KETTERING
CHRISTIAN CENTRE
ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 OCTOBER 2025
Registered Charity No. 1054423
2A Pollard Street, Kettering, Northamptonshire, NN16 9RW
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Reference and Administrative Information
| Charity name | Kettering Christian Centre |
|---|---|
| Registered charity number | 1054423 |
| 2A Pollard Street | |
| Principal address | Kettering Northamptonshire |
| NN16 9RW | |
| Governing document | Constitution and Trust Deed adopted 15 March 2006; the governing document was approved by the Charity Commission in 2011. |
| Affiliation | Assemblies of God |
Trustees
| stees | |
|---|---|
| Sam Munangatire | Chairman |
| Shevonne Blair | Treasurer |
| Grahame York | Trustee |
| Nigel Blair | Trustee |
| Property trustee | Assemblies of God Property Trust |
Professional Advisers
Mrs Susan Lewis FCCA Independent examiner Porthmeor, 6 Park Road, Newbridge, Newport, NP11 4RF Barclays Bank Plc Bankers 1 Churchill Place, London, E14 5HP
Senior Office Holders
Sam Jr Munangatire - Chairperson; Shevonne Blair - Treasurer. Grahame York and Nigel Blair serve as trustees.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Contents
| tents | |
|---|---|
| Trustees' Annual Report | 4 |
| Objectives and Activities | 4 |
| Achievements and Performance | 5 |
| Financial Review | 6 |
| Structure, Governance and Management | 7 |
| Trustees' Responsibilities | 8 |
| Independent Examiner's Report | 9 |
| Statement of Assets and Liabilities | 10 |
| Receipts and Payments Account | 11 |
| Notes to the Accounts | 12 |
The annual report and financial statements have been prepared for the year ended 31 October 2025. The trustees have approved the report and accounts on behalf of the charity.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Trustees' Annual Report
The trustees present their annual report and the financial statements of Kettering Christian Centre for the year ended 31 October 2025. The report explains the charity's purposes, public-benefit activities, achievements, financial position, governance arrangements and principal risks during the period.
Kettering Christian Centre is a local church and registered charity serving Kettering and the surrounding community. Its activities are open to the public and are not restricted to regular attendees or church members.
Objectives and Activities
The charity's core objectives are to promote the Christian faith, alleviate sickness and hardship, and advance education.
In furtherance of these purposes, the charity provides material and spiritual support within the local community. Its principal activities include public worship and teaching, pastoral care, befriending, referrals to relevant service providers, education and training, community fellowship, and practical assistance where need arises.
Public Benefit and Community Use
The trustees have had regard to the Charity Commission's guidance on public benefit. The charity seeks to ensure that its services and facilities are accessible to the wider community.
The church building is made available for community use when it is not required for church activities. Local care providers use the premises for training on weekdays and on some Saturdays. The building is also used by clubs, societies, social groups and for children's parties.
A befriending and referral service is provided when a need is identified. The charity also supports individuals through food assistance, practical guidance and referrals to suitable service providers.
Grant-making and Practical Assistance
The charity provides small gifts and practical assistance to individuals where a genuine need arises or is brought to its attention. Support has primarily related to food costs, short-term accommodation and travel expenses in appropriate circumstances.
Social Investment
The charity does not hold social investments. Its principal long-term asset is the church building, which is maintained and used to support the charity's mission and public-benefit activities.
Contribution Made by Volunteers
Kettering Christian Centre relies substantially on the commitment and skills of its members and volunteers. Their contribution enables the charity to maintain the premises and deliver its activities at the present level.
Volunteers serve in ministry, music, cleaning, administration, information technology, hospitality, building maintenance and other service areas. They bring a wide range of professional and practical experience. Training is provided according to the responsibilities undertaken so that volunteers are suitably prepared for their roles.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Achievements and Performance
During the year, Kettering Christian Centre continued to provide financial assistance, food parcels, pastoral support and referrals to relevant service providers where necessary.
The church community remained stable, with more individuals undertaking training in areas such as pastoral care, teaching, Sunday School, administration, building maintenance and mentoring.
Kettering Christian Centre is a church community of more than 50 people, representing a range of ages, cultures and ethnic backgrounds. Everyone is welcome, and the services offered are intended for the wider community as well as those who regularly attend the fellowship.
Use and Stewardship of the Church Building
The church building remains the charity's primary investment and operational base. The trustees continue to focus on maintaining the premises, supporting community access and ensuring that the building is used effectively to advance the charity's purposes.
Training and Development
The charity continued to develop volunteers and leaders through role-specific training. This supports continuity, strengthens safeguarding and governance, and helps the charity sustain its activities despite changes in volunteer availability.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Financial Review
The charity's principal source of income is voluntary giving through Sunday offerings, collections, Gift Aid and online donations. Income is also received from the use of the building and from interest earned on surplus funds held on short-term deposit.
Total receipts for the year were £67,072, compared with £74,413 in 2024. Total payments were £70,465, compared with £71,061 in 2024. This resulted in a net cash outflow of £3,393 for the year. Total assets at 31 October 2025 were £124,685, with no current liabilities reported.
Reserves Policy
The trustees aim to maintain reserves equivalent to approximately three months of operating costs. This policy is intended to provide financial resilience in the event of an unexpected reduction in income and to allow the charity to continue meeting its liabilities and delivering its services.
A proportion of reserves is designated for building renovation, repairs and maintenance. The trustees consider this allocation necessary to support the continued safe and effective use of the premises and to accommodate the future development of services.
Investment Policy
The charity does not hold investments other than its operational property and short-term bank deposits. Any future investment would be considered only where capital can be appropriately safeguarded and the arrangement supports the charity's objectives.
Principal Risks and Uncertainties
The trustees review the charity's policies and operational risks annually. Principal risks include the loss of experienced volunteers through retirement or relocation, unexpected building costs, and a material fall in voluntary income.
The charity seeks to mitigate these risks through volunteer training and succession planning, prudent reserves, appropriate insurance, regular property maintenance and continued monitoring of income and expenditure.
Going Concern
The trustees have not identified any material uncertainty that would cast significant doubt on the charity's ability to continue as a going concern. The accounts have therefore been prepared on that basis.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Structure, Governance and Management
Governing Document and Constitution
Kettering Christian Centre is governed by a Constitution and Trust Deed adopted on 15 March 2006. The charity operates under a model constitution and trust deed accepted by special resolution and is affiliated with Assemblies of God.
Appointment of Trustees
Trustees are appointed by trustee resolution, subject to appropriate checks, including Disclosure and Barring Service checks where applicable, and approval by the charity's members.
Trustee Induction and Training
Prospective trustees are invited to attend trustee meetings as observers so that they can become familiar with the charity's operations and the responsibilities of the board. They are provided with the constitution, trust deed, accounts and relevant Charity Commission guidance.
Candidates are encouraged to undertake independent research and receive a period of mentoring before being invited to join the board. This process is intended to ensure that new trustees understand their legal duties and can contribute effectively to governance and decision-making.
Organisational Structure
The trustees directly oversee the day-to-day financial affairs of the charity. Operational responsibilities are supported by volunteers and office holders according to their areas of service and expertise.
Wider Network
The Centre maintains fellowship with Assemblies of God, which provides guidance and support in relation to the charity's vision, objectives, policies and procedures. This relationship supports effective governance while the trustees retain responsibility for the management of Kettering Christian Centre.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Trustees' Responsibilities
The trustees are responsible for preparing the annual report and the financial statements in accordance with applicable law and the requirements of the Charities Act 2011.
In preparing the financial statements, the trustees are responsible for selecting suitable accounting policies and applying them consistently; making judgements and estimates that are reasonable and prudent; and preparing the accounts on the goingconcern basis unless it is inappropriate to presume that the charity will continue in operation.
The trustees are also responsible for keeping adequate accounting records that disclose with reasonable accuracy the financial position of the charity, safeguarding the charity's assets, and taking reasonable steps for the prevention and detection of fraud and other irregularities.
Approval of the Trustees' Report
The trustees declare that they have approved this annual report on behalf of Kettering Christian Centre.
Sam Jr Munangatire
Shevonne Blair
Chair Treasurer
Date approved: 15 May 2026
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Independent Examiner's Report
TO THE TRUSTEES OF KETTERING CHRISTIAN CENTRE
Registered charity number: 1054423
Year ended 31 October 2025
Respective Responsibilities of Trustees and Examiner
The trustees are responsible for the preparation of the accounts. The charity's trustees 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 the examiner's responsibility to examine the accounts under section 145 of the Charities Act 2011; to follow the procedures laid down in the General Directions given by the Charity Commission under section 145(5)(b) of the Act; and to state whether particular matters have come to the examiner's attention.
Basis of Independent Examiner's Report
The examination was carried out in accordance with the General Directions given by the Charity Commission. 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 the seeking of explanations from the trustees concerning such matters.
The procedures undertaken do not provide all the evidence that would be required in an audit. Consequently, no opinion is given as to whether the accounts present a true and fair view, and the report is limited to the matters set out in the statement below.
Independent Examiner's Statement
In connection with the examination, no matter has come to the examiner's attention to indicate that:
-
accounting records have not been kept in accordance with the applicable statutory requirements;
-
the accounts do not accord with those records;
-
where relevant, the accounts fail to comply with applicable accounting requirements or are inconsistent with the Charities SORP; or
-
any matter should be drawn to the attention of the reader to enable a proper understanding of the accounts.
Susan Lewis FCCA
Porthmeor, 6 Park Road, Newbridge, Newport, NP11 4RF
Date: 15 May 2026
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Statement of Assets and Liabilities
AS AT 31 OCTOBER 2025
| Note | Unrestricted funds 2025 £ |
Restricted funds 2025 £ |
Total funds 2025 £ | Total funds 2024 £ | |
| TANGIBLE ASSETS | |||||
| Land and building 65,424 - |
65,424 65,424 |
||||
| Fixtures and fittings - - |
- - |
||||
| Instruments and audio equipment - - |
- - |
||||
| Office equipment 1,187 - |
1,187 1,187 |
||||
| Motor vehicle - - |
- - |
||||
| Total tangible assets 66,611 - |
66,611 66,611 |
||||
| Cash at bank 57,949 - |
57,949 61,442 |
||||
| Cash in hand 125 - |
125 25 |
||||
| Total cash 58,074 - |
58,074 61,467 |
||||
| TOTAL ASSETS 124,685 - |
124,685 128,078 |
||||
| Current liabilities - amounts falling due within one year - - |
- - |
||||
| ACCUMULATED FUND 124,685 - |
124,685 128,078 |
Approved by the Board of Trustees on 15 May 2026 and signed on its behalf by:
Trustee
Date approved: 15 May 2026
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Receipts and Payments Account
FOR THE YEAR ENDED 31 OCTOBER 2025
| Note | Unrestricted funds 2025 £ |
Restricted funds 2025 £ |
Total funds 2025 £ | Total funds 2024 £ | |
| RECEIPTS | |||||
| Voluntary income 3 66,350 - |
66,350 71,089 |
||||
| Income from activities and other income 4 125 - |
125 2,878 |
||||
| Investment income 5 597 - |
597 446 |
||||
| TOTAL RECEIPTS 67,072 - |
67,072 74,413 |
||||
| PAYMENTS | |||||
| Education and training 7 36,671 - |
36,671 37,337 |
||||
| Community fellowship 8 213 - |
213 1,260 |
||||
| Gifts 9 2,005 - |
2,005 789 |
||||
| Property 10 10,401 - |
10,401 10,174 |
||||
| Management and administration 11 21,175 - |
21,175 21,501 |
||||
| TOTAL PAYMENTS 70,465 - |
70,465 71,061 |
||||
| NET CASH MOVEMENT FOR THE YEAR (3,393) - |
(3,393) 3,352 |
||||
| Cash balances brought forward 128,078 - |
128,078 124,726 |
||||
| CASH BALANCES CARRIED FORWARD 124,685 - |
124,685 128,078 |
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
Notes to the Accounts
FOR THE YEAR ENDED 31 OCTOBER 2025
1. Accounting Policies
Basis of Preparation
The accounts have been prepared on a receipts and payments basis in accordance with the Charities Act 2011. The accounting policies have been applied consistently to items considered material to the financial statements.
Payments to Trustees and Volunteers
Any remuneration or payments to trustees are disclosed in Note 12. Reasonable out-of-pocket expenses necessarily incurred in pursuit of the charity's objects may be reimbursed to trustees and volunteers.
Tangible Assets
The trustees value the charity's tangible assets as set out in the Statement of Assets and Liabilities. The trustees are responsible for ensuring that these assets are appropriately maintained and insured.
Funds
The charity had no restricted funds during the year.
2. Going Concern
The trustees consider that the charity has adequate resources to continue in operational existence for the foreseeable future. The accounts have therefore been prepared on a going-concern basis.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
3. Voluntary Income
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Offerings and collections 55,412 - 55,412 55,545 |
||||
| Gift Aid 10,938 - 10,938 15,544 |
||||
| Gifts - - - - |
||||
| Gift Aid refund - - - - |
||||
| TOTAL 66,350 - 66,350 71,089 |
4. Income from Activities and Other Income
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Hire of building - - - 2,853 |
||||
| Fellowship recreation - - - - |
||||
| Trips - - - - |
||||
| Tuckshop - - - - |
||||
| Other income 125 - 125 25 |
||||
| TOTAL 125 - 125 2,878 |
5. Investment Income
Investment income of £597 (2024: £446) was derived from surplus funds placed on short-term deposit with the bank.
6. Other Income
Other income is included within Note 4 and comprises miscellaneous receipts of £125. No income from building hire was reported during the year.
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
7. Expenditure: Education and Training
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Training and teaching 36,341 - 36,341 35,205 |
||||
| Visiting speakers 300 - 300 200 |
||||
| Staff training - - - 1,932 |
||||
| Other 30 - 30 - |
||||
| Bibles, books and magazines - - - - |
||||
| TOTAL 36,671 - 36,671 37,337 |
8. Expenditure: Community Fellowship
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Mileage and transport 93 - 93 235 |
||||
| Catering and subsistence 120 - 120 1,025 |
||||
| Other - - - - |
||||
| TOTAL 213 - 213 1,260 |
9. Expenditure: Gifts
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Overseas 600 - 600 600 |
||||
| Support for people in need 1,405 - 1,405 189 |
||||
| TOTAL 2,005 - 2,005 789 |
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Registered charity number 1054423
KETTERING CHRISTIAN CENTRE | ANNUAL REPORT 2025
10. Expenditure: Property
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Rent - - - - |
||||
| Repairs 5,775 - 5,775 4,867 |
||||
| Cleaning 32 - 32 259 |
||||
| Electricity 522 - 522 1,080 |
||||
| Gas 1,496 - 1,496 2,484 |
||||
| Insurance and water 2,576 - 2,576 1,484 |
||||
| Other - - - - |
||||
| TOTAL 10,401 - 10,401 10,174 |
11. Expenditure: Management and Administration
| Unrestricted 2025 £ | Restricted 2025 £ | Total 2025 £ | Total 2024 £ | |
| Postage and stationery 174 - 174 47 |
||||
| Telephone and internet 3,819 - 3,819 3,696 |
||||
| Subscriptions and licences 2,947 - 2,947 2,059 |
||||
| PAYE, pension and National Insurance 13,375 - 13,375 13,797 |
||||
| Computer costs 465 - 465 1,512 |
||||
| Legal and professional fees 395 - 395 390 |
||||
| Bank charges - - - - |
||||
| Computer equipment - - - - |
||||
| TOTAL 21,175 - 21,175 21,501 |
12. Trustees' Remuneration and Out-of-pocket Expenses
| 2025 | £ | 2024 £ | |||
|---|---|---|---|---|---|
| Trustees' remuneration | 49,719 | 49,002 |
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Registered charity number 1054423
KErrERING CHRISTiAN CEKfRE I ANNUAL REPORT 2025 END OF FINANCIAL STATEMENTS Registered charity number 1054423