Faith Temple Ministries (Faith Community Church)
Charity: 1111208
Trustees Report and Accounts
For the year ended 31 December 2021
Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
| Contents | |
|---|---|
| Page | |
| Statutory Informa�on | 3 |
| Trustees Report | 4 |
| Independent Examiners Report | 6 |
| Statement of Financial Accounts | 7 |
| Balance Sheet | 8 |
| Notes to the fnancial statements | 9 - 15 |
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
Statutory Informa�on
Faith Temple Ministries (opera�ng as Faith Community Church) is a Charity registered with the Charity Commission of England and Wales - Registra�on No: Faith Community Church operates as one Church with congrega�ons mee�ng in Bedford and Cambridge
Registered Address 13 Bridle Drive Clapham, Bedford, MK41 6BB Charity Registra�on Number: 1111208 Responsible Persons Mr Daniel Brown Senior Pastor and Leader Mrs Ivylyn Mullings Pastor Cambridge Congrega�on Mrs Melvena Henry Administra�on Bedford
Trustees
Mr Daniel Brown Chair Mr Caron Stephen Darren Russell Judyta Tyda Kasita Mcloed
Advisors Bishop J Francis Spiritual Mr Glen Ferguson Business Mr Steve Barber Pastoral Glynne Rowland Educa�onal
Independent Examiner
Mervyn Thomas
Bankers
NatWest, Bedford
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
Annual Report for 2021
The Trustees present their Annual Report and financial statements for the Year ended 31 December 2021
Charitable Object
The objects of the trust are to advance the Chris�an faith in Bedford and such other parts of the United Kingdom or the world as the trustees may from �me to �me think fit and to fulfil such other purposes which are exclusively charitable according to the law of England and Wales and are connected with the charitable work of the trust and to relieve persons who are in condi�ons of need or hardship or who are aged or sick and to relieve the distress caused thereby in the said loca�on and in such other parts of the United Kingdom or the world as the trustees may from �me to �me think fit.
Organisa�onal Structure and Decision-making processes
The responsible persons meet together as a Church Leadership Team to manage the Church as a whole. Each Congrega�on, in addi�on, has a congrega�onal Leadership team to manage local mee�ngs and ministry. The Trustees meet on at least 3 occasions in the year to consider Trust ma�ers - mainly finance and the building project. The Church has policies covering Children, Vulnerable Adults, Health and Safety, Financial Reserves, Conflicts of Interest and Data Protec�on.
Public Benefit Statement
The Church provides opportuni�es for Chris�an worship on a weekly basis to which all members of the public are welcome. In addi�on, a number of ac�vi�es for people of all ages are offered that are again open to the public and provide opportuni�es for the building of rela�onships and instruc�on in the essen�als of the Chris�an faith. The church has been involved in suppor�ng the homeless and other disadvantaged groups through food supplies, children's ac�vi�es, which range from moral to sport and art development. House and hospital visits that aim to support families and individuals as well as suppor�ng other organisa�ons that are involved in na�onal and interna�onal aid support
Membership of the Church is open to all who profess Jesus Christ as Lord and Saviour and the principle of Believers’ Bap�sm by immersion is promoted among the membership and is con�nued by regular discipleship training that corresponds with St Ma�hew 28:19-20. The Trustees have read the Charity Commission guidance on public benefit, and are sa�sfied that the ac�vi�es outlined above clearly demonstrate that the charity is mee�ng its Purpose and is providing a benefit to the public.
Achievements in the year
Church mee�ngs were as normal for the year 2021, discipling, bap�sing and receiving new members into the FCC family. We enjoyed joint services where several churches came together and enjoyed fellowship together for the greater cause, ordaining a minister and a deacon. As with previous years, we support several chari�es, one being a new one we’ve never supported before called BACA (Bikers Against Child Abuse). Many bikers were able to join us for a �me of worship and ministry, the regional representa�ve gave a talk on their work as an organisa�on and collected the cheque for the funds we raised.
We con�nue to support other projects in Italy, Malawi and Tanzania providing everyday essen�als, educa�onal and basic servicing needs, not to men�on the support we provide here on our doorstep providing a range of support aid to families, single parents, young and vulnerable and the elderly.
We also saw more work carried out on our building project although delayed due to our contractor having to clear work backlog from 2019/20, levelling out the en�re site and installing a new concrete floor inside the main hall. Foo�ngs for both the offices and extension will be completed at the end of February in the new year.
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
2022 will focus our efforts on comple�ng the third phase of our building project which will enable us to move in which will allow us to build the extension while opera�ng in the building.
Volunteers
The above ac�vi�es are largely led and staffed by volunteers, and the church would be unable to func�on without their commitment and o�en sacrificial giving of �me.
Financial Review
During 2020 the Church received an income of £49,756 (2021 £36,088) despite Covid restric�ons on a�endance. The expenditure in the year was £63,136 ( 2021 £25,404) the increase resul�ng from expenditures on the redevelopment of the Clapham Road site and wri�ng off as an excep�onal item the investment due from Julian Investments.
At the end of the year, our Net Assets less liabili�es was £148,747 (2021 £177,124)
In the two years since building works commenced we have expensed £34,156 of building works which will be capitalised on comple�on expected to be in 2023.
Reserves Policy:
Our Reserves as at 31st December 2021 were £79,387 applicable to our unrestricted Church account and including designated reserves applicable to the building.
Our reserves policy is to hold a minimum of 3 months' general expenditure as free reserves in the general account and to designate any accumulated excess to this number to our designated Buildings reserve fund. As the building progresses our reserves will be reduced. We will, of course, be increasing the 3 months expenditure to include the mortgage repayment in full - both interest and repayment.
Approved by the Trustees and signed on their behalf.
Danie� Brow� 08 February 2022
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
Independent Examiners Report to the trustees and members of Faith Temple Ministries on the accounts for the year to 31[ st ] . December 2021 as set out on pages 7 – 14 in this document
Respec�ve responsibili�es of trustees and examiner
The charity's trustees are responsible for the prepara�on of the accounts. The charity’s trustees consider that an audit is not required for this year under sec�on 144 of the Chari�es Act 2011 (the Chari�es Act) and that an independent examina�on is needed
Independent examiner's statement
It is my responsibility to:
-
examine the accounts under sec�on 145 of the Chari�es Act,
-
to follow the procedures laid down in the general Direc�ons given by the Charity Commission (under sec�on 145(5)(b) of the Chari�es Act, and to state whether par�cular ma�ers have come to my a�en�on.
My examina�on was carried out in accordance with general Direc�ons given by the Charity Commission. An examina�on includes a review of the accoun�ng records kept by the charity and a comparison of the accounts presented with those records. It also includes considera�on of any unusual items or disclosures in the accounts and seeking explana�ons from the trustees concerning any such ma�ers. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently, no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those ma�ers set out in the statement below.
In connec�on with my examina�on, no ma�er has come to my a�en�on which gives me reasonable cause to believe that in, any material respect, the requirements:
1) to keep accoun�ng records in accordance with sec�on 130 of the Chari�es Act; and
-
to prepare accounts that accord with the accoun�ng records and comply with the accoun�ng requirements of the Chari�es Act have not been met; or
-
2) to which, in my opinion, a�en�on should be drawn in order to enable a proper understanding of the accounts to be reached.
Signed:
Mervyn Thomas
Dated: 20/01/2022
128 Putnoe Lane
Bedford MK41 8LS
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
STATEMENT OF FINANCIAL ACTIVITIES
| Notes Incoming Resources 3 Voluntary Income Income from Investments Total Incoming Resources Resources Expended 4 Charitable activities Exceptional Item Debtors Wite Off Total Resources Expended Net income/(expenditure) Transfers between funds Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward |
Unrestricted Restricted Endowment Total Funds Total Funds Funds Fund Funds 2021 2020 £ £ £ £ £ |
|---|---|
| 41,074 8,821 - 49,895 35,402 |
|
| 1 4 - 5 686 |
|
| 41,075 8,825 - 49,900 36,088 |
|
| 29,048 31,861 - 60,909 25,404 |
|
| 14,962 14,962 |
|
| 29,048 46,823 - 75,871 25,404 |
|
| 12,027 (37,998) - (25,971) 10,684 |
|
| - | |
| 12,027 (37,998) - (25,971) 10,684 |
|
| 16,175 89,083 71,866 177,124 166,440 |
|
| 28,202 51,085 71,866 151,153 177,124 |
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
BALANCE SHEET At 31st December 2021
| Notes Fixed assets 5 Property Equipment Total fixed assets Current assets HMRC Debtor 6 Investment Debtor Cash at bank and in hand Total current assets Liabilities 7 Total Net Current Assets Total Net Current plus Fixed Assets Represented by: Charity Funds 8 Endowment funds Restricted income funds Unrestricted funds Total funds |
Unrestricted Restricted Endowment Total Total funds funds funds 2021 2020 £ £ £ £ £ |
|---|---|
| - - 71,866 71,866 71,866 |
|
| 3,257 - - 3,257 |
|
| 3,257 - 71,866 75,12371,866 |
|
| 3,496 - - 3,496 1,857 |
|
| - - - - 14,962 |
|
| 23,573 51,085 - 74,658 89,189 |
|
| 27,069 51,085 - 78,154 106,008 |
|
| (2,124) - - (2,124) (750) |
|
| 24,945 51,085 - 76,030 105,258 |
|
| 28,202 51,085 71,866 151,153 177,124 |
|
| 71,866 71,866 71,866 |
|
| 51,085 51,085 89,083 |
|
| 28,202 28,202 16,175 |
|
| 28,202 51,085 71,866 151,153 177,124 |
Approved by the Trustees and signed on their behalf.
Danie� Brow� 15 February 2022
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
NOTES TO THE ACCOUNTS
1 BASIS OF PREPARATION
1.1 Basis of accoun�ng
These accounts have been prepared under the historical cost conven�on with items recognised at cost or transac�on value unless otherwise stated in the relevant note(s) to these accounts.
The accounts have been prepared in accordance with:
-
the Statement of Recommended Prac�ce: Accoun�ng and Repor�ng by Chari�es preparing their accounts in accordance with the Financial Repor�ng Standard applicable
-
and with the Financial Repor�ng Standard applicable in the United Kingdom and Republic of Ireland (FRS 102).
-
and with the Chari�es Act 2011.
The charity cons�tutes a public benefit en�ty as defined by FRS 102.
1.2 Going concern
The Charity is a going concern. Income genera�on through members’ dona�ons is maintaining adequate reserves.
1.3 Change of accoun�ng policy
The accounts present a true and fair view and the accoun�ng policies adopted are those outlined in note 2.
1.4 Changes to accoun�ng es�mates
No changes to accoun�ng es�mates have occurred in the repor�ng period (3.46 FRS 102 SORP).
2 ACCOUNTING POLICIES
2.1 Income
Recogni�on of income
These are included in the Statement of Financial Ac�vi�es (SoFA) when:
-
the charity becomes en�tled to the resources;
-
it is more likely than not that the Trustees will receive the resources; and
-
the monetary value can be measured with sufficient reliability.
Offse�ng
There has been no offse�ng of assets and liabili�es, or income and expenses unless required or permi�ed by the FRS 102 SORP or FRS 102.
Grants and dona�ons
Grants and dona�ons are only included in the SoFA when the general income recogni�on criteria are met (5.10 to 5.12 FRS 102 SORP).
There are no performance-related grants.
Legacies
Legacies are included in the SoFA when receipt is probable, that is, when there has been a grant of probate, the executors have established that there are sufficient assets in the estate and any condi�ons a�ached to the legacy are either within the control of the charity or have been met.
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
Government grants
The charity has not received any government grants in the repor�ng period.
Tax reclaims on dona�ons and gi�s
Gi� Aid receivable is included in income when there is a valid declara�on from the donor. Any Gi� Aid amount recovered on a dona�on is considered to be part of that gi� and is treated as an addi�on to the same fund as the ini�al dona�on unless the donor or the terms of the appeal have specified otherwise.
Contractual income and performance-related grants
This is only included in the SoFA once the charity has provided the related goods or services or met the performance-related condi�ons.
Donated goods
The charity has not received any goods in the repor�ng period considered to be of material value. No donated goods have been mone�sed.
Donated services and facili�es
Donated services and facili�es are included in the SoFA when received at the value of the gi� to the charity provided the value of the gi� can be measured reliably.
Donated services and facili�es that are consumed immediately are recognised as income with an equivalent amount recognised as an expense under the appropriate heading in the SoFA.
Support costs
The charity has not incurred expenditure on support costs.
Volunteer help
The value of any voluntary help received is not included in the accounts but is described in the Trustees’ annual report.
Income from interest, royal�es and dividends
This is included in the accounts when receipt is probable and the amount receivable can be measured reliably.
Income from membership subscrip�ons
No membership subscrip�ons are charged.
Se�lement of insurance claims
Insurance claims are only included in the SoFA when the general income recogni�on criteria are met (5.10 to 5.12 FRS 102 SORP) and are included as an item of other income in the SoFA.
Investment gains and losses
Investment gains or losses in the year are recognised in the SoFA
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
2.2 Expenditure and liabili�es
Liability recogni�on
Liabili�es are recognised where it is more likely than not that there is a legal or construc�ve obliga�on commi�ng the charity to pay out resources and the amount of the obliga�on can be measured with reasonable certainty.
Redundancy cost
The charity made no redundancy payments during the repor�ng period.
Deferred income
No material item of deferred income has been included in the accounts.
Creditors
The charity has creditors which are measured at se�lement amounts less any trade discounts
Provisions for liabili�es
A liability is measured on recogni�on at its historical cost and then subsequently measured at the best es�mate of the amount required to se�le the obliga�on at the repor�ng date
Basic financial instruments
The charity accounts for basic financial instruments on ini�al recogni�on as per paragraph 10.7 FRS102 SORP. Subsequent measurement is as per paragraphs 11.17 to 11.19, FRS102 SORP.
2.3 ASSETS
Tangible fixed assets for use by charit y
These are capitalised if they can be used for more than one year, and cost at least £10,000
They are valued at cost except for land and buildings which are shown at the values as purchased date or as subsequently added to by addi�ons upon comple�on and occupa�on.
The deprecia�on rates and methods used are below:
Furniture and fi�ngs 10% straight line Computers and equipment 33% straight line Buildings 0% straight line
Intangible fixed assets
The charity does not have intangible fixed assets, that is, non-monetary assets that do not have physical substance but are iden�fiable and are controlled by the charity through custody or legal rights
Investments
Fixed asset investments in quoted shares, traded bonds and similar investments are ini�ally valued at cost and subsequently at fair value (their market value) at the year-end. The same treatment is applied to unlisted investments unless a fair value cannot be measured reliably in which case it is measured at cost less impairment.
Investments held for resale or pending their sale and cash and cash equivalents with a maturity date of less than 1 year are treated as current asset investments
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
Debtors
Debtors (including trade debtors and loans receivable) are measured on ini�al recogni�on at se�lement amount a�er any trade discounts or amount advanced by the charity. Subsequently, they are measured at the cash or other considera�on expected to be received.
Current asset investments
The charity has investments which it holds for resale or pending their sale and cash and cash equivalents with a maturity date of less than one year. These include cash on deposit and cash equivalents with a maturity date of less than one year held for investment purposes rather than to meet short term cash commitments as they fall due.
They are valued at fair value except where they qualify as basic financial instruments.
3. ANALYSIS OF INCOME
| Unrestricted Restricted Endowment Total Funds Total Funds Funds Funds Fund 2021 2020 £ £ £ £ £ 34,467 7,487 - 41,954 31,764 6,607 1,334 - 7,941 3,638 41,074 8,821 - 49,895 35,402 |
|
|---|---|
| Voluntary Income | |
| Donations | |
| Gift Aid | |
| Total Voluntary Income | |
| Income from Investments | - |
| Interest | 1 4 - 5 35 |
| Income Julien Investments | - - - - 651 1 4 - 5 686 |
| Total Income from Investments | |
| Grand Total Incoming Resources | 41,075 8,825 - 49,900 36,088 |
Faith Temple Ministries Charity Registration No: 1111208
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
4. ANALYSIS OF EXPENDITURE
| Unrestricted Restricted Endowment Total Funds Total Funds Funds Funds Fund 2021 2020 |
|
|---|---|
| Expenditure on Charitable Activities | |
| £ £ £ £ £ |
|
| Pastoral Remuneration | 10,450 10,450 13,040 300 300 1,004 5,118 5,118 4,139 5,002 5,002 465 3,244 3,244 951 - 31,861 31,861 2,295 150 150 774 142 142 370 370 1,354 698 698 3,352 3,352 1,382 222 222 |
| Visiting Ministry | |
| Premises Rent | |
| Costs of Meeting | |
| Office, Licenses and Fees | |
| Expensed Building Development | |
| Equipment and Repairs | |
| Equipment Depreciation | |
| Pastoral | |
| Donations (Out) | |
| Conferences, training, travel | |
| Bank and Mortgage Fees | |
| TOTAL EXPENDITURE | 29,048 31,861 - 60,909 25,404 |
4.1 Expenditure Disclosures
No employees received salaries or employee benefits (excluding employer pension costs) for the reporting period of more than £60,000
Employment consisted of 2 part time pastors who were engaged to maintain charitable activities.
Governance costs were expensed in the category Office License and fees and consisted of:
Independent examination of accounts £150.
Accounting software License £180
Provision of additional accounting services by the Independent Examiner £1,160
The wite off of an uncollectible debtor has been recorded in the SOFA as an exceptional item.
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
| 5. FIXED ASSETS | 2021 2021 |
2020 |
|---|---|---|
| Freehold Land Equipment |
Freehold Land |
|
| and Buildings | and Buildings |
|
| Cost or valuation | £ £ |
£ |
| Brought Forward | 71,866 - |
71,866 |
| Disposals | - - |
- |
| Additions | - 3,399 |
- |
| Carried Forward | 71,866 3,399 |
71,866 |
| Cumulative Depreciation at Rate: Brought Forward Depreciation In the year (2 months) Carried Forward Net Fixed Assets |
Not Depreciated 25% 0 142 0 142 71,866 3,257 |
- 71,866 |
| 6. DEBTORS AND PREPAYMENTS | ||
| Analysis of debtors less than 1 year Julian Investments Debtor Gift Aid Receivable Total 7. LIABILITIES Trade Creditors Accruals Total |
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Faith Temple Ministries Trustees Report and Financial Statements Year ending December 31st. 2021
8. CHARITY FUNDS
8.1 Details of All Funds with movements during the CURRENT reporting period 2021
| Fund names Unrestricted Funds Restricted Building Fund Endowment Fund Total Funds |
Opening Closing |
|---|---|
| Balance Income Expenditure Transfers Balance |
|
| £ £ £ £ £ |
|
| 16,175 41,075 (29,048) - 28,202 |
|
| 89,083 8,825 (46,823) - 51,085 |
|
| 71,866 - - - 71,866 |
|
| 177,124 49,900 (75,871) - 151,153 |
8.2 Details of Restricted Funds with movements during the PREVIOUS reporting period 2020
| Fund names Unrestricted Funds Restricted Building Fund Endowment Fund Total Funds |
Opening Closing |
|---|---|
| Balance Income Expenditure Transfers Balance |
|
| £ £ £ £ £ |
|
| 12,024 27,416 (23,265) - 16,175 |
|
| 82,550 8,673 (2,140) 89,083 |
|
| 71,866 - - 71,866 |
|
| 166,440 36,089 (25,405) - 177,124 |
|
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