GATEWAY CHURCH BARNSLEY
(A company limited b) guarantee)
FINANCIAL STATEMENTS
FOR THE YEAR ENDING
31st MARCH 2025
Company Number
Charity Number
07728123
1144050
Down 2 Earth Actountancy Limited
'The Siables,
26 West8ate
Monk Bretton
BARNSLEY
S712DJ

GATEWAY CHURCH BARNSLEY
FINAh'CIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
CONTENTS
PAGE
Legal and Administrative Details
Report of the Directors / Trustees
2103
Accouniants Report
Statement of Financial Activities
Balance Sheet
Notes to the Financia] Statements
7tolO

GATEWAY CHURCH BARNSLEY
LEGAL AND ADMINISTIL4TIVE DETAILS
FOR THE YEAR ENDED 31 MARCH 2025
Status .'
Th¢ organisation is a charity established as a compani" Itmited b).
guarant¢£.
Compan!" registration number .' 07728123
Rcgis*red chariti. number .
1144050
GoN'erning doCuM￿t .'
The charitv is o)ntroll¢d bi. its go¥erning documen¢. a de￿ of Itusl, and
constitues a limited compan).. limited b), guarantee. as defineA b}. the
Compames Act 2006.
Objects .
The objects of the chariti. are statuj in the Report of the Directors I
Trustees.
Directors l TrustLXS '.
Mark Reasbeck
Jotjathan Tiieedle
Neil Morris
Srikanth Bandla
Linda Parsons
kathiim Gal￿t-Morn$
Dan-Alexandrn Gugoasa
Director and Truslee
Dir¢¢ior and Trust¢e
Director a[￿ Tnjstee
Dir¢¢lor and Trus1¢¢
Dir￿lOr and Trustee - Resigned 7 April 2025
Dir¢¢lor and Trustee
Director and Truste¢
Secretan. .
None
Registered Office ".
15 Windsor Cres¢ent
Monk Bretton
B&msl¢i'
South yorks￿'re
S712LU
Bankers .'
HSBC UK
5 Market Hill
Barnsl•'
South yorks￿'re
S70 2PY
DOW￿ 2 Earth Accounianci Limited
'The Stable5,
26 W¢st¥ate
Monk Brction
Barnslei.
S712DJ
Payl

GATEWAY CHURCH BARNSLEY
REPORT OFTHE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Th¢ th"r￿torS I trustccs prwnt their rq)ort together i%'ith the unaudiid fiDancial statcmcnts for the pcri(xl
ended 31 Ma￿h 2025.
The tniSt￿ hai'e adopted the provisions of Accounling and Reporting b!. Chan'tics.. Statement of Recommetmled
Pfacli¢¢ applicable to charitics prcparing their accounts in accordancc iiith the Financial R¢porting Standard
appIl￿ble Èn Éil¢ UK and R¥public of Ireland IFRS 1021 {effccliv¢ l January 20191
INCORPORATION
The compani, i•¥as incorporated on 3 August 2011,
CORPOIL4TE GOVERNANCE
GaMNai' Church Bamslei. is a compan!. limitcd bi. guarantc¢ and is r¢81StCr￿ as a ¢harit)" b%. the
Chariti. Commission. The compan). is governed ￿. its Memorandum and Articles of Association.
The th'rectors of the ¢ompans' are also Chariti. tNstegs for the purpos¢ of dwi'ti. lail. Th¢ governing bcxl!. is
the board of directors I trnstees M'hose members are elected bi. the Members of the Association.
Th¢ board meets as often as is ne¢essar)' to rei'ieis" the financial status of the compan!. and its progress
toii'ards mceting its obje¢ts.
REVIEW OF DEVELOPMENT AND ACHIEVEMENTS OF THE CHARITY IN THE PERIOD
The Chariti. consolidated and concentrated its efforts lo progress funthng and suppon to the need). in the Itar.
FINANCIAL REVIEW
Durm8 the peri¢Jd ended 31 March 2025 the companN' had a surplus of Incomi￿ resources over expenditure
of £13,964, Ihe incoming resources amounted to £146,801 for the vear.
Expenses of managing and administering the companj amounted to £132,837
The reserves held bi. the charits. amount to £153,297 11.hich is for the purpose and ￿rtheranCt of the chariti
objectives.
PLANS FOR THE FLITURE
The focus of tlie charitt. il'as in the proi'ision of funding and SUPPKSrt to tIK need}. in the communih.. The results
of th¢ chanh. rctumcd a Surplus in thc
Future concentration is in fundinB and support of the need!. in the communitN' and iTrith a contmuous revi¢iY of
ture dire¢tion.
Page 2

GATEWAY CHURCH BARNSLEY
REPORT OF THE DIRECTORS I TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STATEMENT OF DIRECTORS I TRUSTEES RESPOYSIBILITIES
Compani. laiv requires the directors to prepare fiD3ncial 5tatem¢nts for each financial lear H'tu'ch a
Irue and fair iieiv of the state of aff￿'rS of the tompan!. at the end of the period and of the profit and loss
for the pericd then ended.
In preparuw those financial siaiements the directors ar¢ requirql to .'
Select suitable accounting policies and then appl!. them consistentl!. ,
> Make Judgements and estimaies that are r¢asonable and prudent '
> Prepar¢ the fuwicwl statements on a going concern basis unless it is inappropriate to presume that the
compan!. iiryll continue in operation.
Th¢ directors are resp(msible for kttping proper accounting records ii.hich disclose. INith reasonable
accurac!. at anN' time, th¢ financial position of ihe compani. and to cnablc thcm to ensure that the firkancial
stsiements compl!. iiith the Companies A¢1 2006. Th¢i'. are also r¢sponsibl¢ for the safe¥uarth"n¥ thc asseis
of the compani. and hence for tsk￿g reasonabl¢ steps frir the prev¢nts'on aDd detection of fraud and other
irregularities.
Approyed by order of the board of trustees on 12th November 2025 and Signed on its behalf by:
Mark Reisbeck
Dirtttor l Trustee
Page 3

GATEWAY CHURCH BARNSLEY
REPORTING ACCOUNTANTS, REPORT TO THE TRUSTEES I MEMBERS
ON THE UNAUDITED FINANCIAL STATEMENTS OF
GATEWAY CHURCH BARNSLEY
FOR THE YEAR ENDED 31 MARCH 202S
Rejpectii'e re¥ponsibililieJ of tryitrts and ei*miner
The chariN's irusttts are responsible for ihe preparation of the accounis. Tl* chariti s irnsiees consider thAI an
audit is not required for Ihi5 lear under s￿l0n 144 of the Chariiies Aa 2011 {'Ihe Charities Act") and ihai an
lTrdC￿ndent examination is needed.
Ii is ms responsibilit} io..
ewiiine the awounls utthr section 145 of the Chariii¢S ACL
to folloy. tlie procedures laid dov'n in the general Direciions 8ii.en by lh¢ Chatin. Commisslon (under
5￿tion 145{4llbl of the Charitie5 A¢t. and
io state ￿.￿a￿¢T particular matt¢TS have conle to m!. attention.
Ba3iy of ind¢penilent eA&miner'$ ytat¢meni
Our eNan)ination ii'Js carried out in a¢cordance IiTih general direciions given ￿. I1￿ Charih. Coinmission. An
examination includes a rrn'ie￿ of Ilie accouThiing records kept th. Ihe chariN' and a comparison of ihe accounts
pr¢s¢nt¢d Thith thos¢ records. li also includ¢s ￿nSideratIOn of ani. unusual ilems or di5closure5 in the accounts.
and seeking &xylanaiions froin the ￿$tee5 concerning any sucli mailers. T1￿ prttedures undertaketk do not
prth'ide a]1 (he J'id¢nc¢ that M'ould required in an auth't. and ¢ons¢qu¢nili' no opinion is giirn as to iiheiher
Ihe accounts present a'trne alld f￿'r, i'iJi" ar￿ ihe Tepon is limited io those matiers sei oui in the stateinent
ov.
Independent examiner'5 statement
In conne¢iion iiitli out evminaiion. no in8tter has ¢onie io our aiiention.
. ii'hich gilts nic thc rcasonable causc to bclici'c that in. aiii. ￿￿tcrial rcspcci. the r4uircments'.
10 kccp accouniin8 records in accordance M'illi section 386 of the Conipanies Aci 20(kS'. and
to prepiire accourtis ii"hicli yccord ii.iih the a¢¢ountin¥ r￿rdS and ￿li1p11. M'iih ihe accouniing requireinenis
of seaion 396 of ihe Comparties Act 2(X)6 have not be¢n met.. or
2. Mhich gilts me the reasot)able cause io ￿lIeVe thai ihe accounts hai'¢ not kcn prcpared in a(￿rdance
ith ilie n1¢th￿ and principles of th¢ Stai¢Jnenl of Recoinmended Practice for accounting And
chmrities lapplicable io chari(ies prepann8 Ilieir accounis in accordance Ni¢h the Firtanc￿l Rep)rtin8
Standard applicable in the UK al￿ Republic of ITe]and (FRS 1021): OT
3. to iihich, in our o
io be reache
nion. ati¢ntion should trx dTaM'n in order to ¢nabl¢ a proper und¢rstandin8 of the accounts
26 Westgate
Monk Brclton
Bamsle).
Souih Yorksliire
S712DT
Doii n
Repo g Acco
. Limited
13th NoTrember 2025
Page 4

GATEWAY CHURCH BARNSLEY
STA TEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2025
Unrestricted
Restricted
Total
Total
Funds
Fund5
2025
2024
Income an
Endowments Fr
Do[￿li0nS and Legaci¢s
Interest Received
95,821
1.568
49,412
145.233
114.638
97.389
49.412
146.801
114,638
itur
Raising FutNIs
(62.7541
(17.865}
127,187)
25,031)
(89,941)
142,896)
170.379)
(45,6641
180.619)
52.2181
{132.837)
{116,043)
Net GainsllLossesl before investmtnt
Net Gatns/lLosses> on ini.'estment
Net Incomel{Expenditure)
Transfer Behi'een Funds
16,770
(2.806)
13,964
(1.405>
6,770
2,806)
13,964
(1.405)
Other Recogni5ed GainsllLossesl
G￿"n1{LO$SCs) on Rei'aiuation of fixed assets
Othcr Gains/(Loss¢s)
Net Movement in Funds
16.770
(2,8061
13,964
(1,405)
Re¢onciliAtiort of funds
Total ￿ndS brought foni'ard
Total funds carried forwY4rd
17,768
121.565
118.759
139,333
153,297
140,738
139,J33
PA8e S

GATEWAI, CHURCH BARNSLEY
BALANCE SHEET
AS AT 31 MARCH 2025
Unrcstricted
Futtds
Restrifted
Funds
Tot
2025
Total
2024
Note
Fixed Asiets
Tangible Assets
Ini'estments
5.085
47.482
52.567
53.728
5.085
47,482
53.728
Current A￿et5
Stixk
Debtors
pre￿%￿1¢nIS
Cash at bank and in hand
18.276
1.030
794
20.100
9.983
28.259
1.030
76,928
106,217
394
76,134
86,117
89,986
Creditors . amouotj falling due
"ithin on¢.iear
(4,487}
11.000)
14.487)
14,381)
current 45se15
15.613
85,117
101.730
85,605
Net ass¢tS
20.698
132,599
153,297
139333
Fund¥
R¢stsici¢d Funds
Unre5tncted Futtds
I l8,759
121,565
17.768
139.333
153.297
In the directors opinion the company was entiiled under Section 477(2) of the Companies Aci 2006 10
exemption from the audit of Its accounts for the year ended 31 Marth 2025.
No notice from the trustee5 requiring an audit has been deposited under Section 476 of the
Companie5 Act 2006 in relation to ils accoiints for the financial year.
The directors acknowledge their responsibility for '.
(a) Ensuring the wmpany keeps accounting rewrd5 which ¢omply Sectsons 386 and 387 of the
Companies Act 2006 and,
(b) Preparing accounts which give a true and fair Nryew of th¢ state of affairs of the company a5 at ihe
end of the financial year, and of its profit and loss for the period and which othenvise comply with
the requirements of Sects'ons 394 and 395 of the Companie5 Act 2006 relattng to a￿oUnts, so far
as Is applicable to the company.
The finan¢ia] statements have been prepared in accordance with the specia] proNisions of the
Companies Aet 2006 relatsng to sma]I companies and In accordance with the Financia] Reporting
Standard for Smaller Entsties.
The financial ststements were approved by the Board of Trustees on 12th November 2025 and signed
on its behalf by.,
Mark Re&sbeck
Director l Truytee
Page 6

GATEWAY CHURCH BARNSLEY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
I. ACCOUIYTING POLICIES
al BASIS of Atcounting
The finan¢ial statem¢nls have been prepared in accordan¢¢ i%'iih applicable a¢couniin¥ standards
and thc historical cost aceountin8 nJl¢s. and In accordan¢c ii'ith the Statemcnt of Recommended
Praciice.. Accountin8 and Reportuw b!. Charilies (issu¢d March 20051, and the Companies Aci
2006.
bl Incomine re$our£es
All incoming rcsourccs are included in the 5tatemenl of financial aclii'ilies ii'hen the charitt, is
entitl¢d io lh¢ In¢om¢ and thc amount can b¢ quantified ivith rcasonable accura¢!'. Thc folloii'in8
specific policies are appli¢ablL 10 panicular caieyories of income..
Donations are included in the statemeni of financial adiviti¢s M'h¢n r¢¢¢17¥￿.
l Expenditure
Costs of managin8 and administering thc charity. are Included in the statement of financial acii*ities
on an accruals basis, Inclusive of an). VAT, Ivhich ￿1n[￿t be recovered.
dl Fund Accountin
Ai the balan￿ sheet dai¢ Ihe compani. onl). ￿￿Ed3 utue$Irict￿ fvnds iiknch ma). b¢ applied to me¢t
the charipj s objects at the discretion of the irnstees.
e) Fixed assets and depre¢iAtion
Fixed aysels for charitable u$e i%.h¢r¢ over £100 are capitali8oJ * ¢08t. Impwrnient revi•vs are
carried oui bN' the directors as and cir¢ums(anc¢s indic￿¢ a necessiii,. Depreciation is
alculated to ii'nt¢ off the c05t of an asset, l¢ss th¢ ¢stunated T¢sidual value of each asset over 118
expected u5cful life as folloii's
Improvements to propem.
Plant & ma¢hin¢r%'
Fiiturcs & fittings
Offi¢¢ equipment
24/0 per annum on iiritten domn valu¢
240/0 per atmum on ii'ritt¢n doi%iJ ialu¢
250/0 per annum on ii'ritten doi%n i'alue
25O/D per a¢]num on iiTitten doi%n i'alu¢
Fixed asset ini"cstment properties are valucd annualls. b! ihe directors I trustees and shoiix in the
accounis ai valuaEion. Net Surpluses or d¢ti¢its oll rci'aluation arc takcn to rcscrycs.
InTr'¢sth)ent propcrti¢s arc not d¢pr¢ciatcd.
Page 7

GATEWAY CHURCH BARNSLEY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
2. INCOMING RESOURCES
2025
Fund$
2024
Fynds
Donations and Legacies
Intrrest R¢ceiv¢d
145.233
1.568
146.801
114.638
114.638
3. IL4ISING FUYDS
2025
Funds
2024
Funds
Wages & Salaries
Raics and i¥atcr
Light & Heal
Tel¢phon¢ & Intcrnct
Office Eipenses
Support Costs
Mottram Hall Insurance
Public Liabilitt. Insurdllcc
Mottram Hall - Clcanin8
Mortram Hall - Repairs
Mottra]n Hall - Build￿8 Project
71.769
270
2.689
407
486
5,037
624
566
1.095
3.410
3.588
¥y.5141
62.686
318
2,214
280
205
,974
540
528
942
692
711.37Y
4. NET INCOMEIEXPENDITURE)
2025
Fund$
2024
Funds
Net incomellexpenth'ture) is staled after char8ingJlcrediun81
Depreciation - oiined
2.Y03
2.12Y
5. TRUSTEES, REMUNERATION AND BENEFITS
2025
Fund$
2024
Fund5
S￿arles
Trustees Pension5 paid
41.184
861
42.045
35.178
35,723
6. STAFF COSTS
Th¢ avcrngc monthl!. nwnkr of emplo)￿5 durin8 the as folloii'5
202S
2024
Pastor
Emplolee
PARe 8

GATEWAY CHURCH BARNSLEY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
7. TANGIBLE ASSETS AND IIYVESTI¥IENTS
Improvement¥
Plant &
To Property MA¢hinery
Fiitures &
Fittings
Office
Equipment
Total
Cost
Ai l April 2024
Additions in the peri¢>J
Disposals during the pericrfj
52,923
3,526
16.656
10.703
2.219
{1.0661
82.369
2.219
11.066)
At 31 March 2025
52,923
3,526
16.656
11.856
83,522
Depreciation
At l April 2024
Charged in the period
Dcpr¢ciation on Disposal
At 31 Ma￿h 2025
5.258
953
3,422
26
15.734
230
5.666
1.694
1589)
6.771
30.080
2.903
15891
32,394
6,211
3.448
15.964
Net Book VAlue
At l April 2024
47,665
104
922
5.037
53.728
At 31 March 2025
46.712
78
692
5.085
52.567
8. CREDITORS . Amounts falling due within one year
2025
2024
Ta￿lon and social securiN'
Other Creditors and accruals
Deferr<iJ Income
605
3,882
1.000
5.487
517
3,865
4,382
9. RESERVES
Unrestricted
Funds
Restricted
Funds
Tot
Funds
2024
Funds
ReseTh'cs BIFis.d &t l April 2024
Surplus of income 0￿er cxpcndilure
Ai 31 March 202.5
17.768
16.770
34.-Si8
121.565
12.8061
118.7)9
139.333
13.964
153.2V7
140.738
11.405
139.333
10. TRANSACTIONS WITH DIRECTORS I TRUSTEES AND RELATED PARTIES
No transactions involving dircctors I trustees and related partie5 Luurred in the P¢riLNI.
If anTr transactions i&ith dir¢clors I truste¢$ and r¢lai¢d pani¢s the5c arc underthk¢n cntir¢lN' on
an arn)s-len8th Commercial basis.
Page 9

GATEWAY CHURCH BARNSLEY
APPENDLX TO THE STATEIVIENT OF FINANCIAL AcfivITIES
FOR THE YEAR ENDED 31 MARCH 2025
Unrestricted
Funds
Restricted
Funds
TOTAL
2025
TOTAL
2024
Income and En
wmen
Donations & Legacies
Interest Received
95.821
1.568
97J89
49,412
145.233
1.568
146801
114,638
49.412
114.638
ur
nRAi
Wages & Salaries
Rates and water
Light & Heat
Telephone & Intemet
otyice Expefts¢5
Support Costs
Moltram Hall Insurance
Public Liability In5uran¢e
Mottram Hall Cleaning
Mottram Hall Repairs
Mottram Hall Building Project
in
52.675
270
2,689
407
486
5,037
624
566
19,094
71.769
27D
2.689
407
486
5.037
624
566
.095
3,410
3.588
62,686
318
2,214
280
205
1,974
540
528
942
692
-09$
3.410
3,588
62,754
27,187
89.941
70J79
Other
Website Fees
Fees
Teaching l Books
250
34
124
860
250
34
124
860
259
13
229
60
89
144
717
193
528
80
264
80
4.770
40
1.802
104
469
2,129
54
400
364
1.020
Signs & Banners
Zoom Subscription
Equipment Renew21s
ChTislian Safeguarding S¢Tvi¢es
Licenses
Subscriptions (EA)
Battk Charges
New Lodge Rent
Tithing Giving
Thennostat
Church (Rom Sun Food)
Video Project Expenses
Staff Meeiing Expenses
Depreciaiion
Loss on Disposals of Equipment
Cinema Service
Romanian Christmas Th'fts for Ch&ldren
Romanian Pastor / Speaker Expenses
li6
607
167
726
80
256
156
607
167
726
80
256
3,700
3,700
2.653
2.653
346
,694
476
34(?
2,903
476
1.209
721
2,218
721
2,218

Unrestricted
Funds
Restricted
Fund5
TOTAL
2025
TOTAL
2024
Other Ex
endi
re- contin
Harvest Celebration
Evangelism Expenses
Stairfoot Foodbank Donation
L.Parson Scooter Donation
S&feguarding Training & Fees
Youth Group Expenses
Gatew8y Guys Expenses
Romani&n Sunday School Expenses
CAP Eveni Expenses
Great Grub Club Expenses
Allotment ProJ¢c¢ Exp¢nses
Bible Academy
Gen A Expenses
Shoes Box
Lundwood Rent
Benevolent Fund
Foodbank Expenses
Wonderzone
Shine
Silas, YW AM Mission Expense5
Mottrdm Hall Parking Vouchers
CAP Monthly Fee
Romanian Donations
338
124
1,000
378
378
1,000
711
417
148
143
1,000
204
417
148
143
104
4.818
458
150
333
264
.843
539
75.5
6.569
183
4,818
458
150
333
264
1.843
539
7)5
6.569
183
304
1.909
60
1.810
11.561
441
6,895
325
Cp,000
750
310
6.000
1.600
310
().IlOO
1.600
17065
25,031
42096
45,664
Ntt Surplus I (Defieit)
16,770
12I061
13.964
(1,4051