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ANNUAL REPORT
AND
FINANCIAL STATEMENTS
FOR THE YEAR
ENDED
30 SEPTEMBER 2020
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CHARITY REGISTRATION No: 1054394
Independent Examiners Ltd Unit 2 The Broadbridge Business Centre Delling Lane Bosham PO18 8NF
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HAMPDEN CHAPEL
CONTENTS
| Page 3 | Legal and Administrative Information |
|---|---|
| Page 4 | Independent Examiners Report to the Trustees |
| Pages 5 to 7 | Trustees Report |
| Page 8 | Statement of Financial Activities |
| Page 9 | Balance Sheet |
| Pages 10 to 17 | Notes to the Financial Statements |
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HAMPDEN CHAPEL
LEGAL AND ADMINISTRATIVE INFORMATION
| CHARITY NUMBER | 1054394 | |
|---|---|---|
| START OF FINANCIAL YEAR | 1 October 2019 | |
| END OF FINANCIAL YEAR | 30 September 2020 | |
| TRUSTEES AT 30 SEPTEMBER 2020 | ||
| Holding Trustee | Assemblies of God Property Trust, registered charity number 251550 | |
| Trustees of above: | ||
| R O Anekwe | B C Niblock | |
| Rev T W Bedward Jones | Rev Canon D E Shearman | |
| Rev A Butcher | Rev K P Thorpe | |
| R J Hyde | ||
| Managing Trustees | John Onelum | Eva-Blessing Onyeulo |
| Maureen Polin | ||
| Shana Lewis (resigned February 2020) | ||
| Olajide Abodunrin (appointed 3 November 2019) |
The existing trustees appoint any new trustees following the provisions laid out in the organisation's governing instrument.
LEGAL STATUS
Unincorporated charity registered at the Charity Commission 9 April 1996 GOVERNING INSTRUMENT Constitution and Trust Deed adopted 16 June 2006 AFFILIATIONS Hampden Chapel is a member of the Assemblies of God and the Evangelical Alliance OBJECTS to advance the Christian faith in accordance with the Statement of Faith of the Assemblies of God; to relieve sickness and financial hardship and to promote good health by the provision of funds, goods or services of any kind including through the provision of counselling and support; to advance education in such ways and in such parts of the United Kingdom or the World as the Church Council from time to time may think fit CORRESPONDENCE ADDRESS Lauriston Road Hackney London E9 7EU PRIMARY BANKERS HSBC 283 Mare Street Hackney London E8 1PG INDEPENDENT EXAMINER Independent Examiners Limited Unit 2 Broadbridge Business Centre Delling Lane Bosham PO18 8NF
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INDEPENDENT EXAMINER'S REPORT ON THE ACCOUNTS
Report to the Church Council of Hampden Chapel on the accounts for the year ended 30 September 2020 set out on pages 8 to 17.
Respective responsibilities of trustees and examiner
The Church Council is responsible for the preparation of the accounts. The Church Council consider that an audit is not required for this year (under section 144 of the Charities Act 2011) and that an independent examination is needed.
It is my responsibility to:
-
examine the accounts (under section 145 of the Act);
-
follow the procedures laid down in the General Directions given by the Charity Commissioners (under section 145(5)(b) of the Act); and
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state whether particular matters have come to my attention.
Basis of independent examiner's statement
My examination was carried out in accordance with General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the organisation 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 the Church Council concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair view' and the report is limited to those matters set out in the statement below.
Independent examiner's statement
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:
- to keep accounting records in accordance with section 130 of the Act; and
-
to prepare accounts which accord with the accounting records and 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.
Independent Examiners Limited Unit 2 Broadbridge Business Centre Delling Lane Bosham PO18 8NF
Dated: 12th May 2021
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HAMPDEN CHAPEL
TRUSTEES REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2020
The church has two classes of church council as follows:
Holding Trustees - are responsible for holding the Church's land and buildings on trust for the benefit of the Church.
Managing Trustees - are members of the Church Council. The Church Council is responsible for the day to day management of the Church's business in accordance with the objects of the Church. The Church Council comprises the Pastor together with such persons as the Pastor shall nominate and the Church Council shall from time to time appoint. The minimum number of Church Council Members shall be three.
The Church Council meets approximately 4 times per year.
None of the Church's officers, with the exception of the Pastors, receive remuneration.
The induction process for any church member newly appointed as a Managing Trustee comprises an initial meeting with the Minister(s) and receipt of copies of:
-
the Church Constitution
-
· the most recent financial statements
-
the Charity Commission's guidance 'the Essential Trustee'
Church Members
In accordance with the Church Constitution, Church Membership is open to those who:
-
by grace have exhibited saving faith in the Lord Jesus Christ, and
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desire to worship and serve God in the context of the statement of faith of the Assemblies of God; and
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· are committed to promoting the objects of the church
Church Members share in the responsibility for the finances, administration, maintenance and activities of the Church. Church Members meet once per year for business meetings and receive reports from the Church Council.
Risk Management
The Church's primary concern and objective is the glory of God. Whilst it is the Church's policy to trust wholly in the Lord that He will work out His purpose to this end, the Church also acknowledges that it has a responsibility both as individual members and as a body of members, for the identification and proper management of risks faced by the church in achieving its primary aim. The Church Council has therefore assessed the major risks which the charity faces on a regular basis and believe that maintaining the free reserves stated, combined with regular monitoring of financial data and the annual review of the controls over key financial systems will provide sufficient resources in the event of adverse conditions. The church reviewed and approved its financial policy in August 2020. The next review will take place during 2020/21. The trustees have also examined other operational and business risks which they face and confirm that they have established systems to mitigate the significant risks.
The charity relies on volunteers to assist with the ongoing administration and maintenance of the Church, and this year the Trustees would like to extend their appreciation to the approximately 20 volunteers that have given up their time.
Activities
Hampden Chapel is an independent church and is affiliated to Assemblies of God - Great Britain and Ireland. The congregation is drawn from a wide range of cultures and caters for all age groups.
The Church Council has given due regard to the Charity Commission’s guidance on public benefit and, in particular, the specific guidance on charities for the advancement of religion. During the year the Church continued to carry out the following activities in order to promote the Gospel in the local neighbourhood:
-
Sunday Worship
-
Discipleship classes
-
Outreach to the local community
-
Midweek Prayer
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HAMPDEN CHAPEL
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 30 SEPTEMBER 2020
Achievements and Performance
As a church we give thanks to God that He has seen fit to continue to bless our activities. In this financial period we have been able to continue to deliver and develop prior agreed projects throughout the year.
We pray that God will enable us to be good stewards of the gifts and resources entrusted to us through the body of people who are the church family and the wider community.
Financial Review
The Statement of Financial Activities and Balance Sheet are on pages 8 and 9 respectively. The Church had a deficit of income over expenditure of £31,094 during the year. However, of this deficit £26,094 is due to depreciation charged against fixed assets (2019/18: deficit of £18,558 and depreciation charged of £9,808). The balance sheet at 30th September 2020 shows net assets of £2,500,952 (At 30 September 2019: net assets of £2,532,046).
Included in the total funds are amounts totalling £13,708 (2019/18: £12,986) which are restricted. These monies have either been raised for and their use restricted to, specific purposes, or they comprise donations subject to donor imposed conditions. Full details of the restricted funds together with an analysis of movement can be found in note 10 of these accounts.
Reserves Policy
The Church Council has examined the requirements for free reserves, i.e. Those unrestricted funds not invested in tangible fixed assets and programme related investments. The Church Council consider that, given the nature of the church's work, free reserves should be equivalent to approximately 6 months routine general fund expenditure, plus committed future expenditure on other projects, where funds permit. The Church Council is of the opinion that this provides sufficient flexibility to cover temporary shortfalls in incoming resources and will allow the church to cope and respond to unforeseen emergencies whilst specific action plans are implemented.
At 30 September 2020 the church had net free reserves (excluding property) as follows:
| Unrestricted funds Net Current Assets Free Reserves |
2020/19 2019/18 £ £ 53,333 59,057 53,333 59,057 |
|---|---|
Investment Policy
The church deposits spare funds on short term cash deposits on the basis that free reserves may be required at short notice.
Grants Policy
In any given financial year, the church may make grants up to approximately 10% of its incoming resources annually to support missionary endeavours both in the UK and abroad. The policy of the church is to give grants on the basis that they are subject to annual review and only renewed on the basis of meeting set criteria. In addition, the church also has a hardship fund to support those in need.
Statement regarding the impact of COVID-19 on the church
During the period of the lock-down, Sunday worship and mid-week services have been (and will be) hosted in accordance to UK Government guidelines. Donors have also been encouraged to make donations via internet banking and the Givt app. As a church, we have been very fortunate to have healthy reserves, which has helped to cover ongoing expenses during this period. Payments to creditors have been made via bank transfers during this period.
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NAMPDEN CHAPEL TRVSTeES REPORT (COP4TINUEDI FOR THE YEAR EP4DED 30 SEPTEMBER 2020 Trugt¢os R¢¥pon8lblliilts The Church Coundl are re5ponslble for preparfng RepDrt Df the Trustee5 and the flnandal ststsments in Kcordan w applic4) law )na uniteo n900M Acts>unUng Standards IUnTted ngdoM GÈner3lly Accepted Accounung Prac)). The law applrc8b to charY£les In England and Wales, the Charit Art 2011, Charty (Accounts and Reports) RegUtIonS and the pmvtsk)ns of the trust deed reoulre5 bijstees to orÈDare financK41 st3tamÈnts ftsr 92rh fir11 yr whyth gwe ? and fair vlew of the state of affairs of thÈ thariiy and of the Incomlno rÈsources and appIaOn of resour$. Sncludhg the Income and expendIre, of the ctbafty for th period. In preparing those finJnuJl stthments, the trustees are requlred to.. Selett sutt4bk accoufttlna Dolkles and HDDIV them cons&tent Make lud Prepare emenrs and estimes that ore reasonable and prudent In8n¢ial statements on rhe golng concern basls unless Vc Is InaDpropFlJte to presume that the trust wlll confjnue In exlstence. Ol>serve the methods and principles In the tharity SORP., The Churth Council Is re5ponslble for keeping proper accoundng records whkh d15close wlth aSonab acujracv at any the flnanclal posibon of the chaHty and to enabk them to ensure that the financE31 statements wlth the Charities Act 2011, the Charity (Accvunts and Reports) ReguL7tions and the prov5 of the Trust Deed. Théy are also re5ponslblè for safeguarding the nf th rhariiy and hencè fortsking rq4wnabla Étéps For the preVenOn and detection tsf fraud and other Irrt9ulorftks. The Church Counal i% reswnslble for the maintenantt and integrity of the charfty and flnantsi inforrnatlon Induded In the charity, webslte. Stgned on behalf Of thÈ Church Coundl by Dato.......
HAMPDEN CHAPEL
STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 30 SEPTEMBER 2020
| Notes Donations and Legacies 2a Raising Funds 2b Investments 2c Charitable Activities 2d Other 2e TOTAL INCOME EXPENDITURE ON: Charitable Activities 3a Other 3b TOTAL EXPENDITURE NET INCOME/EXPENDITURE NET MOVEMENT IN FUNDS Reconciliation of funds: Total Funds Brought Forward TOTAL FUNDS CARRIED FORWARD INCOME AND ENDOWMENTS FROM: |
Unrestricted Designated Restricted TOTAL TOTAL Funds Funds Funds 2020/19 2019/18 £ £ £ £ £ 34,630 50 758 35,438 32,485 0 0 0 0 365 275 0 0 275 33 1,000 0 0 1,000 500 2 0 0 2 980 35,907 50 758 36,715 34,363 67,773 0 36 67,809 52,921 0 0 0 0 0 67,773 0 36 67,809 52,921 (31,866) 50 722 (31,094) (18,558) (31,866) 50 722 (31,094) (18,558) 2,518,866 194 12,986 2,532,046 2,550,604 2,487,000 244 13,708 2,500,952 2,532,046 |
|---|---|
Movements on all reserves and all recognised gains and losses are shown above. All of the organisation's operations are classed as continuing.
The notes on pages 10 to 17 form part of these financial statements.
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HAMPDEN CHAPEL BALANCÉ SHEEr AS AT 30 SEPTEMBER 1020 Unrestr5Cted DésbnaFJ 304•p-l• Funds Funds Funds Total Flxed A¢1$ Tanglble assets 2,433,667 2033.667 2,459.809 Debtors Cosh at bank and in hand S.043 5.043 2,001 244 Credltots: amounts falllng Oue witm one year 831 831 801 NET CURREln ASSETS 53.333 244 13,708 67,285 72,237 TOTAL ASSETS rrent llabiif(s 487.000 244 13.708 &500.952 2,S32.046 NET ASSÉTS 2 487 000 500 952 of tho Ch•rFty General Fund= Restritted Funds DeSnated Funds Kevaiuation Reserve 997,000 yyi,uo 13,708 244 1.490,000 io li 1.028,866 12,986 Ig4 1,490.000 13,708 244 1,490.000 Total Funds 487 000 244 13 708 2.SOQ 951 Aypruved by the Churcn coufiui.... and Signed on their behalf by , Trus
HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2020
Basis of preparation:
These accounts have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.
The accounts have been prepared in accordance with:
The Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014 and with the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102).
and with the Charities Act 2011.
The charity constitutes a public benefit entity as defined by FRS 102.
There are no material uncertainties about the charity's ability to continue in operation as a going concern.
The charity has applied Update Bulletin 1 as published on 2 February 2016 and does not include a cash flow statement on the grounds that it is applying FRS 102 Section 1A.
1. ACCOUNTING POLICIES
Income
Recognition of Income
These are included in the Statement of Financial Activities (SOFA) when:
▪ the charity becomes entitled to the resources;
▪ the trustees believe it is probable they will receive the resources; and
▪ the monetary value can be measured with sufficient reliability
Income with related expenditure
Where income has related expenditure (as with fundraising or contract income) the income and related expenditure are reported gross in the SOFA.
Grants and Donations
Grants and Donations are only included in the SOFA when the charity has unconditional entitlement to the resources. Tax reclaims on Donations and Gifts
Income from tax reclaims are included in the SOFA during the same period as the gift to which they relate. Gifts in Kind
Gifts in kind are accounted for at a reasonable estimate of their value to the charity or the amount actually realised. Gifts in kind for sale or distribution are included in the accounts as gifts only when sold or distributed by the charity. Gifts in kind for use by the charity are included in the SOFA as income when receivable. Donated Services and Facilities
These are only included in income (with an equivalent amount in expenditure) where the benefit to the charity is reasonably quantifiable, measurable and material. The value placed on these resources is the estimated value to the charity of the service or facility received.
Volunteer Help
The value of any voluntary help received is not included in the accounts but is described in the trustees' annual report.
Investment Income
This is included in the accounts when receivable.
Expenditure and liabilities
Liability recognition
Liabilities are recognised as soon as there is a legal or constructive obligation committing the charity to pay out resources.
Governance Costs
Include costs of the preparation and examination of statutory accounts, the costs of the trustees meetings and cost of any legal advice to trustees on governance or constitutional matters.
Support Costs
Support costs are those that assist the work of the charity but do not directly represent charitable activities, including office costs and administrative payroll costs if any. They are incurred directly in support of expenditure on the objects of the charity and are all directly attributable to the general church operational activities.
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2020
Pensions
The charity operates a defined contribution pension scheme. Contributions are charged to the Statement of Financial Activities as they become payable in accordance with the rules of the scheme. The charity is under no further obligation to make any extra payments irrespective of how that pension fund performs.
Assets
Tangible fixed assets for use by the charity
These are capitalised if they can be used for more than one year, and cost at least £500. They are valued at cost or, if gifted, at the value to the charity on receipt.
Depreciation is calculated at a rate to write off the cost of tangible fixed assets on a straight line basis over their estimated useful lives. The rates applied per annum are as follows:
Fixtures, Fittings and Equipment 25% Buildings 1% (from 1st October 2019) Land 0%
Prior to financial year 2017/16, the property was included in the financial statements at its 2009 market value. At the date of transition to FRS102, the Trustees opted to state the property at its revalued amount being that property's current market value, as calculated by Foxtons Agents in July 2017. The value of the land element of the property is deemed to be one third of the total carrying value. No depreciation has previously been provided because the Trustees considered the current residual fair value of the properties in their present condition is not less than its deemed cost and no impairment has been identified to suggest that the asset value on the balance sheet is less than the estimated sale value and value in use to the charity.
From the start of the 2020/19 financial year, the Trustees have opted to change the accounting estimate prospectively and in accordance with SORP FRS102, in order to depreciate the buildings component over its expected useful life at a rate of 1% per annum.
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 30 SEPTEMBER 2020
| 2. INCOME Note a) Donations and Legacies Gift aid tax recoverable 15 Grants Offerings and donations b) Raising Funds BBQ income Lettings c) Investments Bank interest d) Charitable Activities Training Income e) Other Insurance claim Sundry income |
Unrestricted Designated Restricted TOTAL TOTAL Funds Funds Funds 2020/19 2019/18 £ £ £ £ £ 5,443 0 0 5,443 432 0 0 0 0 194 29,187 50 758 29,995 31,859 34,630 50 758 35,438 32,485 0 0 0 0 105 0 0 0 0 260 0 0 0 0 365 275 0 0 275 33 275 0 0 275 33 1,000 0 0 1,000 500 1,000 0 0 1,000 500 0 0 0 0 980 2 0 0 2 0 2 0 0 2 980 |
|---|---|
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 30 SEPTEMBER 2020
| 3. EXPENDITURE a) Charitable Activities Minister: Employer pension Gross salary Church activities: Affiliation Fees Benevolence Books and magazines Catering and refreshments Children and youth Materials Missions Training and conferences Travel Visiting speakers Worship Office and support costs: Accountancy and payroll Administration and office expenses Legal and professional fees Printing, postage and stationery Professional subscriptions and licences Telephone Website and internet Premises costs: Cleaning and premises costs Depreciation of Fixed Assets Insurance Manse Repairs Manse Rent and rates Repairs and maintenance (Church) Utilities Governance costs: Independent examination Safeguarding b) Other Sundry expenses Details of certain items of expenditure Independent examiners fees Other fees (accountancy, bookkeeping and payroll) |
Unrestricted Designated Restricted TOTAL TOTAL Funds Funds Funds 2020/19 2019/18 £ £ £ £ £ 729 0 0 729 607 24,284 0 0 24,284 24,284 1,145 0 0 1,145 1,050 203 0 0 203 105 3 0 0 3 0 412 0 0 412 780 0 0 36 36 312 345 0 0 345 0 180 0 0 180 623 209 0 0 209 1,076 76 0 0 76 92 300 0 0 300 0 0 0 0 0 535 2,786 0 0 2,786 3,048 182 0 0 182 437 324 0 0 324 848 59 0 0 59 88 233 0 0 233 774 686 0 0 686 509 440 0 0 440 393 300 0 0 300 420 26,142 0 0 26,142 9,808 3,093 0 0 3,093 1,679 384 0 0 384 134 824 0 0 824 1,006 2,868 0 0 2,868 3,086 1,048 0 0 1,048 807 325 0 0 325 300 193 0 0 193 120 67,773 0 36 67,809 52,921 0 0 0 0 0 0 0 0 0 0 TOTAL TOTAL 2020/19 2019/18 £ £ 325 300 2,786 3,048 3,111 3,348 |
|---|---|
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 30 SEPTEMBER 2020
4. STAFF COSTS AND NUMBERS
| Gross Wages and Salaries Employer's National Insurance Costs Employers Allowance Claimed Pension Contributions Employees who were engaged in each of the following activities: Activities in furtherance of organisation's objects |
2020/19 2019/18 £ £ 24,284 24,284 2,150 2,175 (2,150) (2,175) 729 607 25,013 24,891 2020/19 2019/18 TOTAL TOTAL 1 1 |
|---|---|
No employees received emoluments in excess of £60,000. Staff are paid through the PAYE system.
Employer pension contributions totalling £729 were paid on behalf of one employee.
5. TRUSTEES AND OTHER RELATED PARTIES
No payments were made to Holding Trustees.
One Managing Trustee (Pastor John Onelum) received no remuneration for his Trusteeship, but received reimbursement of expenses incurred as detailed below, and also received remuneration for his services a Church Pastor as disclosed in note 4. The Church also paid employer pension contributions on his behalf. Pastor John Onelum was also provided with manse accommodation in accordance with a formal tenancy agreement.
| Number of Trustees who were reimbursed for expenses incurred whilst on church business: Amount reimbursed: Travel Subsistence Total amount paid £ |
2020/19 2019/18 1 1 76 92 255 588 331 680 |
|---|---|
A related party to Trustee S Lewis received payments totalling £300 for cleaning services provided to the church (2019/18: £720). Note: Trustee S Lewis resigned as a Trustee in February 2020.
Apart from reimursement of purchases made on behalf of the Church that totalled £1,847 (2018/18: £3,353), no other payments were made to trustees or any persons connected with them during this financial period.
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 30 SEPTEMBER 2020
6. TANGIBLE FIXED ASSETS
| Cost 01-Oct-19 Additions Revaluations Cost at 30-Sep-20 Depreciation 01-Oct-19 Charge Depreciation at 30-Sep-20 Net Book Value 30-Sep-20 Net Book Value 30-Sep-19 |
Unrestricted Unrestricted Unrestricted Unrestricted Unrestricted Unrestricted Total Freehold Freehold Leasehold Leasehold Fixtures Refurbishment Land Buildings Land Buildings Fittings & Costs Equipment Title No. 249700 Title No. 249700 Title No. EGL172683 Title No. EGL172683 The Church The Church The Manse The Manse £ £ £ £ £ £ £ 500,000 1,000,000 316,667 633,333 20,857 38,083 2,508,940 0 0 0 0 0 0 0 0 0 0 0 0 0 0 500,000 1,000,000 316,667 633,333 20,857 38,083 2,508,940 0 0 0 0 20,568 28,563 49,131 0 10,000 0 6,333 289 9,520 26,142 0 10,000 0 6,333 20,857 38,083 75,273 500,000 990,000 316,667 627,000 0 0 2,433,667 500,000 1,000,000 316,667 633,333 289 9,520 2,459,809 |
|---|---|
Fixed assets are used for charitable purposes.
The Trustees are of the opinion that the value of the two freehold properties held (The Church, 30 Christchurch Square and The Manse, Lauriston Road) is not materially different to the valuation provided by Foxtons Agents in July 2017 and as stated above.
The annual commitments under non-cancelling operating leases and capital commitments are as follows: 30 September 2020: None 30 September 2019: None
7. DEBTORS AND PREPAYMENTS
| Gift Aid Tax Recoverable 8. CASH AT BANK AND IN HAND HSBC Current Account HSBC Deposit Account Cash in Hand |
Unrestricted Designated Restricted Total Total Fund Fund Fund 30-Sep-20 30-Sep-19 £ £ £ £ £ 5,043 0 0 5,043 2,001 5,043 0 0 5,043 2,001 Unrestricted Designated Restricted Total Total Fund Fund Fund 30-Sep-20 30-Sep-19 £ £ £ £ £ 32,286 244 13,708 46,238 54,430 16,507 0 0 16,507 16,507 328 0 0 328 100 49,121 244 13,708 63,073 71,037 |
|---|---|
9. CREDITORS ACCRUALS AND DEFERRED INCOME: AMOUNTS FALLING DUE WITHIN ONE YEAR
| Accountancy Fees Independent Examiners Fees Pension Contributions |
Unrestricted Designated Restricted Total Total Fund Fund Fund 30-Sep-20 30-Sep-19 £ £ £ £ £ 365 0 0 365 360 325 0 0 325 300 141 0 0 141 141 831 0 0 831 801 |
|---|---|
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 30 SEPTEMBER 2020
10. RESTRICTED FUNDS
| Current year Cosmo Club Missions Street Work Girls Brigade Youth Ministry Ministry Training English for Non Speakers Previous year Cosmo Club Missions Street Work Girls Brigade Youth Ministry Ministry Training English for Non Speakers |
Balance Balance 01-Oct-19 Income Expenditure Transfers 30-Sep-20 £ £ £ £ £ 511 50 0 0 561 6,236 0 0 0 6,236 4,239 0 0 0 4,239 240 0 0 0 240 282 708 36 0 954 1,453 0 0 0 1,453 25 0 0 0 25 12,986 758 36 0 13,708 Balance Balance 01-Oct-18 Income Expenditure Transfers 30-Sep-19 £ £ £ £ £ 511 0 0 0 511 5,588 648 0 0 6,236 4,239 0 0 0 4,239 240 0 0 0 240 98 456 272 0 282 1,453 0 0 0 1,453 25 0 0 0 25 12,154 1,104 272 0 12,986 |
|---|---|
The Cosmo Club fund relates to funds raised by and for the Cosmo Club. The Missions Fund relates to funds raised specifically for missionary causes.
The Street Work fund relates to funds raised for work amongst the homeless.
The Girls Brigade Fund and Youth Ministry Fund relates to giving for these specific activities. It includes costs for refreshments, materials and special events and activities.
The Ministry Training funds pertain to the church's education and ministry training program for adults.
The English for Non Speakers (ESOL) funds pertain to the ESOL classes delivered at Hampden Chapel in partnership with the Hackney Learning Trust.
11. DESIGNATED FUNDS
| Current year Building Fund Previous year Building Fund |
Balance Balance 01-Oct-19 Income Expenditure Transfers 30-Sep-20 £ £ £ £ £ 194 50 0 0 244 194 50 0 0 244 Balance Balance 01-Oct-18 Income Expenditure Transfers 30-Sep-19 £ £ £ £ £ 0 194 0 0 194 0 194 0 0 194 |
|---|---|
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HAMPDEN CHAPEL
NOTES TO THE FINANCIAL STATEMENTS (continued) FOR THE YEAR ENDED 30 SEPTEMBER 2020
12. RECONCILIATION OF FUNDS HELD AND MOVEMENT DURING THE CURRENT YEAR
| Balance | Opening | Balance | |||||
|---|---|---|---|---|---|---|---|
| 01-Oct-19 | Bal Adjust | Income Gains/Losses |
Expenditure | Transfers | 30-Sep-20 | ||
| £ | £ £ |
£ | £ | £ | |||
| Unrestricted funds | 2,518,866 | 0 | 35,907 | 0 | 67,773 | 0 | 2,487,000 |
| Designated funds | 194 | 0 | 50 | 0 | 0 | 0 | 244 |
| Restricted funds | 12,986 | 0 | 758 | 0 | 36 | 0 | 13,708 |
| 2,532,046 | 0 | 36,715 | 0 | 67,809 | 0 | 2,500,952 | |
| 13. RECONCILIATION OF FUNDS HELD | AND MOVEMENT DURING THE PREVIOUS | YEAR | |||||
| Unrestricted funds | Balance 01-Oct-18 £ 2,538,450 |
Opening Bal Adjust £ 0 |
Income Gains/Losses £ £ 33,065 |
Expenditure £ 0 52,649 |
Transfers £ 0 |
Balance 30-Sep-19 £ 2,518,866 |
|
| Designated funds | 0 | 0 | 194 | 0 | 0 | 0 | 194 |
| Restricted funds | 12,154 | 0 | 1,104 | 0 | 272 | 0 | 12,986 |
| 2,550,604 | 0 | 34,363 | 0 | 52,921 | 0 | 2,532,046 |
14. PUBLIC BENEFIT
The charity acknowledges its requirement to demonstrate clearly that it must have charitable purposes or ‘aims’ that are for the public benefit. Details of how the charity has achieved this are provided in the Trustees report. The Trustees confirm that they have paid due regard to the Charity Commission guidance on public benefit before deciding what activities the charity should undertake.
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