OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2024-04-05-accounts

Annual Accounting Statement

Covering the period from: 6th April 2023 to: 5th April 2024

Village Life Church High Street, Bonsall Matlock, Derbyshire DE4 2AS Charity Registration Number 1052642

Accounting Statement

(Receipts and Payments Basis)

Village Life Church - Charity Number 1052642

Section A
Unrestricted
Section A
Unrestricted
Funds
Receipts
Breakdown Using Own Analysis
Gifts and Voluntary Receipts
Gifts, Tithes & Offerings
Ukraine Impact
Receipts from Trading Activities
Food and Coffee
Receipts earned from
Rents
Investment Assets
Other Receipts
Loan Repaid
IR Charities Refund
Collections
Refunds
Bank Interest and Comp Received
Loans
Mortgage
Total Receipts
Payments
Breakdown Using Own Analysis
Ministry and Mission Payments
Ministry Salaries
Church Expenses
Gifts, Subscriptions & Donations
Church Tithes( Inc Overseas Mission)
Hall Hire
Childrens Ministry / Outreach
Conferences, Seminars and Hall Hire
Payments for Administration
Postage, Stat'y & Software
Property, Publicity and
Cleaning
Management
Utilities
Licences and Fees
Internet
Food
Equipment
Eq't Hire, Eq'tRepairs and Maintenance
Insurance
Payment to CYF
Traveling
Payments for Generating Funds
Refunds
Repairs to Rental Property
Insurance for Rental Property
Other Payments
(not counting as expenditure)
Total Payments
Net Surplus / (Deficit)
Cash Funds last year end
Cash Funds this year end
2024 2024 2023 2023
14,777 14,153
519

14,777 14,672
10,530 10,850
10,530 10,850
1,595
100
477
1,132
100
110


2,172 1,342
2024 2023
27,479 26,864
2024 2023
3,600
1,510
1,015
1,790
100
15
281
3,600
1,590
938
2,080
519
44
209





8,311 8,980
1,110
917
1,119
313
563
878
740
826
1,020
1,434
883
328
1,177
509
517
737







6,466 6,605
459
922
169
820

1,381 989
16,158 16,574
11,321 10,290
30,159 19,869
41,480 30,159

Section B Restricted Funds

The Charity does not have any Permanent or Expendable Restricted Funds

Section C Endowment Funds

The Charity does not have any Permanent or Expendable Endowment Funds

Section D Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End Statement of Assets and Liabilities at the Year End
Cash Funds Unrestricted funds Restricted funds Endowment funds
to nearest £ to nearest £ to nearest £
Cash in Hand and Petty cash floats 283 - -
Balance held in Bank Account 100 - -
Balance held in Club Reserve Acc 1 41,097 - -
- -
Total Cash Fund 41,480 - -
Other Monetary Assets Unrestricted funds Restricted funds Endowment funds
to nearest £ to nearest £
Gift Aid Claim Due for Repayment - -
Recoverable Grants - - -
Other Debtors and Prepayments - - -
Grant paid direct to Builder from DDDC -
Total Other Monetary Assets - - -
Investment Assets Fund to which it Cost Current Value
belongs
Term Deposits - -
Other Investments - -
Total Other Monetary Assets - -
Assets retained for Fund to which it Cost Current Value
Charity's own use belongs
Land and Buildings General 1,234,200
Plant and Equipment General 2,914
Fixtures and fittings General 358
Total Retained Assets 1,237,472
Liabilities Fund to which it Cost
belongs
Unpaid Income Tax & N.I. Due General - -
Unpaid Salaries and Wages General - -
Suppliers Accounts Due General - -
Independent Examiners Account Due General - -
Mortgage Balance Due General - -
Builders account outstanding General - -
Other Liabilities General
Total Liabilities - -

Independent Examiners Report on the Annual Accounts

Receipts and Payment Accounts

Report of the trustees / members of :
Registered Charity Number :
For account covering year ended :
Set out on Pages :
Respective responsibilities of trustees
and Independent Examiner :
Basis of independent examiner's
report :
Independent examiner's statement :
Signature :
Name:
Date:
Address :
Village Life Church
1052642
5th April 2024
One through three above
As the charity's trustees you are responsible for the preparation of the
accounts; you consider that the audit requirement of section 43(2) of the
Charities Act 1993 (the Act) does not apply. It is my responsibility to state
on the basis of procedures specified in the General Directions given by the
Charity Commission under section 43(7)(b) of the Act, whether particular
matters have come to my attention.
My examination was carried out in accordance with the General Directions
given by the Charity Commission. Such an examination includes a review
of the accounting records kept by the charity, and a comparison of the
accounts presented with those records. It also includes consideration of any
unusual items or disclosures in the accounts, and seeking explanations from
you as trustees concerning any such matters. The procedures undertaken do
not provide all the evidence that would be required in an audit, and
consequently I do not express an audit opinion on the view given by the
accounts.
In connection with my examination, no matter has come to my attention
(1) Which gives me reasonable cause to believe that in any material respect
the requirements:-
(a) to keep accounting records in accordance with section 43
of the Act; and
(b) to prepare accounts which accord with the accounting
records and to comply with the accounting requirements
of the Act have not been met; or
(2) to which, in my opinion, attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
Mr David Green
8th Aug 2024
37 Park Avenue
Darley Dale
Matlock
DE4 2FX

Trustees' Annual Report

(Accompanying Receipts and Payment Accounts)

Section 1 Legal and Administrative Information
Charity Name:
Registered charity number:
For financial year commencing on:
For financial year ending on:
Charity's Principal Address
Church Council /
Management Trustees
Village Life Church
1052642
6th April 2023
5th April 2024
Village Life Church
High Street
Bonsall
Matlock
Derbyshire
DE4 2AS
Names and addresses of
Church Council / Management Trustees
Mr Matthew Quinn
Ms Pamela Simpson
Mrs Linda Cauldwell
Mr Howard Poole
Mr David Quinn
Rehoboth, Uppertown, Bonsall, Matlock, Derbyshire DE4 2AW
30 Hackney Rd, Hackney, Matlock, DE4 2PX
39 High Street Bonsall Matlock Derbyshire DE4 2AS
6 Chapel Croft Elton Matlock DE4 2DB
Rehoboth Annex, Uppertown Lane, Bonsall, Matlock, Derbyshire DE4 2AW
Holding Trustees Name and address of Holding Trustees
Assemblies of God
Property Trust
Ruddington Fields Business Park, Mere Way
Ruddington, Nottingham NG11 6JS
Secretary
Ms Pamela Simpson
Treasurer
Mr David Quinn
Names and addresses of trust officers
30 Hackney Rd, Hackney, Matlock, DE4 2PX
Rehoboth Annex, Uppertown Lane, Bonsall, Matlock, Derbyshire DE4 2AW
Section 1
Legal and Administrative Information(continued)
Section 1
Legal and Administrative Information(continued)
Governing document :
Object of the charity :
Trust Solicitors :
Trust bankers :
Fellowship Relationships :
Village Life Church is governed by the Assemblies
of God model trust deed
The advancement of the Christian Faith by the proclamation and
furtherance of the gospel of God.
Robinson's Solicitors, 83 Friar Gate, Derby
National Westminster Bank plc, 19 Dale Road, Matlock
Derbyshire DE4 3YA
The Village Life Church remains in relationship and
fellowship with the churches forming Assemblies of God in Great Britain
and Ireland, whose offices are located at Assemblies of God,
Gf/F12 Deva Centre Manchester M3 7BE
Section 2 Activities and Achievements
Activities and achievements of the
charity during the year in relation to
the objects :
We are enjoying mild success in reaching out to the community
by means of coffee mornings and craft club
The church membership is growing for which we thank God
We have started a youth ministry which is proving to be very successful
Section 3 Declaration
Signature :
Full Name :
Position (trustee, secretary etc.) :
Date :
The trustees have approved the trustees' report above
Mr David Quinn
Trustee / Treasurer

Village Life Church

6th April 2023 to 5th April 2024

Income Expenditure
Total Total
Brought forward from 6th Aprul 2023
Wages 3,600.00
Main Account 100.00 Expenses 1,510.00
Bus Acc 1 29,739.95 Cleaning 1,110.00
Petty Cash 95.00 Gifts 1,014.81
Coffee Club 20.00 Hiring Hall 100.00
Craft Club 204.47 30,159.42 Ukraine Impact
Utilities 916.99
Tithes and Offerings 14,576.54 Internet 313.00
Rent 10,530.00 Food 562.57
Gifts 200.00
Refund 100.00 Church Maintenance 740.15
Equipment 877.89
IR Charities repayment 1,595.00 Church Insurance 825.67
Cottage Insurance 922.24
Ukraine Impact Cottages Repairs/Ins/etc 459.00
Interest 476.74 27,478.28 Licences and Fees 1,118.70
Church Tithe 1,790.00
Conf/ Dist Lrng/Course Mat 281.20
Youth Min 15.44
16,157.66
Club Reserve
Cash on hand 5th April 2024
Main Account 100.00
Bus Acc 1 41,097.23
Petty Cash 9.17
Coffee Club 44.20
Craft Club 229.44 41,480.04
Total 57,637.70 Total 57,637.70