Company number: 06083509
Re8lstered charity number: 1119S08
ARISE CHURCH LTD
(FORMERLY KNOWN AS CALVARY CHURCH)
IA COMPANY UMITED BY GUARANTEEI
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
0410112023
COMPANIES HOUSE
#243

ARISE CHURCH LTD
CONTENTS OF THE FINANCIAL5TATEMEf4TS
FOR THE YEAR ENDED 31 MARCH 2022
Company Inforniation
Report of the Oirectors
Report of the Independent Eyaminer
Statement of Financial Actiwties and
Income and expenditure Account
Balance Sheet
Notes to the Report and Financial Ststements
8-11

ARISE CHURCH LTD
CHARITY INFORMATION
FOR THE YEAR ENDED 31 ￿RCH 2022
TRUSTEES:
A Aston
P Wade
SJ Baker
PDHill
Mrsj Mee
COMPANY SECIIEfARY:
P Wade
REGISTERED OFFICE:
Stallings Lane
Kingswnford
West Midlands
DY6 7HS
REGISYERED COMPANY NUMBER:
(W83509
REGISTERED CHARITY NUMBEL
li￿508
INDEPENDENT EXAMINER:
TCP IGBI Group Ltd
IOThe TrianglÈ
NG2 Business Park
Nottin8ham
NG22 IAE
BANKER5:
8arclays Bank PIC
81 High Street
Stourbrid8e
West Midlands
DY8 IEB
n8dom Bank
Ruddington Fields 8usine55 Park
Mere Way
Ruddington
Nottingham
NGII 6JS

ARISE CHURCH LTD
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 20Z2
The Trustees present thelrAnnual Report and Financial Statements forthe year ended 31 Marth 202Z.
Organlsational structure
Arise Church Ltd Iformalty k1￿ as Calvary Church {Kin8swinfordl) is • ￿mpanY limited by guarantee not having a share caprtal.
operating undèr a Memorandum and Artides of A5s0cTration. It was incorporated on 5 February 2￿7. company reeistratlon number
06083S09. The company is also a registered charity. number 111950&
G¥)vernance and Mana8ement
The board of directOf5 (trustees) currently comprises 5 members. New directors (trustees) are appointed by the existing dlrectors.
A selection and recTUltment process takes plate when potential board mèmbers are selÈcted after making careful enquiry as to
their suitability and support of the objectives of the organisation. The trustee's objertive is to have a broad range of skills
rèpresented, in particular- business & operational management, finance. and charity law.
The trustee5 meet bi-monthly. Decisions are taken by the board at meetbw and formally re¢orded in minutes of meetlngs. The
Senior Leadership Team ISLT), who have resport5ibility for the spiritual. paxoral and dottrinal oversight of the organlsatlon,
routinely meet with trustees to inform them of direction, Vision and I<xu5. The t*)ard has deleBated authority to thè SLT, wfthin
the terms of delegation approved by the trustees. for routine operational matters of the organisation.
Oblectfve5 and artl¥tties
The principle Objects of the company are..
to advan¢e the Christian faith as a church in fellowship with Assemblles of God in Great Britain and In accordarKe with the
Statement of Faith;
to relie¥e sickness and finantial hardship: and
to advance educatlon.
The trustees and elders follow a prtnciple objertive of the proclamati(￿ of the Gospel of Jesus Christ. and in additipn provide
facility for people to meet to Worship and praise God. to stsnd alryybde people as they grow as Indivi￿¥1 Christians. and to
encourage fellowship.
The chvrch offers a safe and wekomlng environment where people can come for help and support. By upholdin8 righteous value5
and beliets. it is the trustees. conwction that a p05rtive impart into the community can be achieved forthe good of all.
The main actlvities have beèn..
Church meetin85 ranwng from Sunday morning worship and communion seryices to gospèl and evangelistit sèrvlces, often
with vislting speakers from a wide range of Christian or8anisation& In addition to that weddings, adult baptism and ￿bY
dedications tske place. Our aim is to provide for the whole family.
The work amon8St the children and youth contifiued, focus5in8 on elangelism throu8h outreach inltiative5 and spiritual
development.
The buildin8 15 a150 used by a nuthr of 8roups durin8 the week, who invite friends, farnify and the general public to their
activities.
Publk 8enefft
TheTrustees haveconsidèred this matter in conjunction withtheturdance contained in theCharityCornmission'5guidanceon public
benefit, and have ton¢luded that the aim5 continue to be tharitable. that the aims and artiV4tie5 8rve identifiable benefits to the
charitable sertor, that the benefits are for the public and not unreasonably ￿$tritted in any way, and that there is no detriment or
harm arisi￿ from the aims ¢x activlties.

ARISE CHURCH LTD
REPORT OF THE TRUSTEES- continued
FOR THE YEAR ENDED 31 MARCH 2022
Aehlevements and perfomiance
This year is the 6th year of our repurposin8 as a church after the leadership transifion in 2016. The churth is re5pondin8 well to the
changes that both the leadership transition and Covid-19 pandemic have brov8ht to the table and we continue to move forward
together
The main achievements fly this year are..
11 In Summer 2021 we tomplete a largt in5tollation of AV equipment that would facilitste online streaming from the
thurth building
21 Shine Foundation has continued IV5 8reat work in the local area. partnerin8with lotal GP surgeries. supermarkets,
Hospitals and MO￿ to offer support and respond tothe needs a5 they present themselves.
31 In SummerlAutumn 2021 we a(fvertised. interviewed and recrutted an indivKlual to fill the role of Youth Lead. This will
help us to deliver yovth provision in our area.
41 Continving to operate Successful￿ and within the btwnLlariesof our misgon and vision in the midst of a global
pandemic.
"Flnanclal revlew and reseNes
The total net defiot for the year amounted to £39.4￿(202I'. net income £60.9581. This was rnainly dye to the decrease in 8ift5 and
donations a5 3 result of the effects of the pandemiL The attumulated unrestricted general funds carried forward amount t
£134,75312021.' £184.1391 and £256.04712021.. £263.6711 in the fixed assets fund. The restritted fund tarried forward is £210,015
12021.. £192,405).
The vast majorily of the finances required to fund the aCtI￿￿e$ are raised through regular grving and one off donations from thurch
members. supplemented bythe refund of inc¢)me tax from HM Revenue & Custom5 thrO￿h the Gift Aid scheme.
Reser¥es pollcv
The policy agreed by the trustees is to aim to in unrestricted reserves not committed or invested in tan8ible fixed assÈts (thè
'free' reserves) sufficient to cover the 8enerdl overhead expenses and salary costs not specifically funded by external agencies or
able to be covered by other committed income such as rents. for a peri¢xl of six months. Al this level, the trUs￿e$ feel that they
would be able to continue the Cufrent activities of the charityin the eventof a significant drop in funding. Itwould then be necessary
to consider how the funding would be ￿plaCed or actiwties thaneed. At 31 Marth 2022 free reserves amount to £70,277
representin8 3.9 months expenditure. The trustees are considering ways to increase funds available.
Restrtcted reserves are disclosed in note 12b.
Future de¥ek)prnents
11 Rtrstart our overseas missions work in Bosnia and Hefzegthtyna
21 Focus on Leadership Developmentthrough small groups
31 Continue to inuease ald improve our online prts•KÈ no we have the capabilities after the install
Risk policy and review
The trustees review risk perit)dicalty, and are sat15fied that maiDf ri5k5 to which the charity 15 exposed, ¥e adequately mitigated
throu8h insurance, strategic plaThnin& poliues and pr¢xedures.

AR15E CHURCH LTD
REPORT OF THE TRU5fEES- contlnued
FOR THE YEAR ENDED 31 MARCH 2022
Donatlons
Durin8 the year £31,44412021: £28.9551 was given to other Cthristian charities. evangelists. MISS￿n3r1e$ and mi$5ion organisations
who help us fulfil our charitable aim5 and objectib*through the work they do in othef areas of the country and world.
Tru5tses
The trustees holdlng office duringthe whde year unle55 Otherwise ststed were as follows:
AJ Aston
Pjwade
S J 8aker
PDHill
MT5J Mee
Truste•i' responsibilities in rekntion to the financial statèm
Company law requires the trustees to wepare financlal stateM￿ts for each financial year which give a true and fair view of the
state of affatrs of the company and the incoming resources and application of re%)urtes. Including the net income or expenditure
for the year. In preparing those financial statements. the trustees are required to:
select suitable accounting poltcies and then apply them consistently;
make judgments and estimate5 that are reasonable and prudent:
State whether applicable accounting stsndards and statements of re¢ornmended pratti¢e have been followed suble¢t to
any departures disclosed and explained in the financial statements- and
prepare the financial statements on the 8oin8 concern basis unless it 15 inapproprlate to presume that the charity will
¢ontlnue in business.
The trusteesareresponsible forkeeping properaccounting records whlch dlsdose with reasonable accuraLI * any time thefinancial
position of the charity and enable them to ensure that the finanoal statements cornply with the Companies Art 2006. They are also
responsible for safeguarding the assets of the chafity and hence lor taking reasonable steps for the prevention and detertion of
fraud and other irregularitses.
Approved by the board on 29 N0￿mber 2022 and signed i)n its behalf bv
Andrew Asion
Trustee

114DEPENDEiif EXAMINERS. REPORT
TO THE
MEMBERS OF AAISE CHURCH LTD
I report tothe charlty trustees on my examination of the accounts of the company forthe year erKled 31 March 2022 whtch are Set
out on pages 6 to 11.
Responsibllilies and basls ol report
As the tharlty trustees of the company land a150 its directors for thè purpose5 of wmpany lawl you are responsible for the
preparation of the accounts in accordance with the requtrements of the Companies Art 2C(J6.
aving satisfied myself that the accounts of the company are not required to be audited under Part 16 of the 2￿6 Act and are
eli8ible for independent examination. I report in respect of my examination of your compan¢s accountsas tarried out undersection
145 of the Charitie5 Art ZOII. In carrying out my examination I have followed the Dirertion5 8lven by the Charity Commrssion under
section 1451Sllbl of the 2011 Act.
Ind•p•ndent examlner'5 5tat•ffl•nt
Since the companvs gross income exceeded £250.IKKI your examiner must be a rn*mber of a body listed in sectio¥n 145 of the 2011
Act. I confirm that l am qualified to undertake the examination because l am a member of InstttLrte of Chartered Accountants in
En8land and Wale5 IICAEWI. whKh is one of the listed Ix)dies.
have completed my examination. I confirm that no matters ha¥t come to my attention In connert40n with the e¥amtnation giving
me cause to believe that in any material respect:
accountin8 record5 were not kept in re5pert of the company as required by settion 386 of the 2(￿ Act; or
the accounts do not accord with those records; OT
the accounts do not cownply with the Kcountin8 requirements of 5ertion 396 ofthe 2006Art other than any requir•nent that
the accounts give a'true and fairvie7rf whith 15 not a matter considered as part of an independent exarninatton.. or
the accoun15 have not been prepared in Kcordance with the methcrfjs and principle5 of the Ststement of Recommended
PractSce foi accourbting and reporting by charrties.
I have no con¢erns and have CDme acr055 no other matters in connerti￿) with the examination to which attention should be drawn
in ihis report in Order to enable a proper understanding of the accountsto be r&ithed.
tcp Igbl group Itd
10 the trian8le
n82 business park
nottingham
NG2 IAE
29 November 2022

ARISE CHUACH LTD
srATEMENf OF FINANaAL ACTivmES
INCOME AND EXPENDITURE ACCCKINT
FOR THE YEAR ENDED 31 MARCH 2022
Total
Funds
2022
Total
Funds
20ZI
Fwids
Funds
Income
Donations and grants
201337
15.412
217.749
284.088
IrKome from charitable activities=
Advancement of Christianity
Investment income
Attivities for 8eneratinÉ funds
8.554
1.275
2.247
10,801
1,275
7.599
204
135
Tolal Sncom•
211166
17.659
Z29025
292.026
Expondlture
Cost of raising funds
Expenditure on charitsble acti￿tIeS
Advancement of Christianity
Governance costs
267.796
1,380
49
267,845
1,380
229.748
1,320
Total empendlture
269.176
269225
231A
Plet lexpenditsre)Ilncome
157.010)
17.610
139.41001
60.958
Transfers between funds
Net mo¥emènt in lunds forthe year
(s7￿10)
17ffi10
139000
60,958
Re¢on¢ill•tlon of fvnds
Total funds brought foTh¥ard
447.810
192.405
640.215
579,257
Totsl funds urrled forward
210,015
600J15
640,215
All inc¢)me and èxpenditure derived frorn continuing activitie& The statement ot finanoal activities indudes 3518alns and losses
reco8r¥sed durin8 the year.
The notes fom) part ofthese financlal statements

ARISE CHURCH LTD
FOR THE YEAR ENDED 31 MARCH 2012
2022
2021
FIXED ASSETS
Tanghble assets
256,047
263,671
CURRErif ASSETS
Debtors
Cash at bank and in hand
io
11.308
338.626
349.934
18.918
361,136
380,054
CREDITOR&" am￿nts falllng due wlthln one year
li
15.1661
13.5101
NETCUftRENT ASSETS
344,768
376.$44
TOTALASSEfs LESS UABIUTIES
600,B15
640,215
THE FUNDS OFTHE CHARITY
Urbrestricted
RestrKted
390,800
210,015
447.810
192,405
600.815
640,215
For the year ending 31 March 2022 the company was entitled to exemptK)n frcrfn audit under sertion 477 of the Companies Act
2￿6 relating to Jnall compani￿ trKrt a* thtJV companyis a charity. it is subjert to oudit under the Charltle• 2011,
Directors. responsibillties-
The members have required the company to Obta￿ an audit of its accourtts for the year in question In accordan￿ with
sertion 476:
The dirertors acknowledge their rèsponsibilities for Complyi￿ with the requirements of thÈ kt with respert to accounting
records and the preparation of ¥counts.
Approved by Board on 29 Novenknr 2022 and signed on its behalf by
AndrewAston
Trnstee
The notes form part of these financial statements

ARISE CHUR<>I LTD
NOTES TO THE FINANCIAL STATEMEPnS
FOR THE YEAR ENDED 31 MARCH 2022
L A¢¢ountin8 Polkies
The financial rtotements have been prepared in accordan¢e with A¢￿￿ntIng and Reportin8 by Charllles: Statement of
Recommended Prartice applicable to charities preparingtheir accounts in accordance with tht Financial Reportin8 Standard for
Smaller Entities published on 16 July 2014. the Financial Reporting Standard for Smaller Entities leffertI￿ April 20151, and the
Companies Act 2￿6.
a) A¢￿In1￿8 con¥entloTh
The financial statements are Prepared underthe historical cost convention. and on a concem basis.
bl In¢ome recoBnttitin
Income is recognised in the period to which it relate& The value of 5er¥ices provided by volunteers has not been included
on the basis that the value Cannot reasonably be quantif*d.
c} Expendli¥re
Expeftditure is attounted for as it become5 due and ha5 been allocated t¢ actNities on a basis ¢¢)nsistÈnt with the usè of
fesourtes.
d} TanglblE flx•d assets
Tangible fixed asset5 are stated in the balance sheet at their acquisitson cost tess atcumulated depreclatlon.
Depredatlon is provtded on all tangible r￿ed assets with the exceptk)n of freehold land, to wrlte off the cost less
estimated residual value of each assets over tts experted useful lrfè aslollow5'.
Freehold property
Heatin8 System
Furniture and equipment
Computer equipment
between 1% and IO% on reducin8 balance
IO% on reducing balan
IO% on reducing balance
25% on reducin8 balance
e) Taxation
The actwities of the company are exempt from torporation lax on the net incomin8 re50uros.
fj Penslon ¢osts
The company operates a defined tontribution ponsion 5theme. contribu￿n$ payable for the year are ¢har8ed to the
St*ement ¢*f Financial Attivitits In the period to which they relate.
Funds
Unrestrlrted fvnds are available to be used for purpose5 within the obiert5 of the charity at the discretion of the trustees.
Restrrrted funds can only be used for 5perfK restrirted PUfPQSes withrn the objerts of the charity. The restrirtions are
specified by the donor or when fvnds are raised for partiarlar restrirted purpose5.
Total
F￿d5
2022
Total
Funds
2021
Funds
2022
Funds
Donatlons 8rnnts
Trthes and offerin8S
Gift Aid ta¥
Grants
lob Retention Stheme grant
161.188
37.529
9.986
1.307
4.119
171.174
38.836
4.119
3,620
201.921
44,313
7.080
30,774
3.620
202337
15,412
217.749
284,088

ARISE CHURCH LTD
NOTES TO THE FIP4ANaAL STATEMENTS-(onlinued
FOR THE YEAR ENDED 31 MARCH 2022
Tot•1
Funds
20ZZ
Totsl
Fuftos
2011
Funds
2022
Funds
ome from thaTftable acll¥ltles:
Ad¥arycement ofchristiafiity
Arise kids aftd mothers and youth
Youth actfvities
Flourish
Worship team
Shine
Non governmtnt 8rants
Other
1.053
1.053
915
915
130
3.696
3,6%
1.332
2,920
L332
6,186
2.920
743
iJ54
10,801
7,599
Unrestrklod Restrkt•d
Funds
Funds
Total
Funds
2022
Total
Funds
2021
Expendtture on tharltable artlvltles
Advancement ol Chrlstlanlty
tlirert costs
Ministry
Outreach
Children's activities
Youth activit￿5
. Fh)urish
Shlne
Vision 2021
Other
25.530
13,878
1.267
1.128
25.$30
13,878
1,267
1.128
24,119
2,753
630
1,649
20
6,058
41,327
41,327
Ic
83.130
35,329
Support Costs
Staff costs
Building and infrastructure
Office expenses
Depreciation
142,893
21532
12,617
7,624
142.893
21,532
12,666
7.624
157,070
15,714
13,302
8.333
49
184.715
194.419
ToLIl Advancemert ofChri#ianity
49
267,845
Z29,748
GoTArnance u¥sts
2022
2011
Professlonal fees
1.380
1,320

ARISE CHURCH LTD
NOTES TO THE RNANCIAL STATEMENTS. continued
FOR THE YEAR ENDED 31 MARCH 2022
Staff costs
2021
Wages and salaries
Social security costs
Pension costs
136,167
3,132
2,175
149,026
4,017
2,406
141074
155,449
The avera8e full time equrrtlent numberof enyloyees was as follows..
2022
2021
Management
Administratlon and support
Transartlongwhh rehted panles
Remuneration and benefft5
TrnstÈ•s
A Aston
2022
2021
37,603
37.230
37.603
37.230
Connerted persons
R A Baker
JDMee
S E Aston
11,066
12,730
8,222
10,957
10.471
8,405
32,018
29,833
Trustees and conne¢ted persons were reimbursed motor. tra￿llIng and other expenses totsling £16212021 £NILI.
The Memorandum of Associati￿ allows for the payment of remuneratlon to trustees as lon8 as the number receiving
remuneration is not the majority.
Nvt le¥penditureWwKome
2022
2021
The net income is stated after charBing=
Independent Examiners remuneration-
Depreciation
1,320
8,333
7.624
Tanglble thed assets
Furnitiwe and Computer
equlpment
equlpment
and
At l April 2021
Additions
At 31 March 2022
233.344
55,107
94.670
6,392
389.513
233,344
55,107
94.670
6.392
389,513
Depreriation
At l April 2021
Charge for year
At 31 March 2022
28.662
1.652
30,314
28.750
2.636
31,386
62.518
3.216
65.734
5.912
120
6,032
125
7.624
133,466
Net boolK value
At 31 March 2022
203.030
23.ni
28.936
360
256.047
At 31 March 2021
26.357
31152
263.671
io

ARISE CHURCH LTD
NOTES TO THE FINANaALSTATEMENTS. contknued
FOR THE YEAR ENDED 31 MARCH 2022
Dtbto¥s
Z022
2021
Debtors
Prepayments
11,308
18.918
11.308
18,918
IL Qedltors: amountslaHlni duo withln on• ￿Or
2022
Trade and other creditors
5otial security and othertax
Ac¢rued expenses
1.381
I￿28
1.957
270
2,172
5,166
3,510
iAp
2021
Incomk
31 March
2022
IL Funds
Transfevs
•) lknrestrirted
Fixed as￿$
General
263,671
184.139
17,6241
7,624
256.047
134,753
211166
1269.1761
Totsl unffjstrlrted funds
447.810
212,166
1269.1761
390.800
bl Restrlctod
UK Ministrie5
Oversea5 MTrnistries
Church planting
Yotrth
Dudley MBC- Pre5th¢Jol
Grants
3511
123,0451
244.526
4.135
136.7221
1332
4,037
7.256
915
1ts,0081
251,733
5.050
136.7221
4,119
1491
. 4,119
70ts1 re￿1¢t￿ fvnds
192,405
17,659
149}
210.015
Unrestrirted
Hx•d Assets
Fund
Unrestrkted
General
nds
13. Analys15 of net •55ets auossfuftds
Rertrl¢ted
Fund5
Totrl
Funds
rixed assets
Cash at bank
Other C￿r￿nt assets
Current liabilitles
256.047
256,047
338.626
11.308
15,1661
128,829
ii.ceo
{5.1661
209,797
218
Total Funds at 31 Marth 2022
256.047
134.753
210.015
600￿15
li