REGISTERED COl¥fPANY NLThIBER: 34114789 ￿ Dgland and Wales)
REGISTERED CHARrrY NUMBER: 1065086
RT OF THE TRUSTEES APID
AITDITED FINLNCIAL STATEME
FOR THE YEAR ENDED 31 AUGUST 2022
FOR
THE FRoffflERS CHAR￿ABLE TRUST
Chartot HO￿Se Linjited
Charte[￿ Accountsnts
44 Grand Parnde
Brightoll
East Stsssex

THE FROIYTIERS CHARrrABLE TRUST
CONTENTS OF THE F￿ANCIAL STATEMELTS
FOR THE YEAR ENDED 31 AUGUST 2022
Page
Report of the Tnssttes
Indtp¢ndent Examiner's Report
ststemtnt of FiD*n¢ial Aetivities
Bal*rtte Sheet
10 to 11
Cgsh Flow Statement
12
Notes to the C¥sh Flow St¥t¢ment
13
Note5 to tILt Finin£ial state￿t￿t8
14 ￿ 26

THE FROYTIERS CHARrrABLE TRU
GisfERED NUMBER: 3404789
REPORT OF THE TRUSTEES
YEAR ENDED 31 AUGUST 2022
The trustees B'ho are also directors of the ¢battty for the purp)ses of the Companies Act 2(K)6, present their report with
the fitt2ncia] statetncDts of the ¢1￿￿ty for the year eDd￿ 31 August 2022. The trustees have advpted the provisions of
Ac¢outLting aThd Rep)rfing by Chan"iies: Statement of Recommended P￿Clie¢ applicable lo charities prepanng their
accounts in ac¢ordxnc¢ with the Financial RqMJrting StstK1ard applicable ID the UK and Republic of Ir¢land (FRS 1021
(effective l January 2019).
OBJECTIVES AND ACTIVITIES
Objtttives and aims
The objectives of Th¢ Frontiers ChaTitsble Trust ITFfc} are as fol]ows."
- To advance the Christian faith by such m¢an5 a5 the charity shall deteTmine frorn time ￿ time"
- To relieve people who are ill coJditions of Dccd, hardship orth"str￿S.
To educate and &%sist youug p￿p]e through theii leisure time actives so as to develop their physi¢aL ￿ental and
spiritual capacity",
- To adi'ance education in family lifr. in r(wriage atsd faTuily relatioDsh"tps: attd
- To advance Chrisiian ￿ligIouS educaiiort aud trainiTLg.
The tsver-arching aim of of the charity is ￿ rea¢h out illto S￿lery at ¢v¢ry level to give boF and ¢otnpa5sion where
there is notte and to build a local Chtistian church. Thjs clxurch will coD5iSt of membets who have a desire for the..
- WoT51u"p of God
- Love of otte antstber
- ComThunication of Jesus to the world
- Training of the whole Church
Key objectives for the financial yearending August 2021 Inclu￿1.
- AdvatJ¢¢menl of the Christiao fatth
- Development of actives with the full rdnge of age groups in the Church
- Development of further li[￿S with Chw¢b¢s ov¢r5
Page I

THE FRONTIERS
TABLE TRUST
GISTERED NUMBER: 341M789
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 AUGUST 2022
ACHIEVEMENT Af4D PERFORWCE
Ch#rit&ble aCti￿tieS
Ministry Area4 Community & Missio
Sunday and Thursdav tne¢tings - the church gathers twice evtry week at the King5 CeJ]tre to tske part in coll¢ctive
worship, teaching and prdyer. The primary Sunday morning meeting attra¢ts arouod 4{m)-5(￿ peopl¢ each weeK the nai
meeting running along51de groups catering for babiffj yo￿)g cbildren. youth atsd those with specific needs. The
ThuT5day meeting, held during regular work hours. bas gTOThm to a ]rgular al*Trd￿ of 6￿70 Membe￿ and can provide
a n)uch more intilltste church experience. with a focus ots paswal c4re.
Prayer meetings - held weekly. the r¢gulaT prayer n)ceiings aIlow people to meei with the expr¢55 pu￿ of prnying for
the church. th¢ loca] ¢otnmuttity and also aknut national & global curreni affaiT5.
Focus - a baby and toddler group that Tun$ three tnorning sessions a week dyrtng itrni time at the Kings Certre building.
The group, coorditlatd by a TFfc member of staff and a t&qm of re8ular DBS-ch¢cked volunteers, often ha5 a full
register and wailing list becau5¢ of It'5 p)pulariry. F(￿5 proi'ide5 essential sllpport to local families. offering theiT young
children a safe spa¢e to play 108ether and gentle exp)sure io Bible stories & sin￿￿g. The group gives parents an
invaluable opportunity to Ineet together in CODimunity. [￿d undetsi2ttthn& support and friendship from tht Foc￿$ team
and from each other.
Kills and Youth - Jr)¢eting at le&si once per week WiM￿tIY at the Kitlgs Centre, groups 5Uth as Trne (11-18s) and ID
{11-14s} g2ther Il￿al young people together to S￿lalIst as well as experience colle£ti%e worsbip, prdyer and take part in
agc-appropriate discussions. The groups provide idea] opportunities for young people to eX￿enCe the gospel and the
church ¢ommurtiry, some for th¢ first tÈm¢. The Kids and Youth team thke a large number of yollng people to Newday. a
tnajor Christian youth event held each summer. Indiv1th￿l church Tt]¢rnbcTs tsften provide financial sponsorshsps to allow
as many youth as posssl>le to attend the evenL tske part in a conference athosphere and cxplore some of life's big
question5.
StudeDts and 20s - the Lyoup supports studeDts atteftdin? the unl￿ersity campus in the w in addition to those who live
locally. Each mccting proTrides a piev10￿$ source of community for those Who tnay k liv￿g away frotn hoTne tsr SL￿ing
out in employmetti to shar¢ the go￿1 aDd Én faith together.
Inspire - Tneding weekly at the Killgs CeDtse. the aitracts older adults F4'ho experien¢e a ¢hurch gatherill8 followed
by refreshments and activiiie5. Wlu"15t PTedomiJJatttly caierin8 ￿ a aD ￿¢￿ti#l part of the Iwal population delllograpbic,
Jnspire is open io all and ¢Tnphasises the imp)rLqnce of comlltulliry and friendship in the Christian walk.
Fusion
a fortrtightly life group O￿n t(} adults WI￿ need a bit mote time to leatn, especially those with learnillg
difficlllties. Fusion is altnost always thlty subscribed. a c105¢-knit community who enjoy a unique exposure to
Chrj'stianity with the support of a pas5iOll3te I￿n of voluntee
Alpha- Tunnirtg several times per year at the ehwclL the well-kno4¥n Alpha col￿$¢ olyers a chat)ce for anyone to explore
the Christian faith. Following a progrdm of nine se55iOD5. the coutse h&8 provcd pivotsl for trwjy p¢ople facing th¢
¢onsequence8 of Covid. asking 50to¢ of life's big questions and tsking th¢iT fi￿1 steps as new Chrisrians.
Livestream - launched during th¢ start of the CoWnavin￿ pa￿le￿iC. Liv¢s¢te>m offets the ehanee to experience church
online foT th()se u]Mble to, or choosing not lo. aitcnd servic&% in person. Sunday serrices are available to watch live and
a150 via cat¢h-up 24 hours after the Tne¢ting. kn itivaluable resource duting time5 of lockdowtj for people to remain
onnected to church life, Livestr&qtn has continued io grow and has bttn a route by which new members have found the
Orgallisatio￿ and subs¢queEJily become part of the churth family.
Group5 - 5maIleY setiings, knowo as Group& form aD esselltia] part of ehwch life.. culttvating friend5hip5. growing in
faith, expluTing God's word and sharing b"f¢ together in community. Group5 fdDge from Bible reading. discipleship and
PTayeT to badminion. tK)wlill8 and boxing- allo￿ng people io experience the ￿'n￿5 centre building attd gei a flavour of
tl2¢ Cbristian life in a more personal settin>
Courses . nmnillg periodically t}￿0￿gh the year at the Centre, estsblished c4>urse5 include Joining the Church..
diggmg dec￿ into church values.
Page 2

THE FRONTIERS CIL4RITABILTRUST
GISTERED NUMBER: 34047
REPORT OF THE TRUSTEES
FOR THE YEAR EfffjED 31 AUGusf 21122
Loye Eastboutne - setup in respoJ]sr to the Covid-l9 crisi8 the Love Fastbourne fijnd looks s￿C]ricallY ai local need
with lo￿/¢ of all donatlODS going to those in the l(KJl cotnmuThiry WI￿ ate 5tru8gling rjnanci￿Iy. Sillce its inception in
March 2020, Love Easttjourne given over £40,(W to Sup[￿ local people.
Local organisation5 - TFTC rccongnjses a EMUDbtr of l(Kxl orgawsatioTrs to 5uprM)rt their charitsble and c4>mmuniry work
itlcluding SaDCtllary Cafe.. a rneeiing place fot iefugees. &sylurn seeken and inunigrants: Brajnber B2kehouse". an award
wtnning bakery 5UPPlrting wotnen sutvivor5 of human ts3ffT¢king: Beachy Head Chaplaincy.. a S&￿Ch alld rescue ch2riiy
saviDgs lives from suicide in the region.. E￿bOUrne Street P￿Ots: ¢aTillg for twle involved the local night life.
Fasiboume Fo(dBallk.' pmviding ¢M￿gencY nutritional fth)d ￿ t}￿ ID De￿.
Overseas - the charity has strong lirtks knith a llutllF*r of overseas projects iTKluding Inkosi Kid& a PToject in Zimbabwe
to help children in the nwal areas of Bulawayo io eDtei ethKaiioo and Afn"ca Alive. providing gospel spreading
opportunities for c￿Le[gi￿8 leaders a¢ross Soutbern Afric& As pan of New Groun& th¢ chvrch has collnection and
regular cotltactwith organisations in Frdnce, Romanii G¢rniany and the Netherlands.
Significant Events DuriMg the Yvdr
The church plant now as Lift Church in Seaford was foTtnally separdted from TFfc duting the last fiscal year.
Planted and led by a tllfflnber of the sejjior M￿ageMent Kgm. Life Church purchased their own properry in Seafoid in
June and Teach￿ full scparation I￿ their financial aceouttiing by th¢ end of th¢ fiseal year. Thi5 led to n¢c¢s5ary changes
In both th¢ trustees and senioT Tnanagen)eni ieam at TFcf as eX￿lence￿ servants ttansf¢tTed to lead Life Church
Seaford ill their own nJi&%ioD to advance the Christiau fatth localty.
FINANCLIL REVIEW
Pritttipxl fuNdiDg sources
Regular, voluntary givirtg [rts￿ Kin85 Church memba5. IDco]ne from tbe Trathng Colljpgny. One&>ff Gift Days, Gift
Ai(L
Inve$trneDt policy and obJe¢tive5
TFfc holds Tnin]￿al sigllificant surplus filllds thai are not required io conduct the regular opcraiions of the ¢harity. A
tx)rtioD of cash ba]anccs ate held Èn high-interesi accounts with our bankers to maximise the eificienty of fi￿dS being
held for vario￿$ purrM)ses. In tILese cirCUD￿ranc￿ thert is no fequiT¢ment for an *lv8nc¢d inv¢strneDt rx>ticy.
Reserves policy
The trustees reTriew the r¢ser¥es p)Iicy regularly in line with Charity Commission guidelines. TFFC t￿$1¢¢$ have
¢ottsidered and established a ies¢rvts FrfTrIicy b&sed on an &%s¢ssm¢nt of the needs of the thatity's a¢tivitie& These are
held iti four distitici areas.. long tern) reserv￿ fi[￿[¢ projects. resriaed fiEnds and free re5c￿'eS.
Long temi ie5eTVeS represent ￿)$¢ fund5 held specifically to safeguard TPTC in of uoforeseen financial
circumstances. In light of fvll ownership of the Kings Centte by the cllarity and a high level of predirtabilitv of ongoin8
income attd expenditure, a decision by the trust¢¢S ￿7S tsk¢n Doi w bold fund in long ter￿ reserves. However.
where ottgoin¥ activities allow. is it TFfc's inttntioll to ￿eadilY i￿rease the atnount of long tern) reserves where
Possible.
Long tetlll r￿ery¢S at the endof the rew>rting ￿1{￿1 were £75.(MKI {£50,1￿ Aug-21).
Future projects rcsetves are held ill aDticipation of kmwn projects to be undertaken by TFTC. These may in¢lude
income from Sp￿ifiC gift days for spceial events and PTO%'iSiOnS for strate￿C develop1n￿t foi the benefit of the tr￿st.
The year-end balance in this category of reserves was £86.985 (£16548 Aug-21).
Restricted furtds represent donations received foi specific artiwtie5. vlllere possiThle 2nd fitsantially diligellL charity
policy 15 to expend these funds as quickly as possible to the benefit the ￿lpl¢llts.
At 3 1st Au8usi 2022 the balance held kn testricted fiuxd$ 5to(Kl at £46.905 (£66.348 Aug-211.
Page 3

THE FRONTIERS CHAR￿ABLE TRUST
GISTERED. NULKBER: J404789
REPORT OF THE TRLfsTEES
FOR THE YEAR ENDED 31 AUGUST 2022
FtrrLRE PLANS
The trusiees of TFfc trLav¢ started discussion around the of the Kings ￿tre buildjng. The centr¢ f￿st purchased
by the orgallisation irt 1998 i5 beginning ts) show signs of age and is not a highly energy*fficietJt premises. A5 one of the
pritnary ¢xhibJtion and conference celltr¢s in the as well &$ the home of Kings ch￿rCh, fvrure pl2JJs include a
Possible church gift day as well a5 iDvestigaiLon into takng out ￿rro￿l￿g to fiLnd significanl Tefurbishment of the
buildirlg itself. The works being dis¢us8ed put empbasis on maxim￿]ng the enviro[￿lle￿taI perfomLince of the site and
safeguarding its future for the yeats tsTr come.
STRUCTURE. GOVERNANCE ￿YD MAT4AGEMENr
Governing dorumellt
Th¢ chat]ty is controlld by its governing doc￿n￿l a deal of aDd a lin]ited ctsmpdny, limited by
guarantre, as der￿ed by the CoTnparties Aa 2¢KI6.
Page 4

THE FRONTIERS CHARITABLE TRUST
GISTE
ER: 3404789
REPORT OF THE TRUSTEES
FORT
YEAR ENDED 31 AUGUST 21122
STRUCTURE, GOVERNANCE AND MANAGEMEr
Organi5ational structwre
TFCT is consiilut¢d as a company, limited by guarantee, and 0F￿rat¢S in accordance w]th its Memorath aThl Arti¢l&%
of Association. The cjxatity 15 Cover￿ by the B03td ofTrusitts. TnLsie¢s may not receive any remlffteration for being a
trustee oiher than professkonai seThices pmvided pernitted by the Articles. In practsc¢. ttvstees provide their s¢rvi¢es
free of charge.
The truste￿ have 8pp)inted a Senior MaDagemeDt the members of wkn"¢h are set ollt in the charitys legal alld
administrative inforn￿tio￿. The senior tnaDagers and th¢ir direct [q￿rts across a range lean￿ meet reglllarly to review,
refiDe 2nd set out the daY-t[￿Y n]nTrmg of tbe charitys acts&llti￿. Senior ll￿￿ers art reqllir&l to report to the tr￿Stee5
on the progress of actilities, performance against objectives and fllts￿e pla]LS.
Recruitrnent and AppolDtmtNt ofTrustees
Trusttts musi accept the truth of, and hold a ￿lIef ilk. the Staiemeni of Christsan Faith set out in the AppeTLdix to the
MeTnorandurn of A&gKiation and 3re norTnaily Ill￿11¢d existing members of Kings Church. Trustees are ele¢t¢d by
the ¢xisiin2 Board of Trusttts, appointed bv majonty vote alld are subject to peTiodic retirement and reaptK)intment by
rotatioD.
Newly appointed trustees are subJ￿t to chwks with the Disclosure alld Ballin8 Service (DBS) and are provided with a
copy of TFCTS Child Pro¢¢ction Policy and Prn¢tice GuideliD¢s (revised March 20171, with which they *re rquired to
cojnply. T￿￿te¢S are chosen lor their ability to contribute ￿ tbe efficient and effeeiive n)anagement of the charity's
actiTrities, using their collective 5kn115 towards tht goi'ernanc¢ of the clharity. The trust¢cs are a]ert to the need to expa]Ml
thetr knowldge and skills &% attd ￿'hett appropnak for the eThhantemenl of their respoDsibiiities.
None of the ￿￿Slee5 had any belleficial iD*resi in the rompany thwiDg the peri(Mt
Trustee5
Me¢ting5 are held five times a y¢ar in whicb repo￿ are Te¢eiied. as appropri8*. fiw) trust¢¢s aDdlor senior
]nanagement tedm atcoiding to their are&s of spe¢ialisattoD. Specific s￿￿groUpS. for eKainple a fuwicc sub-committee,
have be¢n fo￿lled to review charity ￿rfOrMance in greater detsil. uti1tsll￿ specific tnLStees with spttia]ised knowledge
and skills. Minutes from Tn¢¢ting5 of sub-groups ar¢ ¢irrul*d to the full boaTd of t￿￿te¢S who are encourdgcd to
familiarise themselve5 and pose allv questions ¢OD¢ernillg atlvthing reported ot the time of the next tn]stees meettng.
senior Mxnxge￿ell¢ Team
The senior matka8ement COmPTi5es of church eldeis at]d the Executive Pastor. As elders, the member5 of this ream
exercise d&y-tO-d3y EtLaDagemeDr of churth affai￿. Although priMar￿]Y spirituaL their leadership role encon)passes tbe
whole range of church activities and pastoral care. The managti oversees the effieieni and effe¢tiv¢ managetnent of
the Kings Centse. its administrdtioD and Iinancial i)peratioDs.
etwork Bodl
TFCT 15 a m¢mb¢r of thc Evattgelicai Allia]￿¢. aD a&gxiatiott of ttlainstrum UK Evangelical churches (wivw.etorg).
TFcf 1$ also a part of New Ground {MTrvW'.n¢wgrout￿Ch￿rCh¢s.o￿I whi¢h h& developed out of Newfrontiers Group of
Churchcs IwNw.ttewfrontIeT5¢ogether.orgl Naiiona]ly. TFcf is pan of over 250 UK churthes involved in mission.
outreach and discipliDg. I[rtern￿l0J)a[lYy are over I.5￿ N'ewft0tstie￿ telated churche5 Èn over 80 natioths
throughout the world.
Act2ve metrthership of these iX%Ji￿ provides a wide fon]m foi the exchaDg¢ of infornthtioÈJ, training and support at a
national and inte]DatioDai level. No extetllal patty. including the Evangelita] Alliance and Newfrontiers, took de¢isions
or had voting rights in the govet]L4llC¢ of TFCr.
Related Parties
KCEL, operated for the pur￿$¢ of rdisÈng fi￿dS for the benefit of TFCT: througll the hirittg of the Kings Centre for
¢onferences, rntttings, wedding4 SW)rts and oiller events. The KCEL dirc¢tot5 are Mr. D A Gamester (Executive Pastor
and Company Strretaryl. M¥. N S Barnett - reSIg]￿d May 2021, Mr. A P Stevens. Mr J Phillips { app(>iT)td July 2022 1
and Mr. O Il, Stevens (Church Leader).
Page 5

FRONTIERS CHARITABLE TR
CISTERED NUMBER: 3404789
T OF THE TRUSTEES
FOR THE YEAR ENDED 31
UST 2022
STRUCfLTRE, GOVERNANCE AND MAf4AGEMENT
Risk management
The rnLSte¢s have (>verall restM)nsibiliry for determiniDg risk maDagement wlicy includLII8 how risks are identifie
assessed, maoaged, revIe￿"ed a￿1 reported The senior maDagement te2m hake responsibility for injpletnenting and
maintaining systems thai assist with th¢ delivery of 5uccessfiJ] risk managern¢llL ¢onsistent with rhe policy set out by ihe
ttustees. A risk tegister is cotnpiled and reNiewed by all departmethts across the charity. scoring each identificd rssk by
the likelihood ofoccurrenc¢ and the overa]I iTnparL
Advic¢ is taken frorn church memF*rs in risk L8 well as from the thariiYs accountants and other professional
advisers. Policie5 for safe8uardiDg children &Dd vu]nerable adulrs ate publi5hd and are in)plettkented. Financial
anag￿n¢￿t systems for cash handling and the authtsnsation of transxtions are in place. Each #rea Is subject to ￿0d1¢
view by comparison with besi practice. Appropriate itLWrnD¢e is in place. via brokets ¢0m￿tent in thi5 fiel(t to protect
the interests of the CI￿lty. its etllp1oy￿ alld mLSttts.
The truste￿ alld the seDior management Icam re8ularly revtew, progress agaiTL5t budgeted financial alld operatioD21
platL5. Managemet)t accounts are prepared ¢N'¢ry month io allow the as%sstnenl of the fllmncial position of the chariry.
These are r¢viewed in derail aloTLgside a summary financial rewTrrt io identify potentixl fi]Jatscial risk5 to the chariry and
agree actions for theii miiigaiion. li is recogttised thai the review PTocedure thwjnoi provide 3bsoluie a￿rance against
loss or material misstatemettrs, boweveT trusttts are of the opillion thai the appropriate 5JStems of financial tisk
manag¢ment at)d control aTe Jn place withiD TFTC.
REFERENCE AP4D ADMINISTRATIVE DETAILS
Registered Company number
3404789 (England and Wales)
Regi5temi Charity number
1065086
Registered office
Kings Centre
27 Edison Road
Eastbourn¢
Easi Sussex
BN23 6pr
Tru5tee5
Mr N S Bamett Iresigned 2614Q0221
MrAMBe
Mr R J BuileT
Mr P D Jeffery IChaiT)
Mrs S M Wi)otton IChaiT)
Mr J Phillip5
MS J Williams
Company Secretsry
Mr D A Gamester
Independent Examiner
John ThaLker FCA DChA
ltystimte of Chartered Aceountallts ill England a[￿waItS
Chariot House Limited
Chaner¢d Accow1L￿ts
44 Grand Parade
Brighton
Easi Sussex
BN2 9QA
Page 6

THE FRON
RS CHARTfABLE TRUST
GisfERED NUMBER: 3404789
REPORT OF THE TRUSTEE
FOR THE YEAR ENDED 31 2022
REFERENCE ATr4TI ADMINISTRATIVE DETAIIS
Senior ManAgement Teajn
M D A Gamesier
Executive Pa￿0[
MT A Thorpe
Cburcb Leader
Mr J Field
Church tLader
Mr O SttTrells
Chur¢h Leader
Mr Clive C¢n)ik
Church Leader
Mtmcoo
Church Elder
Mr B Holbrook
Church Eldei
Solicitor5
Argles Ston¢ham Bur5tOW5
Innovis House
108 High Street
CTaNh'ley
RHIO IAS
BaDk
Barclay5 Bank plc
63 Terniinlls Ri)&d
Eastbo[￿￿¢
BN213PQ
CAF Bank Limited
PO Box 289
King5 Hill
West Mallin¥
Kent
ME194TA
Santander
Boolle
Mer5eyside
L30 4GB
Nationwide Building s(￿iety
Kings PaTk Road
Moulton Park
NorthamptOTL
NN3 6NW
Approved by order of the boatd of thwees ou..l.i..
Mrs S M Wootton- Trustee
Pag¢ 7

INDEPENIIENT EL4MINER'S_REPORT TO THE TRUSTEES OF
THE FROPITIERS C
ITABLE TRUST
Independent eXamI￿eT'S report to the tnistee5 ofThe Frontiers Charitable Trllst ('the Company.)
I re￿rt to the chariry trustees on my examinatsim of the aCC￿]nts of the Company for th¢ yearettded 31 August 2022.
Rt$poThsibilities and basis of report
As the charity's twsiees of th¢ Company {and a150 its ditetts)rs for the puTpose5 tsfc4)rnpany lawl you are responsible foi
ttL¢ preparatioll of tbc a¢¢outtts in accordallce with the requirements of the CoD]pame5 Act 21X)61'the 2006 Act'l.
Havillg satisfied myself the accounts of the CoTUP8ny ate not requiffd io be authted und¢1 Pan 16 of the 2(X)6 Att
nd are eligible for independeni eKawrijnation, I report in r¢spett of my examination tsf YO￿ charity's accounts as carried
out under Sediotl 14) of the Cbarities Act 2011 I'the 2011 ACVI. In ¢arrying out my exallLin￿l￿n I bave followred the
D￿ectiOnS given by the Charity Co￿￿]$$10￿ under Section 145(510)l of the 2011 Art
INdependeDt t￿mIner'S statement
Since your charity'5 gTOSS incom¢ exceeded £250.0(K> yijur exarniEJer mllst be a mem￿[ of a listed body. I can confimi
thai l atn quxlified lo undertake the ¢xaminatioD becau￿ l am a registeted t[Le￿be[ of Institute of Charterd A¢¢ountsnts
in England and Wal¢s which is one of the li5ttd kndies.
I have completed Tny examination. I coDfimi no rnatter5 have to my atttntitsn in eonnection with the
examinatjon giving me cause to be]ieve'.
accountithg recor(Ls were not kept in respect of th¢ Comp2ny &$ required by Se¢tion 386 of the 21M)6 Act. or
the accounts do rtot accord with th0￿ [￿0￿￿. or
the atcotmts do noi CO￿p]Y with the accounting wuirements of SectioD 396 of the 21Y)6 Act other than aThy
requirement that the accouttts 8LYe a Irue alld f2ir view wbich is not a mall¢r coJJsidered as part of an independent
examinatitsn" or
the acco￿ts ILaYe noi i*en Prepar￿1 in accord￿ with the methods aud principles of the State]nent of
Recommended Practice lor accouDting and TqK)rting by chaTitie5 {applitable io charities prq)aring their accounts
in accoidan¢e with the Fin8Dcial Rew)rtitig Sthlldard appknthle iti the bK a[￿ Rcpublic of Ireland IFRS 1021).
I have no concerns and have corne acro￿ no tstheT matters in conneclion with the examinatiou to which atteniion should
be dTawn In this report itl OTd¢r to enable a prO￿rUnd￿$lajMIiftg of the accowjts to be reached.
John Thacker FCA DChA
Institute of Chartered Accountsnts in EDgland a￿lwa1¢S
Chariot Hous¢ Litnited
Chartered Accountants
44 Grand Parade
BTighion
East Sussex
BN2 9QA
Page 8

ST.4TEL¥IENT OF FINATr4CJAL ACTII'ITIES
CORPORATIFIG INCOME AND EXPENDTfuRE ACCO
FOR THE YEAR ENDED
I ALTGUST 2022
2022
Total
fi]nd
2021
Totsl
funds
U[￿¢StriCted Restricted
funds
No*s
INCOME AND EI%DOWMEYfs FROM
Donations attd legacies
843.409
37,209
880,618
826.624
Cbaritable artivitfe5
'ngs Church
Fronti¢r CollLfauDity Clubs
Frontier Community TrdilliDg
32.817
1.427
34244
61,702
276
232
Other trddillg aetivities
IThvestn)eni income
46.361
6.802
46.361
6,803
25,398
5,442
Total
931,793
38.637
970,430
919.674
EXPENDrtURE ON
Cbarit#ble activitie5
Kings Church
Frontier Commun2ty Clllbs
Frontier Cooynunity Training
945.554
27.825
303
254J36
591
12¢K>.090
28,416
303
897,023
5.677
3,029
Total
973,682
255.127
1.228,809
905,729
NET INCOMEI(EXPENDlTURE)
(41.889)
1216.490)
(258.379}
13,945
REcOP4cILIATIO￿ OF FUNDS
Total fimds brougbt forward
325.759
1.463.217
1,788,976
1,775,031
TOTAL FUNDS CARRIED FORWARD
283,870
1246,727
1,530.597
1.788.976
The noTrs forni part of these financial stattments
Page 9

THE FRofLTIERS CHAIUTABLE TRUST
CISfERED P4UMBER: 340L￿)
BALtLNCE SHEET
31 AUGU
T 2022
2022
2021
FIXED ASSETS
Tan8iblc assets
Inv¢stmetits
14
15
1289.232
100
1,799,386
100
1289.332
1,799,486
CURREiYf ASSETS
StcKks
Debtors
Cash at bank and tn band
16
17
2.091
58,828
273,647
1,935
145,698
287,643
334,566
435276
CREDITORS
Atnoun¢S falling due witbin oDe year
18
(54,874)
(130,4071
NET CURRELYT ASSETS
279.692
31)4.869
TOTAL ASSETS LESS CURRENT
LIABILITIES
1.569.024
2,1(A.355
CREDITORS
Amoullls falling due aftermore than one ye
19
(38.427)
(315,3791
ET ASSETS
1,530.597
1.788,976
NDS
Untestn¢ted fullds
Restricted fiLtLds
22
283.870
1.246.727
325,759
1,463,217
TOTAL FUNDS
1,530,597
1,788,976
The charitable company is entitled ￿ exen]prion froTll audii wider Section 477 of Companies Act 2006 foi the year
ended 31 August 2022.
The In¢￿￿TS hav¢ not required tbe tompatty to otA3in audit of its finaDcial ststemet)ts for the year ended
31 Augusi 2022 in accord￿te with Sedion 476 of the Cotnpanies Act 2¢M.
The tswtees acknowledge their respTrnsibilitie5 for
(al
- that tbe ehzriLqble cotnpany keeps acc4)UDting records thai Comply with Sectiolls 386 and 387 of the
et)surino
Companie5 Act 2(M)6 and
(b) preparing financial ststements which give a tsue and fair kiew of the state of affairs of the charitable company as
at the end of each fJnaTKial yw and of irs SUTplus or defi¢it for each financial year in a¢cordance with tbe
IqUITements of Seciion5 394 alld 395 and whirb tsThenvise con]ply ￿7th th¢ TWiTements of the Cotnpanies Act
2(K)6 relating to fmaDcial mt¢Tnents, so far as applicabl¢ to the chaTithble company.
The llotes fomi part of these fU￿nclaI thtements
Page 10
continued...

THE FRONTIERS CHARITABLE TRUST
TERED.NUMBER: 34114789
BALANCE SHEET- eontinued
31Ab
LST 2022
These financial statements have been prepared in accordance with the pro￿$10￿$ appbcable to charitable compall]es
subject to the small companies r¢￿[ne.
stat
tnqnts were approved by the Board of TnLs*es alld authorised for issue on
.. and were Siw￿d on its behalf by:
Mrs. S M Wty)tton- Tn￿lee
llje notrs fomi part of these financial st*ments
Page 11

THE FROYTIEKS
TABLE TRDST
CASH FLOW ST
FOR THE YEAR ENDED 31 AUGUST 2022
2022
2021
Notrs
Ca5b flow$ from operating activKts¢S
Cash generated frorn operations
(452,2291
2,394
Net cash (used inyprovided by operatillg a¢txvities
(4522291
2.394
Cash £lo*$ from iDve5ting activities
Purchase of tangible fixed &sseis
Sale of tsngible fjxed assets
Interest received
(16.732)
454,733
232
{54.839)
1255
Net &2sh proTrid¢d byllused inl inVeSt￿g activities
438,233
153,5841
Change in ¢*sh CAsh equivakDts i
the reportlng period
Cash and cash equivalellts #t the
beginning oltbe reporting period
{13.996}
(51.190)
287.643
338.833
Cash and c8sh equiY8kttts At the emd or
the reptyrting peri￿1
273.647
287.643
The notes fotm part of these fit￿Cl￿ statenients
Pag¢ 12

LE TRLTST
NOTES TO THE CASH FLOW STATEMENT
FOR THE YEAR ENDED 31 AU
LST 2022
RECONCILIATION OF NET {ExPE￿￿TruREVPlCoME TO NET CASH FLOW FROI
OPEIL4TING ACTIVITILS
2022
2021
Net {espenditure)fiNcorne for the repor¢iDg period (as per the
Statement of Finantial Activitie5)
Adju$tments for:
DepreLiaiion chaiges
Inierest receii'ed
IInctea5¢lldecr&3se in stocks
De¢re&￿{InCreaSeI it) debtors
tkctease in ￿editOrS
1258.3791
13,945
72.153
(232)
(156)
86,870
(352,4851
95,729
(1.2551
1,354
(94,0981
(13,2811
Net tash (used iDyprovidtd by optr*tions
1452.2291
2,394
ANALYSIS OF CHANGES IN NET (DEFryFLP4DS
At 119121
Cash flow
At 3118122
Net ta$b
Cash at baDk and in hand
287.643
(13.996)
273,647
287.643
113.996)
273,617
Debt
Debts falling due within l year
D*&ts falling due aftei l year
{21.4661
(315,3791
15,910
276.952
{5,556)
(38,427)
1336,8451
292.862
143.983)
Total
149202)
278,866
229,664
The notes formpart of these fill￿￿lat ststemeDts
Page 13

THE FRofi
RS CHARITABLE TRUST
NOTES TO TUE FIN
CIAL STATEMLYrs
FOR THE
AR ETr4DED 31 AUGUST 21122
ACCOUNTtNG POLICTLS
Ba5l5 of preparing the finxn¢ial statements
The fjnancial staicjnents of the cbatit3ble company. wkn"¢h is a public benefit entiry under FRS 102: have been
prepared in accordance with the chariti￿ SORP IFRS 1021 'Acrouniing 2nd Rtwbtting by Charities.. Ststemetyt
of Recomended Practice applicable to Charities prepariTL(p their accounts ill actordanee with the Financial
Rq)orting SthndaTd applicable itl the L'K and Republjc of Irelalld (FRS 1021 (effective l January 2019),,
Finallcial Re￿rting Standard 102 The FLDan¢Lal Ststhdard applicable ill the UK and Republic of
ITelartd' and the C¢)mpallies Act 2(K>6. The finallcial 5taiemtnts hal'e beeTL PTep8red under the hislorical cost
convention. with the exception of invesiDJetts whi¢h are included ￿ ￿et value.
Intome
All inC0￿e is reeognÉsed in the Statement of FiTtancial Activities once the charity has entidement to the fi￿ds, il
is probable that the intome will be rec¢iied and the amount can be measured reliably.
GovernmeJ)t grants
Government grants are recognised uTrler the perf0rrna]￿ model. The grJnt irteome is recogni5¢d upott
fommnee condition$ being Satisfi￿ land should it be r¢ceived in ad￿￿¢¢ of satisfying the perforEnaD¢e,
recognition of rhc incoTn¢ Is deferred as a ￿ability) attd where there are no wific future perfonnattce-relatèj
eonditioTLS thett grants are reco￿l$ed when prweeds aTr rtte1￿10[ receivable.
Bounc¢ Back LoaDs
The govenllnetlt prO￿ded a IIXY/o guat3ntee on loaDS to 5tnJll or medium-5ized b￿]nesS llp to a maximum of
£50,(KK). There are no fe¢5 or interest chargeable ON these loans for the firsi 12 months and inteTesi is eapped at
2.5/0 per3[￿Un) thereafter. TheTnLSi obtaiDed a loan of £50.OIXI vthicb is shown LS part of long temi creditors.
Expenditsre
Liabilities are retognised as eX[￿Dditure as s¢x>D a5 thert is a legal or con5ttUelii'e obligation comTnitting the
cbaTity 10 that expenditu￿. li is probable that a ttartsfer of ecoDomit benefiis F'ill be required itt senlejnent aDd
the atnount of the obligation measured teljably. Expendimre ￿ accowjtd for on an accTua15 basis and has
beett Classifi￿ wjder headings thai aggregate all cost Telat¢d to the eategory. whe￿ Costs cannot be dt'r¢¢tly
attributed to partieular htradings thty have been allwaied ￿ actiTriti¢s on a basis consistent with the use of
sources.
Grants offered subJ￿l to ¢0￿1]i10￿5 which have F*en at the year end date are no￿1 as a Commitment but
not accn]ed a5 eX]￿y11ft￿e.
Tangiblt ￿ed a55ets
Depreciation is PTovided ai the following rates tn ordu to write otr each asset oTrer its estimated useful
life.
Frtthold property
Fixtur￿ and fittings
2•A ¢Jn ¢osi
21f/• on cost
Stocks
Stock5 are valued at the low¢r of eosi and net reajisable value. alter ￿￿king allowznee for obsolete and slow
moving itell]s.
TfiAation
The Chatity is considercd to pass the tests Set oui in Parawh I Scb¢¢Jule 6 Finat)ct Act 2010 and therefore it
Tn¢ets thc definition of a charitsble CO￿lP?￿Y for UK Cory)oratiOn Tax purp)se5. Ac¢otdingly the Clwity is
rrf>t¢ntially exempt frorn in resperl of intome or capits] gaÈns received withitl categones covered by
Chapter 3 Part I I CortK>ratioll Tax Act 2010 or Sectiott 256 of thc T￿tioll of Chargeable Gains Act 1992. 10
the eKMi that such in¢ome or gaitLs are applaed exCl￿￿1velY to cbaTitsble PUry¥￿5.
Page 14
continued...

FRONTIERS CHAIUTABLE TRUST
r4oTES TO THE FINANCIAL STATEMErirs- continued
FOR THE YEAR ENDED 31 AUGUST 2022
ACCOUNTING POLICIES- coTrtlTr￿ed
Fund aetountiDg
Unrestyi¢ie(l fi￿dS catl used in ac¢ordan¢c wtth the ctwitable obieaives at the dis¢retion of the tru5t¢e5.
Restrid¢d funds can only be used for p2rt]¢ular rrstricted putp>sts within the (l¥je¢ts of the chan"ty. RestrictLOnS
arise when Specifi￿ by the donor or when fittlds *e Taised ftsi particular restricied putp)ses.
Further explaltation of the oature and p￿p￿ of fund is included in the notes io the finan¢ial statements.
Pen5ion5
The chariry operd*s a defined contribution t*nsioD Sche￿￿. CoDttibuuoDs payable for the year are charg&1 i
the Stal¢m¢nt of Finatteial Aetivilies as part of the o)sts of cbaritable xiiwitits.
Value Added Tax
The Trust has registered with a Gmup VAT a￿￿ge￿I cov¢rillg both the clwity and the subsith'ary trading
ttsmpaTJy on a partial exemption method asteed ￿7th H M R¢v¢nue and Custo￿￿ and subject to review fwm time
to time. IrrÉ%oveTabl¢ VAT 15 i￿]llded iTh rtsouries expeoded in the Swementof FiDancial Activities.
DONATIOP4S AND LEGACIES
2022
2021
Chutch offerings and gtfts
Gift Aid- t&x refuJJiL8
Sundry ￿ft$
716.992
112,432
51.194
672,214
107.456
46.954
880,618
826,624
(yrHER TRADING ACTIVITIES
2022
2021
Charges to subsidJ"ary ￿￿ellaking
46,361
25.398
INVESTMENT INCOME
2022
2021
Gift aid frotn subsid
Deposit account intere51
6,571
232
4,187
1.255
6,803
5,442
Page IS
contittued...

THE FRONTIERS CItARITABLE TRUST
NOTES TO THE FINANCIAL sTATE.M￿￿TS- continued
FOR THE YEAR ENDED 31 AUGusf 2022
INCOME FROM CHARrrABLE ACMT
2022
2021
Activity
Evet)t iDcome
Kings Church
Church iM)oksiall
Kings Churcll
Kidz and Youth Acti￿1￿¢$
Kings Church
Government grdnts
Kings Church
Foc￿8
Frontier Community Clubs
Kidz and Youth Activities
FroDtiei Conunujjity Clubs
Impact & Leadership training Frontier Community TrninÈDg
33,549
647
48
4,830
266
56,606
195
81
232
2.245
159
36.648
62,210
Gratlts receive4 itJ¢luded in the aFM)ve, are as follows:
2022
2021
Corooavirius Job Retention SclMDe
56.606
Govermneni grnnL8 received rq)r¢5ent fi￿10￿gh clai[￿$ mad¢ undrr thr coronav]n￿ Job Re￿ntIOn Scheme.
CHARITABLE ACTIVITIES COSTS
fi]ndillg of
tiTrities
{see noie
Sw)pon
costs {se¢
tLOtr 9)
Costs (see
te71
81
Totals
Kings Churcll
FFontiei Conynutiity Club5
Frotltier CoTntnwJily TtaitiinE
54,425
28,416
346.032
799.633
1200,
28,416
303
303
82.841
346.032
799.936
1.228,81)9
DIREcf COSTS OF CHARrrABLE Ac￿￿1&s
2022
20?1
Activity GTOUPS
B<K)ksrall
Focus Costs
Kidz and Youih Activiti
Impact & Lead¢tship Trninit)8
74.569
294
1.512
41,320
545
1.166
4.465
3,029
82.841
50,525
Page 16

LE TRUST
NOTES TO THE FINANCIAL STATEMEP4
FOR THE
R ENDED 31 AUGLST 2022
GRAf4TS PAYABLE
2022
2021
Ktngs Chutctl
346,032
77.085
The total grants paid to duTiug the year w&5 ￿ follows."
2022
2021
.Mission Support
Evangelical Alliance
Supporting Church¢5 in Zlltlbabwe
Newfrolltiers
Local charities
Love Eastlx)urne
Grants for Church in Berli
Seaford Church
3,499
5,259
700
17.770
10.500
1.599
26,785
24.980
17.040
3210
11,440
10.(K)O
246,321
316.490
62.613
SUPPORT COSTS
Management
Kings Church
Frontier Commwhity Training
799.633
303
799.936
Sllpport Costs, in¢luded ill tbe aEd)ve. are as follow$".
ManagtmeDt
2022
2021
Frontier
Community
Training
Totsl
activities
Total
aciiviries
Cbw¢h
Wages
Rates 2nd water
Insurance
Light and heat
Telephotle
Mailllenance and Repaits
Building rent
Cleaning and Household
Books and Equipment
Travel Costs
Office costs
BaDk charges
ExteTnal audit fee
Lzgal and professiona] fees
543.989
5,582
12.729
29,812
4.078
36218
15,957
25J35
1.796
172
18.515
4.836
6.577
9.105
543.989
5,582
12.729
29,812
4.078
36,218
15,957
25.335
1,796
475
18,515
4.836
6,577
9.105
518,364
1.761
11,874
27,438
4.646
43,872
15,603
17,242
1,415
129
17,542
3.122
8,160
126
303
Carried forward
714.701
303
715.OIM
671.294
Page 17
contiDued...

iYriERS CHARITABLE T&UST
NOTES TO TH
FINANCIAL STATE
FOR THE YEAR ENDED 31 A
GUST 2022
SUPPORT COSTS- tontinved
Mxn&gemeDt- continued
2022
2021
Frontier
Community
Training
K"tDgs
Church
Tots]
activities
Tothl
acuvitie5
Biought foTrYard
Tnjstee COTnplIanL¢ Costs
Dept￿latIOn of tangible fixed assets
714,701
12.779
72,153
303
715,(K>4
12,779
72,153
671,294
11.096
95.729
799.633
303
799,936
778.119
io.
NET INCOMEIIEXPENDITURE)
Net iucome1lexpenditu￿I is stsied after chargth&llereditsDg):
2022
2021
Depr¢ciation- owned assets
AudiloTS' Rcmuneratiort
Independent Examiners. Fee
72.153
9),729
5.760
3,500
ii.
TRUSTEES, REMUNERATION AND BENEFrrs
There were trustrcs, rt[[ll￿¢￿tioll or otheT ￿ll¢fits for the ytat ended 31 August 2022 nor for tbe year ended
31 August 2021.
12.
STAFF COSTS
2022
2021
SalaTies
Employers Nationa] InsurdKe
Pension Contributio
Life Assurance
488,436
34,169
25,723
465,804
29.191
22,700
669
550 194
During the y&qr, the toral paid to Key M2na8emellt Petsottllel w&s £14954212021: £177.252).
The average nX>Dthiy llumberof employees during yearwas &s follows..
2022
25
12
2021
27
12
Dircct charithble
AdmiDistsative
37
39
No ¢tnployee5 rw¢ived enM)luments iti excess of £fA).(MN).
Page 18
continued...

THE FR
NTIERS CHARITABLE TRUST
TriOTES TO THE FINANCIAL STATEMENTS- tomtlnued
OR THE YEAR EIIDED
AITGUST 2022
13.
COMPARATIVES FOR THE STATEMEiYf OF FINANCIAL ACTIvrriES
Uwe5tricted
fund5
Restricted
fimds
Total
funds
ThCOME AND ENIKIWMENTS FROM
Donation5 and legaeies
777,986
48,638
826,624
Charitabk atlivities
Kings Ch￿h
FroJJti¢r Commun2ry Clubs
FroDtier Comm[￿Lty Training
J,916
276
232
786
61,702
276
232
Other ttading activities
Inve51ment income
25,398
5,437
25,398
5,442
Total
870245
49,429
919,674
EXPENDITLIRE ON
Charitable attivitie5
Kings Church
Frontier Cotmnuniry Clubs
FrontieT CoTwnunity Trdining
795.413
5,518
101,610
159
2.835
897.023
5,677
3.029
Total
801.125
104.604
905,729
r4ET INCOMEI(EXPEF¥DITLTRE)
Transfers between funds
69,120
18.9941
{55.1751
8,994
13.945
Net Djovemtllt in funds
60.126
(46,181)
13,945
RECONCILIATION OF FUNDS
Total funiL8 brought forward
265,633
1.509,398
1.775,031
TOTAL FLTh CARRIKD FORWARD
325.759
1.463,217
1,788,976
Pw19
Trtinud...

THE FROPITIE
CHARITABLE TRLTST
NOTES TO THE FIYANCIAL sfATE.MENfs- contin
FOR THE YEAR ENDED 31 AUGUSf 2Q22
14.
TAf4GIBLE FIXED A￿Ts
FixtUTes
F￿ehOld
Tot21s
COST
At I September 2021
AdditioDS
Disposals
2,539.499
677,251
16,732
{81,256)
3,216.750
16,732
1518.586}
(437.330)
At 31 All8￿￿ 2022
2.102.169
612.727
2,714,896
DEPRECIATION
Ai I Sepiembei 2021
Charge fvT year
Eljmllmted on disp>5al
880293
37271
117.6641
537,071
34.882
146,189
1.417,364
72,153
{63,8531
At 31 August 2022
899.91x)
525,764
1,425,664
NET BOOK I'ALUE
At 31 Au8U5t 2022
1202269
86.963
1.289.232
At 31 August 2021
1.659.206
140.180
1,799.386
The Bank Loarts and oveTdraft are by way of tharge over the tljarity's freehold property at Kings Centre,
27 Edison Roa( ￿lboUrne. The balance of the loan at 31 All8￿$t 2021 io Barclays Bank plc was £Nil,
howevei the Charge still [en￿lDs in plac¢.
In cowliance with the tern￿ uuder whicb the £220,(MKI grallt from NatioDal Lotteries Cbarity Board (received
dvTing the year 2(M>3-2(KMI was n￿. a s¢¢ortd charge ith favour of Natiotsal Lotieries ChaTilies Board for the
suln of £220.(KK) w&% plaeed over 27 Edison Rowl. Eastbourne.
15.
FIXED ASSET INVEST￿￿[
Shares in
group
undertakings
MARKET VALUE
At I Sepietnber 2021 and 31 Augllsi 2022
100
NET BOOK VALLE
At 31 August 2022
Al 31 August 2021
i(
There We￿ no invesnnent assets outside the UL
Th¢ ￿T￿panY'S inv¢sknettts at the balance sheet d￿¢ in the sh￿¢ capitsl of cotDpavi¢s include the following..
Page 20
continued...

THE FRONTIERS CHARITABLE TRUST
NOTES TO THE FIE*ANCLtL STATEML
FOR THE YEAR E￿DED 31 A
GUST 2022
15.
FIXED ASSET INNTSTMEP(rs- continued
KiDgs Centre {EAstbo￿￿e) IAmited IKCEL
Registeied office..
Nature olbusintss.. Tradin8 subsidiary of TFCT
Class of share..
Ordinary
holding
100
2022
2021
Aggregate capital and teseTV¢S
ProfEt for the y¢ar
20.331
4.184
16,147
2,384
KCEL 15 the subsidiary tr&dll)g tomp3lly of TFcf aDd is a pn￿'￿te limited cottlpany incorpordr¢d ott 19 February
21JM. KCEL Is reB15t¢red ill EDglalld attd Wa]es. compaEry number i(H9241 and ljmiied by Shares. TFCT owtts
IIK)Yv of the ordinary shares of K￿L and coDtrols tbe appoin￿etti of dir¢ctot5.
KCEL trades with the of Tai$ing fi]nth for the F*Theftt of TFCT. by letting parts of the Kings C¢ntre for
confuences, meetittg4 wvjdings, parti&%, sp)rts al￿ games aEJd proVid￿g catering and café f¥iliti¢5.
It is the intention to donate the ￿able profits io TFCF e¥h yw by Gift Aid. KCEL'S trading results,
extracted from the fiTthll¢ia] statements are below."
2022
2021
Shareholder's Funds littcluding £IIM) share capital)
20,331
16,147
Profit and IA)ss Ac¢oun¢
Tumover
Expenditure
Operaiing profil
Other int¢r¢5t receivable
Gift Aid donations to TFcr
Tax on profit on ordinary aCti￿ticS
Retained profit for the year
Accurnulaiedptofit cattied fonvard
92.870
82 115J
10.755
37.789
312181
6.571
6.571
4,187
16.
STOCKS
2022
2021
Finished goods
2,091
1,935
Page2l
continued...

THE
NTIERS CHARITABLE TRUST
NOT
THE FINANCIAL STATEMENfs. .
FOR THE YEAR EN41)ED 31 AUGUST 21122
17.
DEBTORS: Amoufffs FALLING DUE WITHIN ONE YEAR
2022
2021
Trade debtors
Oiher debtors
Prepaymenis atld accrued tticome
20.795
11,270
26,763
78,650
63.894
3,154
58,828
145.698
18.
CREDrroRS: AMOUryTS FALLING DUE WITHIN ONE YEAR
2022
2021
Bank loaTL5 and overdrafts Isee note 20)
Othti loans (set note 20)
Ttadc creditors
Social security and other L￿s
VAT
Other cr¢ditOTS
Accruals a[￿ deferred intome
5,556
15.910
5,556
83,532
9,668
,597
8,977
5,167
22.510
9,554
4.314
6.135
6.805
54.874
130,407
19.
CREDITORS: AMOLYifs FALLING AFtER MORE THAN ONE YEAR
2022
2021
Ballk loaDS Isee noie 20)
Othei l(Fans (sec note ?0)
38,427
246,397
68,982
38,427
315.379
20.
LOAT4S
An ana]ysis of the maturity of loaTL% is wven below:
2022
2021
Amounts falling due wtthin one yeat OTL demand..
Bat)k loans
OiheT loans
5.556
15,910
5,556
5,556
21.466
ATnounis f2lling between One and yean:
Bank loans- 1-2 years
Othet loans- 1-2 ye￿5
5,556
15.910
5,556
5,556
21.466
Page 22
continued...

THE FROFfflERS CHARrT
TRUST
NOTES TO THE FINANCIAL STATEMEp￿S- Coiitinued
FOR THE YEAR ENDED
UST 2022
20.
LOANS- ¢outinutd
2022
2021
Amounts falling due between two aTKI five yr4r5'.
Bank loalls- 2-5 years
Other loans- 2-5 y¢atS
5.556
47,736
41,667
5.556
89.403
Arnou￿ts falling due in Djore than five years:
R¢payabl¢ by iEJStaimetLts:
Bat)k loat)s more thall 5 years repayable by i￿8￿¢￿ts
Other loans more than 5 years ryyable by instalments
27,315
182,751
21.759
204.510
27,315
21.
ANALYSIS OF NET ASSETS BETWEEN FUNDS
2022
Totsl
2021
Total
fimds
Ut)restricted
Restrirt¢d
funds
Fixed as5¢ts
Investments
CuTtent a55els
CuThent liabiltiies
Long tenn liabilities
9l.4fA
1.197,772
1.289.232
l(x)
334.566
154,8741
(38,427)
1.799.386
IIK)
435.276
1130,407)
{315,3791
285.61
154.874)
138.427}
48,955
283,870
1.246.727
1.530.597
1,788,976
22.
MOVEMEYf IN FUNDS
Net
movement
in fuuds
Ai
3118122
At
LTnrestritted fDDds
King5 Church fund
Special Evenrs fi]nd
tksignat¢d- Strategic tkveIopm￿t
307J70
3.043
15J46
(48,4221
11,471)
258.948
,572
23.350
325.759
(41.889)
28J.870
Restricted funds
Building Fun(f
Re50uicing & Trnilling fiuMI
Restricted Rtserve fund
1.394.470
2.399
66,348
{196.698)
(349)
{19,443}
1.197,772
2.050
46.905
1.463217
{2]6,4￿)
1.246.727
TOTAL FUNDS
1.788,976
{2i8,3791
1,530.597
Page 23
continued...

THE FRONTIEIi&LHARITABLE TRLTST
NOTES TO THE FI.NALNCIAL STATEMEKfs- tonlinlled
FOR THE￿AR ENDED 31 AUGUST 2022
22.
MOVEMEfft IN FUNDS- eotttinued
Net movement in funds. Jncluded the above are o follows:
IDcoming
Resources
ex
fvlovement
in fi￿ds
taed
Unre5tri¢ted
Kings Church fund
Special Ev¢Dts ftjnd
Designated- Strategr Developtnent
903.579
17.609
10.605
{957,￿)1 }
(19,0801
12,1rf>1)
148,4221
(1,471}
931,793
(973.682)
{41,889)
Restricted futsd$
Buildis]g Fund
Resourcing & Training fimd
Restricted Reserve fund
(196,6981
1349}
158.080}
1196.698)
13491
(19,4431
38,637
38.637
1255,127)
{216,490)
T(¥fAL FUNDS
970.430
(1 ?28,809)
1258,379)
Comparatives for movtment in funds
Net
ovtment
in fuuds
Transfrts
betwee
fijnits
At
3118121
At IN)QO
U￿reStriCted funds
Kings ChuTch fund
Special Events fund
De5ign#trd- Stsxtegic D¢velop]n¢nt
251,180
4.528
9.925
57.896
(1,575
12.799
(1.7061
307,370
3,043
15,346
(7.3781
265.633
69,120
{8.9941
325,759
Restricted funds
Building Fu￿d
Resourcing & Traitting fijnd
Restricted Re5¢rve fimd
1.416J46
5.034
88.018
(43.134)
12,8351
(9,2061
21258
2(K)
(12,464)
1,394,470
2,399
66,348
1.51Y).398
{55,175}
1,463,217
TOTAL Fi￿4Ds
1.775.031
13,945
1,788,976
Page 24
ontinued...

FROYTIERS CHARrrABLE TRUST
NOTES TO THE FIF4￿CL￿L STATEMETrITS-tODtin•ed
FOR THE Y
R ENDED 31 AUGUST 2022
22.
MOVEMENT IN FUNDS- continued
Comp¥Trtive Thet moveTh¢Dt in funds i1￿1uded In the ab)ve are &$ follows..
It)coming
Resources
expended
Movement
ti funds
UDrestricted funds
Kings Church fvnd
S￿la1 Events fithd
Designat¢d- Strategic tkvelopment
854.579
2,867
12.799
(796,6831
14.4421
57.896
{1,575)
12.799
870.245
(801.125)
69,120
Restricted fvMd$
Building Fulld
Re50urcing & Trdinitig fimd
Restricted Res¢rve fund
1.799
(44.933}
12.835
156,836)
143,1341
12.8351
19.2061
47.630
49,429
(104.6¢MI
(55,175)
TOTAL FUE4DS
919,674
(￿5.729)
13,945
The atld purtM)se of each fi￿d are as follows..
RestTitted Funds
The Te5tricted fvnds are 10 be ￿ed for 5pecifLC purposes and laid dow[% by the donor. ExpeDditure tbat meets
these criteria is charged to the fimd iogether with the apptopriat¢ atsd Sllp￿rt t<hsts.
a) Bllildit)g Fund
This relates to monies specifitally ￿v•] or set aside to the wwsitioD of th¢ whole building knoTrvn as The
Kws Centre, 27 Eth"soll Rts4 Fa5tErf)urne and tht refiJrbisbTneDt aud development lo date of tbe builditi8.
bl Resourcing and TTaining Fuud
This relat¢s to the Impact ProjeeL whirh trdills adults in chU￿h mission attd theolo8y and N￿￿tierS
Leadership One training, which trai￿$ adults iD chureh leadership. fora f¢¢_
¢} Restricted ResmTe FWMI
This represents tnon1¢5 Set aside &s specified for resEricted pu￿05¢5 atKI prior to being &ssigtted lor use to other
Strictd fi]nds.
Unreskn¢td Futlds
The unrestricted fimds tnclude donations and other incoming resourees receivable or gene[a￿ for the
Objectives of the ChaTity without further specified PUTPOSC •nd are available as general fijnds.
a) Kings Church FU￿lIGeneral Fwad
This relaies to the activiti(¥ of Kings Chwcb, E￿￿rne. thc rmIrp￿ of wlll.th Js io advance the Christian faith.
The fi]J]d include5 actiYai¢s, governance costs, &$ well as the bujk of supwrt costs that not dIr￿tlY allocakd
to activities in othcr funds.
bl Reserye Fund
This represents mOllieS 5¢t aside as free reserves io wovide flexibility to Ill•￿e clwiges and incre&%ed needs
aTLd for the various projects of the trusL the pr￿15¢ allocati￿ of which has yet to be decide
cl Spe¢ia] Events Ftmd
Pag¢ 25
¢ontinLKd...

FIiONTIERS CHARITABLE TRUS.[
NOTES T
THE FIN￿NCL(L STATEfvIENTS-
FOR THE YEAR ENDED 31 AUG
ST 21122
22.
MOVEMENT IN FUNDS- continued
Various church aeti¥ity special events take plaee during the year within kn"Dgs Centre. held uJ]der the umbrclla of
the Special Evenis Fund with the inieniion of the￿ also generdting fimd5 or ai least being self fin¥ll¢ing. This
qn include social, educational. STM>rtillg and youth events. orYdtÈOU5 other community activities.
Designated Funds OJnrestticied}
The desibmawl fiuMLs are unrestric*d fimd5 eannath by the trnstees forparticulatpuryx)ses.
al Giwng Fund
This r¢lares to ￿onIeS specifically set aside by Kll)gs Church and giv¢D away to other eharities, Christian
organisations and to tlM)se in The￿.
b} StraieEiC Developmi Fllr￿1
Thi5 rela￿ to monies 5y¢cifica]Iy set by Kings Churcb for str￿e￿¢ projects.
RELATED PARTY DISCLOSLTRES
There were no telated paty transx1lo￿ forthe vear ended 31 August 2022.
24. MEMBERS
At 31 August 2022. there were 1012021.. 101 members of the cowy.
Page 26