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2020-12-31-accounts

Registered Charity Number - 1134242

Penzance Baptist Church Trustees Annual Report, Auditor Examination and Accounts For the year ended 31st December 2020

PENZANCE BAPTIST CHURCH

TRUSTEES ANNUAL REPORT, ACCOUNTS and INDEPENDENT EXAMINER’S REPORT FOR THE YEAR ENDED 31 DECEMBER 2020

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Penzance Baptist Church

Report of the Trustees for the year 01/01/2020 - 31/12/2020

Reference and Administration Details

Charity Name Charity Registration Number

Charity’s Principal Address

Penzance Baptist Church

1134242 Clarence Street Penzance TR18 2NY Cornwall

Board of Trustees

(Name) Mark Fretwell Ralph Hammond Melvin Polglase John Rubens Jonathan Stobbs

(Office) Deacon Deacon Deacon Elder Minister

Independent Examiner

Rev. Michael Coles (BSc) 14 Pengarth Road Falmouth TR11 2TY Cornwall

Bank

Lloyds Penzance P.O. Box 8 Market House Penzance Cornwall TR18 2TN

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Structure, Governance and Management

The governing document of the Penzance Baptist Church as a charity is the Constitution for Grace Baptist Church Charities approved on 1 January 2007, and then adopted as the charity was registered on 10 February 2010. Penzance Baptist Church as a charity is constituted as an association, and the way in which the trustees are selected and appointed is through the means of the church members’ meeting.

Objectives and Activities

The principal object of the church is the advancement of the Christian faith according to Baptist principals in accordance with the church’s Basis of Faith. The church also carries out other charitable purposes in the United Kingdom and/or other parts of the world.

In relation to these objects, our main activities are Sunday services (morning and evening), midweek Bible studies and prayer meetings, evangelistic activities in the community, children’s club, Parent and Toddler group, promotion of mission and matters of social concern, and various informal get-togethers to consider the Christian faith.

Achievements and Performance

Owing to the spiritual nature of the church’s objectives it is difficult to quantify achievements. Until March, the church continued to pursue its regular program and range of activities. However, the impact of the Covid-19 pandemic, government response dramatically altered the way we functioned. This included adapting to online only services during periods of lockdown when meeting in person was suspended, or seeking to work within government guidelines and legislation when gatherings were once again permitted.

Throughout the pandemic, regular Sunday services and mid-week meetings have continued. The establishing of a church YouTube channel which contained recorded broadcasts or live streams of services saw a wide engagement with people. These included not only those who were our own fellowship, but people from across the country and the world. The overwhelming majority of services were taken by the Pastor, as well as the other Elder in the church.

During the summer, when meeting in the building was possible with Covid-19 measures in place, we had visitors almost every week from around the country which was a great encouragement. We also saw a number of new visitors from the locality as well.

During the year under review, the church continued to support Phil and Lydia Evans who were set aside as missionaries to Latvia. They had been working alongside Mezciems International Baptist Church in Riga. With many things accomplished in the work in Riga, the decision was made that their time in that role was coming to a close. They leave Riga with much satisfaction and the gratitude of Mezciems International Baptist. They returned to Penzance towards the end of the year.

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Covid-19 saw the vast majority of regular meetings and outreach suspended for the year. However, different opportunities have arisen, including the distribution of free food packages for families in need in the local community. The decision has been taken to extend this work in the coming year such was the positive response and evident need. We have also had regular free literature tables available at the church during the year.

With the usual Christmas events unable to take place, we sent a Christmas card to the residents in the area around the chapel with some free literature and an invitation to an online carol service. This was broadcast on our YouTube channel and drew many views. Similarly for other special occasions, such as the 218[th] church anniversary, we put together a video telling the story of the history of the church in the community and its impact beyond.

The church continues to be led by a leadership team of Elders and Deacons. Regular leadership meetings have been held for the regular business of the church, but also to make key decisions during such challenging times. This also included providing consistent practical and pastoral care to those in the fellowship throughout the pandemic.

Financial Review

Reserves

The Church has adopted a policy of seeking to hold reserves equivalent to three months regular expenditure, presently a reserve of £14,550. The current total reserve at 31[st] December 2020 is £10,861

Risk Management

The trustees have identified the major risks to which the charity is exposed. These have been reviewed and the trustees are satisfied that adequate systems of control have been established to mitigate these risks.

Annual Return Figures

Income for 2020 - £63,460 Expenditure for 2020 - £58,275

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Other Optional Inforniation Public Benefit The trustees have considered the guidance produced by the Charity Commission on ihe provision of public benefii and th¢y continn ihal public benefii has been provided by- Promoting ihe whole mission of the church through the actÉvities for individuals, parents and toddlers. and the elderls,. Providing regular public Th'orship that is open to all Conducling pastoral ￿'ork including visiting th¢ sick and the bereaved - Teaching Christianity through sern]ons, course& and small groups - Providing a youth club with a Christian Ethos Distributing evangelistic materials - Taking part in community events Declaration The trustees declare that they have approved the trustees. report above. Signed on behalf of the charity's trustees: Signature (s) Rev. JonathAn Stobbs Chair Mr. John Rubens Trustee Position Date -

Independent Examiner's Report to the members/trustees of Penzance Baptist Church

I report on the accounts for the year ended 31st December 2020

Respective responsibilities of the Trustees and Independent Examiner

The trustees of the charity are responsible for the preparation of the accounts. They consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of Independent Examiner's Statement

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the management committee concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audit, and consequently I do not express an audit opinion on the accounts.

Independent Examiner's Statement

In connection with my examination, no matters have come to my attention:

  1. which give me reasonable cause to believe that in any material respect the requirements to keep accounting records in accordance with s.130 of the 2011 Act; or to prepare accounts which accord with these accounting records 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.

Michael C Coles B Sc 14 Pengarth Road Falmouth TR11 2TY (Fully trained HMIT) date

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PENZANCE BAPTIST CHURCH

RECEIPTS AND PAYMENTS

FOR THE YEAR ENDED 31 DECEMBER 2020

Notes Unrestricted Restricted 2020 2019
Funds Funds £ £
Receipts
Voluntary receipts
Grants and gifts received 2(a) 52,629 935 53,564 53,144
Other receipts
2(b) 9,896 - 9,896 9,455
Total receipts 62,525 935 63,460 62,599
Payments
Payments in furtherance of the church’s objectives
Direct charitable costs 3 3,025 - 3,025 4,961
Mission Support 3 1,493 2,015 3,508 3,963
Support costs 3 51,522 - 51,522 55,907
56,040 2,015 58,055 64,831
Governance costs 220 - 220 1,846
Total payments 56,260 - 58,275 66,677
Net Receipts/(Payments) 6,265 (1,080) 5,185 (4,078)
Transfer between funds - - - -
Net movement in funds 6,265 ( 1,080) 5,185 (4,078)
Balances 1 January 2020 26,776 (21,083) 5,693 9,771
Adjustment (decrease) in Creditors (17) - (17) -
Balances 31 December 2020 33,024 (22,163)
10,861
5,693

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PENZANCE BAPTIST CHURCH

STATEMENT OF ASSETS AND LIABILITIES

AS AT 31 DECEMBER 2020

  1. Fixed Assets
The value of the assets owned are:
Plant/machinery/equipment
£
20,000

20,000

The Freehold property known as Penzance Baptist Church premises at Clarence Street, together with associated fixtures and fittings are the subject of a separate independent trust held for the exclusive use of the Church. The Church assumes responsibility for all maintenance and running costs.

The Freehold property known as 13 Castle Road, Penzance is the subject of a separate independent trust held for the exclusive use of the Church.

  1. Bank and Cash Balances
Held at Bank
Lloyds Bank
Other Assets and Liabilities
Debts due to the church
Income tax recoverable
Other debtors and prepayments
Liabilities due by the church
2020
2019
£
£
6,684
2,488
6,684
2,488
2020
£
4,177
-------
4,177
Nil
  1. Other Assets and Liabilities

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

The notes on pages 9 -10 form part of these accounts.

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PENZANCE BAPTIST CHURCH

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 DECEMBER 2020

1. Accounting Polices

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

2. Incoming Resources

(a) Voluntary receipts
Grants and gifts received
Tax recovered
(b) Other incoming resources
Sales of books and CD’s
Rent from 13 Castle Road
Utility Refund
Charitable Activity Costs
Direct charitable costs
Sunday School & Young People
Local evangelism
Audio Ministry & web site
Less: Creditors
Mission Support
UK Mission
Overseas Mission
Unrestricted
Restricted
Total
Total
Funds
Funds
2020
2019
£
£
£
£
46,727
935
47,662
45,553
5,902
-
5,902 7,591
52,629
935
53,564 53,144
14
-
14 118
9,235
-
9,235 9,337
647
-
647
-
63,460
-
63,460 62,599
Unrestricted
Restricted
Total
Total
Funds
Funds
2020
2019
£
£
£
£
-
-
-
48
1,401
-
1,401
2,251
1,624
-
1,624
2,662
3,025
-
3,025
4,961
-
-
3,025
-
3,025
4,961
1,188
-
1,188
1,438
305
2,015
2,320
2,525
1,493
2,015
3,508 3,963



3. Charitable Activity Costs

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Unrestricted Restricted Total Total
Funds Funds 2020 2019
£ £ £ £
Support Costs
Ministry costs 43,090 - 43,090 46,697
Property & Repairs 7,496 - 7,496 7,765
Equipment purchases 115 - 115 560
Other administration 821 - 821 885
51,522 - 51,522 55,907

4. Employees

The church had one employee (2019: 1 employee) whose remuneration and expenses were not in excess of £60,000. No remuneration or trustee expenses were paid to any other trustee during the year nor to any person connected to them.

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I iepNt the y¢•r eth 3 ly lknynbtr 2020 R•1iv¢ wibiliiies of the Tntstecs and In4kpetht Lx•miner The trwl¢es ofth¢ wibk for tht lkney consider 4udit is requtred f(Y this yrw undff ser11(￿ 1442) of th¢ C'h•tilia 20111th¢ 2011 Acl) awj iNlcFthknt exlminthm is neoknj. h is my ffsrmmsibility kn: • cxamine the accounL8 ￿￿ler sffli(m 14$ of thc 2011 Ad: • follow the laid th)wn in the (ienernl Direclion$ 8iv¢n by the L'hwily CLwnmt8sionets yeciion 145(5Xb) of the 2011 Acl: and B#kn of l•deptmde•i Ex••l•erfi Si¢emeA¢ My exwninion w&8 ￿rIth4 (xrt in rrtyxd￿ with the Cnernl Th'recli(wYJ glven by ihe ('harity Commission. An examinalion include5 A review of the ¥wunlinB re¢￿th k¢w ihe ch•rily wxl i compariwn of the xcounis resented with IlK>se rc￿rdS. It alyo includes LOTh4tdeMion of •ny wiusual items or diseli)sur¢s in the account& arml Yeking CKplAn￿10fi4 fmm Ihe man4rment C￿Millet ￿ncerning any such maii¢rs. 'The pr(Kedure5 vthrtJkLn dii not provide Ill the cvidcnce that would be requi￿j in • full audiL and c4xwuen(ly l not an wdil Opini￿ on the Irawnts. IpdepudtDt ExA•l••rf• S¢•temeNI which 8ive me rt•s(m•bl¢ lo belicvc in any malerijl w the rtquirnmcnt# to keep ac¢ounting records in a¢cordance with $. 1.10 Df the 201 l Act. or to prrywe xcounts which Kc4)rd with lh￿ xciwntin8 records hAve not been w or to which. in my opinion. arteniion should be drnwn in (Yder to cnable 4mderstsndin8 of the a¢oJunts ¢0 Michael C Coles B Sc 14 Pengarth R￿j Falm(Mrth TRI 12TY (Fully triA¢d HMID