## _**Swansea Valley Bible Church**_ 

## **Trustees’ Annual Report for the Period to 31st March 2021** 

Swansea Valley Bible Church (an unincorporated association), Unit 19, Ynyscedwyn Enterprise Park, Ystradgynlais, Powys is registered with the Charity  Commissioners  (No.  1065893)  and  is  constituted  by  Deed  of Trust. 

The charity is administered by a management committee, comprising: 

|Chairman|-|Mr Andrew Yeoman|(Trustee)|
|---|---|---|---|
||-|Mr Ceirion Harries|(Trustee)|
|Secretary|-|Mr Barnabas Harper|(Trustee)|
||-|Mr Richard Steadman|(Trustee)|
||-|Mr Andrew Grifiths|(Trustee)|
||-|Mr Matthew Rees|(Trustee)|
|Treasurer|-|Mr Andrew Piddington||



The object of the charity remains the advancement of the Christian Faith by the proclamation and furtherance of the Gospel of God concerning His Son Jesus Christ the Lord and the preaching and teaching of the Word of God (The Holy Bible) by the Church. Accordingly, such other charitable purposes, as shall further the attainment of the above object, shall be carried out including community aid and activities for the benefit of the local community. 

## **Membership & Attendance** 

This year was strange in many respects. The outbreak of COVID-19 and the  consequent  lockdowns  resulted  in  the  temporary  suspension  of almost all in-person activities. All clubs within all branch churches were temporarily  closed,  and  any  meetings  were  moved  almost  entirely  to Zoom gatherings online. 

We’re pleased to be able to report that not only did we ‘survive’ the lockdown  (in  terms  of  membership  and  online  attendance),  in  many respects  (despite  the  suspension  of  many  activities)  we  thrived  as  a charity, both in respect to finances and attendance. 

As  at  31[st] March  2021,  the  total  membership  of  the  charity  was 59 individuals. With the shift to online meetings (both on Sunday and for mid-week prayer) at branch church level (instead of collectively), efforts to  log  attendances  did  lapse  somewhat.  However,  all  trustees  would agree that attendance didn’t drop much at all, with figures equal to or greater than the previous year when meetings were in-person. 



During the course of the year ministers of the church officiated at 4 funerals, but no infant dedications or baptisms. 



## **The Mission Shop** 

Due to lockdown, the charity shop was only able to open in short spurts as eases in restrictions allowed. Neverthless, there was a nominal income to report for the financial year of £2,509. The net proceeds of the shop are designated for missionary activities both within Wales, the rest of the UK and abroad. This year, a total of £5,250 of these funds were donated to UK based missionaries including £2,250 COVID related support. 

In addition to the  charity  shop income, rental income of £4,200 was received in respect of the two bedroomed flat. Also a Local Authority Covid Grant of £10,000 was received. 

## **Charity Employees** 

Individuals employed by the charity during the year were: 

- Pastor A P Yeoman, Senior Minister (full-time, and also chair of trustees) 

- Pastor R Steadman, Associate Minister (part-time [1 day per week], and also a trustee) 

- Mrs H W Yeoman, Pastoral Team (part-time [2 days per week] and also spouse of  Pastor A P Yeoman) 

- Cleaner: Miss Hayley Myles 

## **Financial Summary** 

The charity is dependent on the financial commitment of members and other donations as the main source of income. Accordingly, total income for the year was £111,569 which included £12,509 designated funds in respect of the specific activities and projects. 

Cash Reserves at the end of the year were £63,114 which included a balance  of  £2,017  in  relation  to  the  building  projects.  The  available reserves equate to more than six months operational costs. 

Payments to Kingdom Bank in respect of the mortgage against Hope Church (Garnant) & 9 Commercial Street (Ystradgynlais) during the year totalled £10,717, of which £2,794 was capital repaid (the balance being interest). 

## **Conclusion** 

The charity continues to develop and promote itself in the region, and despite the setbacks of lockdown and consequent restrictions, it is the opinion  of  the  Management  Committee  that  the  charity  continues  to 



operate upon a solid foundation on which to sustain a continued growth in accordance with its constitution. 

Barnabas Harper Trustee & Charity Secretary 31[st] January 2022 For and on behalf of the Management Committee 



SVBC FINANCIAL SUMMARY
15tApri12020 to 3tstMar¢h 2021
SVBC
Hope
Cfv8rtty SVBCTots
Total
SHINE
Swans
Bulldln8
Fund
VtyTun
Offetll
CtsvenantRec•pts
HMRCGIftAid
Donattons
substriptlons.et
sales of books, a>'5et
Rertal &Stsndry Inrome
IS.508
46,622
10,691
ISA55
3A52
340
24Q
19210
&598
4,94?
3.041
5.845
634
¢568
20
43,876
14,307
9,610
634
515
11266
A55
20
509
142
2516
14300
ILO83
5.291
loo
88.383
5*3Y
16.709
1,040
sala￿e5 & Wages
ER'S pehsion
ER'5 NIC
MissSoKry5upport
Travel ExpeDSÈS
Arcomodation. mea&. 3llav4a
min￿try Glfts
Gpods f¢1 resale
ComThunityG¢ft5
8ulle￿n$. flyers. books. kTranne
Electricty
49.480
1.293
49A*)
52,529
1213
525
3.076
Z168
1356
1965
1174
1,872
2,190
6D7
296
3A22
8572
456
607
22
614
1.173
1,487
38
811
652
407
1.626
176
420
1,310
3,773
Water
Yelephon•
Insurancès
Licenses & Affillation fves
BaDk Char8e5 & Intrrfst
AccountsncysupptTrrt fincxerol
Resourtss,TraiDing&equipme¢x
Prernise5 reThtsllhlTe
Buildlni malntenance & repair5
Securlty
Prirtirt& P05tue, StstiOn￿
&Web etG
Cleanln8& RÈfusecollection
Cothstjmables
99
275
55Z
77
461
92
37
8.153
3.168
93
34
4168
266
3.168
1.152
195
2,727
ITJ
43
195
1.307
641
L419
3￿70
25
307
282
£243
395
414
783
Trt￿£wenSe.
73.0
I￿62
173
6327
81.6B3
IiW2
558
3070
rietlnromÈl(Expell5eJ.
4275
467
19J24
IQ762
-528
Pase One

SVBC Balance Sheet 35 at 3tst March 2021
81￿10zI
rixod
Land &a￿lECting5
Fixture5&FItti
CoMp￿ters&E9￿1pMertI
9?83
ILW5
11.805
To¢alFi¥ed Nss*ts
31L088
311
Debtors
HMRCGiftAid
OtFwprepawn¢nts
120
7,194
923
923
TvtJlCwrentA5sets
8.5ZJ
a k &Cash
Bar¢laysAccount
MainAccourit
Bulldln8 Fund
iDeA¢tount
Mums& To15
Oiher li￿￿deSr￿￿tvr￿h*fkW￿)
3.103
25.017
3.392
102
49,419
17
114
4,077
TotalBank &Ca5h
6a.114
35￿2
TOTALASSETS
378,312
Creditor5
MRCIPAYEINICI
otherCreOltors&Accruals
Kingdixn Bank Mortgage
2,147
1385
14L374
TOTAL LfABILmES
141.971
144.658
NEY A55ET5IuABILITIES
Z36J42
O,W6
Re5
CurrentYearsurpJu5W2fiut
PriDrYear5surptusldeficit
Re￿I￿at￿n Reserve
24C67
.Z7S
120,(
13.740
76,266
ESERVES
236,342
Page Ywo

SVBC CHARITY SHOP 5TATEMENT- 31st March 2021
2021>21 Z019-20 2018-19 2017-18 201&17 2015-16 2014-15 201>14 2012-13 2011-12 201￿11 2009.10
Total
4mths
9mtt
rnt
14nrth5
12 mth5
12mths
Shop Income
2387
10,187
7500
9J17
10.665
11.011 ts.404
10.072
8.614
10.915
9,935
10,514
112.011
Monthty overoge
597
833
817
918
867
839
718
828
876
818
Missftons recelpts
118
618
3,213
3.949
Shop Rental
2,793
4Xrf) 4.8tyJ
4,8CQ
4,800
4,800
31,593
Missions Fundin
Overseas missitrns
Missitsn3ry Support
Missionary gifts
Tent Missions
Missions Equipment
Pencoed
Kingdom Ablaze
SHINE
676
2,4QK)
725
995
7¢))
547
426
1,777
287
2.400
9W
584
1,369
1.993
10.079
24,450
5,670
4,698
3,653
3,583
564
9,000
5.250
565
1,085
495
950
3.613
1,2ry)
1.970
250
1,345
1,150
556
324
I,D57
240
2,0
2,￿0
Totsl Missions F￿r￿1n8
5.250
5.075
5.IZ5
5.475
5,100
4y7
4.971
556S
4.737
8,317
2A99
4.636
61.698
55%
48%
44%
Page Two

SVBC- BANK ACCOUNTS
as at 3tst March 2021
Name
Bank
Sort Code Account No.
BalarKe @
3V0312021
Balance @
3110312020
Old Main Accourrt
Barclays
2(k58-72 70885383
7.487
SHINE
LEoyds
30-93-53 03055563
114
102
Mi5510n5lMain Account
Uoyd5
30-93-53 W634317
49.419
25.017
Youth Account
Barclays
20-58-72
1,179
1,179
YOYO Account
Uoyds
30-93-53 01828921
Mums & Tots Account
Uoyds
30-93-53 03011566
797
Building Fund
Lloyds
30-93-53 D1924688
2.017
3.392
OtherAccL)unts & Cash
1.894
457
Totsl Funds
63.114
35.OS2
Debtors
HMRC- GiftAid
7,194
Cffditors
HMRC- PAYE
HMRC- NIC
1,253
5,761
8.230
Net Funds
64.034
39,776
Excl. Building Fund
62.017
36,384
Page Four

CHARITY (OMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Sectlon A
Independent Examlner's Report
Report to the trusteesl
members of
SWANSEA VALLEY BIBLE CHURCH
On accounts for the year
ended
31°, MARCH 2021
Charity no
(if any)
1065893
Set out on pages
I report to the trustees on my examination of the accounts of the above
charity ("the Trust") for the year ended 31103 12021.
Responslbilities and
basis of report
As the charity's Iruslees, you are responsible for the preparation of the
accounts in accordance with the requirements of the Charities Act 2011
1.the Act'l.
I report in respect of my exafflinalion of the Trust's accounts carried out
under section 145 of Ihe 2011 Act and in carrying out my examination. I
have followed all the applicable Directions given by the Charity Commission
under section 14515}(b) of the Act.
Independent I have completed my examination. I confirm that no material matters have
examiner's statement come lo my attention in connection with the examination {elh@￿t
disclose&b￿.) which gives me cause to believe that in. any material
respect=
the accounting records were not kept in accordance with section 130
of the Charities Act., or
the accounts did not accord with the accounting records", or
the accounts did not comply with the applicable requirement5
concerning the form and content of accounts sel oul in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a 'lrue and fair, view which is not a matter
considered as part of an independenl examination.
I have no concems and have come across no other matters in connection
with the examination to which attention should be drawn in this report in
order lo enable a proper understanding of the accounts to be reached.
Please del8le the words in the brackets if they do not apply.
Signed:
Date:
25 January 2022
Name:
Chrislopher Pavett ACA
Relevant professional
quallficalion{s) or body
(if any):
ICAEW
Addre5S:
6 High Slfeel, Cwmgwrach, Nealh, SA115SY
IER
Oct 2018