KING'S CHURCH. ST PAUL'S CRAY
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31st DECEMBER 2021

lang's Chur¢h. St Paul's Cray
R•fernnc8 aDd Adminlstrallon Infonnatlon
Offl¢lal Charlty Nam•
Kir¥J's Church. St Pa￿'S Cray
Charlty Reglstrauon Ntsmber
1059986
Prlnclpal Office Address
KINJS Church, 159 Chipperfiold Roaj, Si Paul's Crny. OrpiThJlon BR5 2PZ
Trustoes
Devalletta Nathan (Chairman)
GId￿n Oiti
Elizabeth Davis
DrAde Magaji
8ank•
Bavclays Bar* 167 Hlgh Stred. Bromley
JC Ta*3e FG4
Northviw•V. The Street. Plaxtol

Klng's Church, St Paul's Cray
For the yoar end8d 31st D8cember 2021
The Trustees prtsent t￿1r ryiort alorvJ with financial statements of the Charity for the year ended
31st December 2021.The financial statements have been prEpared in aocordance applicable
accounllng standards and follow [￿0Mmer￿lationS in the Slalement of Recommended Practice..
Accounting by Charities FRS 102 arKI are in accordance V*ith the Clwfties Act 2011.
stru￿re. G0￿ManCe and Manag￿8nt
The charity received charitable status on 10th D￿ernber 1996. under reference 1059986 and is
Constit￿ed by trust deeds. The &Jdress for communlcation wth the chwity aThJ ils trustees is given al
th8 end of this report.
There V•Ere ￿ special InBts or rEStric￿ funds. other than in rEspect of the propety, at the year-end.
Th8 trustees are appointed by the dders of KiryJs Church. St. Paul's Cray. At 31 December 2021 these
were fimolhy Akinluyi. Ahmed IfabLH and Edward Demi Ejegi ￿ all signrficant decisions are m&Ye in
conjunctlon ￿th th8 dders of King's Church.
The trustees do not receive specrflc training but are e￿Ouraged to attend relevant courses.
At the Tr￿￿tees. meetitMJs held duriThJ the year the Tnjslees agree the strategy and areas of acllvily for
the Charity. including Consid￿lon of grant making, investment. reseNes and risk management polici
and perfomianc8. All maior risks includiro third party risks are illsured. The Trustees consider future
expenditure carefully and do not errter into a contract until satisfactory funding is in place. Monthly
accounting infonnatlon is Issued to leaders of the Church.
The funds held by thg Ctwity arE inveslwj with a m4or UK bank.
ObJectlve8 and Acllvllt•¥
The objectives of the charity are to promote evangefical Chrrstlanlty arKI to ministor to the needs of th8
poor In the Cray Valley area, The church continues to do this through ils meetings on a Sunday and
mid-week. together ¥￿th involvement In specif ie activities in the wider community.
Gifts lo exlemal organisatiorts and 1ThJividL￿ls are considered by the Trustees on the basis of need arHJ
fulfilmenl of the charitable objectives. There is rn upper limit of support.
A¢hlov•ments and ￿rf0mlaneO
The In￿te89 are dellghted wth the progress rwle duriThJ the perlod. particularty in resp*t of continued
refu￿lshment of the chuTch buildiNJs.
The charlty currently employs one t￿1 and three part time staff. tntstees consider that the church is
havlng an increasiro impact on the locd communty, particulavly arising frDm the availability of rts
building. The trustees look fOnya￿ to continuir#J with tsr In community durirvj the forthcomw
year.
King's Church, Si. Paul's Cray has continuwj to be part of the family of churches wthin New Fronllers
Inlemational (Charity Number. 1CI]69401 ho￿Ever tw is no legal relationghip befv￿en the parties.

Klng's Church. st Paul's Cray
Trusto8s' Annual Report
For the year ènded 31 Dacember 2021
Pvbllc Benefit
The charlty is actively involved in the local community *fth ts bulldlrMJ being a base for this service.
Below are some of the activities:
Over eth coffee Morni￿ on Frrdays
Three c8lendaTed events per year for about 4LKI pupils staff of a local primary school
Alpha CoU￿e$ per year. each lasting 14 V*peks tor inteJEsted members of the community
A bin%*ekly youth club on su￿laY aftemoon %*fiich Is open to young pwple of primary and
secondary school age in the local communlty
Support for some local chLwches in the immediate vicinity and beyond
CounsellirKJ
Free tralning Courses on issue5 s￿h as Christian marriage. raising Christian children and how to
study effectivety (lor s￿OndaY arkj post secondary students).
Helping some eldwty p￿PIe in the community *ith their shopping arKI Providing free meals frDm
time lo Ilme.
In addition. the charity makes gr￿ to ollw charities. operatiw Irrtemationaily amongst the poor.
Flnanclaj Ra￿•W
The tNstees r8POrt a deficit of £53.3￿ (2020: surplus of £74,309) for the year. This is the result ot
continued investment in a buildiry extension which wll be Ltsed for publlc b&nefil. The Church look
forward to further achievirYJ t￿ charitable objectives during the forthcoming year. The Iruslees are
particularfy appreciative of the orsoing generOl￿ giving ot member5 during the year. in a difficult
economic environment.
The church has a policy of maintaining Un￿strict￿l re$￿VeS. other than as set aside for the buildlng
project. h￿thin the raThJ8 of a minimum of 3 months, to a maximum of 12 months of 8verage expenditure.
Where the reserves 1811 outside this raffje. a strategy needs to be fonnulated by the Trustees lo
bring them back into line.
At the balance sheet dale. the charity's ￿reStricted res￿e8 fell wlhin these limits. The trustees
continue to monttor the financlal position carefulty aThJ believe that the charity is generdling Sufficient
funds to meet its liabilities as they fdl due over the rÉxl 12 months.
The TNslees are satisfled with the f in8￿101 posrlion of the Charity arKI confimi that they have adequate
assets available to fulfil t￿1r obligatiorts.
Volunt8W5
The trustees acknovrtedge the WDrk of a laftJe number of unpaid volunteers vtho assist in the weekly
activities of the church and look forvdrd to the continuation of charity's objectives during the
forthcomlng year.

Klng's Church, St Paul's Cray
Trustees. Annual Report
For the year ended 31 December 2021
Rlsk Management
The trustees a¢tr"vely revFew the major risks which the charty might fa￿, in particular those relating to
governance. reputation. operations and finan￿. The charrty oviews its insurance annually, including
the type of cover and overall levels of cover.
The trustees put great emphasis on the active monitoring of its financial risks, including maintaining
liquid fijnds to settle debts as they fall due. This has been managed closely during the building
refurbishment project. Maintaining free reserves at the levels referred to above is key to our financial
management.
As we refvrn to live services and to the undertaking of activities during the week, our key risks are the
health and safety of attenders and participants. Key to this a￿ our safeguarding controls over those
adults who lead events involving children or vulnerable adults.
Future Plans
Our future plans revolve around tEing able to open up our covnpleted buildings and continue to hold
public servi￿$ on a Sunday together with events during the week. Including those pul on by local
organisalions. utilising the church fvlly lo support the communty.
Tru8teos' Responsibilitles
Charity law reqLtires the Trustees to prepare ftnancial statements for each fjnancial year which give a
true and fair view of the charity's financial acttvities during the year and of its financial position at the end
of the year. In preparing these financial statements, we. as Trustees, have selected suitable accounting
policies and applied them consistently. and judgements and estimates that have been made are
reasonable and prudent. We are also responsible for keeping aecounting records which disclose with
reasonable accuracy Ihe financial positr.on of the chanty. and which enable us to ascertain the financial
position of the charity and to ensurÈ that the ffnancial statements comply with Charity Law. We are also
resw)nsible for the safeguar(ling of the assets of the Chanty and for taking reasonable steps for the
prevention and detection of fraud and other irregularities.
The Trustees confirm that the accounts are wepared in accordance with applicable
standards and follow recommendations in Ihe Stslement of Recommended Practice." Accounting by
Charities FRS 102 and are in accordance with the Chanties Act 2011.
accounb.ng
By order of the Trustees.
Devalletta Nathan
Trustee
15g Chippeffield Roaj,
St Paul's Cray.
Orpington BRS 2PZ

Report 01 Independent Examlnw to the Truste8s of
Klng's Churth. St Paul's Cray
I report to the Tnrstees on my examination of the fin•KI￿ statements of KiThJ's ClwJrch, Sl P8uI'8 Qay
(the charity) for the year end￿1 31st D￿￿nbfjr 2021.
Responslbllllles and basls of r•port
As the charity Iruslees of the TTh￿t. you are TesporEible for the prnparatlon of the accounts in
accordance wth the wulrements of the Chaities Act 2011 fthe Actl.
I report in respect of my examination of the Trust'$ ¥counls carrled out uTh18r $8Ction 145 of the 2011
Act and in caryirKJ out my examination. I have follo￿*d the applicable Dlreclions given by the Charity
Commlssion under section 1495Xbl of the Act.
Independent examlnaes statsmont
I have completed my examination. I confim that no matters have come lo my attention in connectlon
svith the 8xamination giving me cause lo believe that in any materi81 respect".
accounting r￿ordS %we kept in respect of the charity as requir￿1 by section 130 of the 2011
Act.. or
the financial statements do rnt accord with thjse records.. or
the financial stalements do not comply wth the applicable r4uiremenls concemlng the f omi and
content of accounts sel out in the Charities (Accounts and Reports) Regulations 2008 other than ary
requirement that the accounts givg a true and fair view ￿1¢h is not a matter considered as part of an
Irxlependent examination.
I have no cor￿emS and have come &ross ot￿r matters in cOnn￿tIon wth the examination lo which
attentlon should be drdwn in this report in order to enable a pmper understaTrJlng of the f inancial
ststements to be reached.
ETknJko
Joanna Tawso Bse FCA
19 October 2022
Northview
The Street, PLAXTOL

Klng's Church, St Paul's Cray
Statement of Flnanclal Acttvltlos
For tho yw •nd8d 31st knber 2021
Incomlng Rasourc•s
Voluntsry I￿orne
Investment income
1(b)
323.4(KJ
113
288,007
183
23,513
288,1
1(c)
Chaiitable actfvilie8-.
minislertal
outreach
support
grants
153.455
146,640
1.809
61,313
218,356
(*vemanc8 costs:
Administration
Interest on secured loan
Professional fees
2.819
Total resources used
4,119
376.9)3
213.881
Net {OutgolngYlncomlng
for th8 year
(S3,￿)
74.309
Gan8rn1 Fund$
At 1st January 2021
Income for the year
1.499,309
1,425.000
74.309
At 31st December 2021
The rkoles on pages 8 to 11 foryn part of the56 ￿¢0(int$.

Charity No. 1059986
Kln9'8 Chur¢h, St Paul's Cray
Balance Sheet as at 31st Docember 2021
Note
21
20
Fixed Assets
Propety, plant and equipment
Current Assets
1.302,129
1,332,314
Tax Recoverable
13,627
Pre-payments and other debtors
Cash at bank and in hand
15,458
7.429
1,434
124,234
151,403
145,290
Credftors, amounts falling due
within one year
168.295
Not Current Assets
143.7
Total As89ts Less Current
Liabilftie8
166,995
1,439,652
1.499,309
Net Assets
1.445,919
1,499,309
Represented by
Unrestncted Fund
Restricted Fund
143,790
1302,129
186.995
1332,314
Total charlty fundo
1,445,919
1,499,309
These financral State￿nts were approved by the toard on October 2022
G.OJO
TRUSTEE
D.NATHAN
TRUSTEE

Klng's Church, St Paul's Cray
FInan￿￿ Stat￿￿ents fty the y•ar sn￿￿ 31st D•cam￿r 2021
Accountlng Pollcles
These accounts have been prepared undw the historicaj cost convention wth il&ms recognised al
cost or transa¢lion value unless othemse slated in the relevant note(s) lo these accounts.
The ac¢ounts have been pwared in accordance Wlh the Statement of Recommended Practjce..
Accounting and Reporting by Charitie5 preparing t￿1r accounts in accordance with the Financial
Reporting Standwd applicable in the UK aThJ Republic of Ireland (FRS 102) (as amended for
accounting periods commencing from 1 j￿Uary 2016) aThJ with the Charities Act 2011. The charity
is a Public Benefit Enttty a8 dgfined by FRS 102.
Th9 principal accountirwJ policies aYopt￿j are set OLrt below.
(al Going corKem
GoirYJ coneem At the time of apprDving accounts. the tntstees have a reasonablo
expectation that the charity has adequate rEsources to continue in operational existencè for
the foreseeable f uture. Thus the trustees continue lo adopt the going concem basis of
accounting in preparing th& ￿cOUnts.
(b) Incoming resource5
Ir￿orne includiThJ donatiorts made LwKJer GrftAid are taken into account ￿en received by the
Charity. Income recerved in cirrumslances ￿ere a claim for repayment of tax has been or
11 be made to HM Reven￿ and Customs is grossed up for Ihe tax recoverable. Any
amounts of lax yet reclaim&Y from HM Revenue and Customs are Sho￿ within the
charily's debtorn.
Interest income is taken into ¥count ththen ￿vable by It￿ charity. rBgardle5s of when
payment is made.
(c) Resources exP￿d&
Expenditure is accounted fryon an acc￿￿1$ basis and dlocat&J tothe appropriate headlry
the accounts. Grants and donations payable are taken into *counl at the eartler of ¥then
they are pad or become legalty enforceable.
OtFw than the Mmal commttments undercontracts of employment ther8 arn no contrnctual
or ¢onsIn￿1ve obligations to future exp￿dItUre at the balance sheet date. W)ere the
InKstees have authorised expenditure ￿lch is rM)t yet legally enf0￿eabI8 or before
constructive obligations have arisen. amounts are set aside into funds designated for the
pU￿Ose.
(d) Fixed Assets Depr￿latIOn
Fixed assets costir*J Over£5¢￿ are capitalis￿1 arKI carried at cost. TW are depreciated on 8
sIRight line basis over the follo*irg periods..
Land:
Buildings..
Plant..
Equipment.,
Motor vehicles
years
10 years
5 yea5
3 years

IOng'$ Church. St Paul's Crny
Flnanclal Stalwnents for tho year •nd•d 31st Decwnber 2021
Pkntss lo the accounts (eonlinued)
(e) (knverna￿e costs
GoverTra￿e costs relate lo ttE gwteral nJnning of charity 85 8 legal enlily and are not
connected wfth generntirwJ income or chaiitable experKlilure.
Crlll¢41 aC￿U￿tIng osllmats8 and Judgem•nls
In the application of the charity's accounliThJ p￿￿les. the tnBtees are wuir&l lo make judgements.
estimates and assumptions about caryiThJ amount of assets and liabilities that a￿ not readily
apparent I￿rn other sources. The estimates aTrJ associated asS￿npl1OnS are baseA on hisloricgl
experience and otherfactors that are con8ider>J to be rdevant. Aclud results may differfrom these
estimates.
The estimates and underfyirwJ assumptions are revivw&J on an ongoing basis. Revisions to
accounting estimates are recognised in the period in %thich the estimate is revised where the
vision affects onlythat period. or in the paiod of the revision and f uture periods where the revision
affects both curvent and future periods.
Property. plant and ￿u1PM￿nt
Id
and
Cost
At 1st January 2021
Additions
1.￿,(mX1
293.619
13.751
99,801
1,W,071
13,751
At 31st December 2021
1,￿.OCKI
307.370
99.801
Depreciation
At 1st January 2021
Charge for the year
At 31st December2021
1,909,822
2￿,000
ZdO.318
16.713
80,789
7,223
563,757
43.936
270.IXKJ
247.031
88,012
Net book value
At 31st December 2021
607.693
1.230,IJXJ
.339
11,7￿)
Al 31st December 2020
1.302,129
1332 314
Voltsntary Income
Offerings
Tax recoverable
Rental income
Other income
Coffee shop income
246,236
34,736
41.855
573
231,525
49,939
6.165
378
The principal source of income com8$ from offerir@s at the Sunday seNi¢8s, together ￿th tax
relief Gift Aid Ss relevant.

Klng's Church. St Paul's Cray
10
Flnanclal Statsments for tha yw ended 31st Decemb8r 2021
Notss to the aCc￿ntS (contlnu•d)
Charflabl• AclSvttt•s
An analysis of the direct chaiitable expendilurE is as follows: _
Mlnlstsflal:
laff
-social security costs
ensions
123,364
18,419
9.716
119,233
17,747
Leade￿ expenses and confere
Motor and travel
151,499
1.771
185
144,560
1.200
880
The average number of employees d￿lThJ the year vra$ 4. One {2020.' one) memb8r of staff
eamed bet¥￿n £SO,(KM) £60,(KKI durir¥J the year.
Pension contributions are paid to defI￿j contribution arrangem￿ts.
Outreath..
- children's W￿rk
eatering
evangelism
- minibuslvan costs
- coffee $￿P exp￿Se5
120
102
140
761
725
251
146
72
Outreach costs rdate to ltr￿ Church's &tivitres outside of rts SuThJay meetiThJs.
Supportr.
music
- building expenses
- stallonery, copyirg telephone
lrnining
- equipment and repairs
utilities
- sundry expertses
- website development
- depreciation
1.402
132.397
655
1,256
25,703
5.605
127
740
8.762
91
1,762
36,726
626
43.936
218.356
61.313
Support costs represent the costs of oper8tirKJ church meetiNJs aThJ the runr¥ThJ of an off ice.
Grants paid to Irhjividuds relate to visitiThJ speakers a￿1 Sp￿rfIC hardship circumstances.

Klng's Church. St Paul's Cray
11
Flnanclal Siknnents for the year fjnded 31st De￿nts•r 2021
Notss to the accounts l¢ontlnuod)
Credltor* 8Anount8 falllng due wllhln on• y•ar
Secured loan
Accruals
Other cr&Jitors
Funds
1,300
As at 1st January 2020
DefIciUSu￿rUs for the year
Transfer fromllto) buildiThJ f un¢J
As at 31 December 2020
Def iciusurplus lor the year
Transfer f roml(lo) building fund
As at 31st DecGmber 2021
1.356,567
24,253
(24.253)
1.332,314
166.995
{53,390}
30.185
),185
143.7
1,302,129
As al 31st December 2021 the net assets of the charfty compris￿..
Fixed assets
Debtors
Creditors
Cash
1.￿2.129
21.lJ56
{1.&10)
124,234
1.302,129
21,056
(1,500)
124,234