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2022-12-31-accounts

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The Saints’ Projects Trust

‘To advance the Christian faith and relieve poverty’

Trustees’ Annual Report for year ended 31 December 2022

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Contents

Legal and Administrative Information …………………………………………………………………………. 3 Structure, Government, Management ……………………………………………………….………………..… 5 Examiner’s Report ………………………………………………………………………………………………………. 8 Financial Report …………………………………………………………………………………………….….………… 9

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Legal and Administrative Information

Charity Address

The Saints’ Projects Trust

97 Warren Close Cambridge CB2 1LE

Charity Number 1115724

Other Contact Information

Phone: 07735 393151

Email: hello@saintsprojectstrust.org Website: www.saintsprojectstrust.org

Governing Document

The Saints’ Projects Trust was established on 20 July 2006.

Coordinators

Sampson Okyere, International Coordinator, Ghana

Bharat Bhattari, Deputy International Coordinator, Nepal

Employees

Caleb Howard, CEO

Patrons

Lord Alton of Liverpool

Rt Rev Dr Christopher Cocksworth

Daniel Hodson

Grace Natoli

Baroness Stroud

Patrick Whitworth

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Trustees

Rev Michael John Smith (chair)

Rev Mark Mills-Powell

Rev Dr Richard Higginson

Rev Daniel Foot

Rev Andrew Wadsworth (retired 1 May 2023)

LingLing Parnin

Rev Tim Mills

Obiageliaku Rocque

Ully-Lange Orobor

Sampson Okyere (joined 29 November 2022)

Bankers

NatWest Bank RationalFX 21 Petty Cury One Canada Square, 32[nd] Floor Cambridge CB2 3NE London E14 5AB

Independent Examiner

Tim Richardson

8 Emsons Close

Linton

Cambridge CB21 4NB

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Structure, Government, Management

Governing Document

The Saints’ Projects Trust original deed was written and approved by the first group of trustees on 20 July 2006. Shortly thereafter, the Charity Commission granted Registered Charity status under registration number 1115724. Set forth in the Trust Deed are the strategic aims and goals of the charity:

Strategic Aims – (1) To enable Christian prayer, teaching, and ministry service; (2) to support ministry to widows, disabled, orphans and students by supplying clothing, food, medicine, shelter and education; (3) supporting Christian ministry in local churches and teaching the Christian religion in the UK and overseas; (4) establishing and strengthening houses of prayer in the UK and overseas; (5) organizing pilgrimages and retreats.

CORE Goals– Ministry to Churches, Orphans, Relief, and Education. Our desire is to work with local pastors and Guild members to impact and heal their communities, plus funding education and small businesses for brighter futures.

Organisational Structure

The charity is governed by a group of trustees who meet quarterly to set policy and review the activity of the charity. Trustee meetings are facilitated by the Chairperson and minutes are taken and reviewed at each meeting.

New trustees are proposed by existing trustees when they have satisfied themselves both of the need for further trustees, and that the person proposed meets the necessary qualifications as determined by the current trustees. In the year ending December 31, one new trustee was added: Sampson Okyere. He was approved at the Trustee Meeting on 29 November 2022.

Review of Activities and Impact for Public Benefit

The mission of SPT is to ‘advance the Christian faith and relieve poverty.’ We deliver this vision by building relationships with individuals around the world and then working with them to build schools, start businesses and heal their communities. This is all supported and directed by our unique Guild prayer network that has thousands of members around the world.

There are several different well-documented and successful strategies for aiding communities in poverty alleviation. The model that SPT has chosen to follow is to focus our funding on educational and small-business opportunities. The hope is that by funding these areas, we are helping to create consistent and long-term income for those in need.

In the calendar year 2022, SPT sent nearly £100,000 in grants to foreign countries. These funds were used for a wide variety of projects, educational opportunities, small business ventures, and travel for our members.

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Here are some of the highlights of our grants in 2022:

Monitoring and Evaluating of Funds and Projects

Since SPT is still a small charity, it is very important to us that all of the funds that are spent are closely monitored. SPT has a few systems in place to do this:

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Trustees’ Responsibilities

The SPT trustees meet and converse regularly to decide on policy, fund distribution, and vision for the charity. Additionally, over the years several of them have traveled to visit our beneficiaries in Africa and India.

Charity law requires trustees to prepare financial statements for each accounting year which record the receipts and payments of the charity for the year. We are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and enable us to ensure that the financial statements comply with the Charities Act 2011. We also have a responsibility to safeguard the assets of the charity and to take reasonable steps to prevent fraud or any other irregularities.

Safeguarding

SPT does have a Safeguarding Policy in place as well as a trustee who is the designated Safeguarding Officer (LingLing Parnin). Any safeguarding concerns are addressed at trustee meetings.

Approval

This report was approved by the Trustees on 31 October 2023 and signed on their behalf by:

Caleb Howard

CEO, Saints’ Projects Trust

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The Saints Project Trust

Financial Statements to 31 December 2022

Independent Examiner’s Report

Respective responsibilities of trustees and examiner

The Charity Trustees are responsible for the preparation of the Accounts. The Charity’s trustees consider an audit is not required for the year to 31 December 2022 under Section 144 of the Charity’s Act 2011, and that an independent examination is required. It is my responsibility to:

1 examine the accounts under Section 145 of the Charities Act.

2 follow the procedures laid down in the general Direction given by the Charity Commission (under Section 145 (5) of the Charities Act 2011) and

3 to state whether and particular matters have come to my attention.

Basis of Independent Examiner’s Statement

My examination was carried out in accordance with directions given by the Charity Commission. An examination includes a review of the accounting records kept by the Charity, and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the Trustees concerning such matters, 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 matters refereed to below.

Independent Examiner’s Statement

In connection with my examination no matter has come to my attention:

1 which gives me reasonable cause to believe that, in any material respect, the requirements

a to keep accounting records in accordance with section 130 of the Charities Act

b to prepare accounts which agree to the accounting records and comply with the Charity Act have not been met: or

2 to which in my opinion, attention should be drawn in order for a proper understanding of the accounts to be reached.

T Richardson

Tim Richardson BA ACA

8 Emsons Close,

Linton, Cambridge, CB21 4NB 30 October 2023

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The Saints’ Projects Trust

Financial Report for the Year Ended 31 Dec 2022

Unrestricted Restricted
Funds Funds Total Funds Total Funds
2022 2022 2022 2021
Notes £ £ £ £
Income
Individual Donors 11,703 50,331 62,034 92,103
Church Donations 359 2,992 3,351 0
Business Donations 0 600 600 0
Charitable Grant 0 0 0 10,000
Fundraising Events 1,433 3,316 4,749 0
Legacy Gift 0 0 0 10,000
Bank Refund/Interest (a) 0 646 646 338
HMRC Gift Aid 3,348 0 3,348 2,922
Easy Fundraising 159 0 159 18
Transfer from Guild (b) 0 300 300 300
Total Income 17,002 58,185 75,187 115,681
Expenditures
Foreign Grants 26,116 70,990 97,106 49,654
Guild Expenses 0 180 180 180
Marketing 0 0 0 1,481
Employee Wages (c) 2,450 25,099 27,549 496
Technology 415 0 415 436
Bank Fees 507 2,250 2,757 524
Total Expenditures 29,488 98,519 128,007 52,770
Reconciliation of Funds
Funds C/F Previous Year 14,779 62,911 77,691 14,779
Deficit/Surplus for the Year -12,486 -40,334 -52,820 62,911
Funds Carried Forward 2,293 22,577 24,871 77,691

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The Saints’ Projects Trust

Financial Report for the Year Ended 31 Dec 2022

Balance
Carried
Forward 2021
Notes
£
General Fund
(d)
-57
Necca Zimbabwe
12,619
St. Mark's Academy
488
Sisters of Rahab and Ruth
1,170
Home of Love India
116
Father Praveen India
52
Guild Travel Expenses
100
Nairobi 2022
20,163
Education Fund
380
Technology Expenses
53
Emergency Relief
68
Employee Wages
30,528
Guild of Saint John
60
Restricted Donation
(e)
11,951
Total
77,691
Restricted
Donations
Expenditures
Balance
Carried
Forward 2022
£
£
£
16,304
15,765
481
21,497
32,569
1,547
5,473
5,895
66
9,467
10,440
197
300
0
416
0
52
0
4,158
4,258
0
7,188
26,902
449
2,168
2,380
168
661
415
299
1,174
916
326
8,000
27,624
10,904
300
280
80
2,687
4,700
9,938
79,377
132,196
24,871
Restricted
Donations
Expenditures
Balance
Carried
Forward 2022
£
£
£
16,304
15,765
481
21,497
32,569
1,547
5,473
5,895
66
9,467
10,440
197
300
0
416
0
52
0
4,158
4,258
0
7,188
26,902
449
2,168
2,380
168
661
415
299
1,174
916
326
8,000
27,624
10,904
300
280
80
2,687
4,700
9,938
79,377
132,196
24,871
Restricted
Donations
Expenditures
Balance
Carried
Forward 2022
£
£
£
16,304
15,765
481
21,497
32,569
1,547
5,473
5,895
66
9,467
10,440
197
300
0
416
0
52
0
4,158
4,258
0
7,188
26,902
449
2,168
2,380
168
661
415
299
1,174
916
326
8,000
27,624
10,904
300
280
80
2,687
4,700
9,938
79,377
132,196
24,871
481
1,547
66
197
416
0
0
449
168
299
326
10,904
80
9,938

24,871

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Financial Report Notes

Note (a): NatWest bank made an error on two of our transfers and refunded SPT £646.

Note (b): The Guild is the prayer network which works with SPT. While the two organizations are deeply connected, they do maintain separate financial accounts. Therefore, there are often times that funds are sent from one account to the other.

Note (c): These funds went to anyone who performed paid work for SPT in 2022. The majority of this was the CEO, but also some outside independent contractors to help with specific projects.

Note (d): The General Fund began the year 2022 with a negative balance. However, this was not an error on the part of the trustees of overspending unrestricted funds; instead it was simply strange timing that a transfer left the account a day before a deposit cleared in the account. It just so happened that that took place on 31 December 2021. The following business day in January, the General Fund had a positive balance.

Note (e): This was a donation given by an individual to be kept in the account and used at the discretion of the donor as needs arise.

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