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2023-03-31-accounts

CELESTIAL CHURCH OF CHRIST

(HEPHZIBAH PARISH)

FINANCIAL REPORT FOR THE YEAR ENDED 31 MARCH 2023

CELESTIAL CHURCH OF CHRIST

HEPHZIBAH PARISH

INCOME & EXPENDITURE STATEMENT FOR THE YEAR ENDED 31 MARCH 2023

Income
Administratve Expenses
Net Income surplus for the year
Net proft brought forward
Net proft carried forward
2023
59,975
-57,236
2,739
46,927
49,666

The principal activities of Celestial Church of Christ- Hephzibah Parish, the provision of extensive range of spiritual and religious charitable services , and intends to do so more extensively in the year to come

It is the Trustee's responsibility to ensure the financial statements prepared give a true and fair view of the state of affairs of the church as at the end of the Financial year, and the surplus/deficit for the year; and in addition, reasonable and prudent judgements and estimates have been used in the preparation of the accounts

Trustee Celestial Church of Christ (Hephzibah Parish)

CELESTIAL CHURCH OF CHRIST

HEPHZIBAH PARISH

BALANCE SHEET AT 31 MARCH 2023
Fixed Assets:
Church furniture
Church furniture
Musical equipment
Computer etc.
Investment property
Current assets:
Debtors
Cash in hand and bank
Current liabilites:
Accruals and trade creditors
Creditors due afer 1 year
Represented by:
All Reserves b/f
Equity in leasehold property
Income surplus for the year
-
52,795
52,795
-500
2023
2,811
2,995
11,539
548
146,000
163,893
52,295
216,188
-
216,188
166,522
-
49,666
216,188

CELESTIAL CHURCH OF CHRIST

HEPHZIBAH PARISH

INCOME & EXPENDITURE STATEMENT FOR THE YEAR ENDED 31 MARCH 2023

NOTES TO THE ACCOUNT

1 Accounting Policies

The financial statements have been prepared under the historical cost convention

2
Debtors
Unpaid pledges
Prepayment - Rent deposit
3
Creditors
Amount falling due within one year:
Loan interest
Bank overdraft
Bank loan on property
Accruals
Amount falling due after one year:
Mortgage outstanding on property
Members' contributons
2023
-
-
-
-
-
-
500
500
- -
0

All assets are stated in the financial statement as historical cost. Therefore no adjustments are required to the reported profit which is stated on an unmodified historical cost basis.

CELESTIAL CHURCH OF CHRIST

HEPHZEBAH PARISH

STATEMENT OF INCOME AND EXPENDITURE FOR THE YEAR ENDED 31 MARCH 2023

Income:
Bank interest
Collectons
Rental Income
Gif aid and charitable receipts
Private and General donaton
Tithes etc.
Other income Church purchase donatons
2023
165
18,705
12,408
564
9,218
18,915
-
59,975

Less: Administrative expenses

Rent and storage
Light and Heatng
Mortgage Interest
Harvest
Charitable donatons
Depreciaton
Bank charges
Insurance
Shepherd's expenses
Radio, evangelism and welfare
Telephone and internet
Accountancy
General Expenses
Net surplus for the year
32,400
-
995
2,893
895
9
-
2,896
483
480
200
150
57,236
-57,236
2,739
32,400
-
995
2,893
895
9
-
2,896
483
480
200
150
57,236
-57,236
2,739
2,739

Signed by

Trustee

CELESTIAL CHURCH OF CHRIST

HEPHZEBAH PARISH

STATEMENT OF INCOME AND EXPENDITURE FOR THE YEAR ENDED 31 MARCH 2023

COMPILATION REPORT TO TRUSTEES OF CELESTIAL CHURUCH OF CHRIST

We have examined the Accounts on pages 1 according to Accounting principles of un-audited financial statement.

We report that the accompanying Financial Statements have been compiled from records kept by the church and information supplied by the Trustees.

We have not audited the accounts and accordingly, do not express an opinion or any other form of assurance.

ALLY BOATMAN COLLINS (ACCOUNTANTS) 62 BEECHWOOD ROAD LONDON E8 3DY

CELESTIAL CHURCH OF CHRIST

HEPHZEBAH PARISH

STATEMENT OF INCOME AND EXPENDITURE FOR THE YEAR ENDED 31 MARCH 2023

SHEDULE OF FIXED ASSETS

NBV B/f 31.3.2021
Deprecaton Yr. charge
NBV as at 31 MAR 2022
NBV B/f 31.3.2022
Deprecaton Yr. charge
NBV as at 31 MAR 2023
Furniture
& Fitngs
2,959
-148
Church
Furniture
3,153
-158
Musical
Equipment
Computer
Etc.
Etc.
12,146
577
-607
-29
Total
18,835
-942
2,811 2,995 11,539
548
17,893
2,811
-141
2,995
-150
11,539
548
-577
-27
17,893
-895
2,670 2,846 10,962
521
16,999