Charity No. 1075784 Company No. 3719704
Romney Marsh Community Church
Annual Report & Financial Statements
For the Year Ending 31[st] December 2022
Romney Marsh Community Church
| Contents | |
|---|---|
| Page | |
| Charity Information | 1 |
| Trustees' Report | 2 - 5 |
| Independent Examiner's Report | 6 |
| Statement of Financial Activities | 7 |
| Balance Sheet | 8 |
| Notes to the Accounts | 9 -16 |
Romney Marsh Community Church
Charity Registration No.: 1075784 Registered in England: 3719704 Governing Document: Memorandum and Articles of Association Incorporated on the 25th February 1999 Trust Deed dates: 31[st] January 1999 Trustees: Paul Stephen King (Chairman) Nicholas Peter Barratt Keren Elizabeth Morrell Bruce Godfrey Streather (retired 14/05/22) Elders/Members: Nicholas Peter Barratt (Pastor) Paul Stephen King Company Secretary: Paul Stephen King Correspondence Address: Mrs Christine Clifton Romney Marsh Community Church The Centre, North Street New Romney Kent TN28 8DW Legal Advisors: Streathers Solicitors LLP 44 Baker Street London W1U 7AL Independent Examiner: Peter Saltiel Church & Charity Accounts Service Ltd 7 Planchadeau 23460 Saint-Pierre-Bellevue France formerly, 69 Portland Place Greenhithe, Kent, DA9 9FE Bankers: Lloyds TSB 43 Sandgate Road Folkestone Kent CT20 1RZ
1
Romney Marsh Community Church
Trustees’ Annual Report For 2022
Company Limited by Guarantee
Registered in England No 3719704 Charity Number 1075784 Registered Address The Centre, 8 North Street, New Romney, Kent, TN28 8DW Trust Deed dated 31/01/99 Elders/Members Nicholas Peter Barratt - Pastor Paul Stephen King Trustees Paul Stephen King Nicholas Peter Barratt Keren Elizabeth Morrell Bruce Godfrey Streather (Retired May 2022)
Company Secretary Paul Stephen King
Objects
The objects of the charity are:
-
1) To promote the knowledge and practice of the Christian Faith and in particular but not so as to limit the generality of the foregoing:-
-
a. to encourage people to worship and glorify God and become disciples of Jesus Christ.
-
b. To advance the Christian Faith by promotion of evangelism and social mission.
-
2) To carry on such other charitable activities as the charity may determine.
Management
The Elders manage the spiritual life of the church and work closely with the leaders of other churches in the Forge Sphere Group. The Trustees hold the legal responsibility for the company/charity and are responsible to the Members. The staff and volunteers are responsible to their Head of Department, who in turn are responsible to the Elders.
Finance
The Charity is totally self-supporting, giving 13% of its income away to various good causes. The Gift Aid Declaration Scheme and GADAS still provide a successful additional income at no extra cost to our members.
2
Romney Marsh Community Church
Reserves Policy
It is a requirement of the Charites Act that the trustees consider the financial requirements of the Charity on an ongoing basis and formulate a policy which seeks to determine the level of reserves required to be held at any one time to enable the Charity to carry out its charitable activities.
The Charity is founded on biblical principles, one of which is that all things come from God, and He will provide for our every need (Luke 12:22-31). On this basis, whilst the trustees understand the importance of good practice and stewardship in all matters relating to the Charity, they do not believe it is appropriate to make specific financial provision for future liabilities.
Activities
The gradual lifting of COVID restrictions, has meant activities returned to normal, with some new additions.
Rainbow Toddlers recommenced, giving much needed support to young mum and carers of preschool ages children, which has been missed the previous year. They are, as a group, donating to the RNLI through their subs. They also had an Easter and Christmas parties in which Christian books were given to the children. The mums and carers with the Toddler helpers also had a Christmas meal together, they are invited to all our services and appropriate activities.
The regular Sunday worship services are now physically operating, but we still stream services on line making them open to people of all faiths or no faith, of any age, nationality, culture or gender, and give a public benefit to all who choose to view and engage; all are welcomed and valued equally. This will continue. The basis of our teaching and moral and ethical guidance is in line with the scriptures and teaching of Jesus Christ as contained in the Bible. In addition, we have a Church on Tuesday evenings to make our services more accessible to those who cannot attend Sunday mornings.
Formats of doing Church have been experimented with to encourage more diversity and accessibility. Café style church, in which we start with breakfast and have a more informal service using more multimedia technology, games and quizzes. Also we have had a service on the beach during the summer. We are also starting regular Building Block Church in which we share breakfast together and to encourage families to come to learn more about Christ. We are contacting Beaver groups to see if they would like to come. We have had our first Memorial Service, to allow people space to be supported through grief and to give thanks for their loved ones.
Discipleship groups are now in person and meet regularly for fellowship, study and ministry. Also, there are more opportunities for prayer with weekly pray walks and lunch time prayer. We have also had a half day of prayer and fasting, where we are
3
Romney Marsh Community Church
seeking God’s direction for the church after lockdown, a new successor for our Pastor and for our community, nation and worldwide matters.
Tuesday Pulse Drop in club is the only “Youth club” now running. Clients are mainly young adults with learning difficulties. Unfortunately, one of their members died suddenly and the surprising consequence was the group has grown to from 5 to 20 participants. They pray regularly together and have done a youth Alpha.
We completed an Alpha and have celebrated 3 baptisms, 2 directly from the Alpha Course. Their family and friends came to the service to hear the Gospel and to witness their confession of faith.
We have welcomed three Ukrainian Refugees into our congregation and have contributed to the Ukraine Crisis Tear fund appeal.
Queen Elizabeth II’s Platinum Jubilee was celebrated with a “bring and share” lunch in which people could invite others. We give thanks to God for our sovereign. Others from our church were involved with street parties in their neighbourhoods to mark the day and show how God had been a big part of our Queens service to us and how we are to serve our communities too. We give out books from the Bible Society to visitors and friends to share her story of Christian Faith in action.
We contributed financial and in person with our local Country Fayre, and were involved in the parade and being a Christian presence on the field. Ride and Stride was running again and we opened up the church to participants to have refreshments and rest.
The Christmas Soup Restaurant ran this year for the first time in 2 years. Much of the church was involved in some way, be it making soup, serving or just talking to diners. It was run over three lunch times and raised over £2,000 for RNLI and Tear fund. We also advertised our Christmas Candle light service and Christmas Service. Unfortunately, these were poorly attended as we had wave of COVID infections and flu.
Foodbank started Face to Face service on the 1[st] March. This unfortunately, has seen a marked increase of those needing our support. As well as food and some toiletries given, signposting to various agencies, and having secured a grant from Member Ward Budget Grant Scheme for a fridge freezer, we can now give out fresh fruit and veg, some dairy and bread. Clients are given the opportunity to be prayed with and invited to our various activities
Employees
Nicholas Barratt continues as Pastor of the Church for 20 hours per week. A Church Receptionist/Caretaker for 10 hours per week.
A Community Liaison Officer for 8 hours per week to deal with finance and funding issues.
A Children’s Worker for 5 hours per week.
4
Romney Marsh Community Church
A Community Support worker for 10 hours per week (resigned Oct 2022)
Other Work
The charity has two people who are registered with Kent County Council to officiate at wedding ceremonies. Two weddings took place during the year.
We are in the process of renewing all the Church’s wooden windows with aluminum double glazed units, work started in December. This should reduce maintenance costs in the long term and be thermally more efficient. We have also had plans drawn up for the installation of a lift, making the 1[st] floor accessible to all and safer for heavy deliveries.
Facilities rented out
Unit 3 in The Centre is occupied by Al’s Gym, which is now fully re-opened.
The Marsh Academy, excluded pupils project has run in unit 5 although numbers have reduced since the pandemic
Reflective Care Ltd uses an office at the front of the first floor in The Centre.
RMCC is in membership with the Baptist Union of Great Britain. RMCC continues to be part of The Forge Sphere group of churches (a geographical and relational group of churches originally all part of Salt & Light Ministries across the south of England) who all had the same hard decision to make to step out from under the Salt & Light banner and develop their own network, giving additional pastoral care for our leaders, and apostolic input.
Bruce Streather retired as a trustee in May 2022, having served for 10 years. Bruce has gone above and beyond his original commitment and the trustees want to acknowledge the great wisdom he has brought to the role. We are currently seeking a replacement, potentially from outside the charity (possibly from one of our partner organisations) to bring an added dimension to the trustee body.
Paul Stephen King
On behalf of the Trustees of Romney Marsh Community Church
5
Romney Marsh Community Church
Independent Examiner’s Report to the Trustees, Directors and members of the Romney Marsh Community Church
Charity No: 1075784 Company No: 3719704
I report on the accounts of the Trust for the year ended 31st December 2022 which are set out on pages 7 to 16.
Responsibilities and basis of report
As the charity’s trustees of the Company (who are also the directors of the company for the purposes of company law), you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (“the 2006 Act”).
Having satisfied myself that the accounts of the Company are not required to be audited for this year under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity’s accounts as carried out under section 145 of the Charities Act 2011 (“the 2011 Act”). In carrying out my examination, I have followed the Directions given by the Charity Commission (under section 145(5)(b) of the 2011 Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come to my attention which gives me cause to believe that:
-
accounting records were not kept in accordance with section 386 of the Companies Act 2006; or
-
the accounts do not accord with such records; or
-
the accounts do not comply with relevant accounting requirements under section 396 of the Companies Act 2006 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination; or
-
the accounts have not been prepared in accordance with the Charities SORP (FRS102).
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Peter Saltiel Church & Charity Accounts Service Planchadeau 23460 Saint-Pierre-Bellevue France formerly, 69 Portland Place Greenhithe, Kent, DA9 9FE
Dated 28[th] August 2023
6
Romney Marsh Community Church
Statement of Financial Activities for the Year Ended 31st December 2022 (including income & expenditure account)
| Income from: Donations and legacies Charitable activities Sundry Income Investments Total Expenditure on: Charitable expenditure Total Excess of income over expenditure Total Funds brought forward Total funds carried forward |
Unrestricted Restricted Total Notes Fund Fund 2022 £ £ £ 3 3a 81,883 3,850 85,733 3b 913 520 1,433 3c 756 918 1,674 3d 11,572 - 11,572 95,124 5,288 100,412 4 4 75,377 4,694 80,071 75,377 4,694 80,071 19,747 594 20,341 7 384,141 3,286 387,427 7 403,888 3,880 407,768 |
Total 2021 £ 68,327 840 1,922 9,680 |
Total 2021 |
|---|---|---|---|
| 80,769 | |||
| 72,743 | |||
| 72,743 | |||
| 8,026 379,401 |
|||
| 387,427 |
This Statement of Financial Activities includes all gains and losses recognised in the year. All of the above results are derived from continuing activities.
The notes on pages 8 to 16 form part of these financial statements.
7
Romney Marsh Community Church
Balance Sheet at 31st December 2022
| Notes FIXED ASSETS The Centre 5 Office furniture CURRENT ASSETS Current account & petty cash 127,969 Treasurers account - The Flame/club.com 43 Junior Youth Club - SenSes COIF deposit account 17,249 145,261 Debtors & prepayments 9,501 Net current assets Total assets LIABILITIES Creditors: 6 5,099 Amounts falling due within one year 6 350 Total assets less current liabilities Net Assets 1 FUNDS General Fund Restricted Fund 7 Designated Fund Junior Youth Club 9 |
Notes FIXED ASSETS The Centre 5 Office furniture CURRENT ASSETS Current account & petty cash 127,969 Treasurers account - The Flame/club.com 43 Junior Youth Club - SenSes COIF deposit account 17,249 145,261 Debtors & prepayments 9,501 Net current assets Total assets LIABILITIES Creditors: 6 5,099 Amounts falling due within one year 6 350 Total assets less current liabilities Net Assets 1 FUNDS General Fund Restricted Fund 7 Designated Fund Junior Youth Club 9 |
2022 £ 258,455 - 154,762 413,217 5,449 407,768 389,801 3,880 14,087 - 407,768 |
115,990 43 50 7,083 |
2021 £ 258,455 - 132,126 |
2021 |
|---|---|---|---|---|---|
| 145,261 9,501 |
123,166 8,960 |
||||
| 5,099 350 |
2,804 350 |
||||
| 390,581 3,154 |
|||||
| 1 | |||||
| 387,427 | |||||
| 374,324 3,286 9,767 50 |
|||||
| 387,427 |
The company was entitled to exemption from audit under s477 of the Companies Act 2006 relating to small companies.
The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.
The directors acknowledge their responsibilities for complying with the requirements of the Companies Act with respect to accounting records and the preparation of accounts.
These accounts have been prepared in accordance with the provisions applicable to small companies subject to the small companies regime and in accordance with FRS102 SORP.
These financial statements were approved by the members of the Board on 24[th] August 2023
and are signed on their behalf by Paul Stephen King :
8
Romney Marsh Community Church
Notes to the Accounts
1. Basis of Preparation
Basis of Accounting
These financial statements have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts, accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014 and with the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102).
The accounts present a true and fair view and no changes in the basis of accounting have been made during the year. There have also been no changes to the previous accounts during the financial year.
Going Concern
The trustees are of a view that there are sufficient reserves to secure the immediate future of the Trust for the next 12 to 18 months and on that basis the charity is a going concern.
Cash Flow Exemption
The charitable company has not produced a Statement of Cash Flows, as the charity is within the small company and charity thresholds.
2. Accounting Policies
Fund Accounting
Unrestricted funds are donations and other income received or generated for the objects of the charity without further specified purpose and are available as general funds.
Designated funds are unrestricted funds earmarked by the trustees for particular purposes and include the tithe of its general income.
Restricted funds are to be used for the specific purposes as laid down by the donor. Expenditure which meets these criteria is identified to the fund.
Income
Voluntary income is received by way of donations and gifts and is included in full in the Statement of Financial Activities when received.
Expenditure
Restricted and designated fund expenditure is made on a regular basis. Other expenditure is included on an accruals basis when incurred. Governance costs are those related to the running of the Charity, including the Independent Examination and other statutory costs.
Judgements and Estimations
The trustees have not made any significant judgements in the process of applying the accounting policies and there are no areas of estimation uncertainty that have a significant risk of causing a material adjustment to the carrying amounts of assets and liabilities.
Net current Assets
Current assets are cash at bank with immediate access and debtors. The fixed assets refer to the Charity’s building, The Centre in New Romney, Kent. Current liabilities are obligations to pay for services within one year.
9
Romney Marsh Community Church
Notes to the Accounts (cont’d)
3. Income from
| Unrestricted | Restricted | Total | Total | |||
|---|---|---|---|---|---|---|
| Notes | Fund | Fund | 2022 | 2021 | ||
| £ | £ | £ | £ | |||
| Donations and legacies | 3a | |||||
| General offerings & gifts | 61,194 | - | 61,194 | 48,392 | ||
| Missions | 3a1 | 10,982 | 3,850 | 14,832 | 10,401 | |
| Income tax recovered | 9,707 | - | 9,707 | 9,534 | ||
| 81,883 | 3,850 | 85,733 | 68,327 | |||
| Missions | 3a1 | |||||
| Anugrah Sponsorship of Children | - | 300 | 300 | 300 | ||
| C & D Richards | - | - | - | 777 | ||
| Missions - S Paul | 912 | 120 | 1,032 | 897 | ||
| Forge Sphere | 2,737 | 120 | 2,857 | 2,451 | ||
| Tear Fund | 912 | 2,207 | 3,119 | 777 | ||
| Tear Fund - Toilet Twinning | 36 | - | 36 | - | ||
| Pastoral Emergency Fund | 2,737 | - | 2,737 | - | ||
| Pastoral Emergency Fund - | Pastoral | Need | - | - | - | 1,554 |
| Restaurant Charity | 912 | - | 912 | 2,091 | ||
| Unknown tba - rename? | - | - | - | 1,554 | ||
| Missions - RNLI (2021 Unallocated) | 1% | 912 | 833 | 1,745 | - | |
| Ally Chepkwony | - | 270 | 270 | - | ||
| Rainbow Centre | 912 | - | 912 | - | ||
| Open Doors | 912 | - | 912 | - | ||
| 10,982 | 3,850 | 14,832 | 10,401 | |||
| Charitable activities | ||||||
| Mustard Seed | 3b | |||||
| CAP | 913 | - | 913 | 778 | ||
| F&H DC | - | 370 | 370 | - | ||
| L Payne | - | 150 | 150 | - | ||
| Activity inc | - | - | - | 62 | ||
| 913 | 520 | 1,433 | 840 | |||
| Total charitable activities | 913 | 520 | 1,433 | 840 | ||
| Sundry Income | 3c | |||||
| Church events | 738 | - | 738 | 528 | ||
| Food bank | - | 918 | 918 | 1,218 | ||
| Miscellaneous | 18 | - | 18 | 176 | ||
| 756 | 918 | 1,674 | 1,922 | |||
| Investments | 3d | |||||
| Bank interest | 525 | - | 525 | 141 | ||
| Rental income | 11,047 | - | 11,047 | 9,539 | ||
| 11,572 | - | 11,572 | 9,680 | |||
| Total income | 95,124 | 5,288 | 100,412 | 80,769 |
10
Romney Marsh Community Church
Notes to the Accounts (cont’d)
4. Expenditure on
| Direct Charitable Expenditure Missions donations Total donations Ministry Youth work Mustard Seed Food Bank Junior Youth Club Pastoral Worship Outreach Refreshments Church events Training Support costs Missions Ally Chepkwony C&D Richards CAP Lifeboats Open Doors Rainbow Centre Other Missions Sunil Paul Forge Sphere Send & Saint Tear Fund Christmas Restaurant Charity Tear Fund - Toilet Twinning Pastoral Emergency Fund Mustard Seed Magnox youth equipment A Hulme Fund F&H DC Ride & Stride Tuck Shop Sundry Expenses |
Unrestricted Restricted Total Total Notes Fund Fund 2022 2021 £ £ £ £ 4a 7,731 3,530 11,261 10,663 7,731 3,530 11,261 10,663 238 - 238 462 166 - 166 150 4b 386 855 1,241 53 - 309 309 1,328 9 50 - 50 1,106 977 - 977 - 1,241 - 1,241 1,720 272 - 272 - 610 - 610 201 676 - 676 5,320 861 - 861 - 4c 62,169 - 62,169 51,740 75,377 4,694 80,071 72,743 4a - 240 240 - - - - 1,111 760 - 760 924 - 500 500 - 760 - 760 - 760 - 760 - - 657 657 1,007 760 90 850 1,084 2,280 90 2,370 2,931 880 - 880 410 760 1,953 2,713 924 368 - 368 368 198 - 198 - 205 - 205 1,545 7,731 3,530 11,261 10,663 4b - 472 472 - 32 - 32 - - 370 370 - - 13 13 - 123 - 123 53 231 - 231 - 386 855 1,241 53 |
|---|---|
11
Romney Marsh Community Church
Notes to the Accounts (cont’d)
4. Expenditure on (cont’d)
----- Start of picture text -----
Unrestricted Restricted Total Total
Fund Fund 2022 2021
£ £ £ £
Direct Charitable Expenditure (cont'd)
Support costs 4c
-
Wages & NIC 34,417 34,417 37,808
-
Premises general maintenance 4,376 4,376 1,776
- - - -
Premises North Street expenses
Romney Enterprise Centre
Building 210 - 210 -
-
Maintenance & expenses 13,316 13,316 6,121
Office Staffing Costs - other 936 936 974
-
Postage, stationery & telephone 1,372 1,372 1,594
Photocopier 355 - 355 321
Computer Costs 1,170 - 1,170 647
Subscriptions 882 - 882 903
-
Accountancy 1,250 1,250 1,250
Travel 50 - 50 -
Bank Charges & Interest 320 - 320 343
Miscellaneous expenses 3,515 - 3,515 3
62,169 - 62,169 51,740
Total expenditure 75,377 4,694 80,071 72,743
----- End of picture text -----
5. Fixed Assets
| Unrestricted Restricted Total Fund Fund 2022 £ £ £ Romney Enterprise Centre at 1st January 258,455 - 258,455 Additions - - - at 31st December 258,455 - 258,455 |
Total 2021 £ 258,455 - |
|---|---|
| 258,455 |
The (Romney Enterprise) Centre was purchased by the Church for the furtherance of its aims and objectives during the year 2000. The purchase was partly funded by a release of trust funds from the Baptist Union Corporation and partly by way of a loan from Lloyds Bank Plc secured against the property by way of a mortgage. The loan was due to be repaid over a 20 year period.
During 2003 an additional mortgage was taken out secured against The Centre to provide funds for capital works required for furtherance of the aims of the charity. Part of this work was also funded by way of a grant awarded to the charity during 2001 from The New Romney Institute.
The trustees decided that as extensive structural improvements have been carried out at The Centre, and that these improvements greatly enhanced the value of the property, the costs associated with these improvements should be capitalised to reflect this. Further works were carried out during 2004 and again these costs were capitalised.
In late 2006 some damage was sustained to The Centre by a third party, which was then subject to an insurance claim. Remedial works were carried out during the latter part of 2008 and during 2009 and it was decided to combine some improvement work in with the repairs. To this end the charity borrowed
12
Romney Marsh Community Church
Notes to the Accounts (cont’d)
5. Fixed Assets (cont’d)
an additional sum from Lloyds TSB Bank secured against The Centre and the amount of these improvements have been capitalised in the accounts.
The Church is the beneficial owner (subject to the relevant trusts) of the following assets the legal title to which is held by the Church's custodian trustee The Baptist Union Corporation Ltd.
The Chapel value was revised in 2019 due to the fact that it was subject to a contract of sale and having been placed on the open market and independently valued the Trustees had accepted an offer of £140,000 for the sale. This sale completed in January 2020 and the resultant funds are held in trust by the BU Corporation on behalf of the church.
A full breakdown of the trust fund movement is shown in Note 10.
| Shown at higher of insured or market value: Church premises (Chapel) - North Street BU Corp Trust Fund re Chapel Sale Office Furniture Desks, Chairs, Cupboards & Computers Cost Value at 1st January Additions at 31st December Depreciation at 1st January Additions at 31st December Net Book Value at 1st January Additions at 31st December |
Total 2022 £ 139,819 Unrestricted Restricted Total Fund Fund 2022 £ £ £ 13,625 - 13,625 - - - 13,625 - 13,625 13,625 - 13,625 - - - 13,625 - 13,625 - - - - - - - - - |
Total 2021 £ 137,688 |
|---|---|---|
| Total 2021 £ 13,625 - |
||
| 13,625 | 13,625 | |
| 13,625 - |
13,625 - |
|
| 13,625 | 13,625 | |
| - - |
- - |
|
| - | - |
13
Romney Marsh Community Church
Notes to the Accounts (cont’d)
6. Creditors - Amounts Falling Due Within One Year
| 7. Fund Breakdown Accruals Deposits Received General Fund Designated Fund Restricted Fund Restricted Fund Breakdown: Missions Mustard Seed (Youth Work) Other Represented by: |
Unrestricted Restricted Total Fund Fund 2022 £ £ £ 5,099 - 5,099 350 - 350 5,449 - 5,449 1st Jan Income Expenditure Transfers £ £ £ £ 374,374 82,491 (67,064) - 9,767 12,633 (8,313) - 3,286 5,288 (4,694) - 387,427 100,412 (80,071) - 1st Jan Income Expenditure Transfers £ £ £ £ 1,692 3,850 (3,839) - 619 520 (855) - 975 918 - - 3,286 5,288 (4,694) - 2022 £ Cash: Funds held in - Missions Account 3,680 COIF Account 200 General Fund Account - 3,880 Net Prepayments - 3,880 |
Total 2021 £ 2,804 350 |
|---|---|---|
| 3,154 | ||
| 31st Dec £ 389,801 14,087 3,880 |
||
| 407,768 | ||
| 31st Dec £ 1,703 284 1,893 |
||
| 3,880 | ||
| Cash: Funds held in - Missions Account COIF Account General Fund Account Net Prepayments |
2021 £ 3,086 200 - |
|
| 3,286 - |
||
| 3,286 |
7. Fund Breakdown
8. Staff costs and remuneration to Trustees
| Salaries Employer's National Insurance Employer's Pension Contributions |
2022 2021 £ £ 34,417 37,808 - - 936 974 35,353 38,782 |
|---|---|
No employee was paid more than £60,000 and the Trustees received no remuneration during the year.
14
Romney Marsh Community Church
Notes to the Accounts (cont’d)
9. Junior Youth Club
Junior Youth Club
Accounts to 31/12/22 for Friday Club
| Cash book summary from 2021 Total Receipts Total Payments Closing Balance |
£0.00 £0.00 |
|---|---|
| £50.00 |
| Receipts Opening Bank Balance 01/01/2022 Opening Cash Float Tuck Sold Total Receipts |
Payments - £ Tuck Bought 5.47 £ £50.00 Equipment purchased & Craft - £ - £ Donation to RMCC £44.53 Closing Balance - £ £50.00 Total Payments £50.00 Closing Balances at 31/12/2022 Bank - £ Cash - £ Total - £ |
Payments - £ Tuck Bought 5.47 £ £50.00 Equipment purchased & Craft - £ - £ Donation to RMCC £44.53 Closing Balance - £ £50.00 Total Payments £50.00 Closing Balances at 31/12/2022 Bank - £ Cash - £ Total - £ |
Payments - £ Tuck Bought 5.47 £ £50.00 Equipment purchased & Craft - £ - £ Donation to RMCC £44.53 Closing Balance - £ £50.00 Total Payments £50.00 Closing Balances at 31/12/2022 Bank - £ Cash - £ Total - £ |
|---|---|---|---|
| £50.00 | |||
| - £ |
15
Romney Marsh Community Church
Notes to the Accounts (cont’d)
10. Trust Fund
Details of the Trust Fund held on behalf of the Church by Baptist Union Corporation
| Date Item Details Jan-20 Proceeds of Sale of The Chapel, North Street New Romney, Kent Jan-20 Agents fees deducted from proceeds Balance credited to Trust Fund Jun-20 Interest added to fund Dec-20 Interest added to fund Trust Fund Balance as at 31-12-20 Jun-21 Interest added to fund Dec-21 Interest added to fund Trust Fund Balance as at 31-12-21 Jun-22 Interest added to fund Dec-22 Interest added to fund Trust Fund Balance as at 31-12-22 Trust Fund released as Income credited to RMCC General Fund Allocated by way of:- Expenses charged to RMCC General Fund Increase in Assets in RMCC Balance Sheet Reduction of Liabilities in RMCC Balance Sheet |
3,000.00 -£ 265.76 £ 138.00 £ 135.75 £ 148.27 £ 546.41 £ 1,585.24 £ |
140,000.00 £ 3,000.00 -£ |
|---|---|---|
| 137,000.00 £ 403.76 £ |
||
| 137,403.76 £ 284.02 £ |
||
| 137,687.78 £ 2,131.65 £ |
||
| 139,819.43 £ |
||
| - £ |
||
| - £ - £ - £ |
||
| - £ |
16