Annual Report and Flnanclal Statements for the Year Ended
318t March 2022
Charity Registration No. 1136255
Page O

Contents
Refe￿nce and Administrative Information..............................
TTUStees Report......
Independ&nt Examinerfs Report............................................
Balance Sheet.........
Statements of Financial Activilies.........................................
Notes tothe Financial Statements...........................,............
Charity Registration No. 1136255
Page I

Reference and Administrative Details
Charfty Name
ONE
Charity Registration Number 1136255
Princlpal Offlce
3 Hazel Avenue
Darlington
Co. Durham
DL3 6QF
Trusteos
lan Willson
Linda Willson
Lourens Aucamp
Mar-Lize Aucamp
Michael Richard Smith
Jean-Piere Dames
Nadia Dames
Bankers
The Cix)peratlve Bank
Busin8ss Direct
Blaise Pascal House
100 Pavilion Drive
Brackmills, Northampton,
NN4 7WZ
AGGountant
Bemard Accountancy Services
34 High Melbourne Street
Blshop Auckland
DL14 6HP
Charity Registration No. 1136255
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Trustees Report
Objectlves of the Charlty as sel out In the Govemlng Document
1. To advance the Christian falth in accordance with the Statement in such ways
and in such parts of the United Klngdom or the World as the Church Coundl
from time to Ilme may think fit,
2. To relleve sickness and flnancial h8rdshlp and to promote and preserve good
health by the provision of funds, goods or servi¢os of any kind including through
th8 provision of counseling and support in such parts of the United Kingdom or
the World a8 the Church Council from time to time may think fit. and
3. To advance educatlon In such ways and In such parts of the Unlted Klngdom or
the World as the Church Councll from time to tlme may think fit.
Summary of the maln achlev8m8nts durlng th• y•ar
As with all charities, they have had to follow the govemment
guidelines for public gatherings. This has restricted the publlc
gatherings of ONE.
ONE came out of the period of Covid where churches mainly had
an online presence, both finically and numerical healthy. This gave
us hope for the future where numbers of people gathering on
Sundays and during the week, in our homes (after the Covid
restrictions were lifted) have continued to increase.
One launched a meeting for men, mainly on Thursday mornings.
They rneet in a large shed. This has proven to be successful as the
men open up about their lives, life and they discuss life issues with
biblical principles in mind. This group of men has grown from 5 to
over 15 regular attendees.
ONE had to change premises in October 2021. This was due to the
premises leased from Darlington Borough Council being terminated,
due to redevelopment of the land. Darlington Baptist Church, Kindly
offered to rent us one of there buildings which we accepted. This
has proved a successful move as it attracted more people to visit
ONE and eventually join us.
Charity Registration No. 1136255
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ONE maintained there mini bus during Covid restrictions in the hope
of it being once agin an asset to the community. They have found
that the demand for the use of the minibus has not picked, but have
decided to wait a while to make a decision on weather to continue
with this asset for the community.
ONE also managed to send a missionary team to Tanzania for a 6
week during February and March to teach, train and equip the local
church there.
ONE has continued to operate in financial credit and has maintsined
reserves where it would be able to operate for 6 months, if required
without any further income.
The trustees have met regularly as a quorum to discuss the trust
and to ensure that all the requirements are being carried out
appropriately.
Of,fLzoZ
Approvad by tha Tru8ts08 on .........
& slgned on their behalf by
Name..
Slgnatur•...................................................
-2£ IZ Zo
Charlty Reglstration No. 1136255
Page 4

Independent Examinerfs Report to the Trustees of
ONE
I report on the accounts of th8 Charity for tho year ended 31st March 2022. which
are set out on pages 7 to 13.
Respectlv• respon81bllltleg of Trusts88 and Examln8r
The Trustees are responsible for the preparation of th8 accounts. Thé Trustees
consider Ihal an audit is not required for thls year, under section 43(21 of the
Charities Act 1993 (the 1993 Act) and that an Independent examination is needed.
It Is my r88ponslbllty to:
Examine the accounts under secllon 43 of the 1993 Act.,
Follow the procedures18ld down In the Gen8ral Direcll¢)n8 glven by the
Charity Commi88ion under section 43(7){bl of th8 1993 Act: and
state whether particular matters have cnme lo my attenllon.
Charity Registration No. 1136255
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Basls of independent examlnerf8 report
My examlnation was carried out in accordance wlth the General Diredon gfven by
the Charity Commission. An examination includes a review of the accounting
records kept by the Charity and a comparison of the a¢￿Unts presented with those
records. It also indudes a consideration of any unusual items or disclosures in the
accounts, and seeking explanations from you as TNstees conceming any such
matters. The procedur8s undertaken do not provide all th8 evidence that would be
required In an audit and Gonsequenuy no oplnion Is givén as to whether the
accounts present a'true and fair view and the report Is Ilmited lo those matters set
out in the statement below.
Indapendent Examlner'a •tatemonl
In connectlon wtlh my examlnallon. no matter has come to my attentton:
{1) whlch gives me reasonable cause to belleve that in any material respect
th8 r8qulrements'.
to keep 8ccounting records In accordance with section 41 of the
1993 Act: and
to prepare accounts which accord wlth the accountlng records and
cOm￿Y with the accounUng requirements of the 1993 Act
have not been mec or
{2) To whlch. In my opinion attentlon should be drawn in order to enable
proper underst8ndlng of the accounts to b8 reached.
Slgned...
Date.........
Charity Reglstration No. 1136255
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Balance Sheet as at 31st March 2022
2021
2022
Flxad A•¥ets
647
Current Assets
7,471
8,902
Currant Llabllltlo8
450
322
7,021
9,227
Ac¢umulated Fund8
8,934
7,021
Income (Loss) for the year
1,913
2,206
7,021
9.227
Approv• by th• Trustees on ........... ...... ........
& 81gnad on thelr behalf by
Slgnaturo...............
Charity Registration No. 1136255
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statement of Flnanclal Actlvltles year ended 31Bt March 2022
2021
2022
Not••
Incomlng R8¥ourc••
Voluntary income
37,994 43.567
Fundraislng trading
Total Incom•
37.994
43,567
R••ouY¢M Exp•nd•d
Costs of generating volunt8ry
Incoma
1,832
2,134
Fundr#181ng Iradlng costs
Churth advltles 0)sts
37,895 39,047
Govemance Go8ts
180
180
Total Exp•ndlturn
39.907 41.360
Exo•• of Incom• ov•r Exp•ndllur•l (Lou)
-1,913
2,206
Funds from1861 year
8,934
7,021
AcGumulat•d Fund•
7,021
9,227
Charity Registration No. 1136255
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ONE
Notes to the Financial Statements for the Year Ended
31st March 2022
1. Accountlng policlos
Ba816 of preparatlon
The financial statements have been prepared under th8 historical cost convention
and in accordance wlth the Slatement of Recommended Practice 'Acc(yJnling and
Reporting by Charities ISORP 2005),, issued In March 2005, applicable acGountlng
stsndards and the Charities Act 1993.
Fund a¢Muntlng pollcy
Unresfficted Income funds aré general funds that are available for use at the
Trustees, discretlon In furtherance of the obj8CtiV8 of the charity.
Restricted funds are thos8 donat8d for usa in a particular are8 or for 8p8cific
purposes, the use of which18 restricted to that area or wrpose.
Further detsils of each fund are disclosed in Note 7.
Incomlng resources
Donatlons are recognlsed where there ig entltlement, Gertalnty of recelpt and th8
amount can be measured with sufficient reliability.
Incoming resources frorn tax reclalms are InGlud8d In the statement of aclvltles on
recelpt.
Charity Re￿stratiOll No. 1136255
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Resources expended
Llabilities are recognised as soon as there is a legal or conslructive obligation
committing the charity to the expenditure. All expendlture is accounted for on a
cash basls and has been classified under headings that aggregate all costs related
to the category.
Costs of g8nerating funds comprise those the costs associated with attracted
voluntary income and the cost5 of trading for fundraising purposes.
ChaTitable expendttur8 COrnPri8es thos8 ¢OSts incurred by the charlty in the delivery
of its activitles and seNlces for its beneficiaries. It indudes bolh costs that can bg
allocated dlrectly to such activltles and thos8 costs of an Indirect nature necessary
to support them.
Grants payable are payments made to third partl8s In the furtherance of the
charitable objactives. Whére the (*arity gives 8 grant wth condits'ons for its
payment being a specific level ol service or output to b8 provided, such grants are
only recognised in the SOFA once the recipient of the grant has pn)vided the
specific servlce or output.
Grants payable without performance condltlons ar8 only reGognlsed In trie
accounts when a commiknent has been made and thère are no conditions to be
met relating to the grant whlch remain in th8 control of the Charity.
Provision8 for grants aro mad8 when Ihe Intentlon to make 8 grant has been
communicated to the recipient but th8r8 in uncertainly about 8ither the timing of
the grant or the amount of grant.
Govornance costs
Goveman¢e costs include costs of the preperBtion and examlnation of the statut¢Jy
accounts, the costs of trustee meets'ngs and the cost of any legal advlce to trustees
on govemance or conStit￿lOnal matters.
Charity Registration No. 1136255
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2. Voluntary Income
Unrostrlcted
R•strlctsd
Total
Funds
Funds
2022
Donations, Appeals, Gift Aid
43,587
43,567
(Xh8r
Total
43,567
43,567
3. C08t of Gen•ratlng Voluntary Inc(xno
Unrestrlcted
R•8trlcted
Total
Funds
Fund8
2022
Travel
2,134
2134
Total
2,134
2,134
4. Gov•man¢• CoBts
Unrestrfctsd
Rè8trlGtsd
Total
Funds
Funds
2022
Independent Exam
Total
rf80
180
180
180
Charity ￿e￿stratiOn No. 1136255
Pagell

& Church Actfvltles Costs
Unrestrlcted Funds
Unr¢strtcted
Fuhds
Total
Servlces-water- electrltity
Buildlng malntett3nce & Costs
503.46
503
4.287.86
4,288
Mlsskon Home
1.350.75
1.35 1
Misslon Overseas
3.340.00
3,340
Stsff Costs
21.822.39
21,822
IT&PA
2.595.59
2,596
PhoDes Internet
1,070.25
1,070
Offlce COSLS
819,57
820
Chlld protect5on
155.00
155
Teachln8 and Tralnlng
Insurance
630.00
630
723.28
723
Cafe & Refreshments
293.23
293
Legal
686.OQ
686
Conference
285.75
286
Depreclatlon
161.76
162
Adrnln Exp
321.80
322
39,047
39.047
O. Anatysls of Funds
At 1*t Aprll 2021
Incomlng
R•8our¢•*
Resourc
Transfer8
At 31" March 2022
Expended
Unreslrlcted
Funds
7.021
43.616
41.410
9.227
Restdcted
Funds
Total
7,021
43,616
41,410
9,227
Charity Registration No. 1136255
Page 12