Bethel Christian Fellowship, West Bromwich. Charity No. 1052751
Annual Report for the year to 31[st] December 2021
The Church Council present their report for the year ended 31[st] December 2021
Administrative Information.
The members of the Church Council during the year were;
Daniel Cherian: Senior Minister & Council Member. Peter Kay: Church Elder, Administrator & Holding Trustee Haydn Sharman Church Elder, Treasurer & Holding Trustee Dennis Simpson Council Member & Holding Trustee Malcolm Hannah Council Member & Holding Trustee Wayne Harris Council Member & Holding Trustee Susan Wright Council Member & Holding Trustee
Church Council members are appointed by Pastor Daniel Cherian, Peter Kay and Haydn Sharman (Spiritual Leadership of the Church) Holding Trustees are appointed by the Church Council.
The Charity was established by Trust Deed dated 29[th] September 1995 by the Bethel Christian Fellowship Church Council, and is registered with the Charity Commission, No 1052751.
Objectives
Bethel Christian Fellowship Mission Statement .
To reach all age and people groups in our community with the gospel and to see those who are saved baptised in water and with the Holy Spirit. To subsequently promote discipleship and commitment to the Lord by encouraging and developing , we present each one mature in Christ.
Bethel Christian Fellowship is established to provide Pentecostal fellowship for those of like faith, to proclaim and further the Gospel of God concerning his Son Jesus Christ, to consolidate converts in their faith, to maintain a place of worship for the meeting of believers, the solemnisation of marriages, funerals, the dedication of infants together with providing caring ministries and social assistance.
The charity is affiliated to The Assemblies of God in Great Britain and Northern Ireland and is a member of the Evangelical Alliance. The Church is also a Network Church of The All Nations Movement, Wolverhampton
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Staff.
The charity is currently staffed by three part time employees, a large team of church member volunteers who undertake everything from church cleaning to conducting church services. The charity is heavily dependant on this voluntary help continuing in order to achieve its objectives in the future.
The Church Council employed a Children & Family worker on a part-time basis but unfortunately due to ill health this contract ended in December. The Church council are to seek a replacement.
Pastoral Care
Pastoral Care continues to be carried out mainly via phone calls to the membership on a regular basis by the members of the Leadership Team. When Covid restrictions door step visits were carried out ensuring the most vulnerable received a visit. As we returned to regular Church Services the monitoring of the congregation and their perceived needs became much easier, and home visitation was once more resumed.
Activities and Performance.
From January to March onwards following the Government Covid guidelines the church closed and its activities ceased. We continued to have online services and distributed CD s to those members unable to join us online. Through our online presence we were able to have Sunday School and also ran an Alpha course on Zoom.
In July as Covid restrictions were lifted completely we returned initially to a reduced programme in the Church building.
As the year progressed, we were able to hold an number events for the membership, these included afternoon tea for the ladies, a Church Picnic and a Christmas party.
We began a Toddler and Parent/Carer group which has attracted a number of people from the local community and proves to be popular. We also started A Place of Welcome group and Messy Church for pre Senior School Children.
We continued to contribute to the local Food Bank, Care homes and a refuge. At Christmas we delivered parcels to two local residential care homes and Mince pies to every house in the two streets around the Church.
The Church Hall when allowed was used on weekday afternoons by a neighbourhood the leadership see this as a great way to connect with the community.
Although closed for part of the year we believe the church was still actively involved in mission and outreach work and the Church Council believe these activities meet the Commissions guidance on public benefit.
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Membership.
Church Membership we believe has remained stable in line with the National trend. With an ageing congregation, we continue to look for numerical growth, especially amongst younger people, to sustain the church going into the future, both financially and spiritually.
Mission.
We continue to support the various projects for orphaned children in both Zambia and India. We continue to support other individuals in foreign m work.
The Church Building.
The main building, foyer and toilets were redecorated to a high standard. New Carpet was laid in the main church hall. A disabled toilet has been installed. The main church roof has been replaced. The Church Council ensure that building is kept in excellent state of general repair.
The Church House. The tenants and rent remain the same.
Finances.
The Annual General Meeting was held on 21[st] November and covered the previous year, postponed because of Covid restrictions.
Treasurers Report.
Tithes and Offerings bounced back from the Covid closure period to £57401 an increase of 28%. More pertinently, this is 4% up on the pre-Covid figure of 2019. This has been helped a slightly wider uptake of direct to bank payments.
Sundry income increased by 140% to £8484 and includes £2920 donated towards the roof repair fund, £2800 -School Club who use our facilities, and a donation of £1000 via the Charities Aid Foundation.
Missionary donations increased by 21% to £3594.
The largest outgoings were the salaries for our employees totalling £31021.
Extraordinary expenditure of note includes: Roof repairs (£22800), Carpet (3900), Stage Extension (3120), church house repairs (£850), and sound equipment (£700). Light and heat costs returned to their pre-Covid levels.
A net loss of £4053 was made overall, but this includes accounting adjustments for depreciation of £7641.
The church savings account ended the year with a balance of £37500.
In light of the church closure period during Covid, and especially in view of our ability to pay a substantial repair bill for the roof, the church has come through soundly thanks to the generosity of those who attend and give faithfully.
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We are presently reviewing our strategy for encouraging giving which will include further encouragement to donate direct to bank and the use of Gift Aid, a new receptacle in the foyer for receipt of cheques and cash, and a further investigation into the possibility of taking card payments.
Peter Kay Church Administrator. 5[th] August 2022.
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Draft Financial Statements at 28 September 2022 at 14:17:37
BETHEL CHRISTIAN FELLOWSHIP
UNAUDITED ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2021
Draft Financial Statements at 28 September 2022 at 14:17:37 BETHEL CHRISTIAN FELLOWSHIP
BUSINESS INFORMATION
Accountants
Business address
Bache Brown & Co Limited Swinford House Albion Street Brierley Hill West Midlands DY5 3EE Gads Lane West Bromwich West Midlands B70 8QL
Draft Financial Statements at 28 September 2022 at 14:17:37 BETHEL CHRISTIAN FELLOWSHIP
CONTENTS
| Page | |
|---|---|
| Accountants' report | 1 |
| Profit and loss account | 2 |
| Balance sheet | 3 |
| Notes to the accounts | 4 |
Draft Financial Statements at 28 September 2022 at 14:17:37 BETHEL CHRISTIAN FELLOWSHIP
CHARTERED ACCOUNTANTS' REPORT TO THE PROPRIETOR
ON THE UNAUDITED ACCOUNTS OF BETHEL CHRISTIAN FELLOWSHIP
As described on page 2, you have approved the accounts for the year ended 31 December 2021 set out on pages 2 to 4 and have acknowledged your responsibility for them and for providing all information and explanations necessary for their compilation.
Bache Brown & Co Limited
.........................
Chartered Accountants
Swinford House Albion Street Brierley Hill West Midlands DY5 3EE
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Draft Financial Statements at 28 September 2022 at 14:17:37 BETHEL CHRISTIAN FELLOWSHIP
DETAILED TRADING AND PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDED 31 DECEMBER 2021
| Turnover Tithes and offerings Sundry income Missionary donations Administrative expenses Wages and salaries Rates and insurance Youth and childrens work Outreach work Light and heat Missionary expenses Repairs and maintenance Printing, postage and stationery Telephone Travelling expenses Hospitality Legal and prof fees Accountancy Canteen Sundry expenses Charitable donations and ministry gifts Depreciation on freehold property Depreciation on fixtures, fittings and equipment Other operating income Rent receivable Operating loss Other income Bank interest received Net loss for the year |
2021 £ £ 57,401 8,484 3,376 69,261 31,021 2,601 773 1,741 3,594 9,245 14,218 1,706 391 77 - 391 834 198 1,130 4,773 5,564 2,077 (80,334) (11,073) 7,020 (4,053) 2 (4,051) |
2020 £ £ 44,764 3,523 2,857 51,144 23,008 2,256 466 469 2,514 5,301 9,415 2,304 399 90 99 40 834 68 1,407 4,304 4,994 2,407 (60,375) (9,231) 5,940 (3,291) 43 (3,248) |
|---|---|---|
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Draft Financial Statements at 28 September 2022 at 14:17:37 BETHEL CHRISTIAN FELLOWSHIP
BALANCE SHEET
AS AT 31 DECEMBER 2021
| Notes Fixed assets Tangible assets 1 Current assets Prepayments Cash at bank and in hand Current liabilities Accruals Net current assets Total assets less current liabilities Capital account At 1 January 2021 Loss for the year |
2021 £ 308 40,547 40,855 1,693 |
£ 262,348 39,162 301,510 305,561 (4,051) 301,510 |
2020 £ 2,229 57,604 59,833 1,461 |
£ 247,189 58,372 305,561 308,809 (3,248) 305,561 |
|---|---|---|---|---|
I approve the accounts set out on pages 2 to 4. I acknowledge my responsibility for the accounts and for providing Bache Brown & Co Limited with all information and explanations necessary for their compilation.
......................................
Date : .........................
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Draft Financial Statements at 28 September 2022 at 14:17:37 BETHEL CHRISTIAN FELLOWSHIP
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2021
1 Tangible fixed assets
| Land and buildings Freehold Fixtures, fittings & equipment £ £ Cost At 1 January 2021 243,329 99,455 Additions 22,800 - At 31 December 2021 266,129 99,455 Depreciation At 1 January 2021 128,235 85,611 Charge for the year 5,564 2,077 At 31 December 2021 133,799 87,688 Net book value At 31 December 2021 132,330 11,767 At 31 December 2020 115,094 13,844 |
Total £ 342,784 22,800 |
|---|---|
| 365,584 | |
| 213,846 7,641 |
|
| 221,487 | |
| 144,097 | |
| 128,938 |
| Investment | |
|---|---|
| properties | |
| £ | |
| Cost | |
| At 1 January 2021 & at 31 December 2021 | 118,251 |
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lif any1= I Address= ikL kSTLLCRopr 'II2 8L Section B Disclosure Only corllplele if the examiner needs to highlighl matellal matters of concern Isee CC32, Independent examination of charity accounts." directions and guidance for examtners). Give here brief details of any items that the examiner wishes to disclose. IER Oct 2018
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Sectlon A . Independent Examiner's Report. Report to the trusteesl Membe of On accounts for the year 8nd8d Charty no lif any) ,0£2if I Set outon pages I report lo the trustees on my examination of the acrx)unts ol the above charityllhe Trust") for the yeaf ended As the ch81ity's trustees. you are responsible for the PTeparab"on of Ihe accounts in aOrdanCe with the requirements of the charib.es Act 2011 l.the Act"). I report in respect of my examination of the Trust's accounts carried out under section 145 of Ihe 2011 Act and in cafrying out my examination, I hove followed all the applicable Directions given by the Charity Commission under section 145(5}Ib} of the Act. Responslbllities and basis of report Independent trhe charity's gfOSS incoffle exceeded £250,000 and l am qualif5ed lo examiner's statement undertake the examination by being a qualified member of [Insert name of spplicable listed bodyll. Delete I l if not 8pplicable. I have completed my examination. I confimi that no material matters have come lo my attention in connection with the examination (other than that disclosed below ') which gives me cause to believe that in, any material respect: the accounting records were not kept in accordance with section 130 of the Charities Act., or the ac£ounls did not accord with the accounting records-, or the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in Ihe Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a 'true and fairf view which is not a matter considered as part of an independent ex8mination. I have no COnrn$ and have come across no other matters in Connection Wtth the examination lo which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. ' Please delete the ¥yords in the bracket5 if they do not apply. Signed.. I Date: Name.. Relevant professional quallficatlonlsl or body IER Oct 2018