Amazing Grace - Teesside
Report and Statement of Accounts
for the Year Ended 31 December 2022
-Registrar of Companies Copy-
Company No. 07763798
llllll
"BCD2BB7Z•
2￿0912023
c￿PANIEs HOUSE
892
*170
ANDERSON BARROWCLIFF LLP
Chartered Accounlants

Grx¢¢. T¢e55Mle
ntents
CotnpaDy iDfounation
Rep)rt ofthe Trustees
Ststetllent of f￿la1 activities
Balance sheet
Notes to the accounts
Indep¢ud¢Dt Ex8DJin¢r's R¢wTrrt
12

Amazin
Truststj
Dr S Braye
Dr T Giblx)ns
MrAJPBraye
Mr T Brotsghto
- Resigned 2310312022
Secretary
Mz5 M Braye
Cojnpany Number
07763798
Charity Number
1145379
Regtstered Offiee
59 DUtha￿ Ro
DAiddl¢sbrough
TS6 9NA
B*nkers
Barclays BaDk
I Churcbill Ptsce
tA)ndon
E14 5HP
3 Kingfisber Court
Bowesfield Park
Si(Kkton on Tees
TS18 3EX

Grxee- Te&sslde
Re rt of The Trustees
The I￿Ste¢S, who are also directors of the cbarity for the pllposes of the G)mpaaies Act 2LN)6, preseDi their report
with tbe fwaDeial statetnents of the Charity for the year ended 31 DeLember 2022. The truste￿ have adopted th¢
provistoths of Accounting alld Reponing by Cbarities.. Statement of R￿0mm¢￿de￿ Ptactice applicable to Ch￿ltieS
preparing their accounts in a¢cordao¢e with the FID￿ClaI R¢FortiDg StaDdard applithle in the UK and Repub]ic of
Ireland (FRS 102) (effective l January 2015).
The Charity's objects and its principal activity is the teaching of the bi￿1¢ and assisting in the development of our
congregation's faith. It also coniinues to striv¢ towards th¢ itnprov¢m¢DI of family aDd individual wellbeing and the
development and monitoring of yOUDg people in tb¢ ar
ACHtEVEMENTS
ID 2022, the ¢barity eottlitiued its church ￿1vitieS ofj Teesside. UK (Anllzillg Grace Te¢sside) and Tart￿ Estonia
(Al[￿21￿8 G￿e Tartu), with fijrther developmeot of its ¢baTity sI￿p in Middlesbrough. A lease agreemeDI w&%
entered ititoto lease a secondcbariry strlop in Red¢ar, with the thopopeDiDg inJanuary2023, eosting£8.000 excluditig
VAT per allllu￿ a five.year lease bas be¢D ay¢ed to. The sbop5 now have the usc of a van to enable them to offer
frtt ￿llectiOnS of donations to in￿¢8$¢ in¢otn
The church in stO¢kto￿ UK (AtDatiD8 Grace TeessTrde) coniillued to bold two services eacb Swthy with families
aDd children being Of particular fo¢￿$. The Family Services coniinue io bave a successful iDfiu¢nc¢ in eD¢oufdgiDg
faTnilEes to worsbip, learn and have fim ￿gether. The churcb also moved its base froDJ Stockton to Middl¢sbrougb
during the year to eDable it 10 continue io offer two services each Sunday at a tim¢ wb¢n pr¢mi5¢s costs and the cost
of utilities were increasitig sigmficantiy. DuriDg the year the cbvrch in Tar￿ Estonia (AmaDng GAee Tartu)
coniitiued to grow alld estsblisb itself ID its new pr¢mis¢s in th¢ City fXDtr¢.
2022 also saw the ¢huT¢b leaders travel on Ininisty trip5 to Sweden. Sparn and Estonia TwhTch enabled fijrtber
developrDeot of relationsbips with ¢bur¢bes and leader5 Ove￿￿. Further trips in 2023 alld beyond are plattned with
the view to grow this area of ¢h¢ cbatity's int¢rnational missionary wo
The ChaTity sbow¢d a d¢fi¢it on ullrestiic*d funds of £35.866 {2021.. £2A631) for the year.
Reservtt Poiiey
The aitu of the Charity is to secure fre¢ reserves to the valu¢ of around £25.IKM) per annum thal would facilitate
rnteruatiollal miSSiOD growth. At preseni the reserves do Dot reach this targ¢t and the Tr￿￿tte& arc looking at way5 of
increasing reserves.
Ai the year end the Charity l￿d negative free Te5erv¢s (UDr¢stri¢ted T¢s¢rv¢s le&8 th¢ amount inv¢sted iti fixed a&sets)
of £62.173 (2021: £28.390).
Durittg the year we have seen a cootiDwation of reduc¢d l¢v¢l of donations to a Stnaller con￿gation than in
previous years in the UK church. although we have seen an incrtase in donations in 2023. The main Contributor to
the deficit ID Utuestricted funds is due to Fu'gh premi￿ wsts whicb led to the rtiove from Stockton to
Middlesbrougb detsiled above. This will save ¢ir¢a £39.000 per aonum ID s¢rvic¢ charge atKI in5uran¢¢ costs plus
around £6,(W in utilities. The replxeuKnt bir¢ wsts ar¢ circa £8,5(Kl w aDnum.
The significant creditor balance at the previous year end continued to be of concern and focus for the trustees. This
focus led the Charity to agree and sign Into a Settlement As￿emellt with the creditor, removing the possibility of the
creditor calling in payment attd allowitig the Charity io focus on its objectives and the Tnjstees to foeus oll growing
income. They have a￿eed an arrangemettt to pay with the tnain trade ¢T￿lItOr arrears of £67.918. Payinents will Ee
made for 60 months totally £31.120 (£518.66 per month) and then the remaining outstanthng balall￿ will be writtett
off by th¢ supplitt.

STRucfuKE. GOVERNANCE AND MANAGEMENT
Th¢ Cbarity is constitut¢d &$ a Company limi.ted by 8uardDt¢e, without a sbaTe ￿pits1, and 15 ther¢fore governed by
a meD￿randU￿ and Arti¢l¢s of Associati"on. It became a regtstered clwity on 10 January 2012.
The Cbarity is organised so that the Tntstees me¢tregularly ￿ manage tb¢ affai￿ of th¢ ¢barity. A truste¢ is in char8e
of tbe day to day Tunnmg of the Charity.
APPOll¥TTrtENT OF TRUSTEES
Mr. A. Braye. Dr. T. GibboDS aDd Mr. T. Brou8btoD continue as truste¢s.
New tn]stees are approached ar￿ apwTrint&l after iotenwl co￿lderation and di5CU&SiOD5 against the following
Gettuine interest in the cbarity's objectives and activiti¢5 and our arw of OWion
Has a skn"Ilset whicts can enl)ance and complement those of existtD8 tn
Caring and cooperative in llabjre
CoTnpletes aPPTOPTiate checks froD) the Disclosure and Ba￿IDg servi￿ (DBS).
Are not in brcach of Trusttt requirements detsiled by the CbaTities Comtnission
Are not in breach of the Trus￿ Tequirements derailed in the charity's MemoraDdum and Articl¢s of
Associatiott.
TRUSTEES STATEMENT
ID setting our objectives and platming ovr activities tb¢ Trustee5 bave given careful consideration to the Charity
Colllltiissioll guidance oll public benefit. The Cbatity satisfied the public benefit critcria through its objects.ves and
work done in the year for families and young pwl¢.
This r¢port bys b¢¢npr¢par¢d in ¥¢ordancewiththe speciaiprovisi0ts8 ofPart 15 of tbe Companies Act 2(K)6 relating
to snwll ¢OD)paDie8.
By 0￿er of the TDJStees
Date=
2710912023
Mr A Braye. TnL

StatetDent of Finanti#l Artivities
ludiTh Income aDd Ex
enditure
the Year Ended 31 December 2022
(All Unrestrlcted)
2•22
2021
¥COM£ FROM:
Donatio])s aod L£gacic5
' Other tradiDg activities
Government grants
Investmellt incotne
93.736
30,103
25.603
41
31329
Tot*1 In¢otDe
128239
149.483
Clwitable activilies
164,lOS
176.114
Totsl Expenditure
164,105
176,114
Net Deflclt In Fund5
FuDd BalaD¢e Brougbt Forw*rd
(35,866)
(23,024)
(26,631)
3,607
FuDd BgJ•nce C•rrifd Forward
{58,890)
{23.024}

Company No: •7763798
Amazln Graee- Tee55ide
Bal*oee Sheet as at 31 December 2022
2022
2021
Flxed Ass¢t$
Tangible &55ets
io
3383
5.366
Current Asgets
Debtors
Cash at bank and in hand
12J52
1.787
1,102
1,509
14.039
2.611
Credlt&rs.. Amounts fallin8 the within ODe
year
12
(76212)
(31.001)
Net cU￿¢￿t Lfi#bl]Id¢s
(62.173)
(28.390)
Nel (Liabijitses) l Assets
($8J90)
(23,024)
Funds
Unrestricted
(S8￿90}
(23.024)
{58.89D)
{23,024)
For the year ellded 31 December 2022 the Company was ¢ntiti¢d to ¢xempti¢)n from audit under Section 477 of the
Cotnpanies Act 2006 relating to sn)all companies.
DirectOf5' responsibilities..
The tnembets bave ttot required the company to obtsiD an audit of its accounts for the year in quellioll in
accordance with section 476.
The directors acknowledge theirr¢sponsibiliti¢s for￿1)Ing with the requ1rernct￿ of Actwith rewt
to accounting records aod tbe pr¢paratioD of aw>u￿.
These accounts bave been wepared ID a￿Ordance with th¢ provisiott% of P8rt 15 of the Companies Act 2006
relatitt8 to small companies.
The finall¢iai ststements were approved by thc Board of Tnts￿¢S on
behalf by-
27109r2023
and wer¢ signed on its
Mr T Brougbton
Trust¢¢

Grace- Teesside
Note5 to the fill￿¢111 ￿￿tements for the Yur Ended 31 Deeember 2022
AccouNfiNG POLICIES
(a)
B￿￿$ of prep*ration
The cbaritsble company is a re8istrred clwity iti England Th¢ address of the regisrered office is
given in the cojnpany informatiott on page l. The oature of the charitable company's opeMions
and principal activities are sbown in tbe Report of tbe The Trustee5.
The ¢Tr￿ltable conwaoy Om￿lIut¢S a public benefit entity as defilled by FRS 102. The f￿art¢ll1
ststements have been prepartd iti accordance with Accounting and R¢poTtinB by Charities".
Statement of Recornmended Prdctice applicable to cbaritsble ¢OmPaDies preparing tbeir accounts
in accordance with the Fitiancial Rep)rting Standard gppli¢able in the UK and Republic of Ireland
(FRS 1021 issued iti Ociober 2019. the Financial R¢porting Standard applicable in the United
Kmgdom and Republic of Ir¢laod (FRS 102}. the Cbarities Act 2011. the CoD]pawes Act 2006 and
UK Getterally Accepted Practice &% it applies from l January 2015
Th¢ fwary¢iaL statetDents arrptrpaTedon a going CODcernbasis UDd¢r the hRStoricai costeonveniion.
The t[￿￿te￿$ believe that the ¢han"ty will be able to meet its financ￿ obligation5 when they becoTne
due. The financial review onpage 2 gives detsils of th¢ and expected finaDcial position. The
tr￿￿t¢S have consi¢Jered the level of fuDd5 beld and th¢ ¢xpected level of itic0n￿ and eXpenditt￿¢
for 12 months from avthorising thes¢ fiwicial Statern￿ts and believes that the"cbaTity will bave
fficient fijnds to meet all obhgati0￿￿.
Th¢ financial ststements are prepared in sterlmg vknicb is tF* fiJD¢tional CU￿¢ll¢y of the ¢haritable
COD]paDy. rounded to the nearest £.
Th¢ significant accoulllitig pokn'cies appli￿ in the prepaTation of tbese financial ststements are set
out below. These policies bav¢ be¢D wosist¢ntly applied to all ye￿5 prcsellted wjless otherwise
stated.
(b)
Comp8Dy Status
The cbarity is a company limited by guzrdntee. The mernbers of the cOMp￿Y are the trustees
named on page l. In thcevent of the clwity* wouttd up. the liability in r¢5p¢clof th¢ guarant¢¢
is limited to £1 P¢E metDbcr of the chanty.
(d)
ID¢thIDiD% r¢4•iirtu
Items of incotne recognised and included in the accounts wheD all of tb¢ following triteria are
Jn¢t'.
The charity entitleme￿ to the fiwtyjs.
Any p¢rformaD¢e conth"tiODS attached to the i*m{s) of Ill￿￿e bave be¢D or are fi￿Y
vrithin the control of the cbarlty.
There 15 sufficient certainty that receipt of the iticotik is cotisidered probable" and
The amouot Can be measured Idiably.
There is no nettiDg off of ¢xprnditswe F￿￿11￿ tb¢ ¥WUDts.
Dottatiotts are credited to iDCOm¢ &$ they tr¢ rvxived
Income from government and Oth￿ graDts, wbetber capital or revenuc grants, is recogDised when
the cbarity bas entitlem¢nt to the any wforman¢¢ CODth"tioDS attached to the grallts bave
been meL it is probable that tb¢ iWA>m¢ ￿11 be received and th¢ ¢AD be rneasured reliably
and is not deferrn
Continued...

Crace-
Notes to the FiMn¢ial Swem¢nts for the Year Ended 31 Detember 2022
ACCOiIThTING POLICIES - CODtiDu¢d
(e)
Re$our¢e5 eIpended
All exp¢Dditure is accounied for on an ac(n￿lS basis aDd is Tecoglliwj ODC¢ ther¢ is a lega]
constructsve obligatiott to make a payineDt to a third party, it is probable tbat sertlement will be
requlled attd the ajnoullt ¢aD be measured r¢liabty. Attributable VAT is included iti expetsdiwre
and cannot be rxovued. Exp¢nditure is cI￿lfied Under the following headin8S.'
Charitable expeDditur¢ ¢otDpris¢s those costs illcu￿ed by the clwity ID the delivery of its
activities. It Lo¢lUd￿ both costs wbicb ¢aD be directIy allocated th aciivities and tbose costs
of an indiTect nature nec&ssary to support them.
Support costs are those fuDctioDS that assist the work of tbe cl)aTity but do not directly
undertake cbaritsble activities. Support ￿$ts include geDeral repaiT4 iDsuraD¢< utility bill
and governance cosrs.
Governance costs are those iDcurred in CODnection with cornpliaDc¢ witb cor￿l￿tiO0al and
(fj
Fixed Assets
c3pitslis¢d.
Improv¢mellts to propty are deprrtiated over the pertod of tbe lease.
Collyuter equipment is depreciatrd on a 2￿/th straight lin¢ b&5iS.
Fixturt8 and fittings are depreciated on a 200/• straigbt I￿¢ basis.
Motor velll.cles are depreci￿ed on a 20Y• suaigbi IiD¢ b&si5.
C*sb at b*Dk
Casb at ba￿k aDd Ash iD band in¢lude5 cash and short kn higbly liquid itivestsllents with a sbort
maturity of three monts or I￿ from the date of acqwisitiott or openxng of tbe deposlt or similar
(h)
Debtors
Trade and other de￿01$ are reco8Dised * the settlemeDt amouDt th￿. Prepa￿ellts at¢ valued at
the amount PTepaid.
(o
Creditors
Creditors and provisions are reco￿•S¢d where the cbarity a present obligation resulting from
a past event that will probably result ID th¢ transfer of funth to a tbird party and the amount due to
settle the obligaiioo cao be measur¢d OT estimated reliably. Credito[5 and provisiolls are Domially
recogDised at their s¢ttlem¢Dt amount after allowing for ally trade discoullts th￿.
(J)
FuDd 4¢¢ounting
General fvDds are uDttstri¢t¢d funds wbich are available for use at the discretion of the trustees in
fi￿￿e[ance of the general objectiv&s of the charity and which have noi beeo designated foT other
(k)
TAxatlon
The charity is an exempt Cbarity within the tneaDiti8 of scbethle 3 of the Clwities Act 2011 aod is
nstdered to p&ss the tests sei out ID Pardgrdpb I Schedule 6 Fitmnce Act 2010 and. therefore, it
m¢¢ts the d¢fmition of 4 ¢baritsble cornpany for UK ¢otporatiott tsx purposes.
o)
OperatiD% Ikas
Operdting lew rentals ar¢ ¢bar8cd in th¢ Statetuent of Financial Activitie5 on a ¥traigbt linc basis
ov¢r th¢ leas¢ lerni.
(m)
Foreign currencies
Assets and liabiliiies in foreigD cum¢ie5 are translated into S*rling at the rntes of exchange Tuling
at tbe balattce sheet date. Transactions iti foreign curfencies aTe translated into steTlitig at the ra
of exchange ruling at tbe date of the trans8￿10￿. Ex¢baDge differeDCCS ar¢ tak¢n iThto account itk
arriving at th¢ op¢rating profit

Ama7Jn Crxee- Teesslde
Notrg to the FiDantial Ststements for the Yw Ended 31 Dettmber 2022
DONATIONS AND LEGAC
2022
2021
Donations
W20
93.736
21122
2021
Charity sbop sales
Book & tuck shop saks
Profit on Sale of FIX￿ Asset
3•Jl)6
423
29,459
644
31329
30,103
2022
2021
CoronaviDLS Job Retetttion Scheme
25,603
VESTMENT ThCOME
2022
2021
Bank AtiteTtst
41
DONATED GOOD& FACIUTIES OR SERVICES
Voluttte¢r5 doDate their lime to help Vario￿8 To1&5 a¢ross the clwity. Trior to the ¢barity shop OP¢DiDg,
this had been predominat)dy belping nm cbur¢b services and events. Sitice the shop opened, the role of
volunteers expattded to illclude rulltiing the shop. There are also a Sn￿11 number of volunteers who help tkle
Iwity in adn)Ini￿oll rol¢5.

raet-T
Notes to the FSn8tseJ￿ Statements for the Year Ended 31 Deeember 2022
2012
2021
Costs direftly allotated to activAts:
PayuteDts for pastoral services
Food & think
Rent & watrr
Missionary tiips & expenses
Alpba costs
Youth Work eosts
Wages
Social SecuTity
14,065
2.481
43J94
20.966
3.205
33.366
8.032
308
1.975
62.600
2.202
435
65,1(Kl
l.S49
136,080
132.654
Support allo¢a¢ed to adivltles
1389
8,474
139
851)
3,169
498
1,581
279
6.404
11.138
967
800
3.262
1.419
1,266
994
12,761
Heat & light
PriDting, Postsge, stationery & adveTtiSiDg
Telephone
InsuTan¢e
Travel expenses
Sulldries
Book shop5
DepT¢ciation
Loss OD sale of fLxed assets
Computer exp¢ns¢S
Bank cbarges
Foreign excbange lo&%es
Donations
lJ90
2.086
940
22
ioi
5,083
26025
42,320
Govern*nee eosts
Independent Examiners fee
1,21JO
1.140
1300
1,140
Totsl expendilyr¢ on ¢haritsbk adiTrilies
164,105
176,114
STAFF COSTS
2022
2021
Wages & salaries
Social Security costs
65,IOQ
Iy9
62.61
2202
66,649
64,802
The average monthly llumb¢T of ewploy¢¢s dwing the year w85 3 (2021 . 2).
No employees received ernolutnents ID exc¢&s of £60.1NKI.
K¢y management p¢noDDel
The trustees are deemed key management petsoDllel. rLO remullerntion b&$ been paid to any truslees in the
period.

Cr*ee- Teesslde
Notes ¢0 the Financial Ststernents for tbe Year Ended 31
io
Fixtsres &
Computer
Eqlllpment
Improvements
¢0 Property
Total
At l January 2022
Additions
Disposals
13.143
24.412
3.666
823
41,221
823
(1.375)
(1.375)
At JI De￿Mber201l
11,768
24,412
4A89
40,669
Depre¢i4tioD
At l January 2022
Charge for Year
ElimiDatcd on Disposal
12.029
408
(1.375)
1222
1.496
35.855
2.906
(1.375)
1,002
At 31 December 2022
11,062
2,718
37J86
Net Book VAIw¢
31 D¢¢emb¢T 2•22
706
8116
1,771
3383
31 Dccember 2021
1.114
1.108
5J66
li
DEBTORS
2•22
2021
Otbw debtOTS
651
451
11,618
12,252
1.102
12
CREDITORS: AMOiJNTS FALLtYG DUE WITHIN ONE YEAR
2022
2021
Trade ￿edItorS
A¢¢n￿lS
Otber taxes and social s¢eurity
Oth¢r Cr¢ditors
70252
1.872
998
27,385
2,041
1,575
76312
31,￿1
13
IEASING COMhllTMENrs
Minimum lew payments ut)der noD-cancellable oF￿atIng leases f811 as follows:
2022
2021
Within one year
1-5Y¢ars
&oo
31000
40,OIXI
The total lease payments reco8llised as an expeDse in the Ststement of Fitiancial Activiti&s were £DiI.
(2021.. £4,583).

Am*ziD
GrAc¢. Teesslde
Notes to the Financial Statemettts for the Year Ellded 31 Detember 2022
14
TRUSTEE REMUNERATION AND EXPENSES
Mr A Brny¢ r¢teived £72(X) (2021.. £6.675) forpastOTal Servi￿5 provid¢tL
Expeoses totalling £1,448 {2021.. £1.777) were paid to Mr A Brnye.
Exp¢D5¢S totalling £470 (2021: Nil) were paid to MrT BToughtoll.
No other trustre expeDSts or rE[Dwi￿all0￿ were pai
15
RELATED PARTY TRANSAcrtONS
Atnouuts paid to trustees are ststed itl Dote 14 above.
Sally AnD Grace BroU￿10n. mother of a tnjstee, Iw been ettwloyed by the Cbarity. the surns totalty £2.500
(2021.. Nil) have been paid io Sally in the period.

IDde
dent Exxminer's
rt to the Trn5tees of Arnazitt
Grnte- Teesside
I report ty tbe clwity trLLStees on my examinthon of the accounts of the Conwny for the ye4r ended 31 December
2022.
Responsibilities bwis ofreport
As the clwity's tNstecs of the Company (and also its direc￿ for tbe putwses of cotnpany law) you are reswnsible
for the preparation of the accounts iti accordaoce with the requiretnents of the Compames Act 2006 ('Ibe 2006 Act'j.
Having satisfied myself that the accounts of the Company are oot required to be audited Under Part 16 of the 2016
Act and at¢ ¢ligibl¢ for UKi¢p¢Dd¢Dt ¢xaMiDatiO￿ I r¢w)rt in re5PXt of my ¢xaTniDation of your charity's a¢¢ounts &5
catried out under 5ectioD 145 of th¢ Charities Act 2011 ('Ihe 2011 Act,). ID C4llyiDg out Tny ¢xamiD4tion I bav¢
followed tbe thrections givffl by the Charity Commi&sion under sectioD 145(5) (b) of tbe 2011
IDdependeDt uamther's ststsment
I have cotDpleted my examI￿tiOn. I CODfinn that no Dutters have come to my attention in conne¢tioD with the
cxatDiDation giving Me cause to FKlieve:_
accounting records were kept in Tesped of the Company &$ required by se￿70￿ 386 of th¢ 2CN)6 Act" or
tbe accounts do not accA)Td with those tecords. or
the accounts do not conwly with the accounting requirettmts of section 396 of the 2(￿6 Act other thall any
requirertient that tbe accouats give a *tue aod fair view wbicti is not a Dutt¢r considered *5 part of an
thc accounts hayc not been prepared in accordance with the methots and winciples of the Statement of
Recomtt*nded Pzactice for &¢ountiDg and repoiting by Charities lappb"cable to ¢l￿rItieS preparing tbeir
accounts ill accordance with the Fitiaticial Reporting StandaTd applicable iti the UK and Republic ofJreland
(FRS 102))
I have llo concerns and have cotne across tso other ma(ters in COTmectson with the examination io which attention
sbould b¢ dtawn ID this T¢PCrt ID order to enable a pwper undeithding of tbe accowits ¢0 b¢ reached.
Mrs Jane Bcnnett
ADdersoll Barrowcliff LLP
Cbartered Accountants
3 Kingfisher Way
Bowesfield Park
Stockton on Tees
TS18 3EX