THE POTTERS HOUSE CHRISTIAN CENTRE
(HARROW)
ANNUAL REPORT AND
STATEMENT OF ACCOUNTS
FOR THE YEAR ENDED 31ST AUGUST 2022
Charity Registration No: 1119296

Pa
LEGAL AND ADMINISTRATIVE INFORMATION
STATEMENT OF RECEIPTS AND PAYMENTS
STATEMENT OF ASSETS AND LIABILITIES
NOTES TO THE ACCOUNTS
TRUSTEES ANNUAL REPORT
INDEPENDENT EXAMINER'S REPORT

THE POTTERS HOUSE CHRISTIAN CENTRE HARROW
LEGAL AND ADMINISTRATIVE INFORMATION
CHARITY NUMBER
1119296
START OF FINANCL4L YEAR
01 September 2021
END OF FINANCIAL YEAR
31 August 2022
TRUSTEES AS AT 31 AUC.U.ST, 2019
Mr Jijnride Robit]son {Ch￿r of trustee%)
Mr Juneck Ekofo
Mr Matthew Henry
Mr Keith Munetno
The existit]g trustees appoint any new trustees following the provision% laid out in the Charity's governing
instrUn￿nt.
GOVERNINC. IN.STRUMENT
The charity is controlled by its governing d￿u￿￿nt,
a deed of trust, and con%titute% at] unicorporated charity.
Coktsiituiion odoi)iÉd J6ih Tr*l)riiary, 2007
OBJECTS
a) The advancement of the Christian religion in accordance with the Statement of beliefs set out
in the 1st schedule and in particular it] Harrow and at the di8cretion of the church council
elsewhere it] the United Killgdom or in the world.
b) The relief of poi'erty and %ickt]e%8 regardless of nationality. religiou%. political or other
opinion it] the %aid location and at the di8cretiot] of the Church cout]cil elsewhere in the
United Kingdom or the world.
CORRESPONDENCE ADDRESS:
127 Kitchener Road
London
E17 4LJ
PRIMARY BANKEILS:
Barclay% Bank PLC
U+lDEPENDENT EXAMINER:
lohn Galt Accounting Services
66 High House Avet]ue
Wymondhtun
Norfolk
NR18 OJN
PAGE I

THE POTTERS HOUSE CHRISTIAN CENTRE
HARROW
STATEMENT OF RECEIPTS AND PAYMENTS
FOR THE YEAR ENDED 31.ST AUC.UST 2022
Unrestricted
Re%tricted
ToLqi
2Q22
Total
2021
RECEIPT.S:
Notes
Voluntary Receipt
155,348
17,500
172,848
133,609
Charitable Activities
2b
730
730
Other Incoming Resources
3,0(X)
3,OOQ
3,000
TOTAL RECEIPTS
159,078
17pOO
176,578
136,609
PA YMENT.S:
Cost8 of activitie% it] furtherance
ot the objective% of the Charity
119,123
1,500
120,623
57,647
Resources Expended ot] Mat]aging and
Administering the Charity
3b
16,000
TOTAL PAYMENTS
134,234
17500
151,734
58,213
NET INCOMINC. I
OUTC.OINC.
RESOURCES
24,844
24,844
78,395
Total Funds Brou
t Forward
105,762
105,762
27,367
Total Funds Carried Forward
130,606
130,606
105,762
The notes on pages 4 - 6 form part of these account%.
All operation% are classified a% continued operation%.
PAC.E 2

THE POTTERS HOUSE CHRISTIAN CENTRE HARROW
STATEMENT OF ASSETS AND LIABILITIES
FOR THE YEAR EI NDED 31ST AUGUST 2022
31-Aug-22
31-Aug-21
ASSETS
Casb Funds:
Cash at bank
Savit]g8 Account
130,605
105,762
130,605
105,762
LIABILITI&
Creditor
Amount% failing due within one y&qr
TOTAL ASSETS LESS LIABILITIES..
130,605
105,762
Represented By:
General Fund
Restricted Fut]d%
130,605
105,762
130,605
105,762
Assets Retained for the Charitie's Own Use..
Equipment
4,265
2,782
TRUSTEES RESPONSIBILITIES IN RELATION TO FINANCIAL STATEMENTS
Charity Law requires the Trnstee% to prepare financial %tatetnent% for each financial year which comply with the
regulation% %et out it] the Charitie8 Act 2a1 i. The Trnstee% have elected to take advantage of the provisions
that apply to 8Jnall charitie% at]d have prepared a Receipts and Paytnent% Account and Statement of As%et
at]d Liabilitie8 which are set out on pages 2 and 3.
These are draft accounts- final account% will be aV￿lable in 3 month% after a %ucces%ful independent
examination in accordance with the Charity Conunission of England and Wale%.
Signed on their behalf by
(Jitnride Robinson) Tru%tee
PAGE 3

THE POTTERS HOUSE CHRISTIAN CENTRE HARROW
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31ST AUGUST 2022
NOTE I ACCOUNTDIC. POLICIES
Basts ofAccounting
The account% have been prepared ut]der the 'Receipts and PayJnent8" basi% prescribed by
the Charity Comnus%ioner%, and they ineet the appropriate legal requirements.
Change of Basis
There ha% been no chEhnge to the valuatiot] rnles and tnethods of accounting Since l&st year.
There ha% been no ChE￿ge to la%t year's accout]ts.
NOTE 2 RECEIPTS
Unrestricted Restricted
Funds
Funds
Total
2022
Total
2021
Voluntary Receipts
Church Offerit]g%
Gift Aid Reclaimed
Special Offerings
Pledge
133,077
22,271
133,077
22,271
1,5(X)
16,000
93,667
24,742
3,2(X)
12,0(X)
1,500
16,000
155,348
17500
172,848
133,609
Charitable Activities
Revival Meeting
730
730
730
730
Otber Incon]ing Resources
Equipment Sales
New Church Tithe
3,OIMI
3,000
3,Otx)
3,000
3,OIMI
3,OIMI
PAGE 4

THE POTTERS HOUSE CHRISTIAN CENTRE HARROW
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31ST AUGUST 2022
NOTE 3 PAYMENTS
Cost of activities in the furtherance vf the Charities, objetts
Unrestricted Restricted
Funds
Funds
Total
2022
Total
2021
Accomodatjoll Co8ts
Housing Allowat]ce
Air Fare Cost
Bank Charges
Books & Publication%
Building Rent & Rate%
Building Repair
Conference & Seminar Costs
Equipment Co8ts
Equipment Ret]t & Repairs
Fellowship Tithe
Nursery & Cleaning
Ho%pitality & Subsi8tet]ce
Motor Vehicle Expen8es
Outreach & Evallgelism
Printing & Advertising
Revival Expen8e%
Stationery & Po%tage
Sut]dry Expen8e
Telephot]e Cost%
Trai'el I ljnpact Teams
Utility Co%ts
Vi%iting Speakers
Wage% & Salarie%
World Evangelism
Benevolence
446
28
7,220
126
120
467
28
7,220
126
67
30,055
3,077
30,055
3,077
26,342
458
3,600
642
18,211
3,6tx)
642
18,211
2,721
7,107
15,720
15,720
2,323
6,840
7,702
6,871
6,840
7,7Q2
6,871
649
6,242
2,lQ6
923
10
57
40
228
776
14,579
228
776
16,079
1,500
3,000
3,000
5,375
119,123
1500
12Q,623
57,647
b)
Resources expended on managing and adn]inistering tbe Charity
New Church Support
In%urat]ce Cost
Legal & Professional Fee
Independant Extuniners Fee
13,682
130
16,000
29,682
130
2(M)
138
228
1,300
1,300
15,111
16,000
31,111
566
PAGE 5

THE POTTERS HOUSE CHRISTIAN CENTRE HARROW
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31ST AUGUST 2022
NOTE 4 R&STRICTED FUNDS
The Charity held no restricted fund during thi% financial period.
NOTE 5 PAYMENTS TO TRUSTEES
No tru%te£s received remuneration during the year except for the outgoing Pa%tor Dtkvid Kent]edy
Total
Total
2022
2021
Pastor J. Robin%on
Wages & Hou%ing Allowance%
28
467
No trat]sactiot]s were undertaken by {or on behalf ofj the charity in which a trustee or connected
person has a tnateriai intere%t.
NOTE 6 RISK A.SSESSMENT
The Trustees actively review the ￿￿jor ri%k% which the Charity face% a regular b&si% and
believe that mait]tait]g the free reserve8 8tated, combined with the annual review of the control
over key financial systeJn8 carried out on an at]nual basis will provide sufficiet]t re%ources in
the event of adi'er%e condition%. The Trn%tee% have also examined other operational and
bu%ine85 ri%ks which they face and confirtned that they have established systetn% to tnitigate
the %ignifJcant risk%.
NOTE 7 POLICY
The Trustees have con%idered the level of re%erves they wish to retain, appropriate to the
charity's need%. This is ba8ed on the charity'% %ize and the level of financial con]mitJnent8 held.
the Trustee% aim to et]sure that the chartity will be able to continue to fulfill it'% charitable
objectives even if there ]% a temporary %hortfall in income or unforeseen inCr&￿t in
expenditure. The trustees will endeavour not to Set aside fund% unnecessarily.
NOTE 8 P￿LIe BENEFrr
The Charity acknowledge% its requirejnent to demon8trate clearly that it must have charitable
purposes or 'aims that are for the public benefit. The Trustees cot]firJn that they have paid
due regards to the Charity Con]mi85ion guidat]ce ot] public bet]efit before decidit]g what
activities the charity are to ut]dertake.
NOTE 9 OTHER DI.SCLO.SURE LSSUES
The charity has no other conunitments, guarantee%, loan%, contingent liabilities other than
tho%e di%clo%ed in the accounts. There are no other disclosure i%8ues.
PAGE 6

THE POTTERS HOUSE CHRISTIAN CENTRE HARROW
TRUSTEES REPORT FOR THE YEAR TO 31 AUGUST, 2022
The Trustees pre8ent their report along with the fillancial %tateJnent8 of the charity for the y&qr
to 31 Augu.%t, 2022. The financial statemet]ts have been prepared in accordance with the
accounting policie% Set out ot] page 4 and comply with the Charity's trust deed and
applicable law.
Trustees
The trustees named in the Notes to the Account% have served throughout the year. Appointment
of trn8tees is govert]ed by the Con8titutiot] of the Charity. The Board of Trn%tee% i8 authori8ed
to appoint new trn%tee% to fill vacancies through resignation or death of an existing trustee.
tnvestment Powers
The Constitution authori8e% the tru%tees to make and hold inve%tment% using general fund% of
the charity. No such inve8tments are presently held.
Constitution, Objects and Policies
The Charitable Trll%t is constituted by Con%titutiot], at]d it% object8 are to projnote the Christian
faith through worship. In order to do this regulat activities are carried out and invitatiot]s givet]
out to the public.
Finance is raised purely from members contribution%. The day to day running of the church is
delegated by the Tru8te£s to the PtLStor.
Development, Activities and Achievements
The trustees, Pastor, and church council are cotnmitted to et]abling as Jnany people a%
pos%ible to worship at our church at]d to become active members and follower% of Jesus Christ.
Our %ervice% at]d wor%hip put faith into practice through prayer and scripture, music at]d preaching.
When plallning our activitie% for the year. the Pastor and the church council hai'e considered
the c0j￿ni.￿Slo￿'￿ guidance on public benefjt at]d, in particular, the %pecific guidance on
charitie8 for the advancement of religiot]. It] particular, we try to enable ordinary people to live
out their faith as part of our local community through..
Worship and prayer,. learning about the Go%pel: and developing their knowledge
and trn%t it] Jesus.
Provision of Pastoral Care for all who enter our door% and to the local community.
Mi%sionary and local community outreach work.
The trustees, Pastor, and church council are al%0 delighted in the fact that the charity now ha%
a viable church home, albeit a rental property. The building should be sufficient to allow for the
much prayed for growth in church tnetnber%hip.
Financial Review
Overall incotne has increased by 29% as the church continued to give to world evangeli%tn
and outreach.
New and exi%ting JneJnber8 have also been givit]g with the vision of seeing other% cojne to Christ.
Mo%t expenditure i8 on the Charity'% object8 of promoting the Chri8tian faith a% well as
%upportit]g new churches.
PAC.E 7

Futhre Developments
The trustees are looking to invest fund% in planting further churche%.
Reserves Policy
The Charity'8 policy i% to maintain sufficiellt unre%tricted fund% to cover the next month's
expenditure. This has beet] achieved throughout the year.
Re%tricted fund8 are norjntdly used up whet] rai8ed. Exception% to thi% are when the funds have
been raised but the cause raised for is not yet cojnpleted. There are correct accounting
policie% in place to identify each re%tricted fund and the available balance at any point in time.
Statement of Trustees Responsibilitie5
Law applicable to Charitie% in England and Wales requires the Trn%tee% to prepare financial
%tateJnent8 for each fit]ancial year which give a trne alld fair view of the Charity's fjnancial
actii'ities during the year at]d of it8 finE￿cial po8ition at the year end. In preparing tho%e
financial statements, the Trustee% are required to..
Select suitable accounting policies and apply them con%istently',
make judgements and e.%timate% that are reasonable and prlldent;
state whether applicable accounting 8talldards and 8tatements of
recomjnended prtkctice have beet] followed, subject to any departures
di8clo8ed and explait]ed in the fit]ancial 8tateJnent8:
prepare the fit]ancial 8tateJnent8 on an ot]going concern basi8 unles% it is
inappropriate to presuine that the Charity will contit]ue in operation.
The Trustees are respot]sible for keeping accounting record% which di8close with reasonable
accuracy at any time the fJt]ancial po.%ition of the Charity at]d enable them to ensure that the
financial statements comply with the Charitie8 Act 2011. They are also respot]sible for
%afeguardit]g the as%et% of the Charity at]d hence for taking reasonable steps for the
prevention and detection of fraud and other irregularitie%.
Approval
Thi% report wa% approved by the Tru%tee% on 5 August, 2023
and signed by the Pa%tor of the church who chaired the meeting.
jin￿lde Robinson
P&stor
PAC.E 8

Independent exa]niner's rcport to the tr115tce5 of Thc Potter5 House Christian Ccntrc Harroiy
I report on the accounts of the Ttust tor the yeaT ended 31 Augu8121122 which are set out on page£ I to 8.
Rcspcctivc r£spon5ibiiities of trustefs and cxBrniner
The charity'8 tru%lee$ are Te%pon8ible for the preparation of the accounts. The chaTily's IrLi%lee8 consideT that an audit is not required for
this year under section 144 ot the Charities Act 2011 (the ch￿ltieS Act) aiid that an independent exanwnatioii is needed.
It is my responsibility to..
ex￿]ne the account% under section 145 of the ch￿tle% Act.,
to follow the procedures laid down in the generJ Directions given by the ch￿tY Cotntnission undeT section 14515llbl of the
Charitie% Act.,
to %tate whetheT PdrticulaT ttLTrtlet% have come to my dtlention.
Basis of indcpendcnt cxaminer's rcport
My exanwnatioii camed out in accordance with the geiieral Direction£ given by tile Chariiy Conllni88ion. An exatnination include
a rewiew of the accounting records kept by the charity and a coinpaiison ot.the accounts presented Vvith those recotdq. Ii al£0 includes
consideratioii of any uiiu£ual iiemq oi- di£clo8ure8 in tlie accounis. aiid seeking explaiiations trom you ttu8iee8 concerning any Euch
matier£. Tlie procedures undertaken do noi provide all the evidence thai would be required in an audit and conqequeiiily no opinioii is
given a% to whether the accounts present a'true and fair view. and the report is limited to those inatters sel out in the stateinent below.
Ind£p£ndent exatnincr'5 Statement
In coiinection with my examination, no matter has cotne to my atteiilion..
11 I which giv￿ me reasoiiable cause lo believe that in any mateIial ￿pect the r4uirements'.
to keep accounting tecotd% in accordance with %eclion 130 of the Chatitie% Act;
to Prep￿ accounts which accord with the accounting TecoTds and cornply with the accounting tequiiemenL% of the ChaTities
Act
have not been tnel; or
121 lo which. in tny opinion, attention should be drawn in order lo enable a PTO￿[ UndeT￿t￿iding of the accounts to be reached.
Mr. John Gall MAAT
66 High House Avenue
Wymondham
Norfolk
NRI8UJN
U5-Aug-23
PAC.E 9