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2023-12-31-accounts

Southern Light Community Church Annual Report of Trustees 2023 Financial Year

In the 2023 financial year, though SLCC remained operative as a separate charity, its operations merged with those of Now Church, and during 2024 the two charities will merge into a new CIO. Therefore as Chair of SLCC’s trustees, I wish to express my immense gratitude to my co-Trustees for their dedicated and committed service, as we hand over those responsibilities to the new organisation.

In all, we believe these accounts show the Trustee’s ongoing commitment to managing the church effectively and supporting its activities astutely, and we are grateful to you all for your generosity, commitment and support and to God for his blessing.

Respectfully submitted,

Professor Andrew Davies Chairman of Trustees, Southern Light Community Church 31 October 2024

Southern Light Community Church, Tannery Street, Woodhouse S13 7LA Registered with the Charity Commission — Charity No. 1052582

Table of Contents

Profit and Loss ................................................................................................................................................3 Balance Sheet .................................................................................................................................................5

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Profit and Loss

January - December 2023

Profit and Loss
January - December 2023
Total
INCOME
2100 Giving
2110 Tithes and Offerings 37,755.42
2120 BuildingFund(Designated) 720.00
Total 2100 Giving 38,475.42
2200 Community 255.00
2210 Foodbank (Designated) 3,424.59
2211 Bread/Butter (Designated) 1,470.00
2212 Foodbank Utilities(Designated) 300.00
Total 2210 Foodbank (Designated) 5,194.59
2220 Community - FoodWorks 30.00
2240 Food Hub 2,162.66
Total 2200 Community 7,642.25
2230 Cafe 996.04
2300 Missions 35.00
2301 Missions - General (Designated) 1,014.00
2310 NLCC, Gambia (Designated) 225.00
2320 WOW(Designated) 725.00
Total 2300 Missions 1,999.00
2400 Other Income
2420 Room Hire 1,019.00
2430 Interest 444.09
2440 Miscellaneous Income 240.01
2460 Voided 25.00
Total 2400 Other Income 1,728.10
Total Income 50,840.81
TOTAL 50,840.81
EXPENDITURES
1100 Ministry and Staff 145.00
1110 Payroll Expenses
Taxes 1,060.72
Wages 3,438.26
Total 1110 Payroll Expenses 4,498.98
1120 Ministry Gifts 9,700.00
1130 Travel and Accommodation 70.00
1140 Ministryresources 1,684.75
Total 1100 Ministry and Staff 16,098.73
1200 Community - General 109.50
1210 Foodbank 2,646.66
1211 Bread & Butter (Global Windows) 291.79
1212 Foodbank utilities 400.00
1213 DeliveryDrivers 225.00
Total 1210 Foodbank 3,563.45
1220 Food Works 110.00

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Southern Light Community Church

Total
1230 Hospitality 905.38
1240 Cafe 396.52
1250 Gift 611.74
Total 1200 Community - General 5,696.59
1300 Missions
1310 NLCC Gambia 1,090.00
1320 WoW 1,750.00
1330 CAM International 600.00
1340 Steve & Hannah Prosser 840.00
1350 Light of the Gospel 600.00
1380 Ukraine appeal 10.00
Total 1300 Missions 4,890.00
1400 Administration
1410 Assemblies of God 840.00
1420 Office/General Admin 677.30
1430 Computer Costs 441.91
1440 Professional Services 1,376.00
1450 Equipment 3,851.95
Total 1400 Administration 7,187.16
1500 Building
1510 Building - Maintenance 1,260.68
1520 Insurances 1,278.96
1530 Utilities 2,638.28
Total 1500 Building 5,177.92
1600 Miscellaneous Expenses
1630 Voided 25.00
Total 1600 Miscellaneous Expenses 25.00
Payroll Expenses
Taxes 58.80
Wages 8,591.64
Total Payroll Expenses 8,650.44
Total Expenditures 47,725.84
NET OPERATING INCOME 3,114.97
OTHER EXPENDITURES
Now Church(Co-opbank) 45,050.00
Total Other Expenditures 45,050.00
NET OTHER INCOME -45,050.00
NET INCOME/(EXPENDITURE) £ -41,935.03

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Southern Light Community Church

Total

Balance Sheet

As of December 31, 2023

Total
FIXED ASSET
Total Fixed Asset
CASH AT BANK AND IN HAND
Bank -1,548.52
Total Cash at bank and in hand -1,548.52
NET CURRENT ASSETS -1,548.52
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Current Liabilities
Payroll Liabilities
HMRC 1,154.40
Total Payroll Liabilities 1,154.40
Total Current Liabilities 1,154.40
Total Creditors: amounts falling due within oneyear 1,154.40
NET CURRENT ASSETS(LIABILITIES) -2,702.92
TOTAL ASSETS LESS CURRENT LIABILITIES -2,702.92
TOTAL NET ASSETS (LIABILITIES) £ -2,702.92
CHARITY FUNDS
Opening Balance Equity 17,394.49
Retained Earnings 21,837.62
Surplus/(Deficit) -41,935.03
Total Charity funds £ -2,702.92

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Southern Light Community Church