Company number: 06083509
Reglstered charlty number: 1119508
ARISE CHURCH LTD
(FORMERLY KNOWN AS CALVARY CHURCH)
(A COMPANY LIMITED BY GUARANTEE}
REPORT AND FINANCIAL STATEMENTS
FOR THEYEAR ENDED 31 MARCH 2025
*AEFWIDQI•
1411112025
COMPANIES HOUSE
A03
#14

ARISE CHURCH LTD
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Page
Charlty Information
Report ofthe Trustees
Report of the Independent Examiner
Statement of Financial Actlvlties and
Income and expenditure Account
Balance Sheet
Notes to the Report and Flnanclal Ststements
8-11

ARISE CHURCH LTD
CHARITY INFORMATION
FOR THE YEAR ENDED 31 MARCH 2025
TRUSTEES:
A Aston
P Wade
SJ Baker
PDHill
Mrs J Mee
COMPANY SECREfARY:
P Wade
REGISTERED OFFICE:
Stallin8s Lane
Kin8swinford
West Midlands
OY6 7HS
REGISTERED COMPAP4Y NUMBER:
06083S09
REGISTERED CHARITY NUMBER:
1119508
INDEPENDENT EXAMINER:
TCP IG8) Group Ltd
I Crow Hill Drlve
Mansfield
NG19 7AE
8ANKERS:
Barclays Bank PIC
81 High Street
Stourbrld8e
West Midlands
DY8 IE8
Kln8dom 8ank
Ruddin8ton Fields Business Park
Mere Way
Ruddin8ton
Nottlngham
NGII 6JS

ARISE CHURCH LTD
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 MARCH 2025
The Trustees present their Annual Report and Financlal Stalements for the year ended 31 March 2025.
Organlsatlonal structure
Arlse Church Ltd {formally known as Calvary Church (Kingswinfordll is a company limited by 8uaranlee not having a share capital.
operating under a Memorandum and Articles ofAssociation. It was incorporèted on 5 February 2007, Company registration number
06083509. The company is also a re8iStered charity, number 1119508.
Governance and Mana8ement
The board of dirertors (trustees) currently cornprises 5 members. New dlrector5 Itrusteesl are appolnted by the exlstlng directors.
A selection and recruitment process takes place when potential board members are selected after making careful enquiry as to their
sultability and support of the objectives of the or8anisation. The trustee's objective is to have a broad range ot skllls represented. in
particular- business & operational management, finance, and charity law.
The trustees meet bi-monthly. Decisions are taken by the board at meetings and formally recorded in minute5 of meetin8s. The
Senior Leadership Team ISLTI, who have responsiblllty for the splrltual, pastoral and doctrinal oversight of the organlsailon. routlnely
meet wlth trustees to Inform them of dlrectlon, vlslon and focus. The board ha5 delegated authorlty to the SLT, wlthln the terms of
delegation approved by the trustees, for routine operational matters of the orBanisatlon.
Objertives and actlvftles
The prlnclple objects of the company are:
to advance the Chrlstlan falth as a church In fellowship with Assemblies of God In Great 8rltaln and in accordance with the
Statement of Faith:
to relieve sickness and flnanclal hardshlp,. and
to advance education.
The trustees and elders follow a principle objective of the proclamation of the Gospel of Jesus Christ. and in addition provlde a
facility for people to meet to worship and pralse God, to Stand alongside people as they 8¥ow as IndNldual Christians, and to
encourage fellowshlp.
The church offers a safe and welcoming environment where people can come for help and support. By upholding ri8hteous values
and beliefs, It Is the trustees, convlction that a positive impact into the communlty can be achieved for the good of all.
The maln actlvltles have been:
Church meetings ranging from Sunday morning worshlp and communion services to gospel and evangelistic services, often
with visitin8 speakers from a wide range of Christian organisations. In addition to that weddin85, adult baptism and baby
dedications take place. Our aimls to provlde for the whole family.
The work amon8St the chlldren and youth contlnued, focusslng on evangelism through outreach initiatlves and splrltual
development.
The building 15 also used by a number of groups during the week, who invite friends, family and the general public to thelr
actlvities.
Publlc Benefit
The Trustees have consldered thls matter In conlunctlon wlth the 8uldance contained in the Charity Commlsslon's guidance on publlc
benefit. and have Concluded that the aims continue to be Charltable, that the alms and actlvities glve Identifiable benefits to the
charitable sector, that the benefits are for the publlc and not unreasonably restrlrted in any way, and that there Is no detriment or
harm arising from the aims or artivities.

ARISE CHURCH LTD
REPORT OF THE TRusfEES- contlnued
FOR THE YEAR ENDED 31 MARCH 2025
A¢hlevements and perfornian¢e
This is the 9th year of Arise Church and the church continues to grow and impact the community year on year.
The maln achievements for this year are:
l) We have taken strategic steps to increase our Impact through the Shine Foundatlon which is the communlty actlon side of the
church. We have regular connectlon with the local primary school and also the local hospital throuBh whSch we give financially and
practically to any needs that arlse. Throu8h connectlon with other or8anisatlons in our area we have also been able to respond to
Individual needs such as providing furnlture and house decoratlon to a family that has moved into the area at short notice after
fleeing domestic abuse. To increase our community impact through Shine Foundation and other ministries
21 In November 2024 we launched our second locatlon of Arise Church In Stourbrid8e, West Mldlands. This saw us meetin8 weeklv
on a Sunday afternoon. A team of around 30 people have commltted to an initial 6 month period of support to help launch thls
location.
3) In May 2024 we be8an a feasiblllty study through APEC archltects to ascertaln the direction we need to take for the redevelopment
of our Kingswinford building. Through the followin8 6 months we developed the plans alongside the architects to enable us to get
Initial costin85 for the project. The quotes we received were much hi8hef than we were expectin8 for the benefits that project would
give us. Thls meant that we took the decision to take a few steps back In order to develop plans that were both beneficial and
flnanclally vlable. As we came to the end of the FY In March 2025 we are st511 In the consultatlon process wSth archltects and other
professionals In order to get us to the pre plannin8 phase.
41 We have gone throu8h a staffln8 restructure whlch has seen the Introductlon of 3 key roles wlthln the staff structure. These roles
will have responsibility for the oversight of the 3 strateglc elements of the church of which all minlstries and events come under.
These 3 roles wlll also offer input and support to the Children's and Youth Oepartments. Thls restructure was introduced In January
2025.
Flnanclal revlew and reserves
The total net surplus for the year amourfted to £9,42412024.' net surplus £5,982). The accumulated unrestricted general funds
carrled forward amount to £115,80912024: £119.024} and £271,05112024: £251,500) In the flxed assets fund. The restrlcted fund
carrled forward is £214,37112024: £221.2831.
The Vast majority of the flnances required to fund the actlvities are raised throu8h regular 8ivin8 and one-off donatlons from church
members, supplemented bythe refund of Income tax from HM Revenue & Customs through the Glft Ald scheme.
ReseNes poll
The pollcy aBreed by the trustees Is to aim to hold in unrestrlrted reserves not committed or Invested in tanglble fixed assets (the
'free' reserves) sufflclent to cover the general 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 period of six months. At this level, the trustees feel thal they
would be able to contlnue the current actlvltles of the charity in the event of a slgnificant drop In fundin8. It would then be necessary
to consider how the funding would be replaced or activities changed. At 31 March 2025 free reserves amount to £115,809
representing 3.9 months expenditure. The trustees are considering w3VS to increase funds available.
Restricted reserves are dlsclosed In Dote 12b.
Future developrnents
11 To establish and underpin the second locatlon in Stourbrid8e to ensure long term vlabllity.
2) To progress to the tender phase of the refresh prolert for the Kin85winford locallon.

ARISE CHURCH LTD
REPORT OF THE TRUSTEES- contSnued
FOR THE YEAR ENDED 31 MARCH 2025
Oonatlons
During the year £22,31012024: £23,705) was given to other Christian charities, evangelists, mlssionaries and mission organisations
who help us fulfil our charitable alms and objectives through the work they do in other areas of the country and world.
Trustees
The trustees holdlng office durin8 the whole year unless Otherwise stated were as follows,.
A J Aston
Pjwade
S J Baker
PDHill
Mrsj Mee
Trusteeg responslbllltles In relatlon to the finandal statements
Company law requires the trustees to prepare financlal statements for each financial year which 8ive a true and fair view of the
state of affairs of the company and the Incomlng resources and appllcatlon of resources, Including the net Income or expendlture
far the year. In preparlng those flnanclal statements, the trustees are requlred to:
select suitable accountin8 policies and then app￿ them conslstentlv.
rnakejudgments and estimate5 that are reasonable and prudent.
state whether applicable accounting standards and statement5 of recommended prartlce have been followed subjert to
any departures disclosed and explained In the flnanclal statements,. and
prepare the flnanclal statements on the 8oln8 concern basls unless It is Inapproprlate to presume that the charlty wlll
contlnue In buslness.
The trustees are responslble for keeplng proper accounting records whlch dlsclose with reasonable accuracy at any tlme the financial
posltion of the charlty and enable them to ensure that the flnanclal statements comply wlth the Companles Act 2006. They are also
responsible for safeauardin8 the assets of the charlty and hence for taklng reasonable steps for the preventlon and detection of
fraud and other irre8ularilies.
Approved by the board on 111 October 2025 and 518ned on Its behalf by
Andrew Aston
Trustee

INDEPENDENT EXAMINERS. REPORT
TO THE
MEMBERS OF ARISE CHURCH LTD
I report to the charity trustees on my examination of the accounts of the company for the year ended 31 March 2025 whlch are set
out on pages 6 to 11.
Responsibllltles and basls of report
As the charlty trustees of the company land also Its directors for the purposes of company lawl you afe responsible for the
preparation of the accounts in accordance with the requirements of the CompanlesArt 2006.
Having satisfied myself that the accounts of the company are not required to be audited under Part 16 of the 2006 Act and are
ellgible for independent examination, I report in respect of my examlnatlon of your company's accounts as carrled out under sectlon
145 of the Charltles Act 2011. In tarrying out my examination I have followed the Directions given by the Charity Commission under
sectlon 145lSllbl of the 2011 Act.
Independent •J(amlnor's statement
Slnce the compan￿5 gross Income exceeded £250,000 your examlner Must be a member of a body Ilsted In sertlon 145 of the 2011
Act. I confirm that l am qualified to undertake the exarnlnation because l am a member of Association Of Certified Chartered
Accountant5 IACCA), which is one of the listed bodles,
I have completed my examlnatlon. I confirm that no matters have come to my attentlon In connertlon wlth the examlnallon 8lvln8
rne cause to believe that In any fflaterial respect..
accountlng records were not kept In respert of the company as requlred by sertlon 386 of the 2006 Act; Of
the accounts do not accord wlth those records: or
Ihe accounts do not comply with the aceountln8 requlrements of sectlon 396 of the 2006 Act other thèn any requlrement that
the accounts glve a 'true and fair viev/ whlch is not a matter considered as part of an independent examlnatlon,. or
the accounts have not been prepared in accordance with the method5 and principles of the Statement of Recommended
Practice for accountlng and reportln8 by charitles.
I have no concerns and have come across no other matters in connection wlth the examlnatlon to which attention should be drawn
In this report in order to enable a proper understanding of the accounts to be reached.
TCP {G8) LLP
I crow Hlll Orlve
Mansfield
Nottinghamshire
NG19 7AE
I, October 2025

ARISE CHURCH LTO
STATEMENT OF FINANCIALAcfiviTIES
INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2025
Unfestrlcted
Funds
2025
Restrlcted
Funds
2025
Total
Funds
2025
Total
Funds
2024
Note
In¢ome
Donations and grants
234,239
3,035
237,274
226,032
Income from charitable activities:
Advancement of Christianity
Investment Income
Actlvltles for generatlng funds
4.266
9,171
9,430
13,696
9,171
9,083
1,305
Tot•1 Income
247.676
12A65
260.141
236,420
Empendlture
C05t of ralsing funds
Expenditure on chaiitable activitles
Advancement of Chrlstlanlty
Governance costs
229,683
1,657
19,377
249,060
1,657
228,863
1,575
Total expendlture
231.340
19.377
250.718
230,438
Net (expendlture)Iln¢ome
16.336
16,912)
9.424
5.982
Transfers between funds
Net movement In lunds for th• year
16,336
16,912)
9N24
5,982
Reconclllatlon ol funds
Total funds brought forward
370,524
221,283
591,807
S85,825
Total funds Carrled forw•id
12
386.860
214,371
601,231
591,807
All income and expenditure derived from continuin8 activities. The statement of financlal actlvltles includes all 8ains and1055es
recogni5ed during the year.
The notes form part of these flnanclal statements

AR15E CHURCH LTD
BALANCE SHEET
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
Note
FIXED ASSETS
Tangible assets
271,OSI
251.SOO
CURRENT ASSErs
Debtors
Cash at bank and in hand
io
14,406
321,217
335,623
17,586
327.456
345.042
CREDITORS: amounts falling due withln one year
li
15,4431
(4,7351
NET CURRENT ASSErs
330,180
340.307
TOTAL ASSETS LESS LIA8ILrriEs
601,231
591,807
THE FUNDS OF THE CHARITY
Unrestricted
Restrlcted
12a
12b
386,860
214,371
370,524
221.283
601,231
591.807
For the year endlng 31 March 2025 the company was entitled to exemptlon from audlt under section 477 of the Companles Act
21106 relatin8 to small companles but as this company Is a charity, it IS subject to audit under the Charitles Act 2011.
Dlrectors, responslbilities:
The members have not requlred the company to obtaln an audlt of Its accounts for the year In question In accordarKe wlth
sectlon 476:
The directors acknowled8e their responsibilities for complyin£ with the requlrements of the Art with respert to accounting
records and the preparatlon of accounls.
Approved by the 8oard on I. October 2025 and signed on its behalf by
Andrew Amon
Trust•e
The notes form pèrt of these flnancial statements

ARISE CHURCH LTD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
l. A¢¢ountln8 Pollcles
The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of
Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard for
Smaller Entities published on 16 July 2014, the Financial Reporting Standard for Smaller Entities (effective April 20151, and the
Companies Act 2006.
a) Accountlng convenilon
The financial statements are prepared under the historical cost conventlon. and on a golng concern basls.
b) Income recognition
Income Is recognised in the period to which it relates. The value of ser4ices provlded by volunteers has not been included
on the basls that the value cannot reasonably be quantified.
c) Expenditure
Expenditure is accounted for as It becomes due and has been allocated to actlvltles on a basis conslstent wlth the use of
resources,
d) Tan8lblo Ilx•d assets
Tangible fixed assets are stated In the balance sheet at their acqulsltion cost less accumulated depreciation.
Depreciation Is provided on all tan8ible flxed assets wlth the emceptlon of freehold land, to Write off the cost less
estimated residual value of each assets over Its expected useful life as follows:
Freehold property
Heatin8 System
Furniture and equipment
Computer equlpment
between 1% and IO% on reduclng balance
IO% on reducing balance
IO% on reducing balance
Z5% on reducing balance
•) T•Matlon
The actlvitles of the company are exempt from corporation tax on the net Incomln8 resources.
Penslon costs
The company operates a defined contribution pension scheme. Contributions payable for the year are charged to the
Statement of Financial Activities in the period to which they relate.
g) Funds
Unrestricted funds are avallable to be used for purposes Within the objects of the charlty at the dlscretlon of the trustees.
Restricted funds can only be used for specific restricted purposes within the objects of the charlty. The restrictions are
specified by the donor or when funds are raised for particular restrirted purposes.
Unrestrlrted
Funds
2025
Restrlrted
Funds
Z025
Total
Funds
2025
Tot•1
Funds
2024
Donation5 and grants
Tithes and offerin8S
Glft Aid tax
Grants
Job Retention Scheme grant
193,757
40,482
2,908
129
196,665
40,611
183,023
43,009
234.239
3,037
237,276
226,032

ARISE CHURCH LTD
NOTES TO THE FINANCIAL STATEMENTS- contlnued
FOR THE YEAR ENDED 31 MARCH 2025
Unrestrirted
Funds
2025
Restrlrted
Funds
2025
Total
Funds
2025
Total
Fund5
2025
In￿rne from charltsble artlvftles:
Advancement of Chrlstlanlty
Arise kid5 and mother5 and youth
Youth activities
Flourish.
Worshlp team
Shine
Non-government grants
Other
1,266
974
1,266
3.282
970
382
2,308
7,122
7.122
2.702
2.026
2,026
5,029
4.266
9,430
13,696
9,083
Unrestrlrted
Funds
2025
Restilrted
Funds
2025
Total
Fund$
202S
Total
Fund5
2024
Expendlture on charllable artlvltl•s
Advancement of Chrlstlanlty
Dlrect costs
Mlnistry
Outreach
Children's activitie5
Youth actlvltles
Flourish
Shlne
Other
20.152
11,926
3.229
3,926
2,158
22.310
11.926
17.090
3,926
31
3,328
23.705
12.263
5,763
13,861
31
3,328
436
3,217
420
39,233
19,378
58,611
45,804
Support Costs
Staff costs
Bulldin8 and infrastructure
Office expenses
Depreciation
156,010
12,464
11.173
10.803
156,010
12,464
11.173
10.803
149,802
16,682
7.777
8,798
190,450
190.450
183.059
Totsl Advan¢ement of Chrlstlanlty
229.683
19,378
249.061
228,863
Governan¢e ¢0
2025
2024
Professlonal fees
1.657
1,575

ARISE CHURCH LTD
NOTES TO THE FINANCIAL STATEMENTS- contlnued
FOR THE YEAR ENDED 31 MARCH 2025
Staff costs
1025
2024
Wages and salaries
Soclal secuflty casts
Pension costs
127,589
7,793
3,041
132,515
12,198
5,088
138.423
149,802
The avera8e full time equlvalent number of employees was as follows:
2025
2024
Mana8ernent
Administration and support
frans•rtlons wlth related partl•J
Remuneratlon and beneffts
Trustees
A Aston
1025
2024
43,001
42,730
43,001
42,730
Connecled persons
R A Baker
JDMee
S E Aston
12,655
15,206
16,385
12,341
14,301
9,330
44,246
35,972
Trustees and connected persons were reimbursed motor, travellin8 and other expenses totaling £nil12024 £nill.
The Memorandum of Association allows for the payment of remuneratlon to trustees as lon8 as the number recelvlng
remuneratlon is not the majority.
N•t lexpendhuie)/ln¢om•
20Z5'
2024
The net Income Is stated after charBln8:
Independent Examiners remuneration:
Depreciation
1,634
7.738
1.575
8,798
Tanilble flxed assets
Freehold Land
and bulldln8s
Heatlng
system
Furnlture and
equipment
Computer
equipment
Totsl
Cost
At l Aprll 2024
Additions
At 31 March 2025
233,344
55,107
97,860
30.354
128,214
17,549
403.860
30,354
434,Z14
233,344
55.107
17,549
Depreclatlon
At l April 2024
Charge for year
At 31 March 2025
33,559
1.595
35,154
35,893
1,921
37.814
71,838
5,667
77,505
11,070
1.620
12,690
152,360
ioAoJ
163.163
Net book value
At 31 March 2025
198,190
199,785
17,293
19,214
SO,709
4￿59
271,051
251,500
At 31 March 2024
26,022
6.479
io

ARISE CHURCH LTD
NOTES TO THE FINANCIAL STATEMENTS- contlnued
FOR THE YEAR ENDED 31 MARCH 2025
10. Debtors
2025
2024
Debtors
Prepayments
14,406
17,586
14.406
17.586
11. Credltors: amounts fallln8 due wlthln one year
2025
2024
Trade and other credltors
Social securlty and other tax
Accrued expenses
1,624
1.403
2,416
1,144
1.428
2,163
5,443
4,735
l Aprll
2024
In¢omln8
Resources
Outqoln8
Resour￿5
31 M•r¢h
2025
12. Funds
Transfe
a) Unrestrlcted
Fixed assets
General
251,500
119,024
110,8031
{220,5371
30,354
130,354}
271,051
115,809
247,676
Total unrestrlrted funds
370,524
247,676
231,3401
386,860
b) Restrlct•d
UK Ministries
Oversea5 Mlnlstrles
Church planting
Youth
Dudley M8C- Preschool
Grants
5,405
119,396}
268,892
{1,015)
(36,722)
4,119
7,122
1,594
1,441
2,308
(3,3271
12,1581
9,200
119,960)
270.333
112.599)
136,722)
4,119
113,8921
Total restrlrted funds
221,283
12,465
119,3771
214,371
Unrestrlrted
Flxed Assets
Fund
Unrestrlrted
General
Fund5
13. Analysls of net assets across funds
Restrlrted
Fund5
Total
Funds
Fixed assets
Cash at bank
other current assets
Current liabilltles
271,051
271,OSI
321,217
14,406
15.443)
106,890
14.362
{5,443)
214.327
Total Funds at 31 March 2025
271.051
115,809
Z14.371
601.231
li