Be55a(arr Evangeli(al Churth Company Llmited byGuarantee. Company Nurnber6421374 Charity Rffj"sir•tlon Number 1122138 UMudited Fifinci•l Ststements- Yearto 31 March 2022 A8GIUJC9• 0411112022 COMPANIES HOUSE A14
Bèssacarr E¥anseli¢al Churth Company Limited By Guarantee- Cornplny Number 6421374 Charity Rtystration Number 1122138 Unaudited Financial Slatefflents- Year to 31 March 2022 Page Report of the 8oard 14 Independent Examiner5 Report Statement of Financial Artivities Balance Sheet Notes to ihe Accounts 8-11
8ewcarr Evanzeliul Churth- Company 14umber 6421374 ort of the 8oard for the eriod ended 315t Marth 2022 The Trustees have pleasure in submitting thetr report and the financial Statements for the Church for the period ended 31st March 2022. Constitution Bessacarr Evangelical Church was incorporated as a Limited Company on 8th November 2007 Icompany No'.- 64213741 and registered as a Charity on 3tst Oecernber 2007 INo:11221381. ReglstÈrèd Office The register office ol Bessacarr Evangelical Church is 8essacarr Lane. Bessacarr, Donco5ter DN4 7PT. Advisors The prin¢ipal profession313dvisors to the Church are= Solicitors-. Anthony Collins Solicitors, 8irmin8ham. Independent Examiners.. Smith Craven, Ooncaster. Bankers.. National Wesiminsier. 23-2S Market Place. 8awtry. Doncaster. Objects The Companrfs Object is the advancement anywhere in the world of the Christian faith in accordance with the Statement of Faith. Governance The Church's governing documents are its statement of Faith and the Memorandum and ArtÉ¢les of Association of Bessacarr Evangelical Church. Under charity law. the Elders and Ministers of the church are Trustees and are elected by the ¢hurch membership. The elder5 continue to serve in thi5 capacity until they rèsign by virtue of age or illness. The Company members are the Trustees. the elected deacons ol the church and one co-optetl church member. Deacons serve for three years and are then eli8ible for re-elertion. The 8oard meets rnonthly Chaired by ihe Senior Pastor and the company members meet annually and this meeting is chaired by the Church Secretary. Staff and volunteers The Company employs ftve staff and the Trustees make gifts available to indr4Tiduals engaged in work in the UK and abroad who are involved in advancing the Christian Faith. Reserves Pollvi It is the Trustees. policy to maintain a general fund equNalent to at least 6 months of anticipated general expenditure. At 31st March 2022. the general fund5 Stood at £243.086 lexcluding fixed assets). This represents apprtsximatety 12 monihs of antitipated ge{al expenditure. Rlsk Mana8emenl The Trustees examine the major risks facing the charity on a regular basis. Public 8enefft The trustees confirm that they have complied with the duty in the section 4 of the Charitie5 Act 26 to have due regard to the Charity Commission'5 general guidance on public benefit. Thè purposè of the Charity is enshrined in its objects as outlined above The trustees ensure that this is carried out for ihe public benefit. As Trustees of Bessacarr Evangelical Chur¢h and Grace Church in Doncaster we give thanks to God for another blessed year. Please find below the report5 from Pastor Mark Harewood IBECI and Pastor Alastair Goo¢Jerham (Grace Church). Continued
Besrr Evangelical Churth- Company Number 6421374 Re rt ofthe Board for th nded 31 M We continue to praise God for his goodness. faithfulness and blessing over this last year- a year that has seen church life and ministry return to a more normal structure and feel followsng on from all the challenges and disnjption caused by the tovid.19 pandemic. Sunday morning services are now running 35 normal at Hall Cross: we've been able to reintroduce music and singin& all the Sunday school groups (Crèche. Searchers. Adventurer5 and Axis) are now operating and we've resiarted serving refreshments after the service. The Bible teaching has included series in Colossians. Psalms and Jame5. The Sunday evening seryice ha5 now restarted. We have taken the opportunity to revise the format.. each week there is a ministry update slot where we hear from a rni5sion partner or someone in the thurch family who is involved in a specific church rninistry. We a150 set aside 5erwce5 frorn time to time to look at a'Big Issue. and see how the Bible speaks into it.. tOPiC5 include the Environment and the Beginnin8 and End of Life. Prayer meetings continue to run gn a Wednesday lunchtirne. Friday morning via zotsm and a new monthly meetin8 Altogether Prayer ha5 Started. 8EC continues to 5UPPOrt a variety of miss¢on work both at home and abroad- both prayerfully and financially. Small 8roups continue to meet in a variety of diffent lOtionS throughout the week. Over the past yearwe've Studied together l Thessalonians, Parables from Luke and some trainirkg resources on personal evdngelisrn. The church continues to seek to connect and serve the community. The Open the 8ook tearn ha5 been able to return to delivering assemblies at some local primary schoo15. Xcite and Ignite. our children'5 and youth club restarted in November 2021. a good number of young people Cofne from rhe community and church family. Wednesday Fellowship continues to support seniors within the church family and community. The staff. Elder5 and Deacons remain unthanged from the pViouS year. The church continues to take its safeguarding responsibilities very seriously_ Over the past year the safeguardin8 ieam has expanded to include two depuries," one for children and another for adults. both working alongside ihe Safeguarding Lead. Two safeguarding training sessions have been run for all those in the churth working with children and vulnerable adults. The chu¥ch's financial posltion continue5 to be healthy due to the genei05ity of the con8¥e8ation with more people now 8ivin8 by regular standing order. In all thing5 we continue to Ik to God forguidance and seek to honour him in all we do. Continued
8essatarr Evangelical Church- Cofflp3ny Number 6421374 ort of the Board for t 22- ntinued ort of tht Board 2022 We continue to rneet in The Zone which is part of Hayfield Lane Primary School both on Sunday and at various times during the week. as well as havin8 rhe use of an office in part of the buildi. On Sunday mornings we have worked through. Deuteronomy 1-11. Matthew 1&21. 1 Timothy ènd Psalm 63- 67. with gospel group following up the Sunday 5ermon5 Wlth Bible study_ Everybody who was with us pre- COVID is now back p05t COVID. though some are a bit more sporadic in their attendance as they catch up with friend5 and family. In ihe Summer we baptised people. Four people have applied for and were welcomed into membership. The biggest change over the lasi year in terms of number5 15 the presence every week of a group of Iranian asylum seekers who are housed at the Ramada Jarvis hotel. We have had lamilies all in tO8ether rarher rhan runn¢ng Sunday School. and th15 may continue for some time with a lack ot Sunday school teachers. Little Fishes (Parent and Toddlers) is thrin6 and we are seeing new mum and toddlers as well a5 the regulars. We are pretty much full a5 regards the space that we have within the Zone. and May need to think about limiting numbers in the near future. though we are reluctantto do ihis. We have run a Parentin£ Course with murns from this group this year and will be doing so again. Coffee time is back running on Friday afternoon from 2.304pm. The biggest change post COVID is that we now rn05tly have young people corning alon& student5 from year5 7. 8, and 11 from The Hayfield School and students who drop in after the Primary School finishes from years 5 and 6. We've adapted to this by having lots of card anil board games available for the various group5 Qf youngsters to play with. We have a smaller 8roup of parents who come along with their children. We meet to pray every week on Zoom on a Tuesday ai 7.15pm. Gospel group is on Thursday evening5 at 7.45pm at Al & Lucrfs house, thefe is a good group of about 12 coming along, with the hope being in the oming month5 we di¥ide into two groups or start a day time group. And once a month the Yorkie men's group rneet together led b¥eX and Tom. The leadership is cuffen1 Al Gooderham as sole elder. and eX Martin as de¥on. We are in desperate need of more leaders to share the trMJrden but as ol yet God 15 teaching us patience znd tnJst in his plans and timing5. Finaneially things have been more drfficult ihis year with some extemal givers stopping giving and others within church hawn8 to make adjustments, ir ha5 left us with a significant deficit each month but which we've been able to cover with our balance, along with BEC'S generous donation to Al's wages. Opportunitses in the sthools have been limited as they have been cautious about reopenin8 to outside speèkers for assemblies. However Al has been able to go in to both yeaf 5 classes twice this year to speak about Easier and what it means and do a Q & A session at the end of their RE topic on Christianity. Our hope 15 that this year will brin8 renewed opportunitie5 in school and in the mMunIty.
Be$sa1r EnIell£ll Church- Company Nufflber 6421374 ort ol the Board lorthe riod ended 3tst March 2022- continued Boèrd Members Board members throughout the period were.. Al35tair Gooderham Mark Harewood Jonathan Edmonds Henry Arnett Christopher Axelby Sirnon Mair Peter Tan Pastor Pastor Pasror Secretary Lee Potts In addition to the above trustees the Company Membe are.. Howard Wickham Timothy Lawrence Charles Mitchell Alex Martin lart Clifford Matthew Fawkes- resi8ned September 2021 David Fawke5 Katherine Wright Raymond Leggett Treasurer Trustee responsibility Trustees are aware of their re5POn5ibilitie5 and are up dated on changes in charity law through relevant publicaiiorts by The Fellowship ol Independenr Evangelical Churches of which the Company is a member. Thi5 report was approved by the Trustees on 25 Ottober 2022. and has been signed on their behalf bv.. pAE4gY vlktr flp-fvl &TI
8e$5aorr Evangelical Churth. C¢>mpany Plumber 6421374 INDEPENDENT EXAMINEVS REPORT ON THE ACCOUNTS Report to the trustee5 of Bessacarr Evangelical Church on the accounts for the year ended 31 March 20Z2 Set out gn pages 6 to 11. Respectlve responsibilities of trustees and examiner The trustees Iwho are also directors of the company for the purposes ol company lawl are responsible for the preparation of the account5. The charity's trustees consider that an audit is not required for this period lunder Part 16 of the Compnaies Act 2CAJ61 and that an independeni examination Is needed. It is my responsibililv to- examine the accounts under settion 145 of the Charit5 Act 2011 (the Act).. to follow the procedures laid down in the General Direction5 given by the Charity Commission under section 1451Sllbl of the 2011 Act- and ro state whether particular matters have come to my attenti¢)n. Basls of Independent emaminer's statement My examinab.on was carried oui tn accordance with General Directions given by the Chartry Commission. An examination includes a rewew ol the accounting records kept by the charitable company and a comparison of the accounts presenietl with those records. It also includes consideration of any unusual itern5 or disclosures in the accounts. and seekin8 01 explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required irt an audit. and consequently. no opinion is given a5 to whether thè accounts present a 'true and fair Vie and the report is limited to those rnatters set in the statement below. Independent examinw'$ 5tsternent In the course of my examination. no matter ha5 come to my attention.. I whith gives me reasonable cause to believe that, in any material respect. the Tru5tee5 have noi met the iequiiements to ensure that". proper accounting records have been kept in accwdanee with settton 386 of the Companies Act 2Q)6., and accounts are prepared which accord with the accounting records and tomply with the accounting requirements ol section 396 of the Companie5 Art 2C¥J6 and with the methods and principles of the Statement of Recommended Prartice.. Aceountln8 and Reporting by Charities.. or 2 ro which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached. Andrew Cribb, FCA Smith Craven Sidings House Sidings Court Lakeside Doncaster DN4 5NU Date.. I 2022
Bessaurr Ev•tIl¢¥I Churth- Company Number 6421374 51atement ol Flnandal Acti¥ities- Year to JI March 2022 Unrestricied Llnrestricted General Fund 2022 General Fund 2021 Note INCOMING RESOURCES Gift Aid Offerings General Oflerings Missionary Offerings Income Tax Refunds Interest Received 158.OS9 18.736 18.975 42.710 151.149 28,147 11.139 41,160 38 TOTAL INCOMING RESOURCES 238,489 231.633 RESOURCES EXPENDEO Maintenance of Ministry Mainienance of Property Youth Work and Other Events Donations Admsnistration 145.289 6,555 1,364 39.187 22.451 138.32S 6.276 1.360 41.205 15,462 TOTAL CHARITA8LE UPENDITURE 214,846 202,628 NET INCOMING RESOURCES 23.643 29,005 Other Recognised Gains and Losses NET MOVEMENTOF FUNDS 23.643 29.005 8alance at l April 2021 16 370.195 341.190 Balance at 31 Mafch 2022 393.838 370.19S The charity ha5 no reco8nised gains or losses other than the net tOing resources for the above financial period. All the activities of Ehe charity are classed as continuin8. The aiiached notes form part of the financial statements.
Btsscvr Ev•rlI£I(burth-COPly Number6411374 alance Sheetat 31 MJvth 2021 2022 ZD21 XED ASSETS TanBible Assets 150,752 150.465 CVRAENT A55ETS Investment Account.. NatrODal westminsterBarLk Svndry Deb¢Qrt and Prepaymonts CAsh at Bank io li 94,373 11.507 138.566 10.299 116.411 244.446 22L074 CUARENT LLA8IIITIt5 Idue within one vearl SundryCreditor5 Accrua15 Iz 1.3eAI NETCURRENT SsEr5 243. 219.730 TofAL NET A55eTS 393A38 370.195 epresented è¥.. FUNDS OF THE CHARITr Unrestritted- General Fund 13 393.83B 370.195 Forthe pEr¢od ended JI March 2022. the cOmY was emitjed toexemption undersectth477121 of the Comparite5 Act relatini Ea Smal compan. No mèmbefs have requifed the Clynpany to obtain ar audit of its acc(wJnts for the period in quesrKM in accordance With sectkin 476of the CompaThS Acr 2LN)6. The dirertors a¢kowledge ttt*r tesponsitslitres lor. ensvrin8 the company keeps hc¢¢untin8 recordswhi¢h ¥rith seaTrort$ 486and 387,. and preparing accounis v4hichgi¥e a t and tsirview of the State olaffairsof the Company as at thè end ofeath finanoal year and of it5 profit or105s for each finahcialyeat in accordarKe ¥Jlth the re4virementsof sections 394 and 395 and which otherwise Comptywith the requirementsotihe kt 2(6 relats iofinanual 5taternEnrs, so lar a5applK3bleto the company. These account5have been wepared in ac¢rydan¢e¥vith the prw5wMS aWKable to crtrnpanies 5ubfrECE to the small companies, regime. The linancHI statements were approved bythe 8oard on 25Cktober 2022 and %ined on its behalf by th$4 The attached notes form part of the financial 5raternen
NothsT•The AmThts.ve•rT• 3lhtsrth2011 1. 5tstrJtwf andwithoutasharec4PIt, r•wstered in EdWe5 Thert8iswedotrtsi54t Bo55xwr EvaWKal£hw(L eBelS11T.0nsIffT LW47PT. 2.1 8J5ts ofprep¥4¢ityi&thefinstat•mffjts The &nanoil ststetherttshm bew wep¥4din Pr1rtKYapp%cablttochtiS yewrini thtir4EcountSin iCCL¥d•YewththtFiw4 Heptyiiys7•DdwdaFx1E InthtUK•d ftemthrftr¥•idlFR5 1011.ICh•fj155OAPIFjQl11 letf&ve ThetinanD4isiaiemeThtsh4e kndotlnECTbpand ponthtur•lw 12 monthslrtsm ¢h¥ityto 13 Ne¢te vnre#ittedFunds 2.4 Tan8dtfix& asseis Fiethokl suteffl•xrfdFifiActkne5knIhtplW)dtIth tknre. 2.6 Expendityie hem•awd 2.7 cb dcountsdI. 2.8 £iedit4 al¢winittyanyradediScoft¢SthÈ. Stsl1C¢ts." ex Stsc4lsoJrity 132.337 IISA49 4.587 145.749 ThtaYerèKtrwbETQfeffjthee5drythew S121 ThEfEWeiEnuoyee5lhtMUmeI3Ikne£o.rM. ThEfEW15nOJtsdth-rf pens4ty#theWror rErtarS'litEres1 AG()detham J Edmthidl 34.4SS L255 1.193 Llg)
8essa(arr Eva(al Churth. Cornpany Number 6421374 NgiesToThe A¢counts- YearTo 31 PAafch 2022 2022 2021 S. Maint•nance ol Pffjp¢rty Insurance 2.899 2.103 1.553 z.iy 1.442 Building Maintenance & Equiprnent 6.555 6. Youth Work and other Ev¢nr5 Youth Work Outreach and otherAttiwties 1.163 201 38$ 975 1.364 1.360 7. Oonalions Missions. Missionaries and Home W0eT$ Speakers Expenses 38.987 2Tr) 40.105 i.lrxj 39.187 41.205 8. Adminlstration Printtn& Stationery. knteratuie and Books Copyri8ht bcences Memberships and Re8istrations Conference Fees Schaol Hire Independent Exarniner's Fees Bank CharEes Websrte and IT costs Sundrie5 Depieciati l.LlJ2 1.688 751 3,078 3.072 279 12.055 976 5.563 464 1.533 877 464 1.855 587 1.333 22.451 15.462 8a. Governance costs Independent E¥arniner's Fees 976 976 1,044
gessa<3rt E¥aryeli¢alChvth. C•mp•ffiy jMr 6411374 NOtesToTht A((rt5.YÉll To 31 Matth 2012 9. Tang(ble Asets Note Freehokl Fumiture and Property Equipment TOTAL COST.. 8alafjre ai l April 2021 AdditTh$ l4 147,216 44,456 L.620 191.6n 1.620 147.Z16 46.076 193.192 Le55 Otsposals Balanceat 31 March 2022 147.216 46.076 193.291 OEPRECIATrori.' 8alan¢e at l April 2021 Add Chaf8e for Ihe year 14 41,207 L.333 41.207 1.333 42.540 41.540 less Oisposals 8alante at 31 Mèrth 2022 42.sde 42,540 Net 8oDk Value at 31 March 2022 147.216 3.536 150.7S2 Net Book Valve ai 31 Marth 20ZI 147.216 3.249 150.465 2022 zozi io. IhvestmethtAsset Natitihal Westminstw Bank 94.373 94,364 1012 2021 11. Debt•rs •id lepayrnents IncomeTax Relund 11.507 10.299 11.507 10.299 10
Bessacarr Evangelical Church- Cornpany Number 6421374 Not*5 To The Accounts. Yèar To 31 Marth 2022 2022 2021 12. Creditor5 and Accruals Sundry Creditors 1,360 1.344 1,360 1.344 la. Analysis of N•t Assets The Net Assets ale all held within the Unrestricted General Fund. 14. Company Limlted By Guarantee The thanty Is a tompany limited by guarantee and has no Sha capital. The liability of each member in the event of a winding up 15 £1. IS. Tax Status The church 15 a regisiered charity and accordingty is exempt from taxation on its income and gains where they are applied for charitable purpose5. 16. Transfér Atretment A legally binding agreement between the thaiity Ithe transfereel and ihe rrustees of a charitable unincorporated associaiion Ithe transferors) was entered into. whereby on the "effective date" being the c105e of business on 31 Marth 2CW. all the property assets and rights held on behall of the unincorporated assotiation by the transferors were duly transferred to the charity. The a8reement provided for this to include the liabilitie5. but to be otherwise free fr¢)m all liens. charges. encumbrance5. equities and claims of any kind whaty)e¥er.