Ccffip￿Y ￿rnhEr. 07660843
Re9￿￿ed Ch￿N￿￿￿*T. Ill￿70
YORK COMMUNITY CHURCH
A cl• 114J070
SW2024
IWlllllU-
*ADINTZY3*
24112r2024
COMPANIES HOJSE
#168

CONTENTS
Dknrtor4' Anrrt￿l Ryrt
Independen¢ R•ptyi
P4M19.2•
st￿ment￿lFI￿lI￿￿lA¢trrfM
P4•21
alanE•ShMI
P4•22
lo th•FIna￿l11st1t￿*m%
P•w2J.JD

INTRODUCTION
*hthe St*rn5dihE se¥￿￿e0 SApd 2021.
Fth•io* Rewtr9 epWtrAE ￿ thE uK￿d RepUb￿cOll[￿aTrI (FR$ 1D21 ithYec%w 1
y 201¥.
The Er*tyèsWffieoty F¥tS 102.

OBJECTS AND ACTIVITIES
2. T¢ iebeve sthrtessan¢ f•7￿￿è1héIo¥¥•ld w1serwg￿j
WMO. as thetriJswfr4mtknetoknTh wri

AREAS OF FOCUS
REFREStrIING
LOCAL IAISSION
RE50URCING
A 5*Fd¥¢rrfh•￿ry
kYaL*•I
AVTHE+4TIC oISCIPLE5HIPÉwwffj￿d￿￿wUJta

FUTURE PLANS
2029. lo¥RladTrf

CORNERSTONE
RENOVATIONS
ndalty). eenelaGITnAI. York Stl*dwfs
F￿ded by F￿db*7k.

TO ADVANCE THE CHRISTIAN
FAITH
@ &JmhaknE. kknsdakAvenue. YIYJI QIIA
ti*)Imuf¥W seThKeano a rnaffisel￿aE ia.x
Th•￿nd&Y seNiceisasolpx y￿
to attend hi PW5L￿. *u

CHILDREN AND YOUTH
11kntyth$gf+*Srtwy P￿$¢{ 51Th*1thh*entO W1n￿Pted lorafthv
T4 12 ye•s&l0 spxelor￿￿ry peode

CHRISTMAS JOURNEY
nd parinereowth YoYO(Yth*
YOLrtn TNstitO
eEkEndAnd to OYer2W ytar 3. 44nOSs
I LrfthE towra$thty$￿￿r￿yd
1h[r¢j￿ pciMcl¥ir
Ic
E￿erd5 and a￿￿￿8￿￿1 kn•
rl S•b* JÈgJ% Th•
L•r9È srat wa%made ws*falÈtyYaYo.
low YCC
rtEeis.

OUTREACH EVENTS
EGGSCAPE ROOM
CAROL SERVICE
ALPHA
the wpfcf aME￿I￿d*v)JSsthP

RELIEVE SICKNESS AND FINANCIAL
HARDSHIP AND PROMOTE AND
PRESERVE GOOD HEALTH
TODDLERS
THE CORNER KIDS THE CORNER
The yeBIs
11. TrrJJkn •idalrnlls**re OTthts tlub h
ith wtyJthJ 25 (hikY*I r
aVEfdye ha¥e seen knyeJse
DBds and MllleCatys*ner￿￿*
rrw chwyJesth** thrdemert¢¢ tr￿￿9h￿Jt
thEM￿￿th￿ They￿￿￿￿￿treS*£￿a09es wasfry
tht Com8rlobRccffea fsThiy •s ¢ppostO iOiU#
aUrJky rAITNwÈday nights The be51 e￿￿tE
has beeTr1￿￿ wadice of
lhet￿ffibYh3¥￿Y am*altrylhv A
rr￿￿ rerEntthDrsehas be￿ lett￿9 the
peoF4e netytg*eip ty>)ktherne41
a5 al¢¥mrft4nè#ryp.
V* ￿SEPt
2033

FRIDAY LUNCHES
vxttoYCC fL¥FrftyLuK*es.
FOODBANK
Dthing the y*¥ 2Q2>?024w¢￿% w￿￿tdf￿>￿fvr1J93￿￿rlp*￿*xheQJ￿eslo 15.75%
BESOM
•g¥¢•nry yev.
CONNECTIONS

TO ADVANCE EDUCATION
WTC THEOLOGY
ENGLISH AS A SECOND
LANGUAGE
VCC ha%* parthere0￿ the Yth* Cthxth fota
Its￿•¢d Tr*W$the¥*JiShathec409￿tr*
qr•sludffntsrn￿ * ￿9￿￿￿￿OSt¢l t¢geiher.
l￿d&qUI￿￿1￿)ls r4ryryf￿rna￿
DI[4r￿na and ￿a&jale(iF*Th¥ ThE¥e
a¢N¢dl¢d ￿51m￿￿trThtC4CWc￿lr￿<wTCIIfvs
MONEY MANAGEMENT
WORKSHOPS
peopltattwd the c￿￿58$.

FUNDING
turn det•l$ p￿aSe xethe4Cc￿LMS iecliM4*thÈirEpxL
DONATED
RECEIVED
RECEIVED
RECEIVED
£11,717
£4,250
£1,705
£800
JNDIVIOUAL5 AND C
ARITIES
THE BENEFACT
TRUST
WARM PLACES
GRANT
HULL RO WARO,
CITY OF YORK
COUNCIL

YCC STAFF
DEVELOP14ENT 141
NISTÉR
Q.4 Fre
PASTORAL MI
NISTERF
OVTREACH
INISTER
OPEAATIONS IIA
NAGEA
I￿r￿J￿
302Jl
2024
YOUTH WORKER
OUTREACH
WORKeR06
FTE
tsIGITAL ASSI
ST ANTQ2 FfE
AO¥IMSITRA TOR
0.6 FTE
SFTE

TRUSTEES
C¢urril* fty
¥vknl dvEcliimfarthE
(*AJtth.

SasthJtthewaTr*h* wnrAwtsto ￿lEVe ar
YCC POLICIES
* w*lthat
dplewed hidiv4tuats.
Iii•wtyY•itoftheYrrt C￿rth.
bjth short. Iw4trn ￿lfIl￿.
)nsbltni•id tqL¥latrle rn￿￿￿.
dOtydO noi qv4fy ¥orhwv9er gLidÈkn
¢Lyn¥￿￿tF￿￿I Saretyar¥J Oeiakkne
Rtsws FI￿1r￿a O￿l￿E5 W￿￿￿*￿￿5E•E1n￿i1￿e￿aThy
Leaoets ieiaets).
al a hb3h W arpj to ￿se *thKhlhe kn￿dull

RESERVES
POLICY
REFERENCEAND
ADMINISTRATIVE
I NFORMATI ON
resorw(4£50.QW r¢whdlo mtttthE
c￿ SAWI 2024 freE to
tW.457wlh the*xceSSrts&*s eamw
AvWsithidC￿IiIy". 114YJ71D
Y•*YO)i wire4oiw¢doifK•i
rsg pt. Yw Yoi Th
YOFK YOX)7XL

STATEMENT OF DIRECTOR'S AND
TRUSTEE'S RESPONSIBILITIES
Campanyaid LT*WLwvdthE Tru#ee5ta PEPWE >e¥.T*ti(h9* a bwe wdtsr%iEwdthe ￿Llea151[aIr￿OT
Jn L¥the ch*itswe CtyTrwy 2r4J6 ¥F*cab*tha￿y￿ They
¥e aLWrtswh*wer(*Sateww•if¥Ji￿o5￿sC4i￿¢ Ch¥tstrAt ald ￿1￿u0 ofthher
Exemp￿￿￿
C Ch•Thn

INDEPENDENT EXAMINER'S REPORT TO THE
TRUSTEES OF YORK COMMUNITY CHURCH
I repxtto Ihe thJiity Iw51eesrffj my Cth)wany *Ythe>W￿&l 5 2024.
T￿5 report Is made lothe thantht4e cunF4n*5 trustees. asa bDdy. In acL¥Ydance￿lh Ch*ter 3 of P•1 16 of th Comp8Thes 2(A16
nd the tharit5ble￿rrvnY'5 tru4Ees 35 a In 154 01th2 Charit*sAct 2011.
independwrt exwn1￿rfs ￿rk ha5 been LY￿lak￿ sothat l *righltsl¥tetO Ihe (*witstJe coi)pany's rrustees Ih05e fflatter51 am required to
5tste to them In ￿ inde￿nde￿I e￿ir*S repJt ar￿ lor ￿ thr pryse. To ihefLW ext￿1 PEtmdt•J by I do t￿ar￿t or assthme
respDnyblrty to anyDne other Ihe thwlai4e (¥xntw)y. the ctsritatAe o>mpanVs Trwbers as a bc#Jy ardlhe chariiai4e¢xxnpary'5
trustees as a bo(ty for rny IndepeThSeni exan4r￿S wlLYLhe Opr¥w￿l ha¥elryTh￿.
Responyibilities and basis of Feport
s the chanty'5 ￿5[ee5 of the crffi￿y {￿￿ also 115 the wrFr4e5ala￿parry Lwl *e rtsp>)gblefty thepw•ptrm oflhe
a(J3)un15 ￿ ac(yydancewith thE reqiArern¢nts rlthe c&Mp￿ NLt 2r￿ 2rK6 kri
Hawng sabsfied m￿lIbal u￿ awJurrt5 ofthe Company we IKI reqL4red to te Part 16 ofthe 2006 Act are dvjible fLY
I￿ependent exwniwrm. I rtr&yt in ie5f¢Ctd of yowtrAnty's xcojrts as Lwvj ￿￿t￿n￿er *£ts)n 145 ofthecharibes
2011 1'thE 2011 AL*) In ¢xrt myewirt81iw I h8v8 the C*reaw$9bw ty the ChorKy CoTrfflissbJn undw sedion 145151 Ibl
oltre201)A

Independent exaMinÈVs stst*ment
the Coryany's gmssin¢(vne VAGeeded £250.C¢X)y￿eX•￿￿ffi￿Sl tea tK#Jy sell￿ 145ofts 2011 Aci I
the dthe Iisiety t¢x*es.
bdieve"
l. accc¥Jnbng recuds¥Rre nc¢ kept in reyct oltheCc¢nkwy35 rEwred ty sec*oTh Ja6ofthe (x
2. ihe a¢crwnsdo ￿1h
3. ihe a(rounlsé0 (omKty trE aLuwntry se(kn 396 20(bk* than aThy rewNwrt that Iheacc4unt5
give a'true and fairwthy *hch Is a matter as pwtcf ar* exarninauc￿.
4. the have not tW WEp•ed me￿￿)$￿ the SlateTh￿l ol fte¢wm￿dÈd PrBCtKefor
accountyny rewbng by o*ibe5 loL*Wi￿$ thwraCL￿Thts In a￿[￿￿9￿*￿11h the FI￿￿K￿¥1 Repthng Siandar¢
aFplicab￿ in the UK ar* Rewtk dlreland IFRS 102).
In enOb￿ o prrsw K¢wr*sto be rekn
Sarah Weanrg. FCA.
HPH. Charte￿￿
51 Bootharn, Ywk, YOJO 7XZ
1Z Z024

D￿519￿ Envelope IO.. c69Eg1BA￿2E￿79f￿A90C-62j8sC97O
YORK COMMUNITY CHURCH
STATEMENT OF FINANCIAL ACTIVITIES
(INCLUDING INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 5 APRIL 2024
Unrestricted
General
Funds
Restricted
Funds
Total Funds
2024
2023
Nole
Income and endowments from:
Donations and legacies
Churth activrties
236.183
38.708
4.250
240,433
38,708
235,940
14,265
Total income
274.891
4,250
279,141
250,20S
Expenditure on:
Charitable aclivilies
312,658
14,145
326,803
230,543
Totsl expenditure
312,658
14.145
326.803
230.543
Net income for the year before
Iransfers
137,767>
19,532
{9,895)
{19,532)
{47.662)
19.662
Transfer capital expenditu
Nel movement in Funds
118.235)
(29.427)
147.662)
19,662
Balances brought forward at
6 April 2023
Balances carried forward at
S Aprll 2024
208.857
98,829
307,686
288.024
£ 190,622
£ 69.402
£ 260.024
£ 307.686
The notes on pages 23 10 32 form part of these finanual stslements.
21

Docusign Envewe ID. C69E918A412E&47*AYJC42388C9788AD
YORK COMMUNITY CHURCH
BALANCE SHEET
AS AT 5 APRIL 2024
Unrestricted
General
Funds
Restricted
Funds
Total
2024
2023
Fixed Assets
Note
Tangible fixed assets
Current Assels
Debtors
Cash at bank
10
275,964
275.964
276.308
11
15,273
66,794
15.273
136.196
10,554
195,298
69.402
Tc•tsl Current Assets
82.C67
69.402
151.469
205,852
Current Liabilities
Creditors= amounts falling due
within one year
12
(21.572)
(21.572)
122,316)
Net Current Assets
60.495
69.402
129.897
183,536
Total net assets or liabilities
336.459
69.402
405,861
459,844
Creditors: anYJunts falling due
after one year
12
1145,837)
(145.8371 {152.158)
Net A5SoIs
£ 190.622
£ 69.402
£ 260,024
£ 307.686
The funds of the charity:
un￿StrICted General Funds
Restricted Funds
13
13
190.622
190.622
69.402
208.857
98.829
69.402
£ 190.622
£ 69.402
£ 260,024
£ 307.686
In the D1￿ctorS. and Trustees. opIn￿n the Charitable Cornpany bfds entitled under section 477 of
the Companies Act 20￿ (Ihe Act.) lo exemption from the audit of its financial stslements for the
year ended 5 April 2024. No not￿ from members requiring an audit has been deposited under
section 476 of the Act in relation lo its finanoal slalements for the financial period. The directors
and truslees are reswnsible for ensuring that the Charitable Company keeps accx)unting records
which comply with section 386 of the Act and for preparing financial statements gtve a Irue
and fair view of the stale of affairs of the Chantable Company as at the end of each financial period
and of ils income and expenditu￿ for each period in accordance with the requirements of sections
394 and 395 of the Act and otherwse ccthply with rts requirements. so far as applicable to
the Charitable Company.
The financial statements have been prepared in alurdan￿ the special provisions of the
Companies Act 2006 applicable lo small companies.
Approved by the Board on 12 December 2024
and signed on its behalf by..
C Candlin
DKe¢tor and Trustee
Director
The notes on pages 23 10 32 form part of these finan(ial ststements.

Docusvan En￿￿pe ID.. ￿91￿A￿2E847gf￿A90c-82388¢9?8Wj
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5 APRIL 2024
1. Accounting policies
The principal accounbng policies adopted. judgements and key sources of estimation
uncertainly in the preparation of Ihe financial statements are as follows.
al Basis of preparation
The financial statements have been prepared in ac¢rydan¢e with Accounling and Reporting by
Chanties.. Statement of Recommended Practice applicable to chartlies preparin9 their accounts
in accordance with the Financial Reporting Standard applicable in the UK and Republic of
Ireland IFRS 102) {elfective 1 JanLsary 20191. and the Financial Reporting Standard applicable
in the UK and RepUt￿lC of Ireland {FRS 1021 and the Companies Act 2006.
York Communrty Church meets the definition of a public benefit enty.ty under FRS 102. Assets
and liabilrties are initialty recognised at historical cost or ITansaclion value unless otheTrise
stated in the relevant accounting policy note{s).
The charitable Company is a piivale company limited by guarantee. incorpoT8ted in England.
The address of the registered office is.. The Centre @ Bumholrne, Mossdale Avenue, York,
North Yorkshire. Y031 OH
The charitable compan￿$ fvnctional currency is the £ steding.
b) Preparation of the financial statements on a going c¢)ncwn basis
The Director5 and Tnjstees have a reasonable expectatr.on that the Chaitty has adequate
resources lo continue in existence for the foreseeable future. The directors and trustees feel,
however, that there are adequate reserves to continue operational existence in the event of a
reduction in income. They continue lo believe the going eoneem basis of accounting is
appropriate in preparing the finanoal statements.
c) Income recognition
Income is recognised when the charty has entiuement to the funds, any performance conditions
attached to the itemlsl of income have been met. rt is probable that the incorne wll be received
and the amount Can be measured reliably.
d) Donated services and facilities
Donated professional and other services, and donated facilrties. are recognised as income
when the Charity has control over the rtem, any condtiion5 a550cialed vith the donated item
have been mel, the receipl of economic benefit from the use by the Charity of the rtem 15
probable and that economic benefrt can be measured reliably. In accordan￿ V￿th the Charities
SORP {FRS 1021, general volunteer time is not financially recognised, reference to the
Trustees, and Directors, Annual Report provides more information about their contribution.
There have been no donated professional or other seryices received during the year.
el Expendlture and irrecoverable VAT
Expenditure is recognised once Ihere is a legal or constructive obligalion lo make a pa￿ent to
a third party, it is probable that settlernent ￿711 be required and the amount of the obligation Can
be measured reliably.
Costs of charitable activf(ies include those costs incurred by the Charity in the delivery of its
activities and service5 for its beneficiaries. Costs relating to a particular adivity are allocated
directly. Irrecoverable VAT is charged as a cost against the aettmty for the expendrture
was ineurred.
23

D(thsgn Envdort ID.. cfj9E91BA.02￿79￿A￿23BBc97a8AD
YORK COMMUNITY CHURCH
NOTES TO THE FINAIICIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
Accounting polieies (continued)
Support cosl5 are those funth.ons that a55iSt the work of the Charity do riot ￿1￿Ctty undertake
charitable acliwties. Support cosls inckjde back office cost5. finance. pèrsonnel, payroll and
governance costs which support the ch￿rt￿$ actswtses. These costs have been allocaled to
expenditure on charitable activrties.
fj Fund accounting
Unreslricled lunds are lunds whith arÈ available for use at the discretlon of the DirectOf5 and
Trustees in furtherance of the genefal objectives of Ihe Charity-
Designated funds a￿ fuThJs set as*Je by ihe D￿eCt(￿S and Trustee5 gut of unrestricted general
funds for specfft future purw)ses or projects.
Reslrided funds funds Vth￿h are used in 8Ccudar￿e with specfft re5tn"ctions imposed by
donors.
9) Tangrble fix￿ assets and depreciation
Tangible fixed assets are induded in the financ4J statements at their 14stoital cost lin the case
of t1onated assets. at their far Wdlue at the date of acquisition).
Assets wth a value of less than £50 are w¥ilten ofl a5 expenses in the year in which the
expendrture Is incurred. Assels wth a value greater than £50 are capitali5Èd an¢J Iheir cost is
Office eqvipment
Churd) equipment
Cornerstone equipment
at straight line oveF 3 years
at straight line over 3 or S year5
at straight h.ne over 3 OT 5 years
h) Pension scheme
The Charity operates an aulTrenrolment pefi$l￿ scheme through NEST. Contribulic￿s are
charged as an expense in the period incurred.
i} Operating leases
Rentals payat4e under operats'ThJ leases are charged on as strai9ht liné basts over the lease
Il Oebtors
Trade and other dablors are recognised at the setllement amount due after any tradè diseount
offere(l. PrepayThenls are valued at Ihe amount p￿Paid net of any trade discounts due.
kl CaBh at bank and in hand
Cash al bank and cash in hand indudes cash and shwi terrrt highty liquid inveslments with a
short Ma￿rty of three months or kss from the date of acqLWSitMJn or opening of the deposil or
simiLar account.
l) Creditors and provisions
Creditors and promsions a￿ re¢ogrrised where the Chanty has a p￿en1 obligation resulting from
a past evenl Ihal will probabty resutt in the transfef of fund5 tts a third party and the amtyjnt due to
settle Ihe obkgation can be rneasureil 01 estsrnat￿ reliabty. CredIt￿S and provisions are normalty
m} Financial instrumtnts
The Charity only has finanaal assets and financial li*1￿"e5 of a kind that qualrfy as basic
finanryal inslfurnent5. Basic financial inslruments are 1nrtlal￿ recognised at transaction value and
subsequenlty measured al their settlement value vAlh thè exceptson of bank loans which are
sub5equenlly measured at amortised cosl using Ihe effective interest meth¢)d.
24

Do￿$1￿ En¥d¢ye ID.. C69E918A412EPA79MXf-82388C978BAD
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
2. Liability ol members
York Community Church is a company limited by guarantee. The liabilrty of each member is
limited lo a sum not exceeding £1.
3. Net 8xpgnditurn
2024
2023
Nel expendilure for the year is arrived al after charging..
Depreciation, less profit on disposals
Independent Examination fees
943
1,410
1,181
1,505
Unr•stvicted
General
Funds
Restricted
Funds
Total Funds
2024
2023
4. Donations and legacies
Planned giving". Envelopes
Standing orders
Gift aid tax recoverable
Cash collectsons
Donations, appeals. etc.
3.750
167,952
35,909
7,277
21,295
3.750
167.952
35.909
7,277
25,545
550
171,379
36,593
7.658
19,760
4,250
£236.183
£ 4,250
£ 240,433
£ 235,940
In 2023. £56.838 of income frun donations and legac￿ related to restri¢led funds.
Donations from trustees
Donations lolalling £39,431 (2023.. £54.540) were received frc¥n trusiees during the year.
Unrestricted
General
Funds
Restricted
Funds
Total Funds
2024
2023
S. Income from church activilies
Mi55tonary Incorne
Events income
Rental income
Miscellaneous Church Activities
1.500
2.832
33,174
1,202
1,500
2.832
33.174
1.202
3,9B2
7.756
1.160
1,367
£ 38,708
£ 38.708
£ 14.265
In 2023, all inc￿le frc¥n church acbvit￿s rdated to the unrestrided funds.
25

DoLw*gn Efivdope ￿.. CG*91￿412Er￿7￿g)c￿238BC91a8AD
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR EP4DED 5 APRIL 2024
Unrestri¢ted
General
Funds
Restricted Total Funds Tolal Funds
Funds
2024
2023
Note
6. Charilable activities
Missionary and charitable giving
Salaries. nab"on* insurance and
pensions
Acts 435 Paid Out
PreTni5es." rent and rates
Insurance
Youth work
Social events and refreshment5
Christians Against Povety centre
expenses
Cornerstone expenses and investment
Carelgrfts
Office and general administr*"ve
expenses
Legal and professional fees
Bank charges
Loan interest
Independent examinerfs fees
Depreuabon
20,213
20.213
17,872
125.892
125.892
123.766
11.525
2.697
2.222
4.248
11.525
2,697
2.222
4.248
18.(hS4
1,778
1.773
6.754
701
114.590
701
128,735
3.008
5,616
15,613
3,570
14.145
9.812
1,241
207
13.949
1.410
943
9,812
1.241
207
13,949
1.410
943
10,382
20,178
195
2,296
1,505
1,181
£ 312.658
£ 14.145
£ 326.803
£ 230,543
In 2023, £21,750 of expenditure on charitatAe acti7•ties related to restricted fund5.

Docusign EThvelape ID-. C69E9I8A-02E847¥Tr￿c423oec9?oftho
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5 APRIL 2024
Unrestricted
General
Funds
Restricted Total Funds Total Funds
Funds
2024
2023
Note
6a. Charitable activities
Missionaryand charitable giving
James and Tash Flelchw (Arab
World Minislriesl
"BMS World Mission
Caring fof Life
CMS IRobertsl
Deborah Stevenson
Friends International
Just Giving - Rock UK4
Kinlsugi Hope
Mullers
OMF-Judith Milchell
Open Doors
Pedro Joao
Prywerline Trust
Renee Osborne
Restore York
Revive
Ruth Noble
Serving in Mission
Sharayah Madsen
Stewardship London
St Michael Bdfrey
WTC Hub
YCYH
York Schools and You
Yort( St John
Yvonne Sipin
2.(KlO
250
1.400
320
752
1.200
1,000
250
1,4CM)
320
752
1,2Tr)
1,400
320
487
1,200
100
250
1,000
1,200
800
1.600
1.400
486
1.200
1.280
1.253
2.020
1,253
2,020
8¢XJ
1,334
752
1,400
1.280
500
300
752
1,4
1.280
5CKI
1,200
63
500
500
2.(KlO
2.oc
300
1.400
200
486
1.400
1.4
752
752
20,213
20,213
17,872
7. Governance Costs
2024
2023
Salaries - administrator
Independent examinerfs fee$
10,332
1.410
9.415
1,505
£ 11,742
£ 10,920
The all￿atiOn of sataries to govemance costs represents a proportion of 80% of the
adrninistrator's total salary costs.
27

Docusign En*b)pe ID.. C69E91B￿02E847￿A9JC-623BeC9768AD
YORK COMMUNrrY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
Total Staff Costs
2024
2023
Salaries
Employer national insurance
Pension ¢onlribulions
Stslf training
115,902
7,059
109,202
9,412
3,152
2,000
£ 123,766
245
£ 125.892
During the year Ihe number of employees employed by the Church was 7 12D23 - 5). No
employee received emolumenis above £60.000. The pension contributions relale to payments
into an autrTrenrolmenl pension scheme NEST in respect of existing employees.
The key management persrmnel of the Church cc*nprised the trustees only, who received no
employee benefrts.
During the year the number of volunteers was 1 (2023- 1)- 1 Adminislralive Support Worker.
9. Truslee transaction$
No Iru51ee recewed nor waived any remunerabon or expenses during the year. There were no
trustee transactions other than the donati￿$ disclosed in note 4.
10. Flxed Assets
Cornerstone
Office
Church
Equipmenl Equipmerrt Equipment
Land &
Buildings
Total
Cost
Al 6 April 2023
Additions during the year
Al S Apnl 2024
Dep￿ciall0n
At 6 April 2023
Charge in Ihe year
Al S April 2024
Nel Book Value
Al S April 2024
7,013
6,111
7.933
275,000
296.057
600
7,013
6,711
7.933
275.000
296,657
7.013
4.803
7.933
19,749
7,013
5.747
7.933
20,693
275,000
275,964
Al S April 2023
£ 275,000
£ 276.308
All fixed assets relate to the unrestr￿ted funds.
28

Docusign EThK%lope ID." C69E9I8A4I2E￿79W)￿823B￿C97aaAD
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
11. Debtors
2024
2023
Gift aid lax recoverable
Prepayments and accrued Interest
Other debl(Ks
2,572
12.701
2,435
8,119
£ 1 S.273
£ 10,554
All deblois relate to the unrestncte(I funds.
12. Creditors.. amounts falling due within one year
2024
2023
Accruals
TaxatiThi and Social Security
Other Creditors
Bank loan
1.480
1,385
1.120
587
19,224
130
19.962
£21.572
£22,316
CreditoryJ: amounts falling due aft•r on• year
2024
2023
8ank hjan
145.837
152.158
£ 145,837 £ 152.158
All C￿dItorS relate lo the unreslricted fufKIs.
The bank loan is secured against the property hebj by the chanty.
29

DooJ5i9Th En¥ehipe ID". C69E91&¥02Ee479MKC-823B6C9788fvD
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
13. Church Funds
Balance b/f Inc￿
Capital Balance G
06.04.23 received Expenditure Expenditure 05.04.24
Unrestricted Funds
208.857
274.891
1312,658)
19,532
190.622
Restricted Funds
Church Miiifield Lane
York Food Bank
Benefacl Trust
88.934
9.895
119,532)
69.402
19.895)
14.250)
4.250
Total restricted funds
98,829
4.250
(14.145) 119.5321
69.402
Total funds
£ 307.686 £ 279.141 £1326.803)
£ 260.024
8alance bff Income
Capital Balance clt
received ExpendiluJ¢ Expenditure 05.04.23
Unrnstricted Funds
117.059
193.367
1208,793) 107.224
208.857
Reslri¢t¢d Funds
Christsans Againsl Povety
Church Millfield Lane
Cornerstone - Friday Lunch
York Food Bank
2.954
43.543
12.954)
{18,3501 (107.224)
(4461
170.965
88,934
9.895
9,895
Total restricted funds
170.965
56.838
{21.7501
98.829
Totsl fvnds
£ 288.024 £ 250,20S £ {230,$431 £ 107.224 £ 307,686
The restricted funds a￿ represenled by funds raised aThJ grants received for restrtcted
Chrisbans
ainst Pove
The Church provides Life Skills courses and and other support lo"Christians Against
PoveW' clients. The Church previously ran the York East'chrisbans Against Poverw.
Church - Millfield Lane York
For the purchase and renovation of the Cornerstone prcperty on Land.
The purchase of the Comerslone propety on Millfield Lane was completed In November
Cornerstone- Frida
Lunch
Funding towards the Friday Lunch prowded at Comerslone.
York Food Bank
To Install new rear window5. kitchen fire shutter and the fire door to the kitchen.
Benefact Tru51
For repairs to the Comerst¢￿e roof_
30

Docusign En￿ltype ITr. C69E91BA-02E&47W90C-82388C978&4D
YORK COMMUNITY CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED S APRIL 2024
14. Analysis of Net Assets by Fund
Cuffent year
Unrestricted
Funds
Restricted
Funds
Total 2024
Fixed assets
Currenl assets
Creditors.. amounts falling due within one year
Creditors". amounts falling due after one year
275,964
82.C67
121,5721
{145,837)
275.964
151.469
121.5721
{145.8371
69.402
£ 190.622
£ 69.402
£ 260.024
Comparats'¥e year
Unrestricted
Funds
Restricted
Funds
Total 2023
Fixed assets
Current assets
Credrtors". amounts falling due within one year
Creditors.. amounts falling due after one year
276.308
107.023
{22.3161
(152.1581
276.308
205.852
122,3161
1152.1581
£ 307.686
98,829
£ 208,857
£ 98,829
15. Tax Status
As 8 registered eharity. York Communrty Church is exempl from the payment of income and
corporalion tax on ils income falling within seclions 466 to 493 of the Corporaty"on Tax Act 2010.
16. Related Parties
There were no related party transactions in the year.
31

Dctu&gn EnveloF* ID.. C69E91BA￿EP￿7￿5L¢￿2JBaC9768AD
YORK COMMUNifi CHURCH
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 5 APRIL 2024
17. 2023 Comparative Statement of Financial Activities
Unrestricted
General
Funds
Restrlcted
Funds
Total Funds
2023
Income and endowments from:
Donations and legacies
Church activities
179.102
14.265
56,838
235,940
14,265
Total income
193.367
56.838
250,205
Expenditure on-
Charitable aotivities
208.793
21.750
230,543
Total expenditure
208.793
21.750
230,543
Net in¢omell•xpenditurel for the year
betore transfers
(15,426)
107,224
35,088
19,662
Transfers betsveen funds
1107,224)
Npt movement in Funds
91.798
172,136)
19,662
Balances brought lorward at
6 April 2022
117.059
170,965
288.024
Balances Ca￿led forward at
S April 2023
£ 208.857
£ 98.829
£ 307.686