Fund Miscellaneous Offering £ - £ 520.00
4130 £ - £ -
4141 £ - £ -
4142 Kingdom Bank Interest £ - £ -
4148 PettyCash Tin Corrections £ 52.12 £ 8.80
4149 Gift Aid Tax Repaid £ - £ 5,791.06
4150 Special Gift Aid Donations £ - £ -
4151 General Fund Gift Aid 1 £ - £ 485.00
4152 General Fund Gift Aid 2 £ - £ 1,040.00
4153 General Fund Gift Aid 3 £ - £ 1,600.00
4154 General Fund Gift Aid 4 £ - £ 4,905.00
4155 General Fund Gift Aid 5 £ - £ -
4156 General Fund Gift Aid 6 £ - £ 60.00
4157 General Fund Gift Aid 7 £ - £ 60.00
4158 General Fund Gift Aid 8 £ - £ 220.00
4159 General Fund Gift Aid 9 £ - £ 820.00
4160 General Fund Gift Aid 10 £ - £ -
4161 General Fund Gift Aid 11 £ - £ 1,000.00
4162 General Fund Gift Aid 12 £ - £ 4,175.00
4163 General Fund Gift Aid 13 £ - £ 1,200.00
4164 General Fund Gift Aid 14 £ - £ 3,840.00
4165 General Fund Gift Aid 15 £ - £ 3,120.00
4166 General Fund Gift Aid 16 £ - £ -
4167 General Fund Gift Aid 17 £ - £ 250.00
4168 General Fund Gift Aid 18 £ - £ -
4169 General Fund Gift Aid 19 £ - £ 420.00
4220 CommunityFund £ - £ -
4221 CM Sunday Offering £ - £ -
4230 CM Bank Receipts £ - £ -
4249 Comm Fund Gift Aid Tax £ - £ 111.25
4251 Comm Fund Gift Aid 01 £ - £ -
4252 Comm Fund Gift Aid 02 £ - £ -
4253 Comm Fund Gift Aid 03 £ - £ -
4254 Comm Fund Gift Aid 04 £ - £ 445.00
4255 Comm Fund Gift Aid 05 £ - £ -
4256 Comm Fund Gift Aid 06 £ - £ -
4257 Comm Fund Gift Aid 07 £ - £ -
4258 Comm Fund Gift Aid 08 £ - £ -

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2022 Year End Report

4259 Comm Fund Gift Aid 09 £ - £ -
4260 Comm Fund Gift Aid 10 £ - £ -
4261 Comm Fund Gift Aid 11 £ - £ -
4262 Comm Fund Gift Aid 12 £ - £ -
4263 Comm Fund Gift Aid 13 £ - £ -
4264 Comm Fund Gift Aid 14 £ - £ -
4265 Comm Fund Gift Aid 15 £ - £ -
4266 Comm Fund Gift Aid 16 £ - £ -
4267 Comm Fund Gift Aid 17 £ - £ 40.00
4268 Comm Fund Gift Aid 18 £ - £ -
4269 Comm Fund Gift Aid 19 £ - £ -
4300 BuildingFund £ - £ -
4301 Transfer from General Fund £ - £ -
4310 BuildingFund Gifts & Grants £ - £ -
4311 Grant 1 £ - £ -
4312 Grant 2 £ - £ -
4313 Grant 3 £ - £ -
4314 Grant 4 £ - £ -
4320 BuildingFund Offerings £ - £ -
4321 BF Non Gift Aid £ - £ 110.00
4322 £ - £ -
4323 BF Special Offering £ - £ -
4330 BF StandingOrders & Bank Receipts £ - £ -
4341 £ - £ -
4342 £ - £ -
4349 BF Gift Aid Tax Received £ - £ 205.00
4350 BF Gift Aid Donations £ - £ -
4351 BuildingFund Gift Aid 1 £ - £ -
4352 BuildingFund Gift Aid 2 £ - £ -
4353 BuildingFund Gift Aid 3 £ - £ -
4354 BuildingFund Gift Aid 4 £ - £ 240.00
4355 BuildingFund Gift Aid 5 £ - £ -
4356 BuildingFund Gift Aid 6 £ - £ -
4357 BuildingFund Gift Aid 7 £ - £ -
4358 BuildingFund Gift Aid 8 £ - £ 240.00
4359 BuildingFund Gift Aid 9 £ - £ -
4360 BuildingFund Gift Aid 10 £ - £ -
4361 BuildingFund Gift Aid 11 £ - £ -
4362 BuildingFund Gift Aid 12 £ - £ -
4363 BuildingFund Gift Aid 13 £ - £ -
4364 BuildingFund Gift Aid 14 £ - £ 300.00
4365 BuildingFund Gift Aid 15 £ - £ -
4366 BuildingFund Gift Aid 16 £ - £ -
4367 BuildingFund Gift Aid 17 £ - £ 80.00
4368 BuildingFund Gift Aid 18 £ - £ -
4369 BuildingFund Gift Aid 19 £ - £ -
4375 BuildingFund Gift Aid 25 £ - £ -
4400 MissionaryFund £ - £ -
4420 MissionaryOfferings £ - £ 2,665.00
4421 £ - £ -
4422 £ - £ -
4423 £ - £ -
4431 MissionaryBoxes £ - £ 223.87

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2022 Year End Report

4432 Mission TripFund £ - £ 1,100.00
4433 AOG Ukraine Heaters £ - £ 620.00
4441 £ - £ -
4442 £ - £ -
4449 Gift Aid Tax Back £ - £ 315.00
4450 MissionaryGift Aid Donations £ - £ -
4451 MissionaryGift Aid 01 £ - £ 100.00
4452 MissionaryGift Aid 02 £ - £ -
4453 MissionaryGift Aid 03 £ - £ -
4454 MissionaryGift Aid 04 £ - £ 440.00
4455 MissionaryGift Aid 05 £ - £ -
4456 MissionaryGift Aid 06 £ - £ -
4457 MissionaryGift Aid 07 £ - £ 50.00
4458 MissionaryGift Aid 08 £ - £ -
4459 MissionaryGift Aid 09 £ - £ 40.00
4460 MissionaryGift Aid 10 £ - £ -
4461 MissionaryGift Aid 11 £ - £ -
4462 MissionaryGift Aid 12 £ - £ 20.00
4463 MissionaryGift Aid 13 £ - £ -
4464 MissionaryGift Aid 14 £ - £ 500.00
4465 MissionaryGift Aid 15 £ - £ 90.00
4466 MissionaryGift Aid 16 £ - £ -
4467 MissionaryGift Aid 17 £ - £ -
4468 MissionaryGift Aid 18 £ - £ -
4469 MissionaryGift Aid 19 £ - £ 20.00
4500 Projects Fund: Lunch Club £ - £ 1,066.00
4501 Projects Fund: Fun Day £ - £ 135.50
4502 Projects Fund: Christmas £ - £ 1,397.76
4503 Projects Fund: BuidlingRepairs £ - £ 1,647.77
4549 Projects Gift Aid Refund £ - £ 25.00
4550 £ - £ -
4551 Projects Fund Gift Aid 01 £ - £ -
4552 Projects Fund Gift Aid 02 £ - £ -
4553 Projects Fund Gift Aid 03 £ - £ -
4554 Projects Fund Gift Aid 04 £ - £ 20.00
4555 Projects Fund Gift Aid 05 £ - £ -
4556 Projects Fund Gift Aid 06 £ - £ -
4557 Projects Fund Gift Aid 07 £ - £ -
4558 Projects Fund Gift Aid 08 £ - £ -
4559 Projects Fund Gift Aid 09 £ - £ -
4560 Projects Fund Gift Aid 10 £ - £ -
4561 Projects Fund Gift Aid 11 £ - £ -
4562 Projects Fund Gift Aid 12 £ - £ -
4563 Projects Fund Gift Aid 13 £ - £ -
4564 Projects Fund Gift Aid 14 £ - £ -
4565 Projects Fund Gift Aid 15 £ - £ 80.00
4566 Projects Fund Gift Aid 16 £ - £ -
4567 Projects Fund Gift Aid 17 £ - £ -
4568 Projects Fund Gift Aid 18 £ - £ -
4569 Projects Fund Gift Aid 19 £ - £ -
4600 Youth TrainingFund £ - £ 20.00
4649 Youth TrainingGA Refund £ - £ 12.50
4651 Youth TrainingGift Aid 1 £ - £ -

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2022 Year End Report

4652 Youth TrainingGift Aid 2 £ - £ -
4653 Youth TrainingGift Aid 3 £ - £ -
4654 Youth TrainingGift Aid 3 £ - £ -
4655 Youth TrainingGift Aid 5 £ - £ -
4656 Youth TrainingGift Aid 6 £ - £ -
4657 Youth TrainingGift Aid 7 £ - £ -
4658 Youth TrainingGift Aid 8 £ - £ -
4659 Youth TrainingGift Aid 9 £ - £ -
4660 Youth TrainingGift Aid 10 £ - £ -
4661 Youth TrainingGift Aid 11 £ - £ -
4662 Youth TrainingGift Aid 12 £ - £ -
4663 Youth TrainingGift Aid 13 £ - £ -
4664 Youth TrainingGift Aid 14 £ - £ -
4665 Youth TrainingGift Aid 15 £ - £ -
4666 Youth TrainingGift Aid 16 £ - £ -
4667 Youth TrainingGift Aid 17 £ - £ -
4668 Youth TrainingGift Aid 18 £ - £ -
4669 Youth TrainingGift Aid 19 £ - £ -
4900 Chase CommunityProjects £ - £ -
4901 Water 4 Life Gifts £ - £ -
4902 Water 4 Life Events £ - £ -
4903 Water 4 Life Gift Aid Receipts £ - £ -
5100 Administration Charges £ - £ -
5110 £ - £ -
5140 Sales £ - £ -
5150 Miscellaneous £ - £ -
5151 Men's Ministry £ - £ 244.00
5152 Funeral Donations £ - £ -
5153 Ladies Roses MinistryDonations £ - £ 7.00
5154 P.A.Y.E. Correction £ - £ 494.62
5200 CommunityCentre WIFI £ - £ -
5300 £ - £ -
5400 Room Hire Charges £ - £ 47.80
5401 Hall Hire: Radmoor Training £ - £ 90.00
5402 Hall Hire: Lunch Club £ - £ 1,210.00
5403 Hall Hire: £ - £ -
5404 Hall Hire: £ - £ -
5405 Hall Hire: Heath Hayes Girl Guides £ - £ 200.00
5406 Hall Hire: Craft Club £ - £ -
5407 Hire 7 £ - £ -
5409 £ - £ -
6000 Parent & Toddler GroupExpenditure £ 1,316.68 £ -
6001 The Source Youth Club Expenditure £ - £ -
6002 Luncheon Club Expenditure £ 3,524.50 £ -
6003 Women's MinistryExpenditure £ - £ -
6004 CommunityCoffee Shop £ - £ -
6005 CommunityFund Usage £ 1,245.00 £ 100.00
6006 CommunityFund Paul Finch £ 1,230.00 £ -
6007 CommunityFund Grieve Family £ 1,657.93 £ 20.00
6008 CommunityFund Jason Bloomfield £ 20.00 £ -
6009 CommunityFund £ 327.50 £ -
6010 VisitingMinistry £ 150.00 £ -
6020 Evangelistic Support & Events £ - £ -

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2022 Year End Report

6030 Trustees & Leadership £ - £ -
6031 Hayes Green Hire - Sundays £ 2,588.00 £ -
6032 Hayes Green Hire - Coffee Shop £ - £ -
6033 Off Site Storage Hire £ - £ -
6050 Pastoral Expenses - Food £ 694.78 £ 13.00
6051 Pastoral Expenses - Financial
Support
£ - £ -
6052 Gifts & Special Payments £ 76.08 £ -
6060 Children's Work £ 38.65 £ -
6061 School Work £ - £ -
6070 Tracts & Leaflets £ - £ -
6101 WorshipResources £ 946.91 £ -
6102 Copyright License £ 306.17 £ -
6110 Thirtyone: Eight £ 170.20 £ -
6112 £ - £ -
6113 £ - £ -
6114 £ - £ -
6115 AOG Year End Adjust £ - £ -
6200 AOG Subscriptions £ 1,290.00 £ -
6201 Men's Ministry £ 165.12 £ -
6202 £ - £ -
6300 £ 36.00 £ -
6301 £ - £ -
6310 Conferences £ 1,247.58 £ -
6320 Books & Literature £ 84.34 £ -
6330 Advertising £ - £ -
6350 TrainingCourses £ - £ -
6500 Special Projects £ 1,781.73 £ -
6501 Fun Day £ 70.00 £ -
6502 BuildingRepairs £ 414.71 £ -
6503 Christmas Projects £ 1,397.76 £ -
6504 Food Bank £ - £ -
6505 Trx to General Fund £ - £ -
6599 Youth TrainingFund Expenditure £ - £ -
6600 Tithe Payments £ 374.12 £ -
6601 CLC Mission Fund £ 50.00 £ -
6602 Pye Green Food Bank £ 420.00 £ -
6603 Trx to CommunityFund £ 750.00 £ -
6604 Community £ 1,100.00 £ -
6605 Missionary003 £ 420.00 £ -
6606 Beggars Vagrants Addicts £ 69.17 £ -
6607 A.O.G. Incare £ 200.00 £ -
6608 DevelopingPastors Fund £ 896.00 £ -
6609 Missionary004 £ 420.00 £ -
6610 Missionary002 £ 420.00 £ -
6611 Missionary001 £ 300.00 £ -
6612 A.O.G. World Ministries £ 360.00 £ -
6613 Transfer To General Fund £ - £ -
6614 £ - £ -
6700 VisitingMissionaries £ 2,393.00 £ 170.00
6701 MissionarySupport £ 2,946.43 £ -
6702 AOG Ukraine Heaters £ 890.00 £ -
6703 £ - £ -

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2022 Year End Report

6705 £ - £ -
6706 £ 100.00 £ -
6707 Joseph Barkat £ 588.00 £ -
7400 BuildingMaintenance £ 316.78 £ -
7401 Church Insurance £ 1,799.89 £ -
7402 Decorating £ - £ -
7403 Mortgage Interest £ - £ -
7404 Church Cleaner £ 932.50 £ -
7405 Gardener / Painter / Odd Jobs £ - £ -
7406 £ - £ -
7407 £ - £ -
7408 £ - £ -
7410 BuildingProfessional Fees £ - £ -
7411 BuildingProject 01 £ - £ -
7412 BuildingProject 02 £ - £ -
7413 BuildingProject 03 £ - £ -
7414 £ - £ -
7415 £ - £ -
7501 Employee 001 £ 23,718.84 £ -
7502 Employee 002 £ 11,359.92 £ -
7503 Employee 003 £ - £ -
7504 Employee 004 £ - £ -
7540 £ - £ -
7550 Employer's National Insurance £ 2,470.94 £ 2,476.60
7555 Pension Contributions £ 1,754.32 £ -
7560 Travel Payments £ 203.05 £ -
7580 Gifts £ - £ -
7600 Office Consumables £ 299.52 £ -
7610 Postage,Envelops & Packing £ 100.09 £ -
7620 Computer Software £ 346.78 £ -
7630 Office Equipment £ 123.99 £ -
7631 Furnishings £ - £ -
7632 Storage Hire £ 260.00 £ -
7634 Window Cleaner £ 53.00 £ -
7635 Cleaning Equipment and
Consumables
£ 37.89 £ -
7636 Refreshments £ 104.95 £ -
7637 Sundries £ 50.97 £ 36.98
7660 £ - £ -
7670 Professional Fees £ 260.34 £ -
7671 Bank Charges £ 19.00 £ -
7672 Bank Debit Card Charges £ - £ -
7673 Kingdom Bank Charges £ - £ -
7680 Transfer to Other Funds £ - £ -
7701 Gas £ 652.25 £ -
7702 Electricity £ 901.00 £ -
7703 Water Rates South Staffs £ 116.65 £ -
7704 Website Costs;Domain Name etc £ 1,131.18 £ -
7705 Landline & Broadband £ 203.34 £ 10.53
7706 EE Mobile Phone £ 104.34 £ -
7707 Hayes Green WIFI £ 30.34 £ -
9999 £ - £ -

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Community Life Church 2022 Year End Report SERIOUS INCIDEpif DECLARATIOPI We, the underslgned, decla￿ on behalf of the Trustees and Leadershlp team of the Cofflmvnlty Ufe Church - Caftnock. that t1￿ were no Artou= Inc5dcnts durlng the year 2022, whlch should have been ￿ported to the Charfty Commisslon, but were not. Gary Howell Chalr of the Trustees john TY￿11 Senlor Leader and TwsuTer

2022 Year End Report 2of33

2022 Year End Report

Contents

Serious Incident Declaration .............................................................. 1 1. Introduction ................................................................................. 4 2. Leadership Team .......................................................................... 4 3. Year End Summary ....................................................................... 5 3.1. Building Maintenance and Repair.......................................... 5 3.2. Policies and Codes of Practices............................................. 5 4. 2022 Financial Report .................................................................... 5 4.1. Conclusions ....................................................................... 5 4.2. Summary .......................................................................... 6 4.3. Account Balances ............................................................... 7 4.4. Total Assets ...................................................................... 7 4.5. Income ............................................................................. 7 4.6. Expenditure..................................................................... 11 4.7. Surpluses and Balances .................................................... 13 4.8. Trends ............................................................................ 14 4.9. Tithe Fund ...................................................................... 15 4.10. Missionary Giving ........................................................... 15 5. Comparison with Previous years ................................................... 16 5.1. Income ........................................................................... 16 5.2. Expenditure..................................................................... 17 5.3. Surplus / Deficit ............................................................... 18 6. Intermediate Reports .................................................................. 18 7. Current Account Reconciliation ..................................................... 24 8. Kingdom Bank Savings Account Reconciliation ................................ 26 9. Appendix 01. Full Trial Balance Chart of Accounts ........................... 27

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2022 Year End Report

1. INTRODUCTION

The Community Life Church – Cannock is a local church based in Cannock Staffordshire. We were formerly known as the Hednesford Pentecostal Church. We changed the name to reflect changes in local town boundaries and the church’s vision.

We own a church building at:

Community Life Church, Hill Street, Heath Hayes, Cannock, WS12 2DP, UK.

This building is used for numerous church and community activities. However, it is now too small for the Sunday morning congregation. The Sunday morning service is therefore held at the:

Hayes Green Community Centre, Heath Way, Heath Hayes, Cannock, WS12 3XP, UK.

The church’s website is: www.communitylifechurch.uk.

The church is governed by a Leadership Team, members of which also serve as the church Trustees.

The church is an “Assemblies of God UK” Pentecostal Church. The national offices of Assemblies of God UK are:

Assemblies Of God Great Britain Gf/Fl2 No.1-2 The Cottages, Deva Centre, Manchester, England, M3 7BE

The church is a Registered Charity (England & Wales), No 1052553.

2. LEADERSHIP TEAM

The Leadership Team Members throughout 2022;

Mr Gary Howell (Chair of Trustees), Mr John Tyrell (Senior Leader & Financial Officer), Mrs Sandra Tyrell, Mrs Ruth Howell, Mr Stuart Lees, Mrs Mel Lees, Mr Colin Ball, Mrs Michelle Ball, Mr Garry Ball.

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2022 Year End Report

3. YEAR END SUMMARY

Through a grant from Biffa Award, major renovation work was completed on the church building. This included a new tiled roof, new front doors, and LED light fitting throughout the building.

The church’s “Hope at Christmas” campaign gave £ 584 in food vouchers and nearly 50 Christmas presents to families in most need.

Each week, the church helps people in the community who are struggling because of unemployment, benefit changes or substance addictions. Help is provided through our Community Fund, food donations and local Food Bank vouchers. Church members have proven generous in financially supporting the Community Fund and providing food produce.

3.1. BUILDING MAINTENANCE AND REPAIR

The church building on Hill Street has been kept in a good state of repair, with various maintenance and repair projects being performed.

The required safety inspections have been performed. The central heating gas boiler is serviced on an annual basis. The Fire Alarm and emergency lighting is tested each week. The Fire Alarm’s smoke detectors are tested annually. All the electrical equipment undergoes PAT testing.

3.2. POLICIES AND CODES OF PRACTICES

The Leadership Team recognises its responsibilities for the Health & Safety, Safe Guarding, other polices and Risk Assessments. All the policies and codes of practices are regularly reviewed.

4. 2022 FINANCIAL REPORT

4.1. CONCLUSIONS

The General Fund realised an annual surplus of £99. The church’s finances therefore remain precariously balanced. The rising costs currently being experienced necessitates an increase in income.

However, no withdrawals from the Church Reserve Fund were necessary this year.

In the last couple of years, the church’s General Fund income has reduced to the levels of 2014. To compensate for this the expenditure has also been drastically reduced. This was achieved through reducing the salary costs.

All the accounts have been reconciled.

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2022 Year End Report

4.2. SUMMARY

The following table summarises the End of Year balances for the various departments, accounts, and funds.

General Fund

General Fund
Offerings £ 55,491.57
Subsidiary Income £ 2,293.42
Building Fund £ 1,175.00
Transfers £-
Expenditure £ 58,860.65
Surplus / Deficit £ 99.34
Balance Brought Forward £ 1,640.64
Present Balance £ 1,739.98
Offerings
Missionary £ 6,939.28
General £ 55,491.57
Accounts check
Total Money £ 27,176.88
General Fund £ 1,739.98
Missionary Balance £ 1,107.00
Church Tithe Fund £ 522.99
PAYE & Pensions £ 1,068.95
Grants Balance £-
Youth Training £ 1,837.78
Special Projects £ 1,126.75
Strategic Reserve £ 18,021.38
Other Designated Funds £-
Departments £ 1,719.02
Community Fund £ 33.04
Account Total £ 27,176.88
Error Check
£ 0.00

The “Total Cash in Hand” is the sum of all the accounts. The “Total” at the end of the table, is the sum of all the department and fund balances. If the two figures were not the same, it would indicate that there was an accounting error.

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2022 Year End Report

4.3. ACCOUNT BALANCES

This table shows the End of Year Balances for physical accounts.

1200 CO-OPERATIVE BANK £ 2,963.18
1220 KINGDOM BANK LTD £ 22,043.20
1230 PETTY CASH £ 451.48
1232 Debtors £-
0011 Lunch Club £ 1,204.81
0012 Roses Women's Ministry £ 287.94
0013 Parent & Toddler Group £ 226.27
Total £ 27,176.88

4.4. TOTAL ASSETS

4.4. TOTAL ASSETS
Building £ 380,000.00
Fixtures & Fittings £ 42,000.00
Accounts £ 25,457.86
Departments £ 1,719.02
Liabilities £ 4,589.51
Total £ 444,587.37

4.5. INCOME

An abridged breakdown of the income is as follows.

2022
General Fund Offerings £ 55,492
Subsidiary Income £ 2,293
Building Fund Offerings £ 1,175
Church Mission Income £-
Transfers from other Funds £-
General Fund Income £ 58,960
Project Fund £ 4,372
Missionary Offerings £ 6,939
Community Fund Offerings £ 4,356
Departmental Income £ 5,055
Grand Total £ 79,682

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2022 Year End Report

The General Fund is the unrestricted and non-designated money, available for the everyday costs of the church. The majority of the General Fund Income (74 %) comes from the offerings from the church members.

The Subsidiary Income included hire charges for the church building.

The Project Fund income primarily comes through the sale of donated goods at the Lunch Club. Although this isn’t restricted money, it is used for the purchase of new equipment, projects, or special events (Family Fun Day, Children’s Christmas Party).

The Community Fund is a reserve which is used to help people in need, with the purchase of food or electricity. Most recipients are people from the community, who coming seeking assistance. Occasionally the fund has been used to help some individuals in the church’s congregation. Income to the Community Fund is from designated gifts from members of the congregation.

The church’s financial performance in October was very good. This was due to the receipt of two substantial gift that were the tithe of inheritance money people had received. Such gifts have been rare.

The expenditure for the month was also higher than normal. This was because of the cost of renewing the church’s website hosting plan. The plan is for three years.

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2022 Year End Report

As the following pie-charts illustrates:

94 % of the income into the General Fund was through offerings.

74 % of the total income is the General Fund income.

The Missionary Income was a far higher percentage than normal due to the special offerings that were taken for the situation in the Ukraine.

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2022 Year End Report

----- Start of picture text -----
2022 General Fund Income
4%2%
General Fund Offerings
Subsidiary Income
Building Fund Offerings
94%
2022 Income
6%
5%
9%
General Fund Income
Project Fund
6%
Missionary Offerings
Community Fund Offerings
Departmental Income
74%
----- End of picture text -----

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2022 Year End Report

4.6. EXPENDITURE

An abridged version of the expenditure is as follows:

2022
Ministry Expenses £ 7,781
Overheads £ 4,951
Employment Costs £ 36,827
Building £ 3,049
Tithe & Missionary % £ 6,252
Transfer to Other Funds
Total General Fund Expenditure £ 58,861
Projects Expenditure £ 3,664
Missionary Expenditure £ 6,917
Community Fund Exp £ 4,360
Departmental Expenditure £ 4,841
Grand Total £ 78,644

The General Fund expenditure includes ministry costs, overheads, and employment costs. The employment costs (wages, NI contributions and pension contributions) are the largest General Fund expenditure (63 %).

The church qualified for the Government’s Employment Allowance Scheme, which has reduced the year’s Employer’s National Insurance Contributions by £2,476.

The total building insurance[1] and maintenance cost for 2022 was £3,049; this does not include the final renovation work paid for by a Biffa Award grant.

The cost of hiring the Hayes Green Community Centre for Sundays was £2,588.

The church designates 10% of its General Fund income to the Tithe Fund and 1 % to the Missionary Fund.

1 The Insurance cover includes things like Public Liability and Contents Insurance.

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2022 Year End Report

2022 General Fund Exp

----- Start of picture text -----
11% 13%
5%
8% Ministry Expenses
Overheads
Employment Costs
Building
Tithe & Missionary %
63%
----- End of picture text -----

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2022 Year End Report

----- Start of picture text -----
2022 Expenditure
6%
5%
9%
Total General Fund Expenditure
Projects Expenditure
5%
Missionary Expenditure
Community Fund Exp
Departmental Expenditure
75%
----- End of picture text -----

4.7. SURPLUSES AND BALANCES

2022
General Fund £ 99
Projects Fund £ 708
Missionary Fund £ 22
Community Fund -£ 4
Departments £ 214
Grand Total £ 1,039

A graph of the General Fund’s surplus as the end of each month is as follows:

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2022 Year End Report

4.8. TRENDS

The following graphs show fluctuations in the balance of the General Fund and the monthly income and monthly expenditure.

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2022 Year End Report

4.9. TITHE FUND

The church has maintained its commitment to support missionaries, charities, disaster relief funds and other ministries. £5,667 or 10 % of income to the General Fund was assigned to the Tithe Fund. 1 % of the income to the General Fund was assigned to the Missionary Fund.

The total Tithe Fund Expenditure was £5,779.

4.10. MISSIONARY GIVING

As well as the 1 % of the General Fund that is allocated to the Missionary Fund, monthly payments to various missionaries were made from the Church Tithe Fund. In addition, members of the congregation donated to the missionaries whether through offerings taken when the missionaries visit, monthly designated giving, or from the Missionary Boxes.

People collect their loose change in the Missionary Boxes and twice a year the money is submitted to the church.

In 2022 there were extra Missionary Offerings especially for humanitarian aid for the people in the Ukraine, who had been invaded by Russia. The money raised for the Ukraine totalled £2,385.

As well as the 1 % of the General Fund’s income that is donated to the Missionary Fund, £100 per month is transferred from the Church Tithe Fund to the Mission Trip Fund. This money would finance future short-term missions abroad.

A summary of the missionary income and expenditure is as follows:

2022
Missionary Offerings £ 6,353.87
1 % of General Fund £ 585.41
Tithe Gifts to Missionaries £ 2,816.00
Total £ 9,755.28

The total amount given to missionaries is equivalent to 17 % of the General Fund Income.

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2022 Year End Report

5. COMPARISON WITH PREVIOUS YEARS

5.1. INCOME

The total church income for 2022 was 25 % lower than 2021. The General Fund income was 23 % lower than 2021.

The annual General Funds income was the lowest since 2014.

2019 2020 2021 2022
General Fund Offerings £ 67,139 £ 57,310 £ 55,198 £ 55,492
Subsidiary Income £ 8,123 £ 23,910 £ 17,400 £ 2,293
Building Fund Offerings £ 1,500 £ 1,271 £ 2,410 £ 1,175
Church Mission Income £ 2,395 £ 2,520 £ 2,020 £-
Transfers from other
Funds
£ 7,000 £ 5,200 £ 9,400 £-
General Fund Income £ 86,157 £ 90,212 £ 86,428 £ 58,960
Project Fund £ 3,521 £ 4,086 £ 14,794 £ 4,372
Missionary Offerings £ 3,320 £ 1,185 £ 3,002 £ 6,939
Community Fund
Offerings
£ 2,985 £ 5,125 £ 4,731 £ 4,356
Departmental Income £ 14,313 £ 6,279 £ 7,381 £ 5,055

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2022 Year End Report

Grand Total £ 110,297 £ 106,886 £ 116,336 £ 79,682

5.2. EXPENDITURE

The General Fund Expenditure was 4 % lowest since than 2014.

The total expenditure for 2022 was 32 % lower than 2021. This was achieved through redundancy of staff in late 2021 and sizable wage reductions for the staff.

2019 2020 2021 2022
Ministry Expenses £ 11,174 £ 7,509 £ 6,480 £ 7,781
Overheads £ 6,476 £ 5,135 £ 5,168 £ 4,951
Employment Costs £ 58,377 £ 66,300 £ 65,011 £ 36,827
Building £ 3,961 £ 3,424 £ 4,035 £ 3,049
Tithe & Missionary % £ 7,385 £ 7,998 £ 6,313 £ 6,252
Transfer to Other Funds
Total General Fund
Expenditure
£ 87,374 £ 90,365 £ 87,007 £ 58,861
Projects Expenditure £ 3,112 £ 3,399 £ 16,183 £ 3,664
Missionary Expenditure £ 3,913 £ 2,068 £ 2,083 £ 6,917
Community Fund Exp £2,930 £ 5,169 £4,917 £4,360

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2022 Year End Report

Departmental
Expenditure
£ 14,603 £ 9,048 £ 8,202 £ 4,841
Grand Total £ 111,932 £ 110,050 £ 118,391 £ 78,644

5.3. SURPLUS / DEFICIT

----- Start of picture text -----
Surpluses
£500
£-
2019 2020 2021 2022
-£500
-£1,000
General Fund
-£1,500
----- End of picture text -----

The General Fund saw a surplus of £99 in 2022. The first annual surplus since 2018.


2018.
2019 2020 2021 2022
General Fund -£ 1,216 -£ 153 -£ 579 £ 99
Projects Fund £ 409 £ 687 -£ 1,388 £ 708
Missionary Fund -£ 594 -£ 884 £ 919 £ 22
Community Fund £ 55 -£ 44 -£ 186 -£ 4
Departments -£ 289 -£ 2,769 -£ 821 £ 214
Grand Total -£ 1,635 -£ 3,163 -£ 2,055 £ 1,039

6. INTERMEDIATE REPORTS

The names of donors and recipients have been redacted for data protection reasons.

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2022 Year End Report

Short Term Liabilities Short Term Liabilities Short Term Liabilities Short Term Liabilities
PAYE & Pension Contrib. £ 1,068.95
Total Grant Money £-
Total Designated Funds £21,761.57
Total £22,830.52
Long Term Liabilities
2330
MORTGAGES
£-
Subsidiary Income
5100
Administration Charges
£- £-
5140 Sales £- £-
5150 Miscellaneous £- £-
5151 Men's Ministry £- £ 244.00
5152 Funeral Donations £- £-
5153 Ladies Roses Ministry Donations £- £ 7.00
5154 P.A.Y.E. Correction £- £ 494.62
5200 Community Centre WIFI £- £-
5300 Transfers £- £-
5400 Room Hire Charges £- £ 47.80
5401 Hall Hire: Radmoor Training £- £ 90.00
5402 Hall Hire: Lunch Club £- £ 1,210.00
5403 Hall Hire: £- £-
5404 Hall Hire: £- £-
5405 Hall Hire: Heath Hayes Girl Guides £- £ 200.00
5406 Hall Hire: Craft Club £- £-
Total £ 2,293.42

General Income

General Income
4120 General Fund Transfers £- £-
4220 General Fund £- £-
4121 General Fund Non Gift Aid £- £24,350.83
4122 General Fund Cheques £- £ 1,678.00
4123 General Fund Miscellaneous Offering £- £ 520.00
4141 £- £-
4142 Kingdom Bank Interest £- £-
4148 Petty Cash Tin Corrections £ 52.12 £ 8.80
4149 Gift Aid Tax Repaid £- £ 5,791.06
Gift Aid Donations £- £23,195.00
Offerings Sub Total £55,491.57
Offerings & Transfers Total £55,491.57

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2022 Year End Report

Building Fund Building Fund Building Fund Building Fund
4321
BF Non Gift Aid
£- £ 110.00
4323 BF Special Offering £- £-
4330 BF Standing Orders & Bank Receipts £- £-
4349 BF Gift Aid Tax Received £- £ 205.00
BF Gift Aid Donations £- £ 860.00
7400 Building Maintenance £ 316.78 £-
7401 Church Insurance £ 1,799.89 £-
7402 Decorating £- £-
7404 Church Cleaner £ 932.50 £-
7405 Gardener / Painter / Odd Jobs £- £-
7410 Building Professional Fees £- £-
7411 Building Project 01 £- £-
7412 Building Project 02 £- £-
7413 Building Project 03 £- £-
Totals £ 3,049.17 £ 1,175.00
Surplus / Deficit -£ 1,874.17
Missionary
4420 Missionary Offerings £- £ 2,665.00
4431 Missionary Boxes £- £ 223.87
4432 Mission Trip Fund £- £ 1,100.00
4433 AOG Ukraine Heaters (Non Gift Aid) £- £ 620.00
4449 Gift Aid Tax Back £- £ 315.00
Gift Aid Donations £- £ 1,260.00
Agreed % of General Fund £ 585.41
6700 Visiting Missionaries £ 2,393.00 £ 170.00
6701 Missionary Support £ 2,946.43 £-
6702 AOG Ukraine Heaters £ 890.00 £-
6706 Mission Trip Fund £ 100.00 £-
6707 Joseph Barkat £ 588.00 £-
Totals £ 6,917.43 £ 6,939.28
Amount Brought Fwd £- £ 1,085.15
Current Balance £ 107.00
Mission Trip Balance £ 1,000.00

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2022 Year End Report

Departments
Lunch Club B/F £ 946.86
4002 Lunch Club Income £ 3,782.45
6002 Lunch Club Expenditure £ 3,524.50
Balance £ 1,204.81
Roses Women's Ministry B/F £ 252.94
4003 Women's Ministry Income £ 35.00
6003 Women's Ministry Expenditure £-
Balance £ 287.94
Strategic Reserves B/F £18,021.38
Strategic Reserves Added £-
Strategic Reserves Subtracted £-
Balance £18,021.38
Parent & Toddler Group B/F £ 305.45
4000 Parent & Toddler Group Income £ 1,237.50
6000 Parent & Toddler Group Expenditure £ 1,316.68
Balance £ 226.27
Community Fund B/F £ 37.22
4005 Community Fund Income £ 3,760.00
4249 Comm Fund Gift Aid Tax Repaid £ 111.25
Comm Fund Gift Aid Giving £ 485.00
Community Fund Usage £ 4,360.43
Balance £ 33.04
Ministry Expenses
6010
Visiting Ministry
£ 150.00
6020 Evangelistic Support & Events £-
6030 Special Church Activity £-
6031 Hayes Green Comm Centre Hire £ 2,588.00
6032 £-
6033 Off Site Storage Hire £-
6050 Pastoral Expenses-Food £ 681.78
6051 Special Financial Support £-
6052 Gifts & Special Payments £ 76.08
6060 Children's Work £ 38.65
6061 School Work £-
6070 Tracts & Leaflets £-
6101 Worship Resources £ 946.91

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2022 Year End Report

6102 Copyright License £ 306.17
6110 Thirtyone: Eight £ 170.20
6155 AOG Year End Adjust £-
6200 AOG Subscriptions £ 1,290.00
6201 Men's Ministry £ 165.12
6202 £-
6300 Trustees & Leadership £ 36.00
6301 £-
6310 Conferences £ 1,247.58
6320 Books & Literature £ 84.34
6330 Advertising £-
6350 Training Courses £-
Total £ 7,780.83
Employment Costs Employment Costs Employment Costs Employment Costs
7501
Wages 01-Employee 001
£23,718.84
7502 Wages 02-Employee 002 £11,359.92
7503 Wages 03-Employee 003 £-
7504 Wages 04-Employee 004 £-
7540 £-
7550 Employer's National Insurance -£ 5.66
7555 Pension Contributions £ 1,754.32
Total £36,827.42
Overheads
7560 Travel Payments £ 203.05
7580 Gifts £-
7600 Office Consumables £ 299.52
7610 Postage, Envelops & Packing £ 100.09
7620 Computer Software £ 346.78
7630 Office Equipment £ 123.99
7631 Furnishings £-
7632 Storage Hire £ 260.00
7634 Window Cleaner £ 53.00
7635 Cleaning Equipment and
Consumables
£ 37.89
7636 Refreshments £ 104.95
7637 Sundries £ 13.99
7660 £-
7670 Professional Fees £ 260.34
7671 Co Op Bank Charges £ 19.00
7672 Co Op Bank Debit Card Charges £-
7673 Kingdom Bank Charges £-

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2022 Year End Report

7680 Transfer to Other Funds £-
7701 Gas £ 652.25
7702 Electricity £ 901.00
7703 Water Rates South Staffs £ 116.65
7704 Domain Name etc £ 1,131.18
7705 Landline & Broadband £ 192.81
7706 EE Mobile Phone £ 104.34
7707 £ 30.34
Totals £ 4,951.17
Church Tithe Fund
0004 Balance Brought Forward £ 635.62
Tithe Payments £ 5,779.29
Tithe Earned £5,666.66
Balance £ 522.99
Project Fund
4500
Projects Fund: Lunch Club
£- £1,066.00
4501 Projects Fund: Fun Day £- £ 135.50
4502 Projects Fund: Christmas £- £1,397.76
4503 Projects Fund: Building Repairs £- £1,647.77
4504 Projects Fund: Funerals £- £-
4505 Projects Fund: £- £-
Gift Aided Donations £- £ 100.00
Gift Aided Tax Refund £- £ 25.00
Balance Brought Forward £- £ 418.92
6500 Special Projects £ 1,781.73 £-
6501 Fun Day £ 70.00 £-
6502 Building Repairs £ 414.71 £-
6503 Christmas Projects £ 1,397.76 £-
6504 Food Bank £- £-
6505 Trx to General Fund £- £-
Totals £ 3,664.20 £4,790.95
Difference £1,126.75
Youth Training Fund
4600 Youth Training Fund £- £ 20.00
Gift Aided Donations £- £-
Gift Aided Tax Refund £- £ 12.50
Balance Brought Forward £- £1,805.28

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2022 Year End Report

Youth Training Fund Expenditure £- £-
Totals £- £1,837.78
Difference £1,837.78

7. CURRENT ACCOUNT RECONCILIATION

People’s names have been redacted off the statement. Period End Current Account Balance[2] : £ 2,963.18 31[st] December 2022 Bank Statement Balance: £ 3,043.18 Difference: £ 80.00

Uncleared Transactions:

Date Description Debit Credit Balance
31/12/2022 Income £ 60.00 £- £ 3,103.18
31/12/2022 Missionary Giving £- £ 120.00 £ 2,983.18
31/12/2022 Community Fund Giving £- £ 20.00 £ 2,963.18
Totals £ 60.00 £ 140.00 £ 80.00

The current account reconciles.

2 See section 4.3. Account Balances on page 7.

24 of 33

2022 Year End Report e cTropera an co-operativebank.co.ukJbusiness phone 03457 213 213 MR J TYRELL Community Life Church Hill Street Hednesford Cannock Staffordshire WS12 2DP 18300 Community Directplus Account De8crlptlon JO OE¢ 22 OPEWINGBALANCE 3,043.1B "LwN4•NNOCK RC 3JAN23 3JAN23 25 3JAN 3JAN23 Account nutr&•"r 3JANY6 103tOU8 * 3JAN Y6 StatÈmèni 3JANY6 •J￿ryI04. Stal@m8nt numbgr 3S 140 3JANY6 245. 3JAN 25(Y) 3JAN23 3000 3JAN23 JJAN2ts 8000 3JAN23 3JAN23 75.00 3JAN23 zoooo 2.W84 4JAN 23 161 03 4JAN23 35.W 2.69481 SJAN23 3016 5JAN23 401 SJAN23 5JAN23 240 3.31Q 65 2DQU 6JAN YJ 199. 6JAM¥d 2$ 8JAN23 6000 3.176 62 OP￿￿$. Into th1• statème*t clo•lt)g balance 3.176.62 25of33

2022 Year End Report

8. KINGDOM BANK SAVINGS ACCOUNT RECONCILIATION

Kingdom Bank statements are received once each year in April. This statement informs us of interest that was added to the account on 31[st] December.

The account reconciles.

Period End Account Balance[3] : £22,043.20 30[th] December 2022 Bank Statement Balance: £22,043.20 31[st] December 2022 Interest Added: £ 92.67 Final Balance: £22,135.87

3 See section 4.3. Account Balances on page 7.

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2022 Year End Report

9. APPENDIX 01. FULL TRIAL BALANCE CHART OF ACCOUNTS

The names of donors and recipients have been redacted for data protection reasons.

N/C Transaction Debit Credit
0001 General Fund B/F £ - £ 1,640.64
0002 BuildingFund B/F £ - £ -
0003 MissionaryBalance B/F £ - £ 1,085.15
0004 Church Tithe Fund B/F £ - £ 635.62
0005 Project Fund B/F £ - £ 418.92
0006 Mission Reserve B/F £ - £ -
0007 Strategic Reserves B/F £ - £ 18,021.38
0008 CommunityFund B/F £ - £ 37.22
0009 Youth TrainingFund £ - £ 1,805.28
0010 £ - £ -
0011 Lunch Club £ 946.86 £ -
0012 Roses Women's Ministry £ 252.94 £ -
0013 £ - £ -
0014 Parent & Toddler Group £ 305.45 £ -
0020 BUILDING £ 380,000.00 £ -
0021 FIXTURES & FITTINGS £ 42,000.00 £ -
0022 F/F DEPRECIATION £ - £ -
0030 EQUIPMENT £ - £ -
0031 EQUIP. DEPRECIATION £ - £ -
1200 CO-OPERATIVE BANK £ 101,803.82 £ 98,840.64
1210 £ - £ -
1220 KINGDOM BANK LTD £ 22,043.20 £ -
1230 PETTY CASH £ 30,535.59 £ 30,084.11
1232 Debtors £ 555.11 £ 555.11
1233 Youth Club £ - £ -
1234 Lunch Club £ 3,782.45 £ 3,524.50
1235 Women's Ministry £ 35.00 £ -
1236 £ - £ -
1237 Parent & Toddler Group £ 1,237.50 £ 1,316.68
2110 £ - £ -
2150 £ - £ -
2151 Missionary003 £ - £ -
2152 DevelopingPastors £ 900.00 £ 900.00
2153 Anne Donaldson's Books £ 240.00 £ 240.00
2154 Comm Fund 001 £ 30,042.58 £ 30,042.58
2200 £ - £ -
2210 P.A.Y.E. £ 6,361.72 £ 7,130.78
2215 NEST Pensions £ 4,651.84 £ 4,951.73
2220 Invoices £ 115.00 £ 115.00
2330 MORTGAGES £ - £ -
3000 £ - £ -
3050 Grant 01 - Heath Hayes Parish £ 740.71 £ 740.71
3051 Grant 02 - £ - £ -
3052 Grant 03 - £ - £ -
3053 Grant 04 - Support Staffordshire £ - £ -
3054 Grant 05 - Staffs CountyChurch £ 300.00 £ 300.00
3055 Grant 04 £ - £ -
3056 Grant 07 £ - £ -

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2022 Year End Report

3057 Grant 08 £ - £ -
3058 Grant 09 £ - £ -
3100 ACCUMULATED FUNDS £ - £ 288,516.70
3111 £ - £ -
3150 Strategic Reserves £ - £ -
3200 Profit & Loss Account £ - £ 134,988.55
4000 Parent & Toddler GroupIncome £ - £ 1,237.50
4001 £ - £ -
4002 Luncheon Club Income £ - £ 3,782.45
4003 Women's MinistryIncome £ - £ 35.00
4004 £ - £ -
4005 CommunityCollection Income £ - £ 3,760.00
4120 General Fund Transfers £ - £ -
4121 General Fund Non-Gift Aid £ - £ 24,350.83
4122 General Fund Cheques £ - £ 1,678.00
4123 General Fund Miscellaneous Offering £ - £ 520.00
4130 £ - £ -
4141 £ - £ -
4142 Kingdom Bank Interest £ - £ -
4148 PettyCash Tin Corrections £ 52.12 £ 8.80
4149 Gift Aid Tax Repaid £ - £ 5,791.06
4150 Special Gift Aid Donations £ - £ -
4151 General Fund Gift Aid 1 £ - £ 485.00
4152 General Fund Gift Aid 2 £ - £ 1,040.00
4153 General Fund Gift Aid 3 £ - £ 1,600.00
4154 General Fund Gift Aid 4 £ - £ 4,905.00
4155 General Fund Gift Aid 5 £ - £ -
4156 General Fund Gift Aid 6 £ - £ 60.00
4157 General Fund Gift Aid 7 £ - £ 60.00
4158 General Fund Gift Aid 8 £ - £ 220.00
4159 General Fund Gift Aid 9 £ - £ 820.00
4160 General Fund Gift Aid 10 £ - £ -
4161 General Fund Gift Aid 11 £ - £ 1,000.00
4162 General Fund Gift Aid 12 £ - £ 4,175.00
4163 General Fund Gift Aid 13 £ - £ 1,200.00
4164 General Fund Gift Aid 14 £ - £ 3,840.00
4165 General Fund Gift Aid 15 £ - £ 3,120.00
4166 General Fund Gift Aid 16 £ - £ -
4167 General Fund Gift Aid 17 £ - £ 250.00
4168 General Fund Gift Aid 18 £ - £ -
4169 General Fund Gift Aid 19 £ - £ 420.00
4220 CommunityFund £ - £ -
4221 CM Sunday Offering £ - £ -
4230 CM Bank Receipts £ - £ -
4249 Comm Fund Gift Aid Tax £ - £ 111.25
4251 Comm Fund Gift Aid 01 £ - £ -
4252 Comm Fund Gift Aid 02 £ - £ -
4253 Comm Fund Gift Aid 03 £ - £ -
4254 Comm Fund Gift Aid 04 £ - £ 445.00
4255 Comm Fund Gift Aid 05 £ - £ -
4256 Comm Fund Gift Aid 06 £ - £ -
4257 Comm Fund Gift Aid 07 £ - £ -
4258 Comm Fund Gift Aid 08 £ - £ -

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2022 Year End Report

4259 Comm Fund Gift Aid 09 £ - £ -
4260 Comm Fund Gift Aid 10 £ - £ -
4261 Comm Fund Gift Aid 11 £ - £ -
4262 Comm Fund Gift Aid 12 £ - £ -
4263 Comm Fund Gift Aid 13 £ - £ -
4264 Comm Fund Gift Aid 14 £ - £ -
4265 Comm Fund Gift Aid 15 £ - £ -
4266 Comm Fund Gift Aid 16 £ - £ -
4267 Comm Fund Gift Aid 17 £ - £ 40.00
4268 Comm Fund Gift Aid 18 £ - £ -
4269 Comm Fund Gift Aid 19 £ - £ -
4300 BuildingFund £ - £ -
4301 Transfer from General Fund £ - £ -
4310 BuildingFund Gifts & Grants £ - £ -
4311 Grant 1 £ - £ -
4312 Grant 2 £ - £ -
4313 Grant 3 £ - £ -
4314 Grant 4 £ - £ -
4320 BuildingFund Offerings £ - £ -
4321 BF Non Gift Aid £ - £ 110.00
4322 £ - £ -
4323 BF Special Offering £ - £ -
4330 BF StandingOrders & Bank Receipts £ - £ -
4341 £ - £ -
4342 £ - £ -
4349 BF Gift Aid Tax Received £ - £ 205.00
4350 BF Gift Aid Donations £ - £ -
4351 BuildingFund Gift Aid 1 £ - £ -
4352 BuildingFund Gift Aid 2 £ - £ -
4353 BuildingFund Gift Aid 3 £ - £ -
4354 BuildingFund Gift Aid 4 £ - £ 240.00
4355 BuildingFund Gift Aid 5 £ - £ -
4356 BuildingFund Gift Aid 6 £ - £ -
4357 BuildingFund Gift Aid 7 £ - £ -
4358 BuildingFund Gift Aid 8 £ - £ 240.00
4359 BuildingFund Gift Aid 9 £ - £ -
4360 BuildingFund Gift Aid 10 £ - £ -
4361 BuildingFund Gift Aid 11 £ - £ -
4362 BuildingFund Gift Aid 12 £ - £ -
4363 BuildingFund Gift Aid 13 £ - £ -
4364 BuildingFund Gift Aid 14 £ - £ 300.00
4365 BuildingFund Gift Aid 15 £ - £ -
4366 BuildingFund Gift Aid 16 £ - £ -
4367 BuildingFund Gift Aid 17 £ - £ 80.00
4368 BuildingFund Gift Aid 18 £ - £ -
4369 BuildingFund Gift Aid 19 £ - £ -
4375 BuildingFund Gift Aid 25 £ - £ -
4400 MissionaryFund £ - £ -
4420 MissionaryOfferings £ - £ 2,665.00
4421 £ - £ -
4422 £ - £ -
4423 £ - £ -
4431 MissionaryBoxes £ - £ 223.87

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2022 Year End Report

4432 Mission TripFund £ - £ 1,100.00
4433 AOG Ukraine Heaters £ - £ 620.00
4441 £ - £ -
4442 £ - £ -
4449 Gift Aid Tax Back £ - £ 315.00
4450 MissionaryGift Aid Donations £ - £ -
4451 MissionaryGift Aid 01 £ - £ 100.00
4452 MissionaryGift Aid 02 £ - £ -
4453 MissionaryGift Aid 03 £ - £ -
4454 MissionaryGift Aid 04 £ - £ 440.00
4455 MissionaryGift Aid 05 £ - £ -
4456 MissionaryGift Aid 06 £ - £ -
4457 MissionaryGift Aid 07 £ - £ 50.00
4458 MissionaryGift Aid 08 £ - £ -
4459 MissionaryGift Aid 09 £ - £ 40.00
4460 MissionaryGift Aid 10 £ - £ -
4461 MissionaryGift Aid 11 £ - £ -
4462 MissionaryGift Aid 12 £ - £ 20.00
4463 MissionaryGift Aid 13 £ - £ -
4464 MissionaryGift Aid 14 £ - £ 500.00
4465 MissionaryGift Aid 15 £ - £ 90.00
4466 MissionaryGift Aid 16 £ - £ -
4467 MissionaryGift Aid 17 £ - £ -
4468 MissionaryGift Aid 18 £ - £ -
4469 MissionaryGift Aid 19 £ - £ 20.00
4500 Projects Fund: Lunch Club £ - £ 1,066.00
4501 Projects Fund: Fun Day £ - £ 135.50
4502 Projects Fund: Christmas £ - £ 1,397.76
4503 Projects Fund: BuidlingRepairs £ - £ 1,647.77
4549 Projects Gift Aid Refund £ - £ 25.00
4550 £ - £ -
4551 Projects Fund Gift Aid 01 £ - £ -
4552 Projects Fund Gift Aid 02 £ - £ -
4553 Projects Fund Gift Aid 03 £ - £ -
4554 Projects Fund Gift Aid 04 £ - £ 20.00
4555 Projects Fund Gift Aid 05 £ - £ -
4556 Projects Fund Gift Aid 06 £ - £ -
4557 Projects Fund Gift Aid 07 £ - £ -
4558 Projects Fund Gift Aid 08 £ - £ -
4559 Projects Fund Gift Aid 09 £ - £ -
4560 Projects Fund Gift Aid 10 £ - £ -
4561 Projects Fund Gift Aid 11 £ - £ -
4562 Projects Fund Gift Aid 12 £ - £ -
4563 Projects Fund Gift Aid 13 £ - £ -
4564 Projects Fund Gift Aid 14 £ - £ -
4565 Projects Fund Gift Aid 15 £ - £ 80.00
4566 Projects Fund Gift Aid 16 £ - £ -
4567 Projects Fund Gift Aid 17 £ - £ -
4568 Projects Fund Gift Aid 18 £ - £ -
4569 Projects Fund Gift Aid 19 £ - £ -
4600 Youth TrainingFund £ - £ 20.00
4649 Youth TrainingGA Refund £ - £ 12.50
4651 Youth TrainingGift Aid 1 £ - £ -

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2022 Year End Report

4652 Youth TrainingGift Aid 2 £ - £ -
4653 Youth TrainingGift Aid 3 £ - £ -
4654 Youth TrainingGift Aid 3 £ - £ -
4655 Youth TrainingGift Aid 5 £ - £ -
4656 Youth TrainingGift Aid 6 £ - £ -
4657 Youth TrainingGift Aid 7 £ - £ -
4658 Youth TrainingGift Aid 8 £ - £ -
4659 Youth TrainingGift Aid 9 £ - £ -
4660 Youth TrainingGift Aid 10 £ - £ -
4661 Youth TrainingGift Aid 11 £ - £ -
4662 Youth TrainingGift Aid 12 £ - £ -
4663 Youth TrainingGift Aid 13 £ - £ -
4664 Youth TrainingGift Aid 14 £ - £ -
4665 Youth TrainingGift Aid 15 £ - £ -
4666 Youth TrainingGift Aid 16 £ - £ -
4667 Youth TrainingGift Aid 17 £ - £ -
4668 Youth TrainingGift Aid 18 £ - £ -
4669 Youth TrainingGift Aid 19 £ - £ -
4900 Chase CommunityProjects £ - £ -
4901 Water 4 Life Gifts £ - £ -
4902 Water 4 Life Events £ - £ -
4903 Water 4 Life Gift Aid Receipts £ - £ -
5100 Administration Charges £ - £ -
5110 £ - £ -
5140 Sales £ - £ -
5150 Miscellaneous £ - £ -
5151 Men's Ministry £ - £ 244.00
5152 Funeral Donations £ - £ -
5153 Ladies Roses MinistryDonations £ - £ 7.00
5154 P.A.Y.E. Correction £ - £ 494.62
5200 CommunityCentre WIFI £ - £ -
5300 £ - £ -
5400 Room Hire Charges £ - £ 47.80
5401 Hall Hire: Radmoor Training £ - £ 90.00
5402 Hall Hire: Lunch Club £ - £ 1,210.00
5403 Hall Hire: £ - £ -
5404 Hall Hire: £ - £ -
5405 Hall Hire: Heath Hayes Girl Guides £ - £ 200.00
5406 Hall Hire: Craft Club £ - £ -
5407 Hire 7 £ - £ -
5409 £ - £ -
6000 Parent & Toddler GroupExpenditure £ 1,316.68 £ -
6001 The Source Youth Club Expenditure £ - £ -
6002 Luncheon Club Expenditure £ 3,524.50 £ -
6003 Women's MinistryExpenditure £ - £ -
6004 CommunityCoffee Shop £ - £ -
6005 CommunityFund Usage £ 1,245.00 £ 100.00
6006 CommunityFund Paul Finch £ 1,230.00 £ -
6007 CommunityFund Grieve Family £ 1,657.93 £ 20.00
6008 CommunityFund Jason Bloomfield £ 20.00 £ -
6009 CommunityFund £ 327.50 £ -
6010 VisitingMinistry £ 150.00 £ -
6020 Evangelistic Support & Events £ - £ -

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2022 Year End Report

6030 Trustees & Leadership £ - £ -
6031 Hayes Green Hire - Sundays £ 2,588.00 £ -
6032 Hayes Green Hire - Coffee Shop £ - £ -
6033 Off Site Storage Hire £ - £ -
6050 Pastoral Expenses - Food £ 694.78 £ 13.00
6051 Pastoral Expenses - Financial
Support
£ - £ -
6052 Gifts & Special Payments £ 76.08 £ -
6060 Children's Work £ 38.65 £ -
6061 School Work £ - £ -
6070 Tracts & Leaflets £ - £ -
6101 WorshipResources £ 946.91 £ -
6102 Copyright License £ 306.17 £ -
6110 Thirtyone: Eight £ 170.20 £ -
6112 £ - £ -
6113 £ - £ -
6114 £ - £ -
6115 AOG Year End Adjust £ - £ -
6200 AOG Subscriptions £ 1,290.00 £ -
6201 Men's Ministry £ 165.12 £ -
6202 £ - £ -
6300 £ 36.00 £ -
6301 £ - £ -
6310 Conferences £ 1,247.58 £ -
6320 Books & Literature £ 84.34 £ -
6330 Advertising £ - £ -
6350 TrainingCourses £ - £ -
6500 Special Projects £ 1,781.73 £ -
6501 Fun Day £ 70.00 £ -
6502 BuildingRepairs £ 414.71 £ -
6503 Christmas Projects £ 1,397.76 £ -
6504 Food Bank £ - £ -
6505 Trx to General Fund £ - £ -
6599 Youth TrainingFund Expenditure £ - £ -
6600 Tithe Payments £ 374.12 £ -
6601 CLC Mission Fund £ 50.00 £ -
6602 Pye Green Food Bank £ 420.00 £ -
6603 Trx to CommunityFund £ 750.00 £ -
6604 Community £ 1,100.00 £ -
6605 Missionary003 £ 420.00 £ -
6606 Beggars Vagrants Addicts £ 69.17 £ -
6607 A.O.G. Incare £ 200.00 £ -
6608 DevelopingPastors Fund £ 896.00 £ -
6609 Missionary004 £ 420.00 £ -
6610 Missionary002 £ 420.00 £ -
6611 Missionary001 £ 300.00 £ -
6612 A.O.G. World Ministries £ 360.00 £ -
6613 Transfer To General Fund £ - £ -
6614 £ - £ -
6700 VisitingMissionaries £ 2,393.00 £ 170.00
6701 MissionarySupport £ 2,946.43 £ -
6702 AOG Ukraine Heaters £ 890.00 £ -
6703 £ - £ -

32 of 33

2022 Year End Report

6705 £ - £ -
6706 £ 100.00 £ -
6707 Joseph Barkat £ 588.00 £ -
7400 BuildingMaintenance £ 316.78 £ -
7401 Church Insurance £ 1,799.89 £ -
7402 Decorating £ - £ -
7403 Mortgage Interest £ - £ -
7404 Church Cleaner £ 932.50 £ -
7405 Gardener / Painter / Odd Jobs £ - £ -
7406 £ - £ -
7407 £ - £ -
7408 £ - £ -
7410 BuildingProfessional Fees £ - £ -
7411 BuildingProject 01 £ - £ -
7412 BuildingProject 02 £ - £ -
7413 BuildingProject 03 £ - £ -
7414 £ - £ -
7415 £ - £ -
7501 Employee 001 £ 23,718.84 £ -
7502 Employee 002 £ 11,359.92 £ -
7503 Employee 003 £ - £ -
7504 Employee 004 £ - £ -
7540 £ - £ -
7550 Employer's National Insurance £ 2,470.94 £ 2,476.60
7555 Pension Contributions £ 1,754.32 £ -
7560 Travel Payments £ 203.05 £ -
7580 Gifts £ - £ -
7600 Office Consumables £ 299.52 £ -
7610 Postage,Envelops & Packing £ 100.09 £ -
7620 Computer Software £ 346.78 £ -
7630 Office Equipment £ 123.99 £ -
7631 Furnishings £ - £ -
7632 Storage Hire £ 260.00 £ -
7634 Window Cleaner £ 53.00 £ -
7635 Cleaning Equipment and
Consumables
£ 37.89 £ -
7636 Refreshments £ 104.95 £ -
7637 Sundries £ 50.97 £ 36.98
7660 £ - £ -
7670 Professional Fees £ 260.34 £ -
7671 Bank Charges £ 19.00 £ -
7672 Bank Debit Card Charges £ - £ -
7673 Kingdom Bank Charges £ - £ -
7680 Transfer to Other Funds £ - £ -
7701 Gas £ 652.25 £ -
7702 Electricity £ 901.00 £ -
7703 Water Rates South Staffs £ 116.65 £ -
7704 Website Costs;Domain Name etc £ 1,131.18 £ -
7705 Landline & Broadband £ 203.34 £ 10.53
7706 EE Mobile Phone £ 104.34 £ -
7707 Hayes Green WIFI £ 30.34 £ -
9999 £ - £ -

33 of 33

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trusteesl members of COMMUNITY LIFE CHURCH On accounts for the year ended 31 DECEMBER 2022 Charity no {if any) 1052553 Sot out on pages ArrACHED I report to the trustees on my examination of the accounts of the above Chanty (Ihe Trust'l for the year ended 3111212021. Responslbilities and As the charty trustees of the Twst, you are responsible for the preparation basis of report of the accounts in accordan￿ with the requirements of the Charities Act 2011 {Ihe Act.). I report in resp8Ct of my examination of the Trust's accounts carned out under section 145 of the 2011 Act and in carying out my examination, I have followed the applicable Directions given by the Charty Commission under section 145{5)(bl of the Ad. I have completed my examination. I confim that no material matters have come io my attention {other than that disclosed below ') in tonnection wilh the examination gNes me cause to believe that in, any material respect: aco)unting record8 were not kept in accordance with section 130 of the Act or the accounts do not accord with the accounting records Indepondent examiner's statement I have no concerns and have ￿rne across no othcr matterB iri eonnedion with the examination to which attention should be drawn in order lo enable a proper undetstsnding of the accounts to be reached. . Please delete the words in the brack8ts rfthey do not apply. Signod: Date: 1711012023 Name: P. Bradley, Bradleys Accountancy Practice Relevant profeuional qualification(s) or body (if any): MAAT. Address: First Floor Offi 84 -90 Market Street Hednesford. Staffordshire. WS12 1AG Section B Disclosure Only complete if the exarniner needs to highlight matters of concern (see CG32, Independenl examinats'on of charity accounts.. directions and guidance for ex8minersi IER Octobcr 2021

Give herè brief details of any items that the examiner wishes to -.disclose October 2021 IER

COMMUNI￿ LIFE CHURCH FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2022 INCOME & EXPENDITURE ACCOUNT INCOME Gèneral fund.. Trthes & offèrings e•ift ald donation8 InrA)me tax relunds othgr Income Cllufth Mi881on 26,548 83 21,195.IX) 5.7Y1. 1.798.80 2.317.02 9267 59.743.38 Building fuftd: Offerings Gift aid donations Incorne tsx rLluri¢J¥ -110. 205.C(J 955.LKI 60.698.38 TOTAL INCOME EXPENDITURE Ovorh•adg.' Paslorfs wagg5 Other waAes NatlUllÉil iii¥u18￿ (y)nlrttrAthans Pen$iori ¢onlribiiflons T1Hv￿1 HXPLl)￿s orriLt expenses l)rofc3¥ionol fooÈ 23,718.84 11,3511.Y2 21)3 (15 833 70 2.FJ(11 (Ni 327.49 1.037.38 2,588.1 Telpphonè Clèaning and 5undriè8 Hay8s f)rppn (￿515 Conferences Storage Hire 260.C 46,49J.99 Building fund MaintendtlLV. dtirl ilisufance 2.116.67 2,116.67 Ministry eypen606 s.￿.25 Nel missionary expenses Transfer to Other Designated Funds Chur( lithe 5,779.29 TOTAL EXPENDITURE ,895.76 SurplU￿(Ex￿O of •xpondlbJrn) over Income fgr th• ye•r 1.802 62 ACCOUNTANTS REPORT I have prépared the thnanoal statements for Communty Life Churth frryn ¢nformthn and explanatson3 provided.

COMMUNITY LIFE CHURCH FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2022 BALANCE SHEET FIXED ASSETS Buildin9 Ixtures & fittings Equipment 356,927.28 3.798.98 6,498.94 367,223.20 CURRENT ASSETS Bank balances Department fvnds Ca$h in hand 25,179.05 1,719.02 451.48 27.349.55 LE33 CURRENT LIABILITIES Chase eommunty projects- Unsk￿ Paye creditor Pensions 1.263 68 299.89 1.563.57 NET CURRENT A38ETS 25.785.9B NET ASSETS 393,009.IB REPRE8ENTED BY: DEPARTMENT FUNDS 1,719.02 DESIGNATED FUNDS 4ROJECTS 707.83 OTHER DESIGNATED FUNDS 18,230.73 ACCUMULATED FUNDS Balance brought forward 111r2￿2 370.$42.98 Surplus for year 1,802.62 372,345.60 393.009 18 o_oo ACCOUNTAP4TS REPORT I have prepared the financial statements for Communrty ￿ Churth frcffi infcvmalhjn and explanations provided. Bradleys Accountsncy and Taxation Servi 90 Market Street Hednesford Canncck Stsffs WS12 1AG 17th October 2023