Charity registratioll number 1127649 (England amd Wales)
TRINITY METHODIST CHURCH, EAST GRINSTEAD
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025

TRINITY METHODIST CHURCH, EAST GRINSTEAD
LEGALAND ADMINISTRATIVE INFORMATION
Trustees
A Bentley
SHE￿¢¢
J Hew¢r
J BTook5
M P Bruc¢
M Brooks
S Shaw
P Swan
M Cunuingblm
S W2]ker
G Bradbury
L Hope
AJordan
Roxburgh
Rev B Scriv¢us
T Belltley
M R Nicholls
E S Jordan
H I Stri¢big
K Jones
M odey1]￿e
K Balfour
KThaiigardjah
S AAttw¢ll
E V Britton
(Apwirttrd S September 2025)
(Appointed I S¢ptemb¢r 20251
(Appointed 15¢pt¢inbtr ?025}
(Appoinied I September ?0?5)
{Ap])Oin1￿ I S¢pt¢mbET 2025)
Cbarity number
1127649
PTiucipxI address
LingfJ¢ld Road
E05t Grinslead
West Sussex
PH19 2HA
Independent exAmiBer
Darren HardingACAFCCADChA
Riclwd Pl￿e Dobgon Services Linit¢d
Ground Floor
1_7 Statioll Road
Cr&wley
West Sussex
RHIO iHf

TRINITY METHODIST CHURCH, EAST GRINSTEAD
CONTENrs
Page
fnjstres'report
tndepENt¢nt ¢xaTninerfs rqN)rt
State￿ent of fittatt¢iJL adivati¢5
Balaace sheet
NoiE5 tv th¢ fiuancial statements
9- 19

TRINITY METHODIST CHURCH, EAST GRINSTEAD
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 AUGUST2025
Th¢ f￿8￿Cial ststements bzve been prepared ID acGoiYlanc¢ with the a¢couniillg policies s¢t out in nole I to the fmancial
Stateillents and Co￿P&Y with tbe chaTity'S Deed of Ullio]J. th¢ ClJaritle5 Act ?011. FRS 10! "The Financial R¢portill8
SL2ndard appllcable iD th¢ UK and Republic of Ireland. 8Dd the ChariFi¢S SORP 'Account￿g alld Reporting by Charities..
Ststemettt of RCe0mm￿lded Practic¢ appli¢abl¢ to charities preparing their accounts in aitOTdartce with the Financial
Reporting Ssandard app]ic2ble ￿ the UK and Rq)ubiic of Ir¢la]th ffRS 102)..
Objecttves ACti￿tieS
The pwposes of the Methodist Church are 94d shall bE de¢Tn¢d kn hay¢ bwi since the dale of ullion the advance￿¢￿1 of:
A. The Christian fAith ill at£ordsttce the doctrinal 5tslldards and th¢ disciplirye of the Methodist church.,
B. Any charitsble purpose for th¢ tim¢ beiug of any connexiots&l district. circui¢ local or otheT orgallisation of the Methodist
Chutth;
C_ Any charitabl¥ puTp05e for the timc being lif any s(Ki¢ty or insti￿tion subsid1[￿Y OT attcillary, to the Methodist ¢huTth.
D.,In}' pLTos- forth¢ ￿TE btillg of un). ¢.'.ant)' bethg a-haritrj S"bDid￿j Oi
' to the NleLkodist Chur.h.
Our vigitsll is to be fftal People livillg wilh a R¢al God asking Real Questiollg" We are comtDitted to Sh￿ing the Gospel in
the local conllllunity. to In￿eaSIng th¢ f¢llowship of believers and n)akTng discipl¢& me[n￿r5 leadeTS.
W¢ believe the Bible is the iJJspired word of God. Jesus Chrisi is th¢ ollly Son of God. By praytt. Bibl¢ study alld list¢lliDg
to His voiG¢, th¢ Holy Spirit equips us to do the will of God. Everythsng w¢ do should 8ive glory to God.
It is ouraim to..
Welcome all who come roTrinity Methodist Church and encouT28e tbem io becolnt part of tbe Church fa￿lly.
FosteT, thtougb our wotsbip. the exp¢ctation that the Holy Spirit will WO￿ ￿ people's lives. chall8￿g theDi foT th¢
better.
Numire spiritual groiwh by meeting lugetheT for fellowship. prayer. Bibl¢ study aDd te¥hing.
li￿dertake evangelisiic outreacti to th¢ ￿0¢as co]nmuniLV.
Ertcourage the preacliing and teaching of the Gosp¢l.
Develop relation511ips and sbaTe each Dtbtrfs nttds and burde]Js.
Provide oppomjnities for indil'iduals to dev¢lop theiT 5Pitirnal gifts and service.
Be of service io the local coinmullity.
Ensure that v¥orld mission is encouraged, th be aware of 91￿ to respond to the needs of Cbrisvs b￿Y worldwide.
OUT objecttV¢S 8r¢'.
The provision of rtgular acts of WOTship that are open to members of th¢ Church and non-members alike.
The t¢aching of Cbtistianity througb senDon& courses and stDall grollps.
Pastoral Work in¢lUd￿g visitiDg the sick tttd btreaved.
Pn)motion of Cliristianty thTOU8h staging eveJJts and services.
isicll of i'ar.ObS ¢lubb Ii'ith a chrify￿ e'.DS, a£lJding clubs for -hildr.ull young peoplc. scnior citiz¢r4
m¢TJ'5 and wom¢n's grobps.
Supporting other chariites IJJ the UK and overseag finallcially and with prayer.
Provision of daily Tefrethments via our Cafe to encourage awaten¢ss of all of th¢ abov¢ 8¢tsvities.
Active involve￿¢￿1 in the tommlltiity focused oiitreacll activiti¢5 of F{￿ba￿L Street Pasiors ond C]Jristiatts
Again# Povety (CAPI.
Publit beDefjt
The ill hdNt reftjll'ed to the guidaoce ID th¢ Chati.-' Co]]]nili•SlQll'?* gtu￿al guidoDre on Piibil￿ be￿est *A7¢11 F¢}"5¢￿1￿8
the ChaTiry'S aims and objcctiv¢s in plalllling lis ￿tUre activities. Jn particulw., thei. hav¢ con$ideTed how p1al￿ed activities
will contribute io the aim5 alld objectives they have s¢L
Athievtments performance
The Annval Ch￿rch Report wepaTcd for the Annual Church MevtiTrg in April 2025 d¢tails Tnany of the a¢hi¢vem¢nt$ and
perfonnaii¢¢s of tile Chttrch for the vcar to 3 IstAuqust 2025.
poge I

TIUISITY METHODIST CHURCH, EAST GRINSTEAD
TRUSTEES, REPORT (CONTJIYUED)
Fnp T.up vrA p rATDED 3 1 ArrryTCT ?0?<
Higtdighc5 for the year tntlude:
- Colltinued operation of tbe Café (MtsTLdry-Frsday in Term ttinel.
- Cburch Vision Day.
- EngBgenient with Churthts Together- T)8rticularl%' ReTllCtnhrance snd Ciood Fridal. Servi¢¢.
-Attendgnce of ouryoung P¢ople at 3G¢n¢rat¢ (UK wide MethLKlistYouth Weckcod}.
- C¢l¢bration of the 2 year anttiversory of Messy Chunh.
- The running of a children's h<%liday olub F¢bNary balf term_
- Chri5tsnas Iullch wls prowided foi. tbose lÉving on their i)Ivn.
- Trillity MesstThg¢rs PUppetTe8￿ continue to i'isit loca] prunary schools and carehO￿e$.
- Appointillg att Inclusion Ch￿P10￿.
AV. - btsllllnuiag LViOJltiiiy uoIJJmiJIiiDll SeTViL¢ at Stiiaon Care home sna wor&iJip ai Jt s Prin￿? Jciw(pi.
- Creation of the Prayer Space & Cr¢&tiv¢ Ar¢a.
12. - Community Fun Day to ¢cl¢brdte tbg 10 years sinc¢ t&e cotnpletion of the r¢buiiding of Trinity-
13. - Tithing Contributions 8s reported Tiifjty News.
14. - Services supported by Si.￿Lers & Sp¢ak¢r5, Open Doors 8nd Ftiettds of Cbildrc
The Church's incorne Go*nes Ma￿dY from offeritsgs, donations. l￿-e￿ie1ettl 2ivins 2Dd biriTrg out of facilities. Exwditur6
l5 primarily on Cburch &lmxllistratio2L the A￿llu81 Circuit AsscssmenL Church activities, donstions withiv M¢thiylxsm
eYterna]ly, maittten2tt¢t uf the premises. The CircDit provides millisty for th¢ Circutt churches, itieluding btipcnds attd
comJJLodatiop.
Th¢ chU￿h Accounts include the activiii¢s oliDl¢rnal orwisations.
ien possible fu￿d8 are inve￿ed irt a deposit accoTJnt wAtb the Central Fiywice Board of the Methodist chur¢￿
provides inv¢5trn¢ntRnanageLnent St￿1¢e$ th cbttrthes.
Th¢ Church h8s a coffjpreh¢tLSiVe iDSur&￿et policy with Methodist Insurance plc. Th¢ TTUSte¢s for Nfd&odi5t Church
Purposes act zs custodian trustees forth¢ church propErty, and provÉdc supl￿ft￿tb1ft their r¢mit.
The Statfflxent o¢FinantiaI A¢tiwAtj¢s on pau¢ 6 shows net income resourG¢s for the year totslled £57:110120?4.. £7,683 net
xn¢ome resourceb).
Reserves Policy
The ResenTe for the G¢ll¢ral Fund. ¢x¢Iuding the net value of t¥Lwble fLxed assets th¢ Inves1￿C￿t pft)pety whith
il]iquid fimds, is held agaitLSt ftrture expcnscs alld 3JtLowits to betweern 50Q/a- lo￿/￿ ofth¢ thurch's atjnual expendi¢ur¢.
At il 51 Augu￿ ?0?5, the R¢s¢rv¢ was 84YD oFfvts￿e budgeted exp¢y￿S.
Future P]aJs
We wll continue to use ourpremises to worshtp th¢ Lord and welcome th¢ Holy Spiri¢ through av￿lety of services artd
2ets of worship. Wc hav¢ a tth stsrn8th¢n alld grow ourfellowship in ternis of faitty knoM.ledgG number& Spiri￿alIty
d passion for Jesus. Wt also plan to co￿tInUe r&qchirAg out and serviTh8 oyr t97￿ ¢OLWllunity in as matty ways as w¢ ¢aLL
m8k-itig full us¢ of our ¢xc¢lleni t￿lI111¢s. To aid us itLthis. plaa io appoÈrrt ayouth 3Dd Communiry Worker in th
coming year.
Frosfl S¢pte)nber 20?5 our circui¢ Redhill and East Gtiitst¢ad. Ivill be uniting ivith theDothiti8 al￿ Elorslkam Circuii to
forni the Gatwick and Mole Vall¢y Circuit. The effects of which be seen in time but we hope our mutual sknaTing with
oth¢r IDcaL Metbodist Churches will benefitMinister& con￿¢￿tionS and importantly ih¢ work of God.
Followiug th¢ Church Vision Dav attd thscussions with the Stewards Leaderthip Teojll ISLTh attd Church Council. a new
Vision sta*meni was agreed. Our aew vision is io be *¢al P¢opl¢ livillg with a Real God 4skng Real Qut5tion5. The hope
is that thi5 will allow us to expli>re s(x)Jeoftb¢ more difficutt issues gffeaittg 0￿r own but also ¢oni¢ alongside those
in our wn)munits' who are sear¢bing for faith.
Et2

TRINITY METHODIST CHURCH, EAST GRINSTEAD
TRUSTEES, REPORT {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
Strnctsre* EDvernan¢e and management
Trillity Metbodist Chuirh. E&st GTill5tea4 was Tegistered as 8 c]Jarity on 21 January q009. It is governed by theD¢¢d of
UDioll {19321 attd the fvIetliodist Church Act11976).
ABentley
S H Bntce
J W Starlxllg
RAD¢w
J Hewer
R J Starling
JBTooks
M P Bruce
M Brook5
PFOX
S Shaiv
Pswa
P Oakley
(Resiglled 31 Allgusi 20?5)
(Re5igDed 31 August 2025)
IRe5ig))ed 31 August 20251
(Resigllcd 31 August 20251
S Wa]ker
G Bradbury
L Hope
AJoidan
J Roxb
R￿, B Scrivens
TBtlltley
M R Nicholls
E S Jordan
H I Striebig
K Jones
M OdeyiDde
K Balfour
K Thang8r&jah
S AAttwell
E V Brittoj)
(Appointed I September 2025)
(Appointed I Septetnber ?025)
(Appointed I Sept¢inb¢i 2025)
(Appointed I September 20?5)
{Appointrd I SwLtmb¢T 2025)
Jill Brooks r¢s]￿Ed 8$ alrustee on 31 Au8USt 2025 and wa5 reapposnted 3 December 20?5.
Rteruitsllent and 4ppoiBtllLent of trustees
TNstees are appointed by th¢ Church Coutkcil at theAJJnual ChLJrch Meeting. Some Trngtees OCLUP>' spe¥ific positions ¢g
Treasuier. Church Steward. Potential trust¢¢5 iDviled io se￿e by direct approach frotn the Cbai]Tran or Church Steward,
a]thollgh an adNertistmcnt may be placed in the Church maga￿e or newsl¢tter if specialist sk.ills aTe Tequired. Induction
and training aTE handl¢d by the previous occupallt of the FQ5¢ orth¢ Cburcb Stewards.
Oryanisation￿ Struetyre
The Church CouDeil, w4xose men)bers are the TTU5t¢¢4 has authotity attd oversight over the whole ￿￿15￿ of the ¢hurc&.
ticluding mallagement of tb¢ prop¢rty. AirtLS and ttiethods. the d¢teiThinatiou and PUTSUit of ]x)licy and the deielopmw]t of
its av2ilable i%sources are its proper r¢sponsibility. It has appointed a nuJ]Jb¢r of con]mittees- Finance: Property, Pastoral.
OL)treach and Youth- which ha￿e authority in their areas of reS￿nSibIlity IO initiate 8CtiOll, ctrordiuate WOTk done ill
the ChurdL advise the Church Couucil report to it.
pagt 3

TRINITY METHODIST CHURCH, EAST GRtNSTEAD
TRUSTEES, REPORT (CONTINUED)
FOR THE YE4R EIVDED 31AUGUST2025
K¢y Management Remunerntivn
There are no key matta8¢m¢ni ¢tnployed by the Church. For211 employees the Methodist Chwch Lay ETnploye¢ pay rates
are used to (ktermine pay Tates.
Use of Volunteer5
The Church by its very natur¢ ts largely support¢d and run by volunteer& aod it could not fijnction without th¢tll. The
Church only uses piid sraff when arole is too onuous for avoluntctr to handlc.
Th¢ tr￿1¢¢$, rwrti¥as approY¢d by the Board of Trustces.
Rtv B S¢riveMs
TTUSi¢e
Datcd= 4 Mar¢h 26
page 4

TRINITY METHODIST CHURCH, EAST GRINSTEAD
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF TRINITY METHODIST CHURCH, EAST GRINSTEAD
I repon to th¢ trustees on my exa]]]ination of th¢ firt2ttcial stat¢rn¢nts of Triruty Methodist Churth, East Grin5te8d (the
¢harity} for the y¢ar ended 31 August 2025.
Respon5ibiliti¢s and bAsis of report
A5 the trustees of the ¢h3rity you are responsible for the preparation of th¢ financial 5tat¢mwts in accordance with th¢
requirements of ihe Ch8ritiesAct 2011.
I ￿pOrt in respeci of my ¢xamination of the Ch￿Ity'S financial statements carri¢d out under 5¢rtion 145 of th¢ Charities
Act 2011. In carrying out my exzmit)ation I have followed the DiTe¢tions wven by the Charity CoTnmission un(kr section
14515}Ib} of the Charities Act 2011.
lttdtpendent examitttr's statern¢nt
Your attention is drawn to the fact ihat th¢ charity ha8 prepared the finmcial tstetnents in accoTrknce with the relevant
ver5i0n of the Siatement of Recommended PTactice applicable to charities prepating their financial siatements in
accordance with the Finsncial Reporting St3Ddord applicable in the UK and Republic of Ircland (FRS 1021 in pr¢fcTence
to the Accounting and Rep)rtin8 by Charities.. Statement of R¢commended Pr&cti¢¢ issued on l April 2005 which 15
referyed to in the extant regulations but has now been withdrawn. l understaLJd that thi5 has been don¢ ￿ order for the
financial statements io provide a true and fair view in a¢cordanc¢ with UK Generally AcceptedAccounting Practice.
I have completed my ¢x8mination. I confirm that no matters have come to my attentiot) in connection with the
examination giving me cause to b¢li¢v¢ that in any Tnèterial respect..
accounting records were not kepi in r¢5pect of the charity a5 T¢quired by section 130 of the Ch9riiie5 Act 2011.
the financial stslements do noi accord with those records., or
the financial statements do llot CQTnply with the applicable requir¢m¢nts concerning the forll) and content of
ffftancial staternents sei oui in th¢ ChaTities (Account5 3nd Reports) Regulations 2008 other than T￿Y requirement
that the fiDancial staiem¢nt5 give a true and fair view, which is not a ]natter considered a5 Part of an independent
examination.
I have no concerns and have com¢ aCT05S no Other matters in Connection with the examination to which attention should
be drawn in this Twrt iti order to enable a properunderstanding of the fjnancial stJt¢menis to be reached.
Datren H2rding ACA FCCA DChA
Jknchard Place Dobson Services Lirnit¢d
CharteredAttountan
1-7 Siaiion Road
Crawley
Wesl Sussex
RHIO IHT
Dated.. 7 March 2026
pag¢ 5

TRINITY METHODIST C1[URC￿ EAST GRINSTEAD
STATEMENT OF FINANCIALACTtVITIES
INCLUDING INCOME ADID EXPENDITURE ACCOUNT
FOR THE TrEAR ENDED 51 AUGUST2025
Current fittantlal year
UDrestricted Unr¢stii¢ted
fu￿dS
funds
¥t￿traI
de5ign*ted
21125
21125
Restricted
fuDd$
Tothj
Total
2025
2025
2024
NoteJ
IRtotne and endowments fmM-
Don2tion5 alld l¢uaci¢s
Inve5tsnettts
Other income
101.68)
50,129
4Jll
30,58?
955
17.103
19.699
151,966
51,084
21.454
103.8?6
48.781
19.780
40
Total income
156.1?5
48.640
2?4.504
17?J87
Expenditure on:
Cboritable activities
lJO,759
29,618
7,017
167,J94
164.704
Total expenditure
130,759
29,618
7.017
167,394
164.704
Net income
57,110
7.683
TraD5fers between fu]
(6.493)
6,493
N¢tmovement in fvnds
k8.873
25.515
i7.110
7.683
ReeoDtiliatioll of fuuds:
Fusjd bai8ttces at I September2024
L04.44?
? 956,537
47.006
3,107,985
3,IOOJ02
FuDd balances at 31 Augllst 2025
123.315
?.98?.05?
3.165,095
3,107,985
The Stat￿￿¢1￿1 of fEllallci21 activities incLudes all gains alld l(Isses recwised itl th¢ y¢ar. All ineome and ￿￿pendtth￿e deriv¢
frojn contitiuins activities.
page 6

TRINITY METHODIST CHURCH, EAST GRINSTEAD
STATEMENT OF FINANCIALACTIVITJES (CONTINUED)
INCLUDING INCOME AND EXPEIYDITURE ACCOUNT
FOR THE YEAR ENDED 31 AUGUST2025
Prior fiD%nci41 year
Uknrestrlcttd Unrtstritted
funds
[ll￿d5
general
deSIg￿￿ted
2024
Restiieted
Total
2024
2024
2024
Notes
lkneome ekndowmeknts froth:
Dollations attd legacies
lrtvestments
Other incottie
89,550
48.781
3,890
14,276
103.8?6
48.781
19,780
15.790
loo
Totat ineom¢
15,790
14,376
172,387
penditure oll:
Chajitsble actii'iiies
130.724
30,746
3,234
164,704
Totsl eipenditure
130.724
30,746
3.?34
164.704
Net ineomel{eipeDditur¢)
11,497
114.956)
11.14?
7.683
Trallsfers between funds
(1,434)
1.434
Trlet movement funds
10,063
(13.522)
11,142
7.683
Re¢onciliatioD of funds:
Fund balaJ)ces al I September 2023
94.379
970.059
35.864
J.100,302
Fund bAl&nt£8 at 31 Au£llst 2024
104.442
9.956.537
47.006
3.107,985

TRINITY METHODIST CHURCH, EAST GRINSTEAD
BALANCE SHEET
JT3J JTTnficT2(175
2025
2024
Ftxed assets
.JL6,96i
Current as$ets
Debtors
Cath atbatsk in hO￿d
13
21,644
171,088
2J9 ?88
194.731
c￿dItors." f8JIing due witbln olle
year
14
123.4021
(23.348)
Net current assets
238.130
l71,?84
Total &ssets Itss eurrtDt liabllities
3,165,095
3,107.985
The funds of the Eharity
RestrkcÉed ittcome fLJnds
Unr¥striLi¥d fU￿d5- tsen¢ral
UDr¢stri¢ted ￿Ld$- designat
15
16
17
47.006
104.44?
2,956,5i7
?,9V,052
3.165,095
3.L07.985
Th¢ fin8￿ClaI stat¢meLts were 4)proved by th¢ knstees ott....
ABentley
Trnstee
. B Scrivens
Trnstee
pag¢ 8

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST2025
Actounting policie8
Cbarlty lttfomsdo
TTinity M¢thodi5t Chwch, East GTinStead is a publi¢ b¢J]efit e]Jtity, MTrth r¢gi$t¢Ted offi¢¢ Trinity Methodist Chutt
Iingfi¢ld Road. East Grins%ead. West Su&*x RH19 2HA.
The I￿a￿cl&l statements bave been prepa]Ed iD accordance with the chaTity'$ 8overnittg dOcu￿t￿t, tbe Charities Aci
2011. FRS 10? "The Financial Reporting StaTJdard applicable ill th¢ UK and R¢publi¢ of Ireland, and th¢ Chyrities SORP
'Accountitig and Rq)Drting by Cbarities.. Stat¢mellt of Recommended Practice applicabl¢ to charities preparing th¢iT
atcounts in accordance with the Financial Reportlll8 Ststtdard applicable ill the UK and Repub]i¢ of Irclattd IFRS L021"
The charity is &Pllb15c Benefit Entity as defin2d by FRS 102.
The C]￿1￿ has taken adv8Ltage of the provisions in the SORP for charities not to prep8re a ststemellt of cash fl￿Tr5.
The r]JJatt¢ial slate￿ents have departed from the Charities (Accouttts attd Repoftsl Regulatiot)s 2008 only to the extent
quired io provide a tru¢ a]O fair view. This depaTlure has involved following the Siaiement of Re¢Dmmended Practice
for charitie5 applyillg FRS 102 rather than the v¢rsiou of tbe StsteD]¢nt of ReC0￿Me￿ded Prdctice ivhicb is refe]rcd to in
tbe Regulations but ￿1¢h has SiDee been withdrawEL
The financial statements are prepared ill sterlin& which is the functional c￿￿ of the charity. Monetary amounts in
Th¢ r]nan¢iai 5tat¢ments hay¢ been prep￿d under th¢ hisiorical cost conv¢Dtiou. ]]iodifi¢d to includ¢ th¢ revB]u&tion of
fr¢¢hold properties. The priDcipa] accoulltillg polscies adopted are set out below.
12 Gothg eoneern
At the &ink- of appro1￿8 tkc fm&n¢ial ststeLJents, th= I￿St¢￿S hav'e a reasonabl=-xp¢c'ation L4ai th- c4ari)' has ad¢qLa:e
resouTces th tontiDue in opeToiiollal e%isiell¢e for the foteseeable fun￿e. Thus the tnjsiees continue to adopt the going
Concern basis of accouJ)tin8 in prepsring tht finaDcia] ststements.
IJ Charltsble fundi
U]Jrestri¢ttd fimds ar¢ available for us¢ at tbe di5cretiott of th¢ tn]ste¢s io fiutberance of the￿ charitable objcctives.
D¢s1￿Jated are at the discretion of tbe tsustee5 and call be cre4tsd if there is a sp￿]fiC projertlobjective that tbey
wish to SPCDd funds 012.
R¢strict¢d fimds are 5ubj¢ct to specific conditions by dollors OT ￿ntOrS as to bow they may be used. The purposes and
Uses of the restricted set offi iti the Jot¢S to th¢ fin8DciaS st2tements.
1.4 In¢ome
All illCOniDg r¢s￿lTc¢S are Includ￿ ui th¢ siatrmettt of f￿ancial activities when the charity 15 elltitl¢d io. vittyally
¢rtain to [￿e1v# the and the amount can be quvntified with r¢asonabl¢ a￿￿ra£>..
Voluntary ittcojne Teceived by ￿ts, donations and offersngs are included lli full in the Statement ofFxtwi¢ial Activities
i¥h¢n r¢r¢iTrable.
Legacies are recogDi5ed on rKeipt QT otheThwise if the c]Jarity bas beeB Jotxfied of ajj imwding distriblltioJL the amount
ig know and receipt is expected. If the a]J]ount is not kllowtt. the le8acy is treated as a coniingent as5¢t.
ljjvestrnent income is includ¢d when T¢￿]￿ab]e.
Oth¢T Jncojue ]llclud¢5 inGOtne trom Internal Organjsations and is rttognised when il Is Teceivable.
page 9

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEMENfs (CONfINUED)
FOR Tuf vp.dK• FWDpn ¥1 A JT CJJfsT ?0?¥
Aeeoutstimg policies
{Conttnved)
1.5 ￿pendItUre
probable that a tratssf¢r of ecDno]nic E¢llefits will be T¢qUEr¢d in settle￿en4 wd the amourtt of th¢ obligation &gt) be
me¥5ur¢d reliably.
Expellditure is tlassified by activity. The costs of each activity 2re mod¢ up (Ff the total ofdtrett eosts attd shar¢d cosL%,
including support Costs involved utkd¢rtaking each adivity. Diwt costs Ittn￿utsb1e to a e activity ar¢ allocat¢d
d￿eBtlY to that activity. Sbot¢d oosts wbich contribute to more thats otte actTvAty aud supp￿1 co#s which ar¢ not
atiribut2ble io a singL¢ activlty are apportioned between ihose activiiies on a basis ¢onsisrts( wtth the us¢ ot resources.
Central staff tosts ère allocated on the b￿j5 oftimc spent. and depreciatioD charges art allo￿ted on portxon of the
as*'s us¢.
Expenditure is IKogoi%d OD¢¢ there is a legal or con5tTuctive obtigatioll tQ TDake a pl￿neDt to a third pty.. it is
probable that s¢ttl¢m¢nt will be reqtjired and th¢ omount of the obligativn ran b¢ measured reliably. Expendrture is
cl2¢¢ifieA_ Isndpr thp !nllow.1nn 2CtiI?.1ty
Erypendittu¢ on Ch￿itable activi15es incllld¢5 th¢ provision of ministy, atsd their gssociated support ¢05ts.
Support costs are thos¢ funaion5 that aS$￿t the WQTk" ofth¢ charity but do Lot dtreetly uudertak¢ ¢Jwitable activities.
Suppoit co%ts iDcluLle premiseb and offi¢¢ related costs, alld oovetntnce costs whych supportthe charity's 8ctiviti¢s. Th¢
ostsbav¢ been allocated to expetsdiwre on charitsble actÉvttie$. Th¢ allocatiou of support costs is aLalysed in not¢ 7.
Gov¢rDaDce co%ts include those ittcurred in tlle ¥overuBnce by th¢ ttuslets of the ch3Titys assets w]d 8re pri]n*tily
striated with Consti￿tiOnal and stat￿Ory requirerncnts of operatinrF the cl&&ity. Gov¢rnanc¢ oosts are incLllded within
support costs alld alloeaied (u ch3ri1able activ%ty cost5.
1.6 Tangib(e fjxed assets
ible f]xed assets ar¢ inittajly Elleasured * cobi and $ub5¢ou¢nthi rn¢asured at ¢ost or valuatioa. net of depreciatio
attd gtLy impairtB¢nt lo&￿¢$.
Fixture& fittin8s ¢qUiP￿￿t ar¢ dweciate41 over IQ years on # straighÉ lin¢ basts.
Jtt 8ccordanc¢ with Chwch Covnci] rnles build￿g& w21￿e in the a¢counts is based on insurall¢¢ vaIue.
No depreciatio￿ ts ch3rg¢d in th¢ accoults for freehold buildings on the basis that th¢ r¢sidual valu¢ of th¢ buiIdiJJgs
1.7 Impairment of fixed w¢ts
At ¢ach reporting end dale: the cbsrity reviews the carrying aToouots of its tanLTible ass￿8 to deierniin¢ whether thw¢ 1$
ally 1lldicati0￿ that those ass¢ts have suffer¢d ￿ impairtttent Ioss. If any such indication exisE the r¢cov¢rabl¢ amount of
the asset is estimated in orderto det¢rrdin¢ ￿¢ &xtCELt of tlie i￿P￿ETJ￿eDl loss (if any).
IA C#sh eq￿Vakllts
Cash and ca51L ¢quival¢nts ittelude cash in hgod: d¢p05its held at call with bank& tsthv short-lerm Eiquid investments with
orjoinal maturitics of three Inouth5 or 1¢5s. and batsk overdrafts. BaTth ov¢rdrafts ar¢ showft withiii bo￿OW1ng& in curyent
page 10

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FtNANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
Accounting poli¢i¢s
(Contillutd)
1.9 ￿nanCIAl I￿st￿Ments
The charity has elected to apply th¢ proiisions of Section 11 'Basic Financial Instruments. attd Section 12 '0tber
Floan￿1￿1 I￿5￿￿￿£￿5 Issucs, tsf ERS 10ti to all of fjnallcial irL5tr13mCiLts.
FiDanciaI illsments are recognised in the charitys balattce sheet when the charity becomes party to the contractua]
pioTrisions of the illstrumenL
Financial assets and liabilities are offseL with the net amounts presellted it) the financial ststemeDts, when there is a
legally cnforeeable rigbi to set off thc recopJised a￿O￿nts attd there is att iJJteJJtiott to settlt on a ttct basis or to r¢alise the
asset allu setrie the iiaijiliry simllltsneousry.
Basic[InaueiRlusseis
Basic fTnaJJcial assets: which include debtOTS attd cash and bank balanc¢& are initially measured at transaction pric¢
iA¢ludirtg transaction costs and are subsequetttly carried at amortised cost usirt8 the ¢ff¢¢tiv¢ illt¢rest method utslcss the
rrongetnent cortstithtes a financin8 transaction, wheTe the tr8nsaction is measured at the presetti value of the future
re=t'.pts d..'SCQUllted gt a ￿arket Tate of iDtere<. Fillallci&l L£5ets c]￿51f1¢d receii'able iiithin oDe )'eaT are not a￿VrtIS¢d.
Basic r]]]Hnci31 liBbilit1¢5, including crtdilors Ind bank loans iTLSthally r¢ctsgnised xt transaction PTice the
aitBTl8etnent £oDstitutrs a fi]w]cing transR¢ti￿], wh¢r¢ the (kbt instrument is m¢asured the PTese]It value of the future
payThellts discounted &t a ￿￿[k￿ rate of interest. Fillllllcial liabilities classified ￿ p&yRble within oThe yeaT ￿¢ nol
￿￿OrtiSed.
Debt ittstruJ]Jents are subsequettdy catyied at amortised cott, usitig the effective illkrestrdte method.
Financial liabiliti¢s derecognised when the charity's contracbjal obligations expire OT are di5¢barged OT cancelled.
1.10 Taxation
Th¢ charity is llot subj¢ct 10 corporatiou t&x or ètty other tsxes on income or gains arisittg trom its ciwitsble obje¢tiYC5.
Critical aceouDtsng e5timate5 jvdg¢meDts
In the application of the ehariry's accounting policies, the trnstee5 are required to make judgetnents. ¢stimat¢S apd
8ssumpiions about the cgrn'itlg amoullt of Bs5ets and liabilities that are ttot readity apparent from oth¢T sources. The
estitt&ilKtS atssociated aSsu￿Pa0￿) are based OJ h55tori%al ¢ATreriente attd other factors that dre ￿OrIS￿dered to bc
Tel¢N'8nt. Artu4] r¢sults differ frotn these esLiniaies.
llie esiinTraies and underlying assumptians &re reviewed oll all ongoing b&8is. Revistotts to accoyuting ¢stunates are
rccogJis¢d ill di¢ P¢Tiod in which the egtimate is relised where the rei'jsioll affects onty that period, tbe period of
th¢ revisioD and future penods where tbe revision affects both currellt and futur¢ P¢Ti(xJs.
Crltital judgements
Valuation of Buildings
Buildings are in¢luded in the accouttts at historic cost. No depreciation is ¢harged on the bui]ding ott tbe basis that the
estimated residu21 value ss ill excess of th¢ rvs¢ included in the accounts and depreciation would b2 illlltjaierial.
Page 11

TRINITY METHODIST CIIURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEMKNrs (coririLYUED)
Fo￿ Tuf YP.a Tr rA?nrD 31 3TTfLIST20?4
Income from donations xbd legacie
Unrestrlded Unre5tri¢ted
Restricted
TotAI
gelleral dcsiunated
2025
2025
2025
21125
Donations a￿d gifts
101.685
19.699
101,68)
19,699
151.966
UHrestritted Unrtstrlet¢d Restriet¢
fllllds
d5
general designated
Total
2024
2024
2024
2024
DonAtiQU5 aud gifts
89,550
t4,?76
103,876
89.530
IOJ.L96
Incom¢ from iDvestTrnettts
U￿￿tr1ded Unrestrlded
nds
general desl2hXttd
2025
2025
Total Unrestricted UJJrestritted
d&
geryeral
2024
Total
d￿lgO￿ted
2024
202S
2024
RetttaL inum¢
InterB5t receivable
44,131
6,953
43.4L3
5.368
5398
955
5.368
50,129
955
51.084
48.781
48.781
Other iDcorn¢
Unnstricted Uknr¢5tri¢ted Restiicte41
rllnds
fuuds
funds
gtteral destgllated
Total
2025
2025
2025
21ns
Other incom¢
ITJternal Organisatious
4.311
4.351
17,103
4.3LI
40
21.4)4

TRItyrrY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINANc￿L STATEMEIYTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2025
Other in¢om¢
ICoDtiDueil)
Unrrstritted Unrestricted Reshicted
futtds
fuDd5
fllllds
geDer*l designated
Tothl
2024
2024
2024
2024
Other i]Jcome
lllterna] Or8attisations
3,890
loo
3.990
15.790
15.790
3,890
15,790
loo
19,780
Expenditure eh4ritablt ¥¢tiviti
Clrtuit DonAtion8- Provision of
Iuternal
8s4essment or
Titbes
Ministry Organisation$
5bare
2025
Totsl
21J25
2025
21125
2025
irect C￿ts
Depre¢i2ts0rt and impaimjent
CiTLWii Assessment share
Don2tioLs- Tithes
Prol'isioll of Ministy
ILSUTattce attd Uti]ities
Other EKpenses
lttternal Organisations
14,636
14,636
60,000
13,795
28.802
22_589
9,950
14,982
60.000
13,795
28,802
22.589
9,950
14.982
60,000
13,795
75.977
14,982
164,754
Share of 5UPPOrt and govern4nce ¢0stJ ls¢t ttote 7)
Governance
2.640
2,640
60.000
13.795
78,617
14.982
167,394
An&ly5is by futtd
Ullrestricted tunds- general
Unrestricted fulld8- desigttated
Restricted fimds
60.000
13.391
57.368
14,636
6.613
130,759
29.618
7.017
14,982
404
60,000
13,795
78,617
14.98?
167.394
Page 13

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINATrIClAL STATEMENTS (CONTllYUED)
pnp T.ITP YPJ P FArnpn gi A TJGTfs. T ?n?4
E￿eDdits￿ charltablè atthi(ie5
(COntin￿ed)
Previous ye£r:
Circuit Doknxtlott$- Pro￿10￿ of
Internal
Totsl
share
2024
2024
2024
2024
2024
Direet Costs
D¢pr¢ciation ￿)d impatrmtut
CircuEt Assessmellt share
Do￿ations- fithes
Provision of Minssty
Insurance a])d Utilitiss
Other Expcn5es
In1¢r￿1 Ctrganisati¢)ns
17.168
17.168
60.000
14.479
60.OOQ
14,479
26,523
6,163
?6.)23
L3.578
60,000
14.479
74.127
162,184
Share of support alld governalltt costs (see ￿0t* 7)
Govemante
2,5?0
60,000
L4.479
76,647
13.573
164.704
An#Iysis by fund
Unrestiicted frJttds- gejjeral
UJ)Je5tricted tunds- deSI￿ated
R¢5tricled ￿ttdS
60.000
14,179
56.545
17.168
1934
iO,746
60.000
76.647
13.578
164,704
Sttpport e05ts #]locg4tsd to #etrvxtses
2025
2024
Govetnan¢e costs
?.??O
Analysed btheeD:
Provision ofministy
2.640
li20
Goi'ernance costs CL)nsisi ott]y tsf l￿dePendent Examination Fe¢s.
Net moveme￿¢ in
2025
2024
Th¢ nct movejnellt ￿ fiwds is stated afterehar8insll¢rediiing)".
Fees paF2ble forth¢ Éndependent examination of tlL¢ charity's fuwiciai statements
Ikpreri*iotE of owned tsllgthle r￿ed assets
?,640
14,636
2.)20
17.168
wage 14

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
Trysle
None of the rnLStee8 lor aDy persons cotUL¢Cted wth thetnl r¢c¢ived rernllllevdtion or benefjts from the chajity duriDg
tbe yeBr, or the yearending 31 Auwjst 20?4.
io
Employee4
The av¢r4g¢ month]y number of employees during the year was..
2025
Numb¢r
2024
Numbtr
During the s'ear £8,125 12024.. £7,681) was paid out ID wages. Thw¢ w¢r¢ Jjo sorip] SefUTity costs or pension payments
ade in either year.
The chariti s key managemellt per50nn¢l th¢ tnth¢s, and no remurterttiott was paid to them during the year.
There We￿ tso employees whose annual remunerdtioll W8s more than £60,000.
li
TaxAtio
The charity is exempt frts￿ tsxatiO￿ on its activities be£aug¢ all its iDCOme i5 applied for ¢harKtabl¢ PU4K)ses.
12 Tangible fixed assets
Lattd attdFlxmJYs,fttdllgs
bwlhlkny & equipment
Cost
Ai I September 2024
Addition$
2.900.000
186.888
5.000
i.086,888
5,000
At 31 August 2025
2.900,000
191.888
3.091,888
DeP￿l￿tion imp4irrncnt
At I September 2024
Depreciation charged iD the year
1)0287
14,636
150,287
14.636
At 31 August 2025
164.9?3
Cxrr)Ing Amount
At 31 August 2025
2.900.000
26,965
2,926,965
At 3 1 August 2024
2.900,000
36.601
2.936.601
All Methodist ChuTches are Owlled by trustees for Methodi￿ church PWTQS¢5 of C¢ntral buildings, Oldhattt Srreei
Man¢hestrr. The cost of acquiri]J8 the propertv and ally developmzni work are refie¢i¢d ill the accounts of Trinity
Methodist Church. East GrI￿Stead on th¢ b8si5 that the Trustees are tespottsible for die building and the 5ubstau¢¢ of th¢
tran5acliun ￿ that Tntuty Mttbod]sl Church, East GTinst¢ad owrk the proFW.
page 15

TRINATY METHODIST CIIURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
POP TFIP yP.AP E.IVDEn ?? A TTfLTST ?IJ?5
13 Debtors
2025
2024
Amounts fallillg due one yeAr.
Accrued income
21.644
14
Credltors: amounts falliug due TrithiD o￿tyear
2025
AwuaLs 8Ld deferrèl
?3.4Q2
15 R<stri¢ted funds
Th¢ r¢stricted fim¢ls of lh¢ chuity comprise the urtexp¢nd¢d balattces of donations and grdois held on tr￿t subjecs to
specifi¢ coJditiotss by donors as to knw they may b¢ u5¢d.
At I September
21ll4
IDcomiDg
re50urc
Resoll￿t$ At31 A￿gll$t
èxpettd
202)
Bekevoleot Fund
Key Ikposits
Buildiug Folld
Lay Assi5¢ant Fund
Propcty Fund
Youth Work
Kitchen Rdeweltsptsleut Fund
1,067
995
3.493
11.671
1,135
40
{4Q31
{801
(3,4931
1.799
9i5
11,671
36,997
13.104
587
4.873
11,894)
(1.147)
i,993
47,006
19.739
17,017)
j9,7?8
Previous year:
At I September
2023
Res0￿￿¢5 At 31 August
xptnded
2024
Benevoletyt
Deposits
BUild￿g Fund
iayAssislant Fulld
Propeo. Fund
Youth Work
1,072
91)
5.317
11.671
11.985
4.904
295
loo
1,067
995
(?0)
(L,8?4)
11,671
?5.787
13,802
179
11.090)
35,864
14376
47.006
paBe 16

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FIWANCIAL STATE,VEryTS (CONTLWUED)
FOR THE YE4R EJVDED 51 AUGUST 2025
15
Restri¢teil fund$
(Continued)
The Benevoletti Fund represents monies Tec£ived that can only b¢ u5¢d for b¢nevolentpurposes.
The K¢y D¢p05its Fwid r¢pres¢nts tDoDey received in reS￿cl olkey deposits and is h¢ld subj¢ct to bEiusrepaid.
The Butlditi¥ Fund represents donations received that are to b¢ 5P¢lJt oll r¢building the cburch.
The Las',I5S&stsllt FuDd fPTesEll'& ￿G￿l-s &i'.yti8 in ordtrto fi]nd the s212ry' ii'hell a Eeii. L2)'.Issistant
TJJ¢ Propvty Fuud represfflLts dotsatiotts yeeexved for the PUTP05e of spending on the prop¢rty.
Theyouth Work Futtd rwestnts monies r¢ceiv¢d for the pwpose of spending ott ￿ttl￿tieS that are related to the chiidr¢ll
and youth groups within the thur¢b.
The Kitchen Redevelopment Fund represents income received to fund the kitch¢n r¢fvTbiSb￿￿t.
16 Unre8tr&cted full
Th¢ uJ)f¢5trict¢d fund5 of th¢ cbaTity eomprise the utsexpettded b21ance5 of donations alld which are subject to
specific conditioJJs by donors and grdlltor5 a5 to how tb¢y Knay be used.
At I September
2024
IncowiDg
Rtsources
expended
Transfers
At 31 August
2025
General funds
104.442
156.125
{I30,759)
16,493}
123,315
Prev&outs year:
At I Stptember
2023
Resou￿¢$
expended
Transfen
At 31 August
2024
resourees
Gcneral funds
94,379
142.221
(130,724)
11.4341
104,442
page 17

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEmEr￿s (CONTINUED)
Fn￿ ryp YE.ap pAfDfD ZT A TJfTIS. T ?0?<
17 Unrt8trEttÈd funds- designated
These 8re uw¢stricted funds which are maierial tts thc ¢harity's activities.
At I S¢ptember
2024
Rcsouttes
expended
TrdnsfeY5
Al 31 August
202)
Departments
L3.503
.oc
17.103
114,98?)
li,624
2.9on nhn
FittsTJgs Fund
Rourtdabout
l<gaGi¢5
114,636)
i,000
1.493
26.965
7,926
6,433
31.)37
?,956,5)7
48.640
129,6181
6,493
? 9810i?
Previous year:
At I Septtmb¢r
2023
TrarJ5fe
At31 AEgust
2024
rwurces
eXpe￿ded
D¢parlw¢nls
Trittsw Bcoks
Land Bllildings
FAttings Fllnd
Roundaboui
11.291
319
1900.(M)O
15.790
(lJ,578)
(i19J
2.900.000
{17,1681
4,680
1.753
1970.059
15,790
130.746)
1.4)4
2,956.537
The Depatttteuts fund r¢pE¢5eJLts irLterna] organisaiioDS and refle¢t Eeceived aod ¢xp¢nditure paid out by au the
internal organisations. It atso sbows th¢ balarxee of Lxsh h¢ld b¢haJf ofthe xnternd orgallisatiOJJS 4t thr ¢lld of the year.
The Trlljity Books fuTrd represtnts it￿Ome reteived attd expcus¢s paid out in respect of th¢ op¢ration of a book shop in
the Church caf¢.
Th¢ Lattd attd Building fi￿d represents the fuuds of the ch￿¢b tha¢ arB ti¢d up in th¢ ¢hwGh buildjng and are not
the￿fore free reserve5.
The Fitti]3gs Fund represents Elloni¢s tied up tn th¢ fixth]reg and fittitt&<r purchased for use within the chur¢h.
The Roulldabouts fiknd rcpresenis the hmds r¢maining wken the Pre-s¢hool closed.
TJJ¢ lKwi¢s Fulld represertts fvrL¢Js r¢ceiv¢d as a bequest ID wills.
pag¢ 18

TRINITY METHODIST CHURCH, EAST GRINSTEAD
NOTES TO THE FINANCIAL STATEMENTS {coNfINUED)
FOR THE YEAR ENDED 31 AUGUST2025
18 knaly818 of Detassets between fund>
Un￿triCted DesignY&ted
llds
nd5
2115
Restricted
fullds
21125
Total
2Q25
2(b2S
Fund balances at 31 August 2025 8re represenied by:
Tangibl¢ assets
C￿t asset￿1]Iabilities)
2,926,964
55,088
2,926.965
?38.130
123,314
59.728
123.315
2.gR2.052
59.728
3.165.fi95
UJJrestricted Dcsigrat
ftmds
fi]nds
2024
2024
Restticted
fillkds
Total
2024
2024
Fwid ba]anc¢5 at 31 August 2024 are represented by..
Tanb￿ble ass¢ts
Curr¢nt a55¢ts11liabiliti¢s)
l936,601
2.936,601
171.384
47.006
104.442
2,956,537
47.006
3.107.985
19 Related party traD$actio￿9
There were no disclosable re]sted party trarsactions durlng th¢ ￿aT12024- nolle).
p8ge 19