WMENSHAWE COMMUNITY CHURCH CHARITY
REPORT OF THE TRUSTEES
FOR ThE YEAR ENDED 31st MARCH X124
Trms report IrKI￿ irfmation rewir8d by the Charits'es (Aclwits 8rKJ Rerx*ts)
2(Kj5 as vlica￿e to ctsitses ents.0￿ to sxepare X(x￿nts re￿1{￿S arKI Payff￿rts
ADMINISTrAIIVE INFORMATION
MarKkntw. It was re￿tered on 8" Felxuary 1￿ as Charity Nunber 1052745.
week at vari(x￿ limes. It opens Sundays f(rw(Kship wvices at 9am 11am.
Managmnt trths who help to nm ttp charity are Mithael O'C￿rWhO has semd
as a tr￿stee frorn 12h)W2011, A￿8 Lknyle wfK) has Se￿￿1 as a trustee since 1° Awil 2(m.
Rasd MarKxw*thriArdakaii who has sepled as a trustea since 03fi)2r2022. Jenniffer Lobb
Churth bJik￿￿j is held by lh8 Chwity ComMi￿10n wtK) 8re Custodial Holding Tntstees.
STRUCTURI GOVERNANCE AND MANAGEMENT
C￿Urth. The govwrll￿ th￿ment of the registered tharity is a Trust (￿j arKI Constittrtic
dated 2rf AUg￿t 1W. 8" J(Ay 2CX)5 ¥KI 1" May 2CK19. acbpted by the thurch c
13" May 2(K19. The Tnjstees we resFrfXLsible for Ihe financial administration of the Churth.
arKI Ihe cAre mainiwwTh of Chwth premises. The Trustees meet 4 times during Ihe
OWECTIVES AND ACTMllES
and fa(ilrties offwed to (Xxnrn￿1ty by its lyildrvJ, arKJ desuib&l mcTr speaficalty in i
rn1￿1￿ statemart as "Our mlsslon Is to be a ChU￿h that provldes a place of refuge and
restorallon for all and to be a place ￿ere all Its members are Insplred to connec( grow
and to use thelr God glven potenllal to make Jesus knovm In thelr sphere of Infiuence."
Twst888 ￿are of Charity Cc*nmi&8ion's p*Aic In Yh8
AdVarK￿T￿Il of Rdig"on for the Public WKI has regard to it in the a(*ninistratioKer
the Churr*. The Tnjstees b8liev8 that ts Chwch provid8s benefft to the Fmjblic by:
. Fyovithng r8sour(*s and facililles for wilic worthp. pastoral car8 spiritual. moral and
frun what Ihe Church offer5:
REVIEW OFACTMTIES AND Ac￿EvEMENTs

meet With us reg￿arlY enjoy swidiThJ tsrn With us. Many of these F*e came to (x
frBe annual CM"stmas m8al for the oxnmlmty. The churth has rn￿Y MOM￿ WKI is
Stsll streami￿ Ixiline. T1￿ churth has h8lp&J some missi￿S thJriThJ the year.
to BmtMJS, Open thJJs. CAP (Christsans Against Povwty). Comp3SSi(XL The Messag8
Man&￿teA. Message South Africa. an cyphan￿6 in India, Ify1)rfd ol ￿txth. arKI a
Mi￿(￿ in Moz8mlx'que. The church has a ￿thhIP Dirtor WIK) lead￿ a Icl of F*OFle n•*
skills. This is a great investrn￿l in tha'r lives. T￿￿ thuTch has 4￿Unt￿3 l* with
runriffj Of ts chanty. PeoF48 who dean peoFAe wfl) help with admiTh$lrntion (Y wnti.
and also running the streamirvj of lh8 service. The yOLrth grwp meets every Friday wlith Is
run for Y￿r￿j pew6 frun chwth and from tho local ￿nrn￿rty. Th8 of Val(xff
Men of Hlxhyx meat regularly to ha￿ evants s￿h as walkiThJ. meals. rr*ts'ngs
and ￿JOY SWdiNJ b'me tO9ather. The thLKch also has Life Groups that are held weekly In
people's fM)Ths. cfiline. at ¢l￿rth. The t#xJrth also rLnS c￿r38S such as Freed￿n In
Christ. Alphq The Grxe Course, C￿ls11sn1ty Ewored. Discipleship explored whlth havo
bwht people ￿0$$ M￿CheSter. All of thes8 CL￿r3e$ are free of dwrge to all who
att￿d. Th￿0 is also intwn81 tr8iThng that takes F4ace. Th8 church has wayer m8ets'rvJs
weekday momings at 6am. Ther8 are also prayer walks arKI Vigil Fyayer meetiThJ *thich take
pl￿ tho last Friday of the month. The C￿rch also has 8 visitiTrJ ministy where pocf4e
and those in need will have a visit ftom x)mwn6 in the team.
FINANCIAL REVIEW
The church h&$ continuwj to be blessed and is safe and secure ffinancially. The church ¢ywns
two trywbes that are r￿tted whK* helps the chwd) io be financAally stabl& The thwch
Jnb'nues to ￿ and fl￿rish.
The trustees agreed th818 r8serve of 3 rnOn￿ r￿nIrwj costs the cost of
redwKJaThSe8.108s&J 8qUlprr￿￿ o)ntrac18 thai tho churth has signed 4) to.
TN8 reP￿t W8s aFvoved ty Ihe Tntslw, MeellNJ (m 2ZIQZIZQa Is s19r￿d on Its b8hdl
Aryda t>)yle. Treasurer and Trustee.

INDEPENDENT EXAMINER'S REPORT TO
wYrHENSHAW COMMUNifY CHURCH
CHARITY REG. NO. 1052745
I report on the accounts of ihe tr￿tfor ihe year ended 31 March 2024 which are
set oul on pages l and 2
ReSpertI￿ responsibilrfies of Trns¢ees and Lraminer
As the Charity's tnLFtees. are respopLriblefor Ihe preparation ofihe accounts,.
vou cornfider ihal the audil reqiiiremeni ofseclion J44 olihe Charilies
2011 act (the Act) do£$ not appb,.
li is my reSPo￿TIbIlity 10."
-examine ihe accounts (wh4erse¢iion 145 ofihe Charilies Acl)."
-folloM' Iheprocedures laid dom'n in the General Direction5 given by the
Charity Coinmi5sioners (under seclion 145(5)(b) ofthe Charities Act).. and
-stole H.heiherparticular mailers have conie lo our ottenlion.
Basis of independent ￿4￿lMer s slatement
MJ, ￿QmInatiOn wof carried out in accordance with ihe General Directions given
by the Charitv Comniissioners. An examinalion includoF a review of ihe accounling
record5 kept bi> the charity and a comparison ofihe accounts presenled with those records.
li abo inch￿e5 a co1￿lderatIOn ofany unusual iiems or disclosures in ihe accoiints.and
seeknng &Yplanai1o￿ffrOM ihe TnLfiees conceTning any such mallers. Theprocedur
undertaken do notprovide all the fvidence ihal would be required in an t7udit. ond
consequenily we do nol £rPre￿ audit opinion on ihe accounts.
Independenl exiTminer s slatemenl
In conneciion my e¥amination, no mailer has come to my attention.
,hich givef re￿ortAble cawe to believe that in any material rupect the
requirements."
- to keep accounting records in accordance wiih section 130 ofihe Charities Act.. and.
-lo prepare accounts which accordg with ihe occounling records and Comply
- M'ith the occounring requirements ofthe Act have nor been mel."
lo which. in my opinion. allenlion should be drawn in order lo enable aproper
underTlanding ofihe accounts lo be reached.
Geoffrry Kwaty- Donkor (FrcAJ
ROKNOD Accounlants
Chartered CertifiedAccountants
Office No. J Citv View Offices
99 Ix)ng Sireet
Manchesler
M24 6UN

wrrHENSHAW COMMUNITY CHURCH
ACCOUNT5 FOR ThE YEAR I APRIL 2023 TO 31 MARCH 2024
STATEMENT OF FINANCIAL ACTIVITIES
2024
2024
2023
2023
Notes
Unrestrlrted
Tot•1 F¥nds Unrestrfcted Fw
Tot•1 Funds
INCOMING RESOURCES
Donatlons and le8acies
Other Income
TOTAL
221,683.56
1,675.70
223.3S9.26
221,683.56
1,675.70
223,359.26
197,S83.48
512.85
198,096.33
197,583.48
512.85
198,096.33
RESOURCES EXPENDED
Costs of Charltable Asrtivities
TOTAL
207.315.03
207.315.03
207,315.03
207,315.03
158.216.29
158,216.29
158.216.29
158.216.29
NET
NET IExpendltUfe}I Income
Total Funds brought forward
Fund Transfers
Clos1￿ Funds
16,044.23
584.225.60
16,044.23
584.225.60
39.880.04
544,345.56
39,880.04
544,34S.56
600,269.83
6￿,269.83
584,225.60
584.225.60

WrfTHENSHAW commuN￿y CHURCH
2024
1024
Tot•1 Funds
2023
Total Funds
BALANCE SHEET
FIXED ASSEsrs
Tangible Assets
Note 3
Unreslrlded
382,092.99 382,092.99
379,325.27
Current Assets
Stock
Bank
Total Current Assets
32,158.34
226,621.68
258,780.02
32,158.34
226,611.68
258,780.02
32.158.34
229,116.36
261,274.70
Crtdltors: Amounts tslll￿ due wlthln l year
3,2iX).00
NEfcuRRENT ASSETS
258,780.02
258.780.02
264,474.70
TOTAL ASSEIS LESS CURREKf UABILMES
640,873.01
640,873.01
643,799.97
REPRESENTED BY
Unrestricted Funds
Tot•1 funds
640,473.01
640.473.01
640A73.01
640.473.01
643,799.97
fA3,799.97
Sl8ned on behalf of the Trustees:
Angela Doyle
Date:
Retsered Charlty: IOS2 745

wYrHENSHAW COMMUNITY CHURCH
ACCOUPITS FOR THE YEAR I APRIL 1023 TO 31 MARCH IOZ4
Notes
2024
2024
2023
2023
Total Fund5
Unrestrlcted ToLg1 Funds Unrestricted
DOP4A710NS APID iEGAaES
Voluntary Income
Offerin8S
Rental Incorne
Room Hire
Miscellaneous Incomel Glft Ald
TOTAL DONATION AND LEGACIES
193,349.19
193,349.19
3,916.CMJ
3,916.00
13.800.1)0
13.800.00
3.681.25
3,681.25
8.612.82
8,612.82
223.359.26 223,359.26
147.257.98
147.257.98
16,785.00
4,787.00
29,266.35
198.096.33
16,785.00
4,787.00
29.266.35
198.096.33
Rrylst•r•d Charlty. 1052 745

wYrHENSHAW COMMUNITY CHURCH
ACCOUNT5 FOR ThE YEAR ENDED 31 MARCH 2024
2024
2014
Totsl Funds
2023
Unrestricted
2023
Tot•1 Funds
Admlnlstrotlon Costs
Charitable Contributions
Christian resources
Conference Hotel
CONFERENCES
Contrattor- Maintenance & Repairs
Contrartor- Musk
Contrattor- Training & Admln
Contrattor- Youth
EQUIPMENT FOR CHURCH
Equipment leasin8
Meals and entertainment
Ministerial Gifts
Ministers Fees
Missions
Musical supplies
OUTREACH
Payroll Expenditures
Replen5hing Supplies
VOLUNTEER COSTS
YOUTH
YOUTH CAMP
Others Administrative expenses
6.860.
844.50
7,675.CK)
1.488.39
4.358.14
7,675.C
1.488.39
4,3S8.14
844.50
1,897.57
3,251.35
3.522.35
18.OlX).
24,(KK).(K)
13.557.42
802.60
1.897.57
3,251.35
3522.35
18.CrfJO.LKI
24,iXX).IXI
I3￿57.42
802.60
7,21Y).C
14.250.CKI
21.(KX).C(I
9,456.28
7.2¢XJ.CKI
14.250.
21.(KxI.CK)
9,456.28
974.01
1,177.29
1,777.17
loo.00
21,963,15
939.83
4,909.80
65,283.10
2,293.10
60.13
4.819.56
965.93
974.01
1,177.29
1.777.17
100.00
735.63
2.530.73
I￿.00
21,534.14
903.28
1,989.96
30,734.64
3,753.67
119.32
1,317.41
735.63
2.530.73
21,963.15
939.83
4,909.80
65,283.10
2,293.10
60.13
4￿19.56
965.93
21,534.14
903.28
1,989.96
30.734.64
3.753.67
119.32
1,317.41
3,853.29
132,999.88
3,853.29
132,999.88
177,998.86
177.998.86
PREMISES COSTS
Light and heat
Malntenance of bulldln8 and repaSrs
Rates
Room Hire for events
Utilities
TOTAL PREMISES COSTS
3,184.75
12,298.35
642.53
674.10
857.17
17.656.90
3,184.75
12.298.35
642.53
674.10
857.17
17,656.90
6,154.12
10,789.92
497.20
6,154.12
10,789.92
497.20
358.96
17,800.20
358.96
17,800.20
SUPPORT COSTS
Advertisin
Bank charges
Telephone / Broadband
Cleaning
Insurance
40.(KI
5.26
1,137.70
46.56
1,602.99
1,607.07
4,429.06
5.26
41.72
619.20
102.00
1,462.17
509.83
2,734.92
41.72
619.20
102.00
1,462.17
509.83
2,734.92
1.137.70
46.56
1,602.99
1,607.07
4.429.06
Pdnung. postage and statk)nery
TOTAL SUPPORT COSTS
GOVERNANCE C05rs
Legal and prof888iimal fe88
Sub5crlptlons
TOTAL GOVERNANCE COSTS
GRAND TOTAL
3,693.70
3,536.51
7,230.21
207.315.03
3,693.70
3.536.51
7,230.21
207.315.03
1,834.C
2,847.29
4,681.29
158.216.29
1,834.00
2,847.29
4,681.29
158,216.29

WYTHENSHAW COMMUNITY CHURCH
BALANCE SHEEf ASAT 31 MARCH 2024
2024
2024
2023
Unrestricted
2023
Notes Unrestrlrted
Totsl Funds
Total Funds
FIXED ASSErs
Depreciation
Church Premlses
18,IJY).00 . 18.OCKJ.
376,022.79
376,022.79
358,022.79
358,022.79
376,022.79
376.022.79
376.022.79
376,022.79
Computer & Other Equipment
TOTAL FIXED ASSEts
24,070.20
382.092.99
24,070.20
382.092.99
3,302.48
379,3Z5.Z7
3,302.48
379325.27
CURREMf ASSETS
Cash at Bank & in Hand
Church Current {64821
Churth Sawngs174011
Natwest Savings
Youth & Comrnunity108411
82.756.65
62,224.23
81.444.09
196.71
226,621.68
82.756.65
62224.23
81W.09
196.71
80,362.26
78,675.22
70.078,88
80,362.26
78,675.22
70.078.88
226.621.68
229,116.36
229,116.36
Stock Assets
32,158.34
8.34
32,158.34
32,158.34
CREDrroR&. AMOUPITS DVE WITHIN I YEAR
Accuals
NETCURRENT ASSEr
3,2O).(K) -
264,474.70
3,200.
264,474.70
258.380.02
258.380.02
TiyfAL ASSETS LESS aJRREpif LIABIUTIES
640A73.01
fAO,473.01
643,799.97
643,799.97
Retalned Earnings
Retained Profit b/f
5urplus/lDeftclt)
98.083.22
S26,345.S6
16.044.23
98.083.22
526345.56
16.044.23
59,574.37
544,345.56
39,880.04
59,574.37
544,345.S6
39,880.04
640,473.01
640.473.01
643.799.97
643,799.97

wYrHENSHAW COMMUNITY CHURCH
FOR THE YEAR ENDED 31 MARCH 2024
NOTE I BASIS OF PREPARATION
1.1 BASIS OF ACCOUNTING
These accounts have been prepared on the basis of historlc cost (except that investments are
shown at market value) in accordance wlth..
Accounting and Reporting by Charities- Statement of Recommended Prattice ISORP 2011);
and with Accountlng Standards;
nd wlth the Charities Act 145
1.2 CHANGE IN BASIS OF AccouYrtNG
The Charity's income passed the R￿lpt$ and Payments threshold this year, the charity
therefore changed from Receipts and Payment accounts to Accrual Accountlng
IJ CHANGES TO PREVIOUS ACCOUNTS
The￿ has been an adjustment to the previous year's account by eleminating Fixed Assets
from the previous yearfs account.
1.4 MATERIAL Do￿AT10]ys
Material L)onations indude:

wYrHENSHAW COMMUNITY CHURCH
FOR THE YEAR ENDED 31 MARCH 2024
Note 2 ACCOUThNG POLICIES
Thls standard list of accounting policies has been applied by the charlty.
INCOMINC RESOURCES
Recognition of incomin8 resources
These are included in the statement of Flnanclal Activttles1SOFAI when:
the Charity becomes entitled to the resources-
the trustees are wrtually certain they will re￿1ve the resources; and
the monetary value can be measured with sufflclent rellablllty
Incomlng Resources with RelAted Expendfture
Where incoming resources have related expenditure las with fundraising or contract intomel
the incoming resources and related expenditure are reported a$ 8ro55 in the SOFA
Grants Ind donxtlons
Grants and donations are only included In the SOFA when the Charity has unconditional
entitlement to the resources.
Tax reclalms on donations and glfts
Incoming resources from Tax reclalms are included In the SOFA at the same tirne as the
gift to which they relate.
ContraetuAI Income and perforn)Ance relgted gr8Dts
This is only induded in the sofa once the related goods or services have been delivered
Glfts In klnd
Gifts in kind are accounted for at a reasonable estimate of their value to the charity or the
amount actually realised..
Gffts In klnd for sale or distribution are included in the accounts as gifts only when sold or
dlstrlbuted by the charlty.
Gifts in kind for use by the charity are included in the SOFA as incomin8 resources when recelvale.
Donated servlces 2nd facllltles
These are only included in incoming resources Iwlth an equivalent amount In resources expended)
where the benefit to the charitii is reasonably quantifiable. measurable and materlal.
The value placed on these resources is the estimated value to the charity of the servlce or faclllty
received
Volunleer help
The value of any voluntary help received Is not Sncluded Sn the accounts but Is descrfbed In the
trustees, annual report
Investment Income
Thls Is Included in the accounts when receivable
Investment galns and losses
This includes any gain loss on the sale of Investments and any 8aln or loss resultln8 from
revaluin8 investments ￿ market value at the end of the year.