Company number. 06083509
Registered charity number: 1119508
ARISE CHURCH LTD
{F(MIMERiY KNOW14 AS CAiVARYCHURCH)
IA COMPANY LIMITED BY GUA8ANTEE)
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
*A410CCYP*
25111r2021
COMPANIES HOUSE
245

ARISE CHiIRCH LTD
COPITENTS OFTHE FIPIANCIALSTATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
P•ge
Company Inforniation
Report of the Director5
Report ofthe Independent Examlner
Statement of Financial Activities and
Income and exP￿￿1￿{e Puount
Notes tothe ReF￿rtand Financial ￿erneThts
8-11

CHARITY INFORMATION
FOR THE YEAR EPIDED 31 MAROI 2021
TRUSTEES:
Amston
P Wade
S J Baker
PDHill
Mrs J Mee
COMPANYSE(RETARY:
P Wade
REG15TEAED OFF￿.
Stallings Lane
Kingswinford
West Mldland5
DY6 7HS
IIEGISTERED COMPANY NUMIER:
REGISTERED CIIAPITY 14UMOEIL'
1119508
INOEPENDEPIT EXAMINER:
TCP IGBI Group Ltd
10 The Trièn8le
NG2 Business Park
NOtti￿rn
NG22 IAE
Barckys Bank Pk
81 High Street
Stourbridge
West M4dlands
DY8 IEB
Kwwdom 8ank
RUddin￿On Fields Busthess Pa
Mere Way
ftuddiwon
Nottir*ham
NGII 6JS

ARISE CHURCH LID
REPORTOFTHE TRUSTEES
FOR THEYEAR ENDED 31 MARCH 2021
The Trustees present theirAnnual Report and Flnancfjal Ststernentsforthe yearended 31 March 2021.
Ory•nis•tlonal struc￿￿*
Arise Church Ltd Iformally krthn as Qfvary Churth (Kingswuifordl) is a company Wmi*d try 8uarantee M*1 havSng a shafe CaPFtsI.
operatln8 under a Memorandum and Al￿deS of Association. It was incorpowatcd on 5 Febnwry 2007, ctyytwy reglstration nurnber
Of4)83509. The cornpany is also a registered fharty. number 1119508.
G(Wernan￿ •nd Min•4ement
New directors are appointed by exlsting directt¥s. A seledk)n and retruitment process take5 place *then potential board
mefflbers are selerted after makinB careful ehquiry asto their glitatr￿1Ity and their 5UPPOrt of the objecti¥es of thetrusi. The board
to have abroad ranee of ski115 represente4 in particular experttse in Chri5ti•n doctrine, fiTraTh￿ and chartty law.
The Board of Directors tyrrentty comprises 5 members who meet b￿thI¥. The dders and management team are normally
presentto infomi the meetings. Deciyonsaretaken bythe board. eitheratrneetiwtgs orby otherformsofcommunication. The board
has delewed authority tothe elders and management teèm. within terrnsof delegation approved by the truslees. for operational
matters of ihe
Obledlve5 and act1¥
The printiple objerts of the company are=
to advan￿ the Christran fafjth asa dwrth In felltywshsp wlth AssemNies of God in Great Britain and Sn accordance with the
Statement of Faith:
to ielle4fe ￿(knesS and f￿￿nCIal hardslmp: and
to advan￿ education.
The trustees and elder5 tolow a prinaple obiectfve of the pr￿laMatiOn of the Gospel of Jesus Christ. and In addition provide
facillty for people to meet to worship and prai￿ God. to stsnd alonE*dÈ peoplÈ as they grow as Individual Christians. and to
e￿our?￿e fellowship.
The churth offers a safe and welcoming environment"where people can come for help supporL By upholdlng rlghteous values
and beliefs. it is the In￿. COn￿cli0￿ that a Positi￿ iryact into the community can be athieved for the 8crf)d of ?11.
The maln activities have been..
Church meetlngs Fangingfrom Sunday fflorningworsNp and cornmunlon serbices togospel and e¥angeltstt¢ servrces. often
wr(h visiting speaker5 frorn a wlde range of ChriAian organI￿On& In addf(ion to that weddings. adult baptism and baby
deditationstske pla￿. Ouraim is to provide for the whole trdmity.
The work amonK5t the chÉldren and ¥￿th continued. tOCU5s1￿ on eVa￿ell5￿ thrr#Jth outreath initiati¥e5 and splrituèl
development.
The buildlng is also used by a numbtr of groups duffi￿the whD invtte fr¥tnd5. famlly and theger*ral publlcto thelr
a¢ti¥fties.
Pubk BefiÈfft
TheTrusteeshab*conStde￿dttIs bwlierin O)nfvn¢tlonwitht￿Ythr￿e¢ont•￿r￿d inthechwity Cornrni55ion'sBuTrdanceon public
benefft. and ha* Concluded that the aims continue to be tharitable. that the and aciivities give Ktentifiable beneffts to the
cbaritsble sector. that the beneffts are forthe public and not unreasonabty re5tri(trd in any way. and that there is no detrirnent or
harni arising from theaims or acti%rytses.
This year sees the 5 ye•r of our leadership transition. The expetts Say that it take$ 7 years to successfully transition between
leadershlps, so we are still ¥ery much in the middle ofthat Pr￿ Thethurth continuesto respond wem to changes and there isa
general sense thatwe are all in the same dTrTed￿n.

ARISE CHURCH LTD
REK)RT OF THE TRiNEES. continued
FOR THE YEAR ENDED 31 MAROI 2021
The main achievementsfor thi5 year arr.
11 Navigatlng ihe organssatlon successfulty through the covid-19 pandemiL UblI￿Thg furltyjgh scheme has also meant
that we have been able to Ixlrrf stability to theor8ani5atitin through a very uncertain per￿d and avofjded hathng
to make redundancies.
21 Wrth the launth ofthe SNneComrnunity Project at the end ofthe last FY we to support, help, champion and
recoenise people inourcommunity. WeaTr50 saw a great respon5elromthe people in our local communrty who have given
around £5,(100 to the Shine Community Project. In January 2021. after recognis¢ne the impact that the Shine Community
Project ha5 had. we decided to launth Shine Foundatfjon and rnake it a permanent element of our organisation.
3) As the pandemlc rolled on and the restridlon5 lasted a tot longer than we first anticipated. the nEed for an onllne
presence became tmcial. In January 2021 we imited wple to E*e fi￿ntialty into Visioft 2021., one of the elements ol
whKh wa5 to upgrade ourequiprnent to en•ble usto have• n￿re sustainable. h￿er qualrty online presence.
Fimncial review and reseThes
The total net income for the year amounted to £60.9581202tr. inwne £23.4051. Thts was enhanced by the receipt of the job
retention Scheme erants received durinB the year of £30,774. The accurnulated unrestrtrted general funds carried forward amount
to £184,139 12020: E126,1681 and £263.671 12020: £272,INI in the r￿e￿ assets f￿d. The restricted fund carried fowward is
£192.4051202tr. £181.1)85).
The vast malority ofthefinanos wuired to fund the a¢￿tieS a￿ raised through regular giving and one off donattons from church
members. ￿NIlemented by the refund ol incometax Irom HM Re￿ut & Customs throught￿ Gift Aid stheme. The pwtrschoDI Is
fitnded to a large degree by local authority grant.
ReseT¥e5 polkv
The policy agreed by the trust￿ is to aim to Iw)Id in unrestrKied reserve5 not tommitted or invest•J in tangiblt flxed asset5 Ithe
'free' re5er¥es1 sullkient io cover the general overhead expenses and salory tosts not specific•lty funded by external agencies or
able to be covered by other committed income such a5 rents. for a period of six months. At this level, the tTU5tees feel that they
would beable to continuetheturrent activities of the tharityin the event of asignificant drop in funding. Itv￿￿1￿ then be necessary
to t*￿S1der how the fvnding would be replaced or attt¥Thtres than8ed. At 31 Marth 2021 free ￿ser¥e5 amotsnt to £70.277
representlng 3S fi￿Nths expenditure. The trvstees a￿ considerini*aysto inuease fvnds available.
Restricted reserves are di5rlosed in nole 12
11 Complete a full Ii)Mallatiffi of equipment for onlinestreami￿1 capabilitie5from the church builrtinB.
21 Continue to partner wlth outside or8anisation5 thro￿ the Shine Foundation. in order to maxlmi5ethe socval impac(
as we respond to the needs of the afea.
31 Employ a youth lthid to fill th2 current ¥acarKy and d￿eloP our v(ttrth team toddi*rtop dass youth provision in our
area.

ARISE CHURCH LTD
REPORTOF ThE TrtisrEES-¢¢>ntin￿I
FOR THE YEAR ÉNDED 31 MARCH 2021
Risk policy and re¥l
The tN5tees review rlsk perftsditalty. and sati5fJed that major risk5 to which the tharity 15 exposed. are adequatety m6t(8ated
through Insurance. strategic plannin& poHclesarMI wttedures.
During the year £31.44412020: £28.9551 wa5 given to other Chrisiian Charitk￿. evangelists. missionarbes and mbssion organisatlons
who help us fvlfil our C￿TIlati1e aimsand otyertives thmugh the work they do in other areas of the c¢wntry and WOTkl.
Trusttt5
The trustees hoklin8 offite dUri￿the whole year unless0t1￿mSe 5tattd *twea5 follows:
AJ Asion
Pjwade
SJ Baker
PDHill
Mr5J Mee
Trusteerf Tesponthilltlesln relation to the financial slaternents
Company law requI￿S the trustees to prepare financial statements for eath finantial year whlch gfj¥e è true and falr vtew of the
state of affairs of the tompany and incomuvd restyjrtes and applKation of resources. includtng the net *bcome or expendtture
forthe year. In preparing thosefinantial statements. the trustees are required to:
selert suitable accountin8 po1Th5and then apptythem a￿￿sten￿.
make judgments and estrmates that are reasonable and prudent:
state whether •ppli(able aCctyJDti￿ standa￿$ and ststtynents of ie¢ommended prnctict been followed subject to
any departures disclosed and explained in the financkil statements; and
prepare the ffinan¢ial statements on the going concern basis unless it is irwppwowlate to presume ihat the tharlty will
continue in busine
Thetrusteesare responsibtefor keepinB properaccountir¥ re(ord5¥thichdisclose with reasOnab￿atc￿a￿atanytlffl2the￿nJnclal
posttion of the charity and ena￿e them toensure that the finarscial statements cornplywith the CompaniesAct 2006. They are also
responsible for safeguarding the assets of the dMTrty and hentr for takw¥ rea50nabte sleps for the pfevention and detertion of
fraud and other iffe8ularilies.
Appro¥ed bythe board on 305eptember 2021 and siarod on its behalf
Trustee

Independent Examinerfs Report to the laemkn of Arise Chur¢h Ltd
l Teport to the dmiity trustees on myexamination of the accounts of compènyfortht yearernled 31 March 2021 whlch are set
owt on page$ 6 to 11.
As the tharlty tNstees of the company land aE50 bts direct￿$ for purFhJses of company lawl you are responsible for the
preparatlDn of the accounts In accordance with the requI￿rnents of the COM￿leS Ad 2006.
Havln8 satlsfied myself that the accounts of the company are Mt required to be authted under Part 16 of the 2006 Act and are
ell￿bleftIr independent examinatton, I report in respectof rnye¥amtnation of yourcompan*saccountsas carrleil out under section
145 ofthe Chariiies Art 2011. In Carrying oth my examination I have foilo**d the Direclion58i¥en bythe Charity Cornmi5sion under
settion 14515llbl of the 2011 ACL
Since the compan￿$ gro55 income exceeded £250,C￿l yourexaminer Thust be a rnember of a bodyli5ted in sertion 145 of the 2011
ACL I confimi thot l am qualified to undertake the examination bKause l arn a member of Institute of Chartered Accountants In
Endland and Wales IICAEWI, whlth is one of the tisted bodie
I have completed my examlnatlon. l conflrm that no matters ha¥t come to rny attentlon in connectson w￿h the examirthlon givlng
me cause to believe that in any material respect:
accountin8 records were not kept in respect of the corywny as requtred by section 386 of the 20(￿ Art: or
the accounts do not accord with those records.. or
the accounts do not compty with the attounting requiremtsnts of section 396 of the 21))6Act other Ihan any requirernent that
the a¢¢ounts gt¥e a'true and fatr￿￿ whith 1$ not a matter¢onsidered as part of an independent examInat￿n. or
the accounts have not been prepared in accordjnce with the methods and principles of the 5tstement of Recommended
Prxiice for accovntin8 and reporting by tharitie5.
I have no ¢onwnsand ha¥e come across no other mattefs In COnn￿lon with the examin•tionto whith attentlon should be drawn
lft thls report In order to enable a proper vnderstsndrt Oft￿ accourrts to be reathed.
tcp Igbl 8f0UP Itd
10 the triangle
ng2 bv5ines$ park
nottingham
NG2 IAE
Date: 30 September 2021

AIIISE CHURCH LTD
INCOME AND EXPENI)tniRE ACCOUI
FOR THE YEAR ENDED 31 MAR(112021
Tolal
Funds
2021
Funds
2021
Funds
2020
In¢orne
Donatlons and grants
265.446
18.642
284.088
277.836
I￿orne from charitsble activrt
. Advancement of Christianity
Cafvary Pre-school
Investment income
Activities for generdtin8 funds
6.956
7.599
10.349
28.309
302
1.970
201
135
204
135
Tolal Income
?56￿28
25598
29L026
318.766
Cost of raislnE funds
Expendituie on thèritable activities
Advancement of Christianrtv
Calvary Pr￿SChOol
7.429
215.470
14.278
229.748
237,248
49.364
1.320
1?20
1.320
Tolal expenditure
216.790
14278
2JL068
295.361
Net {•Mp•mlilur•Vlnc¢N
49.638
11.320
60.958
23.405
Transfers between lunds
let movement in lund5forthty
49W8
Iwo
60.958
2a.405
RetOAdlhtiov• ollunds
Total funds broughtfonvard
398.172
1.085
579.257
55S,852
Total fundsfaniedfornard
447J
192A05
640.215
579.257
All income and expenditure dEfb¥ed from continuln8 arti¥It￿ The 5tatemert of fi￿n¢[al acti¥ldes kncludes all ga￿$ and losses
reco¥nised duringthe year.
The note5form p•rt of thesefiftancial statements

ARISE OIIIRQI LTD
FOR THEYEAR ENDED 31 MARCH 2021
2¢)21
20ZO
FIXED ASSFrs
Tangible assets
263,671
272.004
aIRREr￿ ASS￿5
Debto
Cash at bank and in hand
io
18,918
361.136
380,054
10,499
301.299
311.798
UIEDITORS: amounts falllbvd due wrthln oneyear
li
I3.5￿)
14.5451
NET CURREiifASSETS
a76.544
307253
640.1
579.257
ThE FU14DSOF ThECHARriY
Unrestricted
Restricted
447,810
192,405
398,172
181,085
640.215
579257
For the year ending 31 Marth 2021 the cornpany T￿$ entl￿ed to exemptitsn from audit under sertion 477 of the Companies Art
2006 relatin8 to small companies butas thi5companyis a tharity. it 1$ 5ubiecito audii under thecharities Act 2011.
Oiredor< respon5ibilities=
The members ha* noi required the ¢tyn￿ny to obtsin an audii of its ￿t0￿￿ts forthe year In question In accord￿Ce wlth
section 476:
The dlrectors a¢knowiedge their resporoib116ty.es for complyir¥ wbth thÈ teguirements of the Aet twbth respErt to accountin8
records and the preparatiDti of accounts.
Approbtd bythe Board on 305eptember J121 and siffned OD Its behalfby
AndRwAslon
Tru51et
The note5 lorni part of these finan¢fjal statements

ARISE CIKIROI LTD
NOIES TOTHE FINANCIAL ￿ATEME1￿[S
FOR THE YEAR ENDED 31 MAROI 2021
Actounting Polkles
The financial statements ha%* been prepared in accrydaKe t*ith Actountry al￿ RepDrtinB lry Charrt4e5: Statement of
Retommended Prarttceapplicableto tharilies wepariF¢ their accounts in acwrdance with the Flnancial Reportln8 Standard for
Smaller Entities published on 16Jufy 2014. the fina￿lat RewtirwA Stsndard for Smallw Entft*s{effectlve Aprfl 20151. and the
CcthpanÉes Act 2006.
•) At¢ounllni ¢on¥entSon
The ffinancial statements are prepared underthe histowical cost Con¥￿tion. and on • eolng ¢oncem basl&'
bl Intome reciy
Income is reco8nised in the period to which li relates. The ￿ue of Se￿e$ pr(wided byvolunteew5 ha5 not been Included
on the basls that the value ￿nn0t reasonabty be quantrfled.
¢) Expendilure
Expendiiuwe is arcounted for asit berome5the and has been allocated toartfvliles on a basis consistent with the wse of
resource5.
d) Tangible fixed assets
Tangible fixed assets are stated in the balaKe SW attt*fjracquisition cost less accumulated deweciation.
Depreciation is provided on all tangiblefued assetswith the ex£eptton of frethold laThl. to write off the cost le55
estimated residualvalue of eath assets over its expected usefvl lrfe as follow&
Freehold prowty
Heating 5YStem
Furnlture aNI equipmert
Computer equipment
betweeft 1% and IOX on rethciry balance
IO% on reduttnz balance
IO% on redurin8 balance
25% on reducing balance
el Tax*lon
The activities of the rompany areexernptfrom corporation net incominB resoijrces.
Pension costs
The company operate5 a defined contritwrtion pension Sche￿*. Contrilxrtions payable forthe year are dwr8ed to the
Statement of Fhmncial Acti¥ities in the permjd to which tly relate.
F¥nds
Unrestrlrted funds are ￿alablet0 be vsed for purposes withirtthe objects of the charityat the dlscretlon of the trustees.
Reslrlcted fvnds can only be used for speofK restrirted purwses within the oblerts of the dwrlty. The restriciion5 are
specified by the donor or when lunds are raisedfor particular reslricted puT￿$e5.
Total
Fund5
2021
Total
Funds
2020
Fvnd5
D¢n•t#>ns •nd yants
20
rthes•nd offerlY*s
GiftAid tsx
Grnnts
Job Retention Sthefne grnnt
191.919
42.753
10,(K12
1,560
201.921
44.313
230.316
47.520
30.774
30.774
18.642
2WO88
277.836

ARLSE CHURCH LTD
NOTESTOThE FINANaAL STATEMEtirs-contlnued
FOR THE ITAR ENDEO 31 MARCH 2021
Totsl
Total
FuThds
2020 .
Funds
•) Advancement of Chiistianity
Chihjren's activities
Youth activilies
FI￿rish
Women's
Shine
Other
130
130
8,145
730
1.374
Irj)
6.186
643
743
6.956
7599
10.349
bl C•l¥ary Ple5d￿l
Gnnts and grlts
Fees
Other
28.309
28,309
Totsl
Funds
Total
Funds
2020
Fwds
Fuhd$
Expendit￿ oft tharilabl• ¥dl¥itles
•) AdvwKernert otchrfstianity
Ministry
Outreach
Children'5 aclivtties
Youth arti¥ities
Flourish
Shine
other
24.119
2,753
24,119
2.753
630
1.649
20
6.058
loo
25.559
12.626
3.182
11.236
556
629
20
6.058
35329
53,159
Suppvrt Costs
stsff costs
Building and infR5trurtur¢
oirice expenses
Depreclation
157.070
157.070
15,714
13.302
&333
145.224
15,878
13.860
9.127
13.302
8.333
187339
194A19
184.089
Tot•1 AdHn(em•rrt Dlthistwn
5A70
14278
229.741
237.248
b) C•lvary Pr¢5dJoul
Staff costs
Teachir¢ and play actithty costs
Office expenses
48.265
49.364
2021
2020
Professional fees
20
1,320

ARSE CHURCH LTD
FOR THE YEAR ENDED 31 hlARCH 2021
2021
Wages ￿arieS
Social security costs
Pension rosts
149.026
4.017
178.645
6.396
2.447
155A49
187.188
The average full tirne equivalent numbw oferyknes as follows:
Management
Administration and support
Transaclionswith nkted partte5
Remuneration and I￿nefi5
Trustees
A Aston
37.230
36.625
36.625
R A Baker
JDMee
S f Astoii
10.957
10.471
8.405
10,778
&062
7,585
29A33
26,425
Trustees and connected persons were rewnbur5ed motor. trabtllin¥ and othu experbse5 tolaling £NIL12020 £1.8301.
The Memorandum of Association alh)w5 for the payment of remunerntion to trusiees as k¥w4 a5 the number recel¥Ong
remuneration is not the rnajority.
Mrt lexpenditiffeifinc4>me
The net income is stated after C￿￿n￿.
Independent Eyaminers rernwerati¢)n:
Depreciation
13ZD
8333
1.320
9.127
Furnlture * Computer
equlpment
Tot41
At l Aprll 2020
Addltions
At 31 March 2021
233.344
55.107
94.670
6.392
389.513
233.344
55.107
94.670
6,392
389.51a
Depreciation
At l April 20x1
CharBe for year
At 31 March 2021
26.991
L671
28.662
25,821
2.929
28.750
58.945
3.573
63￿18
5.752
160
5,912
117.509
8.333
125
Netbookv4lu•
At 31 March 2021
26.J57
263.671
At 31 March 2020
206.353
29.286
35.725
Z7Z.004
io

ARLSE CHURCH LTD
NOTES TO THE FINANaAL sfATEMENTS. continued
FOR THE YEAR ENDED 31 MARCH 2021
10. D•btor5
2021
2020
Debtors
Prepayments
18.918
10.499
14918
10.499
11. Qed•ti)ts: amounts fal￿￿¢ dutt*lthin I¥￿￿ar
20Zi
2020
Trnde and other credltors
Social security and other tsx
A￿rUed expense5
270
1.068
2.172
6rJJ
2.167
1,778
3.510
4,545
l Apra
31 Mar¢h
20
12. Funds
•) Un￿$¢I1￿ed
Fixed assets
General
272.(X)4
126.168
18.3331
8,333
263.671
139
266.428
1216,790)
T•)t•l unr*it￿ lunds
398.172
266.428
1216.7901
447AIO
bl Aeslri¢tsd
UK Ministrie5
Over5e3s Ministries
Church planting
Youth
Dudlry MBC. Preschool
Grants
6.833
16.178)
511
123.045)
244￿26
4.135
136.722)
123.0451
232.971
11.555
11.0201
136.7221
{7.(￿}
Total restrirt•d funds
181.LW5
25.598
114,2781
192A05
IS. Analy%5 of net a55ets arross fund5
Gthv•l
F•JThd$
Funds
FyThds
Flxed assets
Cash at t)ank
Other eurrent assets
Current liatHlitre5
263,671
263.671
36LI3fj
18.918
135101
169,236
18,413
13.510)
1.9
505
Total F￿￿￿¢ 31 M•ffh 2021
640a
li