OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2024-03-31-accounts

INTERNATIONAL GOSPEL CHURCH


REPORT & ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2024


INTERNATIONAL GOSPEL CHURCH

FOR THE YEAR ENDED 31 MARCH 2024

LEGAL & ADMINISTRATIVE DETAILS

ADDRESS FOR CORRESPONDENCE 102A Watling Avenue Edgware HA8 0LN GOVERNING DOCUMENT Declaration of Trust dated 19 April 2007 TRUSTEES G Mercer R Francis P Onifade C Smith REGISTERED CHARITY 1120897 BANKERS NatWest Bank Plc INDEPENDENT EXAMINER Jaimée Young Stewardship 1 Lamb's Passage LONDON EC1Y 8AB INDEX Page 1 Legal & Administrative Details Page 2-4 Trustees' Report Page 5 Independent Examiner's Report Page 6 Receipts and Payments Account Page 7 Statement of Assets & Liabilities Pages 8-9 Notes to the Accounts

Page 1

INTERNATIONAL GOSPEL CHURCH

REPORT OF THE TRUSTEES

FOR THE YEAR ENDED 31 MARCH 2024

The Trustees have pleasure in submitting the Report and Accounts for the year ended 31 March 2024.

Objects of the charity

The Charity seeks to improve the spiritual well-being of the members of the church through Christian education and pastoral care and aims to improve the life chances of those who live in the community, whether church attendees or not, by improving their life chances through social justice programmes.

Government

The policy and operating decisions of the charity rest with the Trustees who meet regularly to monitor the activities of the Trust.

The minimum number of trustees is three individuals with no maximum. All trustees must maintain a belief and lifestyle consistent with the Christian faith. Trustees must be appointed by a resolution passed by a simple majority at a meeting of the trustees. Every future trustee must sign a declaration of willingness to act as a trustee of the church before he or she is eligible to vote at any meeting of the trustees.

Rian and Anne-Marie Francis have continued in their overall leadership role. The trustees and elders are supported by a wider leadership team which meets on a regular basis and which provides vital back up and plays an active part in the running of the fellowship.

Review of Activities

The charity is responsible for the running of International Gospel Church. Many activities are run by the Church including:

We continue to operate a hybrid model for our church services with members of the fellowship and visitors being able to join us either in person or online. We also offer a number of opportunities for prayer, whether in person, online or by means of our telephone prayer line.

We continue to provide pastoral care to our fellowship as well as others in the community.

Page 2

We have employed five people during the year and we thank them all for their hard work in the year.

We continue to support the work among children and young people in the year led by our youth worker and volunteers in the year. This included activities and teaching and also working with other local churches. It has been a great encouragement to see our young people getting increasingly involved in the church services.

We have continued to open up our premises to a variety of hirers. These included London's Community Kitchen who aim to provide food assistance and cooking skills to members in the local community and RCCT (Romanian Culture and Charity Together) who provide food assistance and other services to the local community.

The Church provides a "Love in Action" table which is stocked with food, toiletries, etc. Donations are received from fellowship members and are open for anyone in need to take, both those within the fellowship and those from outside.

The church supports those in need within the fellowship and the wider community, both in food and other provisions and in financial gifts.

The trustees will consider supporting other causes both overseas and in the UK, with all decisions being made by the trustees.

The trustees wish to place on record the contribution made to the work of the church by its many volunteers. Many give of their time freely and this is much appreciated.

Financial Review & Reserves Policy

In planning the activities of the charity the Trustees have applied the guidance on public benefit issued by the Charity Commission.

Our main sources of income were donations from Church members and rental income from the buildings. We also received a number of gifts and other income towards specific activities and causes. Total general income for the year was £118,143 (2022/23: £112,580). Total receipts were £119,728 (2022/23: £118,598).

Total general expenditure for the year was £118,179 (2022/23: £86,338), all in support of furthering the church's activities. Total payments were £120,934 (2022/23: £91,451).

Funds totalling £1,970 (net) were transferred from designated funds to the general fund. There was a net surplus for the year of £1,933 (2022/23: £26,827) in general funds.

Page 3

General reserves at 31 March 2024 are in surplus at £37,580 (2023: surplus £35,647). There were also £8,478 general fund gift aid tax recoveries due to the charity at 31 March 2024.

There have been no movements in the Capital Projects fund balance in the year. The fund balance is £35,643 at 31 March 2024 (31/3/23: £35,643). This fund has been set aside to meet the costs of installing disabled access and other major building works. At 31 March 2024, there is also balance of £2,166 in designated funds being the total of hirer deposits held by the church at that date (31/3/23: £3,796).

Restricted funds at 31 March 2024 total £14,300 (31/3/23: £15,810).

The trustees are mindful of the need to retain sufficient reserves to cover future expenditure and to allow for unexpected falls in income or unforeseen expenditure. Following the sale of the property in 2015/16, the trustees transferred funds to a long term capital projects fund to cover the cost of a number of major projects to upgrade the buildings and equipment. The trustees’ policy is to build up the general fund reserves to a level which would cover about three months operating costs.

The trustees have determined that the charity should aim to hold unrestricted cash of no less than £28,750 (which equates to about approximately 3 months' of unrestricted expenditure) so that the charity could continue to operate should income and / or expenditure vary adversely. At the year end, the charity held unrestricted cash of £75,389 and the charity is complying with its reserves policy. The trustees are of the opinion that we will need to retain a larger level of reserves as we look to recruit further staff and also as we continue to research disabled access provision for the main church building.

It has been good to see church members respond financially in giving online and in person. Trustees have received regular financial updates to enable them to make decisions throughout the period. We have been able to cut costs where possible and this, together with the online giving and additional lettings income, has meant we could end the year with the general fund in surplus.

Trustees' Responsibilities

Charity law requires us as Trustees to prepare financial statements for each accounting year which record the receipts and payments of the charity for the year.

We are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and enable us to ensure that the financial statements comply with the Charities Act 2011.

We also have a responsibility to safeguard the assets of the charity and to take reasonable steps to prevent fraud or any other irregularities.

Approval

This report was approved by the trustees and signed on their behalf on by:

G. F . Mercer Graham Mercer G. F . Mercer (Dec 19, 2024 17:36 GMT) Date: Dec 19, 2024 Page 4

INDEPENDENT EXAMINER'S REPORT

TO THE TRUSTEES OF

INTERNATIONAL GOSPEL CHURCH

I report to the trustees on my examination of the accounts of International Gospel Church ('the charity') for the year ended 31 March 2024 on pages 6 to 9 following.

Responsibilities and basis of report

As the trustees of the charity you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the 2011 Act’).

I report in respect of my examination of the charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act.

Independent examiner’s statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

  1. accounting records were not kept in accordance with section 130 of the 2011 Act; or

  2. the accounts do not accord with the accounting records.

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached.

J Young J Young (Jan 2, 2025 09:06 GMT)

Jaimée Young Stewardship 1 Lamb's Passage LONDON EC1Y 8AB

Date: Jan 2, 2025

Page 5

INTERNATIONAL GOSPEL CHURCH

RECEIPTS AND PAYMENTS ACCOUNT

FOR THE YEAR ENDED 31 MARCH 2024

Notes Unrestricted funds Unrestricted funds Restricted 2024 2023
Receipts General Designated Funds £ £
Voluntary receipts
Donations 44,065 0 240 44,305 48,235
Gift aid receipts 9,090 0 560 9,650 7,614
53,155 0 800 53,955 55,850
Other receipts
Interest received 823 0 0 823 219
Lettings 62,964 0 0 62,964 61,586
Loan repayments 1,200 0 0 1,200 0
Other 0 770 15 785 943
Total Receipts 118,143 770 815 119,728 118,598
Payments
Payments in furtherance of the church's objectives
Direct costs 2 115,104 430 2,254 117,789 91,451
Grants paid 3 775 0 70 845 0
Loans made 2,300 0 0 2,300 0
Total Payments 118,179 430 2,324 120,934 91,451
Net Receipts/(Payments) -37 340 -1,509 -1,206 27,147
before transfers
Transfers between funds 7 1,970 -1,970 0 0 0
Net Movement in Funds 1,933 -1,630 -1,509 -1,206 27,147
Balances at 31 March 2023 35,647 39,439 15,810 90,896 63,749
Balances at 31 March 2024 37,580 37,809 14,300 89,690 90,896

The notes on pages 8 and 9 form part of these accounts.

Page 6

INTERNATIONAL GOSPEL CHURCH

STATEMENT OF ASSETS & LIABILITIES

FOR THE YEAR ENDED 31 MARCH 2024

1. Fixed Assets
The value of the assets owned are:
Freehold Church Building (102a Watling Avenue)
Equipment
Estimated
Market
Value
Insurance Value
£
£
-
3,699,524
40,000
108,998
40,000
3,808,522

The church property at 102a Watling Avenue was previously owned by the Stewards Company and the church were tenants in perpetuity at a peppercorn rent of £1 per year. The Stewards Company transferred their trusteeship to Church Growth Trust on 9 December 2022 with a Memorandum of Understanding signed in January 2023. From that date, Church Growth Trust took over the property insurance, with the church continuing with the other items covered.

2. Bank & Cash Balances
Current account
Business reserve
Cash floats
3. Other Assets & Liabilities
Assets
Gift aid tax recoveries not yet received
Lettings invoiced but not yet received
Loan balance
Liabilities
Independent Examination
Promised missionary gift support
Lettings received in advance
Accrued costs
General
Designated
Restricted
2024
2023
£
£
2,148
2,166
14,300
18,614
30,594
35,401
35,643
0
71,044
60,221
31
0
0
31
80
37,580
37,809
14,300
89,690
90,896
General
Designated
Restricted
2024
2023
8,478
0
60
8,538
9,332
5,466
0
0
5,466
190
1,100
0
0
1,100
0
15,045
0
60
15,105
9,522
1,200
0
0
1,200
1,200
0
0
0
0
375
2,270
0
0
2,270
7,428
1,810
0
0
1,810
2,445
5,280
0
0
5,280
11,449

The accounts were approved by the trustees and signed on their behalf on by:

G. F . Mercer

Graham Mercer G. F . Mercer (Dec 19, 2024 17:36 GMT)

Date:

Dec 19, 2024

The notes on pages 8 and 9 form part of these accounts.

Page 7

INTERNATIONAL GOSPEL CHURCH

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2024

1. Accounting Policies

The accounts have been prepared on a receipts and payments basis with a statement of assets and liabilities.

2. Direct costs
Note
Employment costs
4
Property costs
5
Expenses
Support services
6
Training
Events and publicity
Worship and teaching
Governance
Work among the young
Fellowship
3. Grants Paid
Individuals
Institutions
Unrestricted
Designated
Restricted
Total
Total
Funds
Funds
Funds
2024
2023
£
£
£
£
£
50,810
0
0
50,810
29,875
31,992
430
0
32,422
34,645
30
0
0
30
0
28,175
0
15
28,190
22,238
18
0
0
18
0
1,025
0
0
1,025
403
1,073
0
0
1,073
1,081
1,032
0
0
1,032
936
354
0
39
393
240
594
0
2,200
2,794
2,034
115,104
430
2,254
117,789
91,451
775
0
70
845
0
0
0
0
0
0
775
0
70
845
0

No grants were made to individuals or institutions in the year (2022/23: £Nil to either)

Acting as agent

During 2022-23, the charity received money relating to a hardship need which was solely supported by church members. This income was received as agent; the receipts totalling £1,150, and the subsequent payments, were excluded from the Receipts and Payments account. There were no such payments in 2023-24.

4. Employees

At the end of the year, the charity had four paid employees (2023: two).

The son of trustee R Francis served as office manager and was paid £19,436; these payments are permitted by the charity's governing document and include employer pension contributions.

The employment costs do not relate to payments to trustees. Please refer to note 6 for related party transactions

5. Property costs
Church building running costs
Major refurbishment to church building
Unrestricted
Designated
Restricted
Total
Funds
Funds
Funds
2024
2023
£
£
£
£
£
29,590
430
0
30,020
30,713
2,402
0
0
2,402
3,932
31,992
430
0
32,422
34,645

Page 8

INTERNATIONAL GOSPEL CHURCH

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2024

6. Support services

Support services includes £16,065 (2022/23: £16,065) paid to Francis Francis Solutions (FFS) under an "arms length" service delivery agreement whereby Anne-Marie Francis, spouse of trustee Rian Francis, provides leadership and other services. FFS is a consultancy managed by Rian and Anne-Marie Francis. These payments are authorised by the governing document.

7. Movement of Special Funds
Restricted
Building fund
Mission funds
Youth funds
Fellowship funds
Other funds
Balance at
Balance at
1/4/23
Receipts
Payments
Transfers
31/3/24
£
£
£
£
£
10,346
0
0
0
10,346
70
0
-70
0
0
2,052
0
-39
0
2,012
3,342
800
-2,200
0
1,942
0
15
-15
0
0
15,810
815
-2,324
0
14,300

Building fund - this fund comprises £7,773 from Stewards Company, the previous owners of the building, a separate £1,000 gift towards disabled access and other required building work and two amounts transferred from "other funds" being £1,081 90th anniversary gift and £492 other gifts towards building work.

Mission funds - donations received for mission activities, both in the UK and overseas. These were paid out in 2023-24.

Youth funds - donations and other funds raised towards children's and youth work. These have all been paid out in 2024-25.

Fellowship funds - donations and other gifts received which are then distributed to members of the congregation, their families and people in the local community who have need of financial assistance.

Designated
Capital projects fund
Hirer deposits
Balance at
Balance at
1/4/23
Receipts
Payments
Transfers
31/3/24
35,643
0
0
0
35,643
3,796
770
-430
-1,970
2,166
39,439
770
-430
-1,970
37,809

The Capital Projects fund was set up using (a) funds received in 2014 from an insurance claim in respect of one of the church buildings called "The Pitstop" which had been burnt down, (b) funds from the sale of a property in 2015/16 and (c) other insurance claims and legacies. The funds are being used for the considerable capital costs which have been required over the last few years, and will be used going forward as we install disabled access and other infrastructure as required. We still need to raise further funds and to obtain the required planning permission so this is very much a long term project.

Hirer deposits comprise amounts billed to new hirers and retained, either to be refunded at the end of the hire or to be forfeited for whatever reason.

Page 9