Charity number: 1103028
Cfjmp8ny thwnber: 05018627
Trlnhty Chureh IA>ndon
(A company limited by guarantee)
Trustees, report and fllwieial statements
for the year ended 31 December 2020
"A4FYN9ZD'
10r2021
COMPANIES HOUSE
#18

Trinity Cburch L&)odon
{A company limiled by guarantee)
Contents
L4al attd admÈtiistrative infornwi
Tn]st¢¢5' rep)rt
Indcpcndent exarniner5' rew)rt
of fihan¢ial activiiies
Balance sk¢t
Nor¢s io the fi[￿¢111 wtements
8-13

Trinity Church London
(A company limited by guarantee)
1481 and administrative infonnation
Charity number
1103028
Company registration number 05018627
Re85stered office
wer Dagna]I Stre
Si A]bans
Hertfordslure
At3 4PA
Trustees
D Hanion
J W Turner
B D Morgan
S Newberry
Secfttary
D Hanton
Accountants
Wilron Mudow & Co Limited
2nd FiIM)r. Dagnall House
tA>wer Tragnall SrTe¢i
St AIban5
H¢rford5hire
AL3 4PA
B8nken
Santhnder UK pk
Business BaDkinK Cent
301 Si Virtetst Stre
Gl&sgow
G2 5Kr

Trini¢y Church London
(A company limited by guarantee)
Report of the trustees (incoryor¥ting the directors. report)
for the year ended 31 December 2020
The ¢rusiecs preseni their rewsrt aTvJ the financial statemenLS for the Jt4r eThd￿ 31 De£emF*r 2020. The rn]5￿5, who
are ajw ￿b￿10T$ of Trinity Church ix)MloD for thr FXW of comparby law and who scrved dwing the year atkl up
the date of this report ate oui on p8ge l.
Strutthr< governanee, management and public beDefit st*lern¢Dt
CoptsriEulion of Trinity Chjirch
Trinity Church (formerly Northwest Churthl h*$ tomplied with the dury ill seuioD 4 of the 2￿6 Charitie$ Act to have
due re8￿ to guidancc publis￿ by Chan"ty ComMi￿10n {i.e. public benefii Trinity Church wa5
incorporated *8 * charitable Co]Dpany, limited by guatant¢¢, tvith no share capital on 19th January 21Y)4. The Church 1$
in accordance with th W￿￿Ta￿aUrn and anicies of a$scKi￿10n oui * th* iinr.
R¢s¢rvespoli¢y
The tnjsiees aim to mtiint&in unrestricted r￿E￿5 ID excess of £25.(X)). This would eDabl¢ cu￿nr activities of th¢
ch￿1￿ io be suS￿lner1 for a time in the eveni of a Si￿1ficant drop ID Ir￿￿￿. This level of reserve ha5 noi been
achieved in this year but the ¥wunts irtlud¢ a larg¢ provisio]J fw teni payable. which the ar¢ hopefijl will be
n¢goua*d al￿ reduc￿ siwficanuy. Th"J$ will Telease somc rn￿h needed fuods to th¢ Church.
Objectives and activities
Princtpal ocriviry and chariiable objecis
The prineipa] aaivity of the charity is w advaKe the Chri#i8n faith in xcordaDce with the Sta*ment of Belief5 in North
L¥Jndon aud in such other of the UK or tbe world. as the tsu4ees of the ¢hariry thay lim¢ to thiok attd
fv1fi15Uth oth¢r Pur￿5¢S. which ar¢ ¢x¢lusively charithlc according ￿ the law of England and Wai¢5 3ThJ
connected with tht charitablt work of the charity.
To relieve persons wb) are in condiuons of need or haTdship. or who are a8ed or sick and io rejieve dtstress caused
thereby iti the said location and in $uch other pans of the UK or th¢ 35 the may from iimE to ritM¢ fit
and in other way5 ro 5er¥e and ￿nefIt the I￿11 community where there is need.
To advance education in xcordaJK¢ with Chn"siian principles by such nxans &$ the rnjsiees may consider appropriate.
IneludLng by nxaths of establishing oikniing any edutationa] e5tablishmenr or establishmEN5 in the said location
aThl in $u¢h otherpxrts of the UK or w(xld as thctrustees from to TIME th"Lnk fil.
Achievtments and perforniance
Th¢ cburch su¢¢e&5fully rtK¥v￿ Sunday Tnecungs io a larger venue ITh St James Scl)ool in January 2020 bui ihese were
sknrt-lived as COVID-19 resuRcuoAs were intr(Mluced in March. Ho*rveT th¢ church quickly ad4lT¢d w lockdowu and
establ15t￿ effective ¢)Thlinc ￿senCe thaT 5¢rvcd tht local congTcgau¢)n and funhtr aficld.
Throughow the y￿. thc church OF¢raied as a key hub for COVltk19 rela￿d relief in Barnet and pOrn￿reA with
many loca] wups and a&Cr￿Je5 3nd was comtnEnded by Barnct Council for its work. Th¢ Colindaic Foodbank tnpled
the numbcr of c]ienrs tr served: the Colitthle Community Garden w&$ estsb]ishtd and a part-time horticulturist employed
io create a safe plaee for wple io enjoy th¢rap¢uiic gardcDin8; the CAP Deb¢ centr¢ cxpandcd and saw an increase in
[￿PIe bxoming deb( frte". Baby B&4ics COttliti￿d to serye tht nM)st wjjmble new mothers through Bamel NHS
idMv¢s.
The thurch agreed lease with an adYaThts£eous CBAT agreemeni for tht Trinity Centrt. The oveThthelmityg
priority of the (ru5W is io op¢r* the ehureh on o bajanccd bud8¢1 by nN)nth.
Triniry Church led a small group Cataly￿ l Newfroniiers thur¢hes for Jnumal ￿p￿)rt aDd encoura8en*ttt wbieh e]w
thai the church Continu￿ its on NewT¢swrKni al￿ apostolic foundau"on&

Trinity Cburch iA•ndon
(A company limited by guarantee)
Report of the tTh￿teeS (ineorp)rating the direttors, report)
for the year ended 31 December 2020
Financial Teview
At the end of the year our LLMal combined incorne of the Churth was £l82k {2019 £176k) with totsj cA￿tIsts of £l67k
(2019 £96k). This aThiunts to an ovcrall swplus of ¢)ver ex￿￿1￿￿e. Income pr&tsminantly arisC5 from
th)rtations from church mcmbers.
Statement ottrustees, respousibllities
The truskes (who are a]$0 direc&)rs of TriDity Chw¢h i*)ndon for the puryx)se of w))pany law) are restA)Thsibie for
preparin8 the TrusLee$' Annual Re￿irt and the f]nath¢iai ststtrnenrs ID accordatv with applicablc law and Financial
Rcp)rting Standard 102.
Company law requires t1% ¢nLSte£s to prepare fman¢ial #atemenLS for each f￿ancIal year which 8ive a true and fair view
of statr of affairs of the ctwitablt compaThy aod of the iowrnitL8 resources and applic*ion of re50urce5. irKluding the
income and expendiwr4 of the ¢tthritablc cowy for tha( peri￿. In preparin8 these financial staten%nts, the trustres
are required to:
k¢1 $uitsbl¢ a¢￿￿￿ting ￿licI¢S and ¢lYn apply coosis*ntly.
observe the and princip￿ in the Clwilies SORP:
sute whetheT applicable UK Arcounting Starthrds have becn followed, 5ubicct to any Ma￿la1 departu￿5 di%105ed
and explain&1 irt thc flngncial Stslett￿ts. and
prepare the fjnancial stateTnenrs on tht going cowi basis unless li i8 inapprwk ￿ presume thai the charitable
mpany ￿]]1 Contin￿ in opcralion.
The tn]s*es are reswJn$ible for kwing pmF¢r accouniing re£ords which di*ios¢ with reasonable accuracy at ony time
the financial posiiion of the charitable company and which enable them ￿ ensure thai th¢ financi￿ sta*rnents comply
with the Companies Aci 2(K6. They are a150 f&sFK>ll5ibie for safeguarding the ￿ets of the charitable company Ind hence
for raking Teasonable 5415 for the ptcveniion atld detr￿10n of fr￿MI a￿1 other I￿esul3r11ItS.
Small company provisions
This report h&$ been prepaTed in accordanc¢ with provisiow for sma]I wnpartits under Part 15 of the
Companies Act 2(X)6 relating ro small companies.
On behalf of the board
D Hants)n
Dlr¢¢¢or
29 S¢p*mb¢r 2W21

Trinity Church London
(A company limited by guarnntsel
Independent exAminer's report to the tnLStees on the unauditrd fin¥ncial Statements of Trinity
urcb tA)ndon.
I rcpon on the accouThis of Trintry Churdh LorbJoD for the y¢ar ended 31 Detttlknr 2020 sci out OD pages 2 10 13.
R¢spectiv¢ responsibilities of trU￿teS and independent examtner
The chariry's trustets IwlK> are also the dirEciors of th¢ cornpany for purp)scs of cornpany lawl are resp0Th5ible for the
preparation of the accounts. The trustces consider that an audit is th)1 requirtd for this year under section 144121 of the
Charities Art 2011 (the 2011 Aal ¥nd Part 16 of the Companie$ A¢r 2(KkS and thai an independent exaNuTraiion i5
eded. It 15 my responsibi]ity to examine the aceouttts u￿r section 145 of the 2011 Act". to follow the procedures laid
down in the Genenl DiT¢aions wv¢n by rhc Ch3Jity Commission under secrion 145(51(b) of the 2011 Aci, as 3rnenLkd..
and ro sthtc whethcr particular njauers have come to my attention. I confim) that the acwjnts are required to be
audited undei Part 16 of the CompdtU¢5 Aa I￿6.
Basts independent tzamin¢r's statemenl
My ¢xamiDauoTh was carried oui in accordantt with the Genera] DirecticM)$ 8iverJ by the Charity Commission.
examiDation i￿]ude5 a review of tr accouming rcwrds kepi by thc chariry and a ¢omparison of the accounrs pr¢5¢nted
with those rccord5. li also Lncludcs consider8ti0th of any unusual iteIiis 01 disclosures in tht accounts, and seekin8
explanations from you as tru5tces conterning any such fflan¢r5. The pr¢xedwcs utthnaken do not provid¢ all the
evidence would be required in an audit and cowuenily no o￿nIort is given &5 10 whether the accounts present a
'rrne and flir View, aNI the rcpon is JimitrAJ t¢* th05c mauers in the stste￿i idow.
Independent examiner's statement
In coll]￿￿10n with my examiDaiion. maw Iw co￿￿ w my alleniion:
lil whietrL gives T¢asoDRbl¢ Cause io bebcvc thai ID any uw¢rigJ resFeci the require￿￿￿￿..
ro keep twer act<MmiiTh8 records in a¢¢ordancc wirh se¢llon 386 of thc Comwes Aci 2006.. and
to prepare aeeounts whieh aceord with the accounting records. comply the atcounting rcquirem¢nrs tsf
section 396 of Cojryanies A¢r 2￿6 and with thc and principles of the Sraiemenr of
ReCoN￿ller1ded Practice: Accounting and R¢wunR by awiii¢s
have noi Eeen met" or
lil) to whÈch. in my opirtioth. atwition should b¢ drawn in order io et*blc a proFr Underst*￿Ing of the ac¢owits
Brendan Chambers
F.F.A.
lttdep¢ndent ex•miner
29 S¢pt¢mber 2021

Trinity Church LondoD
(A eompany limited by guaranteel
Ststement of fmaDci81 activities (iDcorporatiDg the ineon* and expendilure aecount)
For the year ended 31 December 2020
2021)
Total
2019
Totsl
Incoming resources
Incoming resources from 8enerating fiJ]Mts..
Voluntsry income
Investsneot incom¢
181.439
177
181,439
177
176.097
285
Total In￿[nIng rcsourc¢s
181,616
181.616
176.382
Chariuble aciivities
Sep8ra(e MI￿nal itenLS of expeD5¢
163.261
3.983
163.261
3.983
92,100
3,528
TO1￿ resources expended
167.244
167.244
95.628
Net income for the year
14.372
14.372
80.754
Tota] funds broughi forward
95.196
95.196
14,442
Totsl funds c*rried forw•Td
109.568
1Tr),568
95.196
The notes page5 8 to 13 fonD iDttgral part ofth¢s¢ stst¢m¢nl>

Trinity Chureb London
(A company limited by guarantee)
Balance sheet
as at 31 Deeember 2020
2020
20
Fixed assets
T$n￿ble a55ets
Current assets
Debtots
Cash at bank and in hand
10,991
14.657
12
3.871
1tr2.410
4,117
84.557
88.674
Creditors: amounts faljing
due within one year
13
17,7041
(8.1351
Net eurrenl assets
98,577
80.539
N¢t wsets
109,568
95,196
Funds
Unrestricted iticon* fimds
14
IIY),568
95.196
Totsl funds
l(Q,568
95.196
The BaJan¢e Sheet cortitt￿ oh the followihg page.
The Dotes on pages 8 to 13 forni an integral part of th¢se fllwKiai stalell*nts.
Pate 6

Trinity Churtb London
IA company limited by guar2nte¢)
Balance sheet (continued)
Trnstees statements required by the Companies Act 2(X16
for the year ended 31 December 2020
In approvin8 these financi￿ ststrrnents as of the coryany w¢ knby confrnL"
{al that for th¢ year 5tatyJ alK*v¢ the company was ¢DtiUeJ ￿ the exemption coof¢rr¢J by section 477 of ￿ Cowies
Ib) thai no noiT¢e has deposi*d at thE regis*ttyJ office of the conjpany pursuani ￿ staion 476 of Comp￿leS
2￿6 Tequestsn8 thaE an a￿11¢ be ￿￿U¢tCd for Jtar eEthI 31 DE￿mi￿r 2020.
{cl that we acknowledgc our reswnsibiliiies frr.
(l) ensuring that the comp•ny keeps PTDpcr accounting rccords ￿lch conyly with scction 386 knd 387 of the
Compani¢s Acr 2(rf and
(2) preparing financial which ￿ve a true fair view of the of affajrs of the company Ls at the end of
th¢ financial year and of ILS profit or I05s for thc year ended ￿ xcordancc with the rt4UirC￿ts of sections 394 and
395. and which otherwise comply with provisions of the Companits Act rcl*ing tts financia] st*ments. so far
as #pplicabl¢ w the cornpany.
These financial swements are prepat&l in accordan￿ with sFrtio1 provisiOtLS of Part 15 of Companits Act 2(X
relatin8 ￿ small ¢ollwanies.
Tr riTwicial $well￿nts were approved by tl* Iw)ard on 29 Sep*mberJ)21 and si8nèJ on its behalf by
D Hanthtt
Director

Trinity Church LoDdon
(A eompany limited by guarantee)
Not&8 to financial statrments
for the year ended 31 Deeember 2020
Aeeoutttirtg poiicits and statv¢ory infornigtion
Trinity Church L4Jndon 15 a pnvaT¢ rowy, linultd by guarantee. re8ts*red in England and Wajes.
Company's rtgi$t¢Ted number and ]E8iStertd office address can be found on the Cornp)Dy lrtforn￿ttOll pa8e.
Th¢ prirt¢ipal aceourttin8 wJlicAes are summarised below. Tht accounung policic5 have been applied consiS￿n[lY
throughout the year I￿j Iht prectding ye&r.
1.1. Basis of accounting
The fiLarteiai sratements are wepared in xcotdarne with the PTOVi5iOThS of Seciion IA "Small Entities" of
Financial Rcporring SwKiard I￿2 "The Financial Rewtin8 Stath appltcable in thc UK and Republir of
Ir¢land" and Re￿rtIng by Charities, issued in March 2(K)5 (SOF￿ 2LN)5) and the Companies Art 2￿￿.
1.1 Incoming resources
All incoming resources are inclLHled in thE Statell￿￿ of financiat aciiviiies whtn the ch￿Iry is ¢ntiiled to the
income and the amount can be quantified with reasonable accuracy. ThE following specific ]KTrlicies are applied to
partiujlar Categori￿ of in¢ott*:
Volunrary income is teceived by way of grants. don>th)DS 2Th1 gifts and is iJKILk1ed in bjll in (he of
fitwi¢ial a¢tivities when receivable. Grnttts entitlemeDI is rtsx condL"uonal on the ddivery of a spetific
performance by the chariry. art recogrused wlxn the charity utKonditionally entxtled 10 the grant.
CM)nited services atld facilities are irKluded ai the value ￿ thE charity whete ￿"$ ¢8n be quatttified. The va]ue of
services provided by voluntrers hLs tK>i b¢¢n i￿luded.
Gifts doDaied for r¢sal¢ atr illc1￿ ￿ incorniTLg ￿sOurc￿ withitt Xtivilies for geKNing funds when they are
sold.
Grants. irtluding grnnrs for the purchase of fixed asset4 are recogTriseil in full iry staten*ni of financial
aciivhtie5 in the ycar which they are r¢ceivabk.
Income from ij)vestmeiits is in the ye4r in which it is rtceivabie.
1.3. ResoUr￿S expend¢d
Ex￿ndit￿re is re£ognised on an accDJal basis as a liability is I￿Urred. I￿)￿deS any VAT which
¢annoi k ￿llY r¢tOV¢Ted. aDd is rwted part ofthe ex[￿Dditure to which Li rela￿.
Costs of generating comprise the costs &ssociated with at￿in8 voluntary incomc and the costs of trath.ng
for fvndraisin8 purp)sts Incl￿￿1￿8 thechan.ws slyi.
Charitable expetMIiDJre compnses those cost5 ifKufTed by the ch￿ilY in th¢ d¢l)very of its a¢tivities and wvi¢e$
for beneficiaries. li includ¢5 b(rth costs thai can be dire£dy io sucb activities atsd those costs of an
irtdired ￿￿5$ary to supwjrt them.
1.4. Tangibk r￿ed assets awl deprttiation
Tart%ible fixed ¥s¢is a￿ $ia¢ed a¢ cos( less axu￿￿atrd d¢preciaiM)n. r)tPTeciatirtrn is pmYirle41 ai r￿1¢.17111￿
IO WTire off thc cost Ic5s re$￿Ul] Val￿ of cath assu ovu its exFcrcd us¢ful life. as follows:
Fixwres, fittmgs and equipmii
Moror velll"cle5
25% ￿ bwk value
25% book value

Trinity Chureb London
(A company limited by guarantee)
. Notes to fman¢ial ststements
for the year ended 31 December 2020
Its. Defined eontrlbution pe￿10￿ schejnes
The pension costs charged in the fJnarKial represeM the contsibytioft payoble by the ¢h*ity during the
Voluntgry income
2020
Tot•1
2019
T•tsl
Donations
Tax Teclaimed under gift aid
Grants receivable
148,274
25.473
7.692
138,957
25.958
11.182
181,439
176.097
Investment ihKome
2020
Tot*1
2019
Tolkl
ItKornc from inv¢5tments
285
Costs ofeharitable actSvitles
2020
Totsl
2019
Tolal
Grants a￿L giving
Stsff w5ts. gr05S
Stsff taSts- etnployer'5 NIC
Staff cost5. p¢nsions
Reni, rares arKi service5
Ministry and ourreach acri¥Aties
Equipment and repairs
Travelling
Bank inkresi and charges
Office overheads
General exretws
D¢pr¢ci*ion
18.057
93.780
3.160
4.142
8.619
8.317
17.117
217
7,972
89.163
3,549
(61.785)
17.528
19.707
966
120
5,182
1,165
4,889
4.728
1.458
3.666
163.261
92.1(X)

Trinity Church London
(A Company limited by guaT8ntse)
Not&8 to knciwl stalements
for the yeAT ended 31 December 2020
Stpar*te rnaterial items of txpen
2020
Totsl
2019
T4)t41
Atcountsncy fees
3.983
3.528
Net ineoming r£sources for the year
21120
2019
Net Lrtomirtg resouw is #attd aft¢r¢h)wging".
D¢prttiation a￿{ other ￿11[¢0 off wigibk fi￿d as5CfS
3.666
4.889
Employtrs
Employment costs
2020
21)19
Wages ajxl $4laTies
ial COS
Pension o>sts
93.780
3,160
4,142
89.163
3,549
101.082
96.356
No ernp&oy¢¢ rettived of llb)Te than £60.¢￿12019: Non¢}.
Number of employe
Thc average nh)nthly nurnt*rs of employees {iT￿l￿11n8 the tr*￿t¢s) durin8 year. ea]culated on b&8is of
11 time tquivaients. was as follows..
2020
2Q19
Nwnber Nujnber
Page 10

Trinity Church London
IA company limited by guarantee)
Notes to fin4Dcial statemeDts
for the year ended 31 December 2020
Trusttts,
21120
2019
RemU￿rni0n and otheremolumits
Social security costs
PetL8ion contrib￿lon$
SO.￿0
2.110
3.545
50.(XKI
3,135
3.545
55,655
56.680
Nurnber of tru5tets to whom retirerKM E¢ncfL15
are accruing a rrM)ney p￿ch￿ scbeme
The tNsiee emoluments ￿t paid w D Han￿n for hi$ fvll tiny mini$tsy work with"En the church.
Pension costs
The company operates a defintd contriburion pmsion scknt. Tr schEmc and its assets are held by independent
2020
2019
Pension ch8r8e
4.142
3.549
Taxation
The charity's activities fa]1 within the exemmions afforded by ￿ provisions of the Income and Corpor41i¢)n
Taxes ACT 1988. Accordingly. there is no tsKati{￿l charge in It￿5¢ am)unts.
Page 11

Trinity Church ￿lldon
(A company limited by guarantee)
Notes to financial ststements
for the year ended 31 December 2020
11. TangSble fixed *ssets
Motor
vehicks
equipment
TolAI
Cost
At l January 2020 artd
At 31 DecernbeT 2020
48.087
1.8¢M)
49,887
Depretiation
At l January 2020
Charge Cor the year
33.670
3.IA)5
1.5&)
61
35,230
3,666
At 31 Decetnber 2020
37.275
1.621
38.896
Net book values
Ai 31 Decetnber 2020
10.812
179
10.991
At 31 December 2019
14.417
240
14,657
li Debtors
2020
2019
Other debroTS
3,871
4.117
13.
Crtdators: amounts f*Uitig due
within one year
21J20
2019
AccDJals and defer￿d in¢otne
7.704
8.135
14.
Analysls of net *ssets b¢tsTeen funds
Unrutrkted
Totsl
funds
Fund balances at 31 DecemEer 2020 &$ represen*d by.
Tangible fjxed a55er5
Currenr a￿ts
Curreni Ilabllldt5
10.991
106,281
{7,704)
10,991
J06.281
17.7041
109.568
109,568
Page 12

Trinity Churth London
(A company limited by guarantse)
Notes to fmanclal ststements
for the year ended 31 December 2020
15.
Unrostrieted funds
At
At
(Iiioir20 llltomitig Ou*oing 3UIU20
General rc5eTves
95.196
181.616
167,244
109.568
u￿￿e$￿I¢l¢￿ fvnds arc uscd io fijrthu thc and objethives ofthe Cburch.
16. Company Ilmited by guarantee
Trilliry CThureb LoDdoD is a company limited by guarantee aDd *c¢ordinglydocs hivc a 5harc Cap)￿j.
P*g¢ 13