REGISTERED COMPANY NUMBER: 07454520 (England and Walès)
REGISTERED CHARITY NU14JBER- 1140752
Re
rtof
he Trustees and
Unaud
FinaThclal Statements
for the Year End d
1 March 2022
windon C
mmunl
Church
nahan3
Chartered Accountants
Hermes House
Flr8 Fly Avenue
Swindon
Wiltshlre
SN2 2GA

Swindon C
mmuni
Church
Contents of the Flnancial
r th Year Ended 31 Ma
tèmènts
h 2022
Page
Report of the Trustees
Independent Examinees R&port
Statemeni of FlnanGlal Actlvltles
821anee Shèrf
Notès to th• Financlal Statements
6 10 10

Swln
Communl
hurch
red numbèr.
7454520
ort tsf th• T stees
ar Ended 31 March 2022
for the
Thg Irusts$s who are also directors of the charity for the PUfP05es uf the Companies Act 2006, present their ￿port vAth
the finandal stalemenis Of Ihe charity for the year cnded 31 March 2022. The trustees have adopted th8 provisions of
Aeeounting and Reporting by Charilivs.. Staternent of Recommended Practice applicable to charities preparirig their
accounts in accordance Mnth the Financial Reporting Standard applicabk in the UK and Republic of Ireland IFRS 102)
leffective 1 January 20191.
OBJECTIVES AND ACTivrriES
Objectlves and aim5
The objects of the chafity are".
To advance Christian faith in accordance with the ststernent of beliefs appearing in the schedule hereto in Swindon
and In such other parts of the UnEted Kingdom or the wortd as the Trustees may from time to time thlnk fit and to fulfil
suth other purpusES which are exelusively charitsble according to the law ol England and Wales and are connected
th the ¢harftable work of the ¢harlty.
Publlc beneflt
The trustees have paid due regard lo the Charity Commission's guidance public benefit in deelding what actiwities thè
charity should undertake. The trustBes consider that they have acted in the public benefit.
ACHIEVEMENT AND PERFORMANCE
OveNIèw
The year has been a period of dev81opm&nt and stability lollowing removal of many of the restriclion5 that were in place
due to the COTonavinJs pandemic. Numbers of members have remained broadly constant and giving has been
malntain8d. This has meant our ¢hurch Charltable work can continue In a similar fashlon.
8gMce5 and Meetings
The church has held weekly Sunday morning or xftemoon services for worship and teaching together with w8ekly online
mid-W88k evening meetings foi pcayer and teaching.
Actlvities
Our members arg active in supporting the poor and vulnerable In Swndon, whiGh is promoted by the Christian teachings
thin our Ghurch meetings.
Our PBStor has Prowded a weekty free bikè rtrpair servsGe wifhin Tadpole Garden Wllage.
Our members volunt8eT Wth Safe Families providing support tr) families in Swindon.
We are as8ouated in Good News 4 Swindon (Swindon churches coming togeiher to worship Bnd pr8y for the lownl
Social occasions in the form of walks and picnics through the summer monlhs.
Glvlng
We prDvide regijlar financial support and hav8 increased i)ur giving locally to Swndon Youth for Ghrist, Shine Pinehurst.
Swindon Food Collective, and Pregnancy Choices.
We support Op8n Doors wlh Brother Andrew, a ministry lo the persecuted church around the wowld.
We support Dr Jan White financially in her clinical work 8nd the provision ol a hospice in rural Uganda.
We gave a large donation to Samaritans purse to support their work with covid r81i&f in India.
We have a given a signrficant donation tj a ehurch in Poland for their work In supporting r8fugees cro&sing the bi)rd8r
from Ukraine due to thc ongoino conflict ￿1h Russia.
We give regular financial support to Hope For Jusilce, Nvhich combats human trdfficking and moderrb slavery_
We retsin Pastoral services.
We 8rè affiliated to Salt and Light MlnSstrfes and support their work financially.
We anticlpate that our giving will continue to gxpand In 202212023.
FINANCIAL REVIEW
Flnancial position
At 31 March 2022 the charily held total fund8 of £41,788.
Pag8 1

Swindon Communit Church
Re
I tered numb6r.' 07454520
Re
ort of the Trustèès
for the Year Ended 31 March 2022
FINANCL4L REVIEW
ResèN68 polbcy
Thè Trustees have set a larget foi financial reserves i.e.; Cash at the bank is to remain above the total outgoiTrgs lor
three months currently about £9.000. Free reserves held are in excess of the required level. We plan to expand (yJr
giving in 202212023.
STRUCTURE. GOVERNANCE AND MANAGEl4lENT
Governing document
The charity is controlled by its governing doGutnent, a deed of trust. and constitutes a limited company, limited by
gu8r8ntse, as defin8d by the Companies Act 20(￿.
RecruilJneni and appointment of new trustees
TNstees ar8 recruited from the congregalion.
An All Church Annual General Meeting was held on 10 Nov8mbsr 2021.
so we held 1 Trustee Meeting during 2021r2022.
A further All Church Annual Geneial Meeting will b8 h8ld in Autumn 2022.
REFERENCE AND ADMINISTRATIVE DETAILS
R•gistered Company number
07454520 IEngland and Wales)
Reglster8d Charity number
1140752
Reglstered offlcè
19 Whitworth Road
Swindon
SN25 3AW
Tru$l¢es
B Lafford
M Jones {r89igned 25.8.211
T Lafford
R Cole18ppointed 14.10.211
Company Secretary
8 Lafford
Independent Examlner
Jame8 G8re FCA DChA
Monahans
Chartered Ac¢oLJntant5
Hem)es House
Fire Fly Avenue
Swindon
Wiltshire
SN2 2GA
Approvad by order of the board of trustees on .... .
and signed on its behalf by..
T Lafford - Trustee
P8ge 2

Inde
endent Examln&rfs Ro
Swlndon Commun
rt to the Truste
Church
Ind?pondont examinerfs report to the trustee5 of Swlndon Communlty Church I'the Compan￿)
I roport lo the charity truste85 on my examination of Ihe accounts of the Cornpany for the year erM18d 31 March 2022.
Responsibilities and basls of report
As the charity's trusteas of the Company land also its dirertors for the purposes of ¢omp8ny lawl you are responsible for
the pr8P8ration ol the accounts in accord8nc8 wilh th8 requirements of th8 Companles Acl 20061.the 2006 Act'l.
Having satisfied myspll that the a￿0￿￿t$ of the Company are not required to be audited under Part 16 of the 2006 A¢1
And are eligib16 for independent examination. I report in respect of my 8xamtn8tion ol your charity's account5 as &irried
OLII under section 145 01 Ihe Charities Act 2011 I'the 2011 Act'l. In carrying out my examination I hav8 lolliywed the
Dlrgclion$ glven by the Charity Commission under section 145151 Ibl of the 2011 Act.
Independent exarninerfs statement
I have CDmpleted my examination. I confirm that no matters have come to my attenlion Sn ¢onnection wlh the
examination giwng me ¢8USg ￿ believe".
accounting records were not kept in respect of the Company as required by section 386 of the 2006 Act., or
the accounts do noi accord with those rewrds.. or
the atrLounts do noi comply with the accounting requirements of section 396 01 the 2006 Act othei than any
requirement thal Ihe accounts give 8 true and fair view whith is not a matter considered as part of an
indgpendent exatninats'on., or
the aceounts have not been prepared in accordan¢e with the methods and principle8 of the Statpment of
R8eommended Practice lor accounting and reporting by charities (applicab18 to charities preparing their
accounis in accordance Wth the Financial Reporling Standard applicab18 in the UK and Republic of Ireland IFRS
1021).
I have no concerns and have come across no othér matters in connection with the exarnination to whid) attention should
be drawn in this roport in order to enable a propor understanding of the 8ccounts to be reached.
J8m85 Gare FCA DChA
Mon8hans
Chartered Accountants
Hermes House
Fire Fly Avenue
s￿IndOn
Wiltshire
SN2 2GA
Date..
5 December 2022
P8ge 3

Swindon Communi
ChU￿h
tatem&nt of Financlal Activities
for the Year Ended 31 March 2022
2022
unres1￿ctO￿
futhd
2021
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
34,584
35,640
EXPENDITURE ON
Charitable activities
Church Activiti&s
NET INCOME
29.320
5,264
24,906
10,734
RECONCILIATION OF FUNDS
Totsl funds brought forward
36,524
25,790
TOTAL FUNDS CARRIED FORWARD
41,788
36,524
The notes form part L)1 th888 financ¢al ststernents
Page 4

Swindon Communlt Church
red number.. 07454520
Balance Sheèt
31 March 2022
2022
Unie511icted
fund
2021
Totsl
funds
Notes
CURRENT ASSETS
D8b¢or5
Cash at bank and in hand
6,995
35.670
13.555
23,653
42,665
37,208
CREDITORS
Amounts falling due within one yeai
12
18771
16841
NET CURRENT ASSETS
41.788
36,524
TOTAL ASSETS LESS CURRENT LIABILITIES
41,788
38,524
NET ASSETS
41,788
36.524
FUNDS
UnTestrict8d funds
41,788
36,524
TOTAL FUNDS
41,788
36,524
The Ghariiable company is entil￿d to exemption frotn audit under Section 477 of the Comp8ni8s Act 2006 for the year
ended 31 March 2022.
The members have not ￿QUired the cornpany lo obtain an audit of its finanual statements for the year ended
31 March 2022 in acctsrdance wth Section 476 Df the Compxnies Act 2006.
The trustees aEknowledqe their r85ponsibilities for
lal
ensuring Ihat the pharitable company keeps accoLJnting rec￿8 that coThpty Sections 386 and 387 01 the
Companies Act 2006 and
pr8paring financial statements which give a tru¢ and fair view of th8 state ol affairs of the charitable company as
at the end of each financial year and c>f its 5urplu8 or d8fieit for each financial year in a¢cordance with th8
requirements of S@ctions 394 and 395 and which otherwise ctjmply with the r8qUI￿mentS of the CDmpani8s Act
2006 relabng to financial statem8nls, so far as apFIic8ble to the charitable company.
These financial stat8menls have been prepared in accordance with th8 provisions applic8blg to charitab18 companies
subject lo the small companies regime.
The financial 8tatements were approved by the B08rd of Trustees 8nd authorised for issue
and were sioned on its behalf by..
Ibl
on
T Lafford - Trusiee
The notes fomi part of thÈsÉ financial ststements
Page 5

Swindon Communi
Church
Notes to the Finartcial Stat8ments
for the Year Ended 31 March 2022
GENERAL INFORMATION
Swindon Community Church is a tharslabl¢ company limited by gu8rsnt6e, withoul share capital, incorporated in
England and Wales. In the event ol the charity being wourKI up, th¢ li¢ibilily in respect of th8 guarantee is lilnited
to £1 per member t]f the chaiity. Th8 registered office address can bE found in the Trusle&s' Report.
ACCOUNTING POLICIES
Basis af preparirhg the flnanGial statem8nt$
The flnancial statements of the charitable company, which is a public b&nefit entity ynder FRS 102, have b8en
prep3red in atrxDrdanc8 Wlth the Charilies SORP IFRS 1021 'Accounting and Rgporting by Charities.. Slatem8nt
of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial
Reporting Stsndard applicable In the UK and Republic (rf Ireland IFRS 1021 leffectlve 1 January 20191., Financial
Reporting Standard 102 The Financial Reporting Standard dpplicable in the UK and R8public of Ireland. and the
Compaiiies Act 2006. The financial statements have been prepared under Ih& hlstorfcal Cost convention.
The financial statetnenls are prepared on a going concern basis under the historical cost convenllon. modified to
include certain items at lair value. The financial statem8nls are prepared in sterling which Is the funcb.onal
currency of the chaiity and rounded to the nearest rKJund.
There are sigriilicanl are2s of judgements or key sources of estimation uncertainly.
The trustees consider that there are no matenal uncertainties about the Charitls ability to continue as a going
concem.
Income
All income is recognised in the Stalement of Financial Activities 0[￿ the charity has enlitjement to the funds, It
Ss probable that the income will be received and Ihe amount C8n be measured reliably.
Expendilure
Liat)ilities are recognised as expenditure £s soon as there is a legal or constructive obligalion committing Ihe
cnarily lo that expeiidilure, it is prob8ble that a transfer of economic beneffts will be requirod in seltlement and
the amounl of the obligation can be measured reliably. Expendituie is accounted lor on an 8ccru8ls basis and
has been dassilied under headings that aggreg8le all cost related lo the category. Where costs cannot be
dlrecuy attributed to particulai headings they have been allocated to 8clivities on a b8sis conbislent whth the use
of reSoUr￿s.
Governance costs
Governari¢e costs Include cosis of the preparation and exarninatKJn of the statutory accounts, the eost ol trustee
mEelings and the cost of any legal advice to twstees on governance ur constitution81 matters.
Tangible fixed assets
Deprecialion is provided on tangibl8 fixed assets so a5 to off the cost or valuation, less any estimaled
iesidual value, over their expected useful economic life - 3 years on a straight line bÈsis. Fixed a55et5 Costing
more than £250 are capitali5ed and aT8 initially recorded in the balance sheet al cost.
Debtors
Traoe and other deblois are recoqnised at the settlement amount due after any irade discount off8red.
Prepayments ère valu&.d at lh8 amount prepaid net of any trade discounts due.
Cash at bank and in hatr)d
Cash ai bank and cash in hand includes cash short term highly liquid investments ithth a short maturity ol
three months or less from the dale of 8CqLJlSltion or opening of th8 deposit or similar account.
Credltors
Creditors are rBcognised where the charity has a pi8sent obligation resulting Irom a past event thal will probably
rosull ill th8 Iransler ol funds lo a Ihird party and the amounl due to settle the obligalion can be measured o¥
eslimatea reliably. Creditors ale normally re¢ognised at th8ir s8tllement amounf after allowing for any trade
discount= due.
Taxation
The charily is exempt from corporation tax on its charit8bl8 activitles.
Fuiid aLcounLliig
Unrestricted luiids can be u8e(J in accord8nce with the charitable objectives 8t the discretion of the trustees.
Page
continued...

Swindon Communi
Church
Notes to the Flnancial Ststement5 - eontlnued
for the Year Ended 31 March 2022
ACCOUNTING POLICIES - continued
Fund acctsuniin
RestrictEd funds can only be Lsed lor particular reslTiCted purposes within the objects of the oharily. Restrictions
arise when speiilied by the Ooiiur or when funds are raised for particular restricted purposes
Further explaiistion ol th8 nature and purpose of each fund is Included in the notes ID the fin8ncial stalemenis.
DONATIONS AND LEGACIES
2022
2021
Tithes & Offerings
Gift aid
28,224
6,360
28,981
6,659
34,584
35.640
CHARITABLE ACTIVITIES COSTS
Direct
Costs (see
note 51
Support
Costs (see
note 61
Tota15
Church Activities
28,558
762
29,320
DIRECT COSTS OF CHARITABLE ACTIVITIES
2022
2021
Rent
Licenses & insurance
Pastors lees
Sundries
ConferenrLJ Costs
Trainiiig
Donation5
Bank Lharge..
812
832
16,094
149
650
1,584
8,365
72
320
714
16.713
586
200
129
5,500
72
28,558
24,234
SUPPORT COSTS
Governance
oosts
Churcm Activities
762
Support cosis, 11)clvded in the above. are as lollows..
2022
Church
Activitie5
2021
Tolal
activities
Accountancy and independent ex8rllin8tion
762
672
Page 7
continued...

Swindon Communit Church
Notes to the Financ181 Statements - contlnu¢d
for tho Year Ended 31 March 2022
NET 1.'4COMEIIEXPENDITUREI
Net iiicomellexpenditurel is stated after chargingllcreditingl..
2022
2021
A¢countancy ancj independent 8xamin8tion
782
672
TRUSTEES. REMUNERATION AND BENEFITS
The trusts8, R Cole and his spouse, received iotal remun8ralion of £15.938 for pastoral services provided during
the yèar.
In the prior year. the tru51ee, G Chad and his spouse, received tDtsI remulleration of £6.376 for pastoral sewic8S
prc>viaeo.
Tru51eès' expenses
There were no
31 March 2021.
trustees. expenses paid for the year end8d 31 March 2022 nor for the year ended
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
INCOME AND fNt)OWMENTS FROM
Donaiions and Icgaoes
35,640
EXPENLITURE ON
Charitable activlties
Chuicn Activities
NET INCOIthE
24,906
10,734
RECONCILlkTSON OF FUNDS
Total funds ljrought forward
25,790
TOTAL FUNDS CARRIEO FORWARD
36,524
TANGia4E FIXED ASSETS
Computer
equipment
At 1 April 2021 and 31 March 2022
350
-IATION
At l April 2021 and 31 March 2022
350
NET BOOK VALUE
At 31 March 2022
Al 31 Ivlarch £021
P3ge 8
¢onlinued...

Swindon Comfnunlt Churc
Notes to the Financial Statements- con
for thè Year Ended 31 March 2022
Inued
11.
DEBTORS.. A',Q.OUNTS FALLING DUE WITHIN ONE YEAR
2022
2021
Prepaylli￿rIts aiiij accrueo inoom
6,995
13.555
12.
CREDITORS: ANtOLINTS FALLING DUE WITHIN ONE YEAR
2022
2021
Accwed expense5
877
MOVEMENT IN FUNDS
Net
mov8m8nt
in funds
Al
31.3.22
At 1.4.21
Unrèstrict&d funds
General fund
36.524
5,264
41,788
TOTAL FUNDS
36,524
5,264
41,788
Net rnok :rneiil in funds, included in the above ara as follows-.
Incoming
resources
Restsurces
expended
Movetnent
in funds
Unrestrlrt¢d luiids
General fund
34,584
{29,3201
5,264
TOTAL IUND"
34,584
129.3201
5,2
Comparatives for movement in fundy
Nel
movement
in funds
Al
31.3.21
At 1.4.20
Unro'-tricted ILlI)ds
General funa
25.790
10,734
36,524
TOTAL FUNOS
25,790
10,734
36,524
Comparative net movement in funds, included in ihe above are as follows..
Incorning
resources
Resources
expended
Movement
in ftsnds
Unrestricted funds
General fund
35,640
124,9061
10.734
TOTAL fuNLS
35,640
124,9061
10,734
Page 9
nlinu8d...

Swlndon Communl
hurch
Notès to the Flnanclal Staternents - continue
lor the Year Ended 31 Mar¢h 2022
14.
RELATLJ PAINTY DISCLOSURES
Don£itions from trustee8 and r8lated parties in thg year totalled £13,06312021.. £7,940).
There w ire no other related party Ir8nsactiDns lor the year ended 31 March 2022.
Pag8 10