## **GATEWAY CHURCH MERSEYSIDE SIGNIFICANT INFORMATION** 

|Registered Company Number|5916906|
|---|---|
|Registered Charity Number|1119581|
|Trustees|Russell Kain (Chairman)|
||Anthony Canning (resigned 09 02 25)|
||Kenneth Clark|
||Dr Michael Nkansah (appointed 12 02 25)|
|Secretary|Anthony Canning (resigned 09 02 25)|
||Dr Michael Nkansah (appointed 12 02 25)|
|Registered Ofce|Goodlass House|
||Goodlass Road|
||Hunts Cross|
||LIVERPOOL L24 9HJ|
|Solicitors|Fiona Bruce & Co|
||Justce House|
||3, Grappenhall Road|
||Stockton Heath|
||WARRINGTON|
||Cheshire|
||WA4 2AH|
|Independent Examiner|Ian Afick|
||61 Bridge Street|
||Kington|
||Herefordshire|
||HR5 3DJ|
|Bankers|HSBC Bank 23 Allerton Road|
||Mossley Hill|
||LIVERPOOL|
||L18 2DA|





## **GATEWAY CHURCH MERSEYSIDE YEAR ENDED 31ST DECEMBER 2025 DIRECTORS REPORT** 

The Company is limited by Guarantee, being incorporated on 25th August 2006, and with Charity Commission on 11th June 2007. Its name was changed on 21 12 2011. 

The Trustees throughout the Year and to the date of this report and the advisors are set out on the accompanying Information Page. 

## **Appointment of Trustees.** 

Trustees are elders, or church members with eldership experience in the church and are selected from among the members who have shown themselves to be faithful, full of integrity, and who agree wholly with our statement  of beliefs and our vision and values. 

## **Aims and Organisation** 

To advance the Christian faith in accordance with our statement of beliefs. The advancement of education and the relief of hardship and distress. The geographical scope being the Merseyside, UK and the World. 

The church (charity) provides a place of worship, teaching, pastoral care and fellowship for people within the Merseyside region. 

## **Vision Statement** 

To be a Church in Liverpool that would truly love God and would passionately fulfil the Great Commission. 

## **Public Benefit** 

The trustees are committed to enabling anyone from the community to worship at the church and become part of the church family. We regularly have people from the community visit the Sunday service as well as many of the weekly groups. It is intended that as many people as possible have their lives impacted by the gospel of Jesus Christ and we are always seeking ways to bring this message to the wider community in the form of both relief and teaching. The biblical teaching provides people with relational/interpersonal skills and equips them to face the challenges of life. We have done this in 2025 through numerous outreaches, training events, study groups and numerous social and specific interest groups. We have also given financial help to people in need locally, nationally and internationally. 

## **Review of Activities & Achievements** 

The core of the church work includes: 

- 1) Sunday services & occasional midweek services. 

- 2) Various group activities/meetings/courses (Childrens groups, Young Adults group, Mens group, Ladies groups, Home based groups, training courses, prayer initiatives, social activities...) 

- 3) Pastoral care of church and community members. 

- 4) Training of leaders. Leadership training has been provided for local church members and other local & national churches, in the form of National Leadership Training events and visiting speakers. 

5) Hardship relief in the form of donations/service to numerous individuals and national/international charities The church (charity) provides a place of worship, teaching, pastoral support and fellowship for people within the Merseyside region. The prime purpose being that each person would be given the opportunity to know the God of the Bible and an opportunity to express their faith in real and practical ways amongst the people of Merseyside, the UK and the world. 

During 2025 the church (charity) was led and managed by three trustees. One elder (trustee) was employed full time by the church and the other two trustees worked on a voluntary basis, together with a team of leaders. 

The core of the church (charity) work continues to be a Sunday morning and a Tuesday evening prayer service, and various other groups that meet in the year. These groups include Bible Study groups, Youth groups, Pensioners groups, Ladies & Mens groups and open social events. All groups are open to anyone in the wider community. Through these various open groups and by motivating individuals within the church to voluntarily serve the Merseyside community (e.g. serving the elderly/sick delivering medicines and groceries, contacting those who are unwell, isolated, disabled & grieving...), the charity has seen people from the wider community attend the church and benefit from our members community service.  In addition, we run a Child group (ages 4-12) on a Sunday morning. 

**1a** 



## **GATEWAY CHURCH MERSEYSIDE YEAR ENDED 31ST DECEMBER 2025 DIRECTORS REPORT (Continued)** 

We hosted various special events to serve the interests of the community e.g. A Line Dancing evening, Memorial services, a Mothers’ & Fathers’ Day Service, an Easter Service, a Christmas Carol Service, Garston Community Fun Day, Craft mornings, A Pensioners Breakfast, A Quiz evening and various other open social events. 

The church (charity) gave 12.74% of its total income received from members to: 

1) Various sources of need 

- 1)    e.g. 

*CCFON (Christian Concern) – UK. 

*CBR - Abortion awareness projects – UK. 

*Samaritans Purse – A worldwide Childrens Christmas present 

distribution project. 

*Lifegate Church Community Centre – Ministry to the poor - UK 

- *The unemployed, refugees, the elderly, the sick and the hurting in  Liverpool. 

- *To various people within our church community, the wider UK 

church community and international outreach work into Macedonia, 

South Africa, Zimbabwe and France 

2) The training and equipping of leaders through various means e.g. We hosted National and International church leaders who taught at various events. 

Our goal is always to concentrate on the same activities and although we always attempt to increase the scale of them, the area of emphasis may change from year to year, according to the need. 

## **Policies** 

The church (charity) policy, to provide relief of need/hardship, training for leaders, pastoral care of people and to support other church ministries (local & abroad) that do the same, has been reached. 12.74% of the charity' total income was used in this way, both in the UK and abroad. 

The reserves at the beginning of the year were £ 48,000. The church (charity) which receives its funding from its members, did experience a slight decrease in savings. 

The reserve account at the end of 2025 had a balance of £47,000. The purpose of holding reserves is to ensure the work of the organisation can continue to meet its objectives, even in times of financial shortage; or, if needed, to use them for any one-off special expenditure or project. A long term goal is for the church to own a property of its own. 

................................ Dr Michael A Nkansah, Secretary 24 03 2026 

**1b** 



## **GATEWAY CHURCH MERSEYSIDE STATEMENT OF FINANCIAL ACTIVITIES YEAR ENDED 31ST DECEMBER 2025** 

|**Year to 31st December 2025**<br>**INCOME & EXPENDITURE**<br>**Notes**<br>**Unrestricted Restricted**<br>**Total**<br>**INCOMING RESOURCES**<br>**Funds**<br>**Funds**<br>**£                 £                £**<br>Oferings & Donatons Received<br>**1**<br>81,779<br>185<br>81,964<br>Charitable Trading Income<br>Investment Income<br>721<br>721<br>Other Income<br>**TOTAL INCOMING RESOURCES**<br>82,500<br>185<br>82,685<br>**Less: RESOURCES EXPENDED**<br>_Direct Charitable Expenditure_<br>Trading Cost of Sales<br>Promotonal<br>40<br>40<br>Ministry Gifs<br>1,540<br>160<br>1,700<br>Other Ministry Expenses<br>47,271<br>47,271<br>Outreach<br>215<br>215<br>Poor Relief<br>3,438<br>110<br>3,548<br>Property Costs<br>8,945<br>8,945<br>61,449<br>270<br>61,719<br>Support<br>22,914<br>22,914<br>Administraton<br>1,628<br>1,628<br>**TOTAL RESOURCES EXPENDED**<br>85,991<br>270<br>86,261<br>**NET (OUTGOING)/ INCOMING  RESOURCES**<br>**For the Year**<br>-3,491<br>-85<br>-3,576<br>**Prior Year Adjustment**<br>**FUND BALANCES as at 1st January 2025**<br>57,326<br>231<br>57,557<br>**as at 31st December 20**<br>53,835<br>146<br>53,981|**Year to**<br>**31 12 24**<br>**Total**<br>**£**<br>90,409<br>4,587<br>952|
|---|---|
||4,776|
||100,724|
||5,725<br>1,797<br>47,021<br>388<br>2,061<br>10,605|
||67,597<br>27,798<br>1,581|
||96,976|
||3,748<br>63<br>53,746|
||57,557|



**2** 



## **GATEWAY CHURCH MERSEYSIDE BALANCE SHEET AS AT 31ST DECEMBER 2025** 

|**Notes**<br>**FIXED ASSETS**<br>**3**<br>**Current Assets**<br>Debtors & Prepayments<br>Cash at Bank<br>**Less: Current Liabilites payable within one year**<br>Creditors & Accruals<br>**NET CURRENT ASSETS**<br>Represented By:<br>**FUNDS (Per Income & Expenditure Account)**<br>Unrestricted<br>General Fund<br>Restricted<br>**5**<br>People Needs<br>Other|**31 12 25**<br>**31 12 24**<br>**£                £                £                £**<br>4,437<br>5,473<br>1,101<br>2,687<br>49,067<br>50,041<br>50,168<br>52,728<br>624<br>644<br>49,544<br>52,084<br>**£**<br>53,981<br>**£**<br>57,557<br>53,835<br>57,326<br>123<br>208<br>23<br>23<br>146<br>231<br>**£**<br>53,981<br>**£**<br>57,557|
|---|---|



**3** 



## **GATEWAY CHURCH MERSEYSIDE BALANCE SHEET (continued)** 

## **DIRECTORS STATEMENTS REQUIRED BY S 249B(4) FOR THE YEAR ENDED 31ST DECEMBER 2025** 

In approving these as of the company we hereby confirm: 

(a) that for the stated above the company was entitled to the exemption from audit under section 477 of the Companies Act 2006 ; 

(b) that the members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006; 

(c) that the directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and for the preparation of accounts. 

The Financial statements were approved by the Board on 6th May 2026 and signed on its behalf by 

...................................... 

R Kain 

4 



## **GATEWAY CHURCH MERSEYSIDE INDEPENDENT EXAMINER'S REPORT** 

## **TO THE TRUSTEES OF GATEWAY CHURCH MERSEYSIDE** 

## **YEAR ENDED 31ST DECEMBER 2025** 

I report on the accounts of the Company for the Year ended 31st December 2025, which are set out on pages 1 to 8. 

## **Respective responsibilities of Trustees and Examiner** 

As Trustees of the Charity, you are responsible for the preparation of the Accounts; you consider that the Audit requirement of Section 144(2) of the Charities Act 2011 (the Act) does not apply. It is my responsibility to state, on the basis of procedures specified in the General Directions given by the Charity  Commissioners under Section 145 (5)(b) of the Act, whether particular matters have come to my attention. 

## **Basis of Independent Examiner's Report** 

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records presented with those records. It also includes consideration  of any unusual items or disclosures in the accounts, and seeking explanations from you as  Trustees concerning such  matters. 

The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts. 

## **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 

* to keep accounting records in accordance with section 130 of the Act: and 

- to prepare accounts which accord with the accounting records and to comply with the accounting requirements of the Act have not been met: or 

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

…........................... 

Ian Afflick Accountant 61 Bridge Street Kington Herefordshire HR5 3DH 22nd May 2026 

**5** 



## **GATEWAY CHURCH MERSEYSIDE NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 31ST DECEMBER 2025** 

## **1. ACCOUNTING POLICIES** 

The Financial Statements are prepared on a historical accounts basis, taking into account accruals and  depreciation where relevant, in order to ensure consistency. 

Gifts to Restricted Funds are accounted for upon receipt, though Restricted Tax Refunds are included when the net donation is received. 

All Restricted gifts are separately recorded when received, though expenditure is not separately analysed when made, outstanding amounts being noted at the year end. 

Gifts in kind are only recorded and included if material as income in the year given. Only reimbursements of expenditure are netted off against such and not counted as income. Unpaid voluntary services, though not measured in monetary terms, are invaluable. 

Unrestricted Funds are incoming resources, which can be used in accordance with the charitable objects at the discretion of the trustees. 

Designated Funds are unrestricted funds set aside by the trustees for particular purposes. Restricted Funds are to be used for specific purposes. Restrictions arise when specified by the donor, or when funds are raised for particular restricted purposes. 

Assets are Capitalised, irrespective of finance sources and methods, provided such are permanently intended to be used by the Trust. Only items costing more than £150 will be capitalised and then only if they have a resale value of more than £50. Current Assets are shown at the lower of cost and net realisable value. Current Liabilities are shown at settlement value. 

## **2. FUNDS & FUND TRANSFERS** 

Small amounts are given from time to time and Restricted Funds kept for such, though none are of any material amount or held for any great length of time. 

|**3. TRUSTEE'S EMOLUMENTS**<br>Remuneraton and other emoluments|**2025**<br>**£**<br>37,200|**2024**<br>**£**<br>37,200|
|---|---|---|



**6** 



## **GATEWAY CHURCH MERSEYSIDE NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) YEAR ENDED 31ST DECEMBER 2025** 

## **4. FIXED ASSETS** 

|**COST**<br>**& As At 01 01 25 & 31 12 25**<br>**DEPRECIATION**<br>As at 01 01 25<br>Charge for Year<br>**As At 31 12 25**<br>**NET BOOK VALUE**<br>**31 12 25**<br>**31 12 24**<br>Normal Depreciaton Rates<br>(Reducing Balance)<br>**5. ANALYSIS OF NET ASSETS BY FUND**<br>Fixed Assets<br>Current Assets<br>Current Liabilites<br>**Fund Balance at 31st December 2025**|**Leasehold Musical & PA Fixtures**<br>**Computer**<br>**Total**<br>**Property**<br>**Equipment & Fitngs Equipment**<br>**£                       £                £                    £                £**<br>2,030<br>16,119<br>17,964<br>7,009<br>43,122|**Leasehold Musical & PA Fixtures**<br>**Computer**<br>**Total**<br>**Property**<br>**Equipment & Fitngs Equipment**<br>**£                       £                £                    £                £**<br>2,030<br>16,119<br>17,964<br>7,009<br>43,122|**Leasehold Musical & PA Fixtures**<br>**Computer**<br>**Total**<br>**Property**<br>**Equipment & Fitngs Equipment**<br>**£                       £                £                    £                £**<br>2,030<br>16,119<br>17,964<br>7,009<br>43,122|
|---|---|---|---|
||2,030<br>15,270<br>15,142<br>5,207<br>37,649<br>170<br>564<br>302<br>1,036|||
||2,030<br>15,440<br>15,706<br>5,509<br>38,685|||
|||679<br>2,258<br>1,500<br>4,437||
|||849<br>2,822<br>1,802<br>5,473||
||100%|20%<br>20%<br>33.33%<br>**Unrestricted Restricted**<br>**£                £**<br>4,437<br>50,022<br>146<br>-624<br>53,835<br>146|**Total**<br>**£**<br>4,437<br>50,168<br>-624|
||||53,981|



## **6. TRUSTEES & CONNECTED PERSONS CONTRACTS** 

One Trustee was employed by the Charity for ministerial services. One (year to 31 12 24 - one) Truste spouse was employed by the Company for services rendered and paid £ 15,600 (Year to 31 12 24 - £1 In addition, one (year to 31 12 24 - one) Trustee was gifted £100  (year to 31 12 24 -£100) in recogniti past ministerial services. A company in which one Trustee provided bookkeeping services received £ 9 (Year to 31 12 24- £600). Otherwise, expenses incurred in non-trustee capacities have also been claim by Trustees and their spouses. 

## **7. INDEPENDENT EXAMINER'S FEE** 

The Independent Examiner received £ 200 (Year to 31 12 24 - £200) for the independent examination of the accounts. He also received £300 (Year to 31 12 24 - £300) for the preparation of Accounts and other advice. 

**7** 



5,6001.
onof
420
ied

## **GATEWAY CHURCH MERSEYSIDE YEAR ENDED 31ST DECEMBER 2025 UNRESTRICTED MINISTRY EXPENSES** 

|**31 12 25**<br>**£**<br>Ministry Resources<br>28<br>Worship Materials<br>Musical Equipment Sundries<br>Refreshments & Misc Meetng costs<br>1,494<br>Subscriptons & Licences<br>370<br>Pastoral Expenses<br>848<br>Elders' Mileage<br>Online Meetng Costs<br>20<br>Childrens Church costs<br>485<br>Youth Ministry costs<br>143<br>Other Actvites<br>1,428<br>NCMI Gif<br>27<br>Other UK Gifs<br>1,540<br>Internatonal gifs<br>4,294<br>Leaders Hospitality<br>379<br>UK NCMI Ministry costs<br>1,657<br>Internatonal NCMI Ministry costs<br>129<br>Natonal Training<br>Internatonal Training<br>Other UK Ministry Costs<br>25<br>Elders Salaries<br>37,200<br>Musical & PA Equipment Depreciaton<br>170<br>50,237<br>**UNRESTRICTED SUPPORT**<br>Computer Sofware & Consumables<br>464<br>Postage, Printng & Statonery<br>197<br>Staf Salaries<br>15,600<br>Employer's NI & Pension<br>4,224<br>Telephones<br>1,045<br>Mileage & Other Travel<br>Insurance<br>518<br>Ofce Sundries<br>Fixtures & Fitngs Depreciaton<br>564<br>Ofce Equipment Depreciaton<br>302<br>22,914<br>**UNRESTRICTED ADMINISTRATION**<br>Bookkeeping & Independent Examinaton<br>1,485<br>Bank Charges<br>143<br>1,628|**31 12 24**<br>**£**<br>162|
|---|---|
||65<br>29<br>1,658<br>395<br>806<br>15<br>47<br>204<br>169<br>1,122|
||1,636|
||3,600<br>706<br>416<br>641<br>26<br>998<br>330<br>37,200<br>155|
||50,380|
|||
||539|
||433<br>15,600|
||4,206|
||871<br>9<br>463<br>97|
||292<br>592|
||23,102|
||1,650<br>184|
||1,834|



**8** 

