ANNUAL REPORT OF THE TRUSTEES OF EMMANUEL BAPTIST CHURCH FOR THE YEAR ENDED 31 MARCH 2024, Charity Name: Emmanuel Baptist Church Registered Charity Number: 1145500 Trustees: Rev Russell Braund {Church Minister) Retired June 2023 Margaret Groom (Deacon and Church Secretary) Daniela Corradini (treasurer) Resigned Jan 2024 Rev Penny Marsh (Elder) Basil Johnson (Elder) Dr. Adrian Hopkins {Elder and treasurer from February 2024) Albert Enita {Deacon) Palo Bangard (Deacon) Dr. Brian Bannar-martin {Deacon) Nic Payne (Deacon) Resigned Feb 2024 Veronica Higgwe (Deacon) Elected June 2023) Strurture Governance and Mana ement As established in the Church Constitution. agreed by the Church Meeting held on 20 July 2011. the Board of Trustees is composed of: The elected Deacons The elected Elders The Church Treasurer The Minister The Trustees have met regularly throughout the year to manage the affairs of the Charity, both in their role of trustees as well as leaders of the Church Ob'ectives and attivities The Church's Purpose, as defined in the constitution, is Yhe advancement of the Christian faith according to the principles of the Baptist denomination. The Church may also advance education and carry out other charitable purposes in the United Kingdom and/or other parts of the world. The Church has maintained online and in person. a regular programme of weekly worship services, prayer meetings and small Bible study groups. as well as running a variety of groups and activities for people of all ages, throughout the year. Financially. in addition to continuing its work in the local community, the Church has distributed monies to several organisations whose sphere of activity is outside the immediate area of Gravesend, but in keeping with the Church's defined purpose.
Public Benefit The Trustees keep under review the working of the Charity. and how it can improve its effectiveness and influence. It provides a range of facilities that serve local people. such as activities for children, young people and adults that give help. support, stimulation, and encouragement, as well as promoting the Christian faith and enabling people to join public worship. A number of local special interest groups hire rooms in the church building providing an amenity for the community. e.g. Alcoholic5 Anonymous, and Narcotics Anonymous as the easy availability of regular support meetings are vital for successful long-term abstinence. Achievements and Performan The 2023124 year has brought significant changes within the church leadership with the retirement of our Minister, the resignation of our Treasurer as she moved away from the area and, at the end of the year. the retirement of our Community Worker. The leadership and congregation have adapted well to these changes and some have taken on unfamiliar roles. Preachers have come from the Baptist network of churches, Churches Together in Gravesend and from within the congregation. We have had newcomers to our services most Sundays, mainly from ethnic minority backgrounds, and we have sometimes been able to signpost those recently arrived in the UK to appropriate sources of help and support. Hybrid delivery of services and meetings has become an established pattern which enables those who cannot attend in pe.rson to be involved. and broadcasting of Sunday services enables watching of services online. Average numbers attending on Sundays has increased slightly over the last year, and the number of the congregation taking an active part in services has also gromm. We are an increasingly culturally diverse congregation set within an ethnically diverse community, and this is reflected in the make-up of our leadership team. We are actively seeking a new Pastor by making our pastoral vacancy known within the Baptist Union network and have met two prospective pastors but for different reasons the contacts were not pijrsued. We may need to look at other potential candidates outside the Baptist system. Widenin our reach. For those who prefer a more traditional service. a Wednesday afternoon meeting has continued for a consistent small gathering of people, some of whom are unable to attend on a Sunday. An Asian fellowship has started to attend Sunday worship once a month followed by their own worship time together in Punjabi. We also have a Romanian congregation meeting in the chapel on a Sunday afternoon, a small Russian speaking group from Ukraine and the Baltic States meets on Sunday afternoons, and an eighty strong Brazilian congregation worships in our building on a Saturday. It is a privilege to be able to facilitate local groupings of Christians who want to worship in their first language. We continue to hold prayer meetings and Bible studies online. because this is more convenient for many and makes it possible for older people to take part in the evenings. Bible studies are run as short courses and have been appreciated by the small numbers who attend. One group of retirees meets for home Bible study and prayer monthly on a weekday mom(ng. During the year, we were able to conduct baptisms and funerals, sharing as a church community in these occasions.
Church meetings re13ting to the governance of the church take place four times a year and are now held in person. With the departure of our church treasurer her responsibilities have been taken on by different members of the leadership team and a new bookkeeper has been appointed. Preparation of the accounts this year will be outsourced. The church provides pastoral support for those who are regular worshippers and members of the local community. Support continues to be given to those who are struggling with homelessness or the rising cost of living. Make Lunch retnains an important means of serving the local community in school holiday times. not just by providing meals, but also providing a social gathering for families, as well as food to take home for the coming week. Friday youth club is an outreach activity drawing in mainly unchurched youngsters. some of whom have identified learning needs and find the school environment challenging. Three of the young people attending are homeschooled. In the absence of a youth worker, three members of the leadership team help out the club leader during these evenings. A committed team backed by the church also support Foodbank and Sanctuary. We support local Street Pastors and School Pastors, and our Community Worker has continued running Kintsugl Hope courses to help meet people's emotional needs. Emmanuel retnains an integral part of Gravesham Churches Together, taking a lead in the events in the town and being part of the network meetings, as well as the North Kent Baptist network meetings. We continue to part fund a church-based outreach worker who provides practical and spiritual support to the large South Asian community in Grdvesham as well as support to a church outreach in Ebbsfleet. The church continues to provide financial support for work overseas amongst poorer communities through the links we have with Baptist World Mission and other Christian organisation5. Financial Review The total income received for the financial year to March 2024 was £150,850 an increase of last yearfs figure of £136.661. The tot31 expenditure for the financial yearto March 2024 was £191,003 an increase to last yearfs figure of £136,661. The accounts therefore show a deficit of £40,143 a reduction from last yearfs deficit of £66,254 In the financial year to March 2024. we carried out major roof work on the Manse and replacement of two large patio windows which put extra demands on the church finances. In spite of the challenging financial situation we have continued to support missionary work both in the UK and abroad as well as helping a number of families in need in the Gravesham borough and will seek to maintain the same level of support for the coming financial year. Although in the year to March 2024 we have incurred a Substantial deficit the church cash position is still healthy matnly due to the sale of an investment property owned by the church. Approved by the trustees on . and signed on their behalf by Adrian D Hopkins Chair of Trustees and Treasurer Brian Bannar-martin Trustee
1145500 CC17a Perirxl end datè 0110412023 3110312024 Section A Statement of financial activities estricted income funds Unrestricted lund5 Endowment fund5 Total thls year Total last yèar Recommended ¢ategorie5 by activlty Incoming resources {Note 3} F01 F02 F03 F04 F05 Incoming resources from geEwated funds Oonalions and Legaf*S ChaFitabk a¢bvitie5 S01 121.134 21.200 121,134 21,200 119,121 12.136 S02 other trading acbvitses Incoming resources from thari18ble activthes Other intaming resources Total incoming resources Resources expended (Notes 4-8) Expenditure on=_ RaLsing funds charrtab activities S03 S04 8.526 8.526 5.404 S05 S06 1$.860 150,860 136,661 SCB S09 S10 7,417 37.240 7.417 37.240 4,588 32.141 6.988 159,198 202.915 Separate materiat item ef expense Other Total expended S11 146,346 191.003 146.346 191.003 S12 Net Incomin(outg0Ingj resour beforn ban5fers Gross transfers between funds Net incomlng/(outgoingJ resources beft>re other recognised galns/(losses) other recognised gainsl(losses) Gains and losses on revaluation of fixed assets for Ihe charity's own use Gains and losses on investment assets S14 140.1431 140.143} 166,2541 S15 S16 {40.143} 140,1431 166.2541 S17 S18 Net movement in funds S19 140.1431 (40,1431 166,2541 Total funds brought forward Total funds carried forward S20 523,330 7,150 530.480 596.734 S21 483.186 7.150 490.336 530,480 CC172 (Ex¢el) 1010112025
Section B Balance sheet Restricted income funds Unrestricted funds Eftdowment Total thi5 fvnds year Total last sEar Fixed assets Tangible assets F01 6,297 F02 F03 (Note 9) F04 6,297 F05 10,635 Investments (Note 10) Total red assets Current assets Stock and work in progress Debtors (Note 11) (Short term) investments Cash at bank and in hand Total cumtassets 10,635 3.366 3.366 810 510,066 527, 58 Creditors: amounts falling due within one year (Note 12) B11 9.432 9.432 7.433 Net current assets/(liabilifyes) Bl? 519.825 Total assets less cunwtliabilities B13 530,460 Creditors: amounts falling due after one year (Note 12) Provisions for liabilities and charges B14 B15 Net assets B16 Funds of the Charity Restricted income funds (Note 27) Unresticted funds Revaluation reserve ,460 B18 7.150 483.186 7.150 483.186 7.150 523,330 819 Total funds F21 530,480 Sned by one orkn Iru*es on iehalf ofall the trustses snaknre Print Name Dats of roval 4J CC17a (EX> 1t)K1112025
Section C Notes to the accounts Note 1 Basis of preparation This section should be completed by all charltles. 1.1 Basis of accounting These accounts have been prepared on the basis of historic cost (except that investments are shown at market value) in accordance with- Accounting and Reporting by Charities - Statement of Recommended Practi (SORP 20051" and wrth Financial Reporting Standards for Smaller Enterprises {FRSSE) or and with the Charities Act. . exce t for the follown Give detaits in this l)ox If a different standard has been followed. nla -Tid( as appropriate= if all relevant disd05ures sh(Mn in the pack have been given trten please tÈck"Accountsng Stsndards.. if disclosures o)mpleted in these accounts have been restricted to Ihose required by Ihe FRSSE. then please tick "Financial Reporting Stsndards for Smaller Enterprises {FRSSEI". - If no departures from the chosen stsndards have been made then delete these words" olheswise give detai15 of any char>qes in the b)xes. 1.2 Change in basis of accounting There has been no change to the accounts.ng policles (valuation rules and methods of accounb'ng) since last year15 except for the following). Give details In this box of any material changes that have been ma(le. nla nla & if no changes have been made to accounting w)li¢ies then delete these words. 1.3 Changes to previous accounts No changes have been made to accounts for previous years except for the following). Give details in this l)ox ofany njaterial changes that have been made. g if no change5 have been made to accounts for previous pericds then ddete these words. CC17a (Excdl 1010112025
Section C Notes to the accounts cont Note 2 Accounting policies Thls standard list of accounting policies has been applled by the charity except for those deleted. Where a different or additionalpolicy has been adopted t11 this is detailed in the box below. INCOMING RESOURCES Recoqnition of incominq resources These are inClted in the Statement of Financial Actiwties ISoFA} when: the charttv becomes entitled lo the resources" the trustees are virtuallv certain they %¥ill receTve the resources" and the monetary value can be measured with sufficient reliabilitv. Where Incoming resources have related expendire las with fijndraising or contract income) the incoming resources and related expenditure are reported gross in the SOFA. Grants and donations are only included in the SOFA vthen the Charity has unconditional entitlement to the resources. Incoming Tesources with related expenditure Grants and donations Tax reclaims on donations and gifts Contraetual income and performance related grants Incoming resources trom lax reclaims are fftduded in the SOFA at the 5arne lime as the glft to which they relate. This is only included in the SOFA once the related goLxJs or services have been deliveied. Gifts in kind Gff(s in kind are accounted for at a reasonable esiimate ol their value to the ¢harity or the amount actually Tealised. Gffts in kind for sale or distribution are included in the accounts as gifts only when sold or dIstribed by the charity. Grfts in kind for use by the charity are induded in the SOFA as incoming resources when receivable. These are only inGluded tn incoming resources {wth an equtvalenl amount in reSoue$ expended} where the benefit to the charity is reasonabty quantFftable. measurable and material. The value placed on these resources is the esimaled value to trte charty of the service or facility reGeNed. The value of any volunlary help received is not included in the accounts trKrt is described in the trustees, annual repofL This is included in the accounts en receivable. Donated services and facilities Volunteer help Investment incoffle Investment gains and losse5 This includes any gain or loss on Ihe Sa of investments and any gain or resulting from revaluing investrnents to market value at the ertd of the year. EXPENDITURE AND LIABILITIES Liabilty recognition Liath"lrttes are recognised as soon as there is a legal or constructNe obligakn.on committing the charity to pay out resources. Include costs of the preparation and examination of statutory aunts. the costs of trustee meetings and ¢05t of any legal advice to trustees on governance or constitutional matters. Where the charity gives a grant conditions for its payment being a specific level of serwce or output to be prowded. such grants are only recognised in the SOFA ¢)nce the recipient of the grant has provided the specified seTrice or oulput. These are only recognised in the accoLFnts when a commitment has been made and there are no conditions to be met relatir¥J to the grant lyhh remain in the control of the chaTIty- Support costs iftclude central fvncl¢ons and have been allocated lo activity cost categories on a basis consistent ivith the use of resources. eg allocating property Costs by floor areas, or per casita. staff costs by time spent and other costs by their usage. Governance costs Grants with performance condrtion5 Grants payabEe without perfomianee conditions Support Costs ASSETS Tangible fixed assets for use These are Gapitalised if they can be used for rn Ihan one year. and c05t at least £500. by charity They are valued at wst or a reasonable value cfft rlpt. Investments Investments quoted on a feccrtJnised stock exchange are valued al matttel value ?1 the year end. Other investment assets are included at trustees. best estimate of market value. Stocks and *ork in progress These are valued at the lower of Gosl or market value. POLICIES ADOPTED ADD¥rtONAL TO OR DIFFERENT FROM THOSE ABOVE CC17a {Excel} 101011202S
Section C Notes to the accounts cont Note 3 Analysis of incoming resources In¢oming resources may be further anafysed rfthis would help the readerolthe account& This year Last year Anal sis Donations and legacles Wmdmill siieet Offetm 17070 61S8 77377 16.817 Cash offenngs Gfft Aided Oftenry5 Legac*s Grftai¢ ReGlend 3.882 72.01e 15987 1049 3346 127 18.966 Youth Club Incchrne 296 .13k"e Lunch Itume 7.143 Churth nch0 Total 121.134 119.120 Activitles for generating funds Hall Hire ertension Heros 17.920 3.280 12,136 Totsl 21.200 12,136 Investment income Irrterest Income 8,526 5,404 Total 8.526 5,404 Incoming resources from charitable activities Total CC17a (Excell 1010112025
Section C Notes to the accounts cont Note 4 Analysis of resources expended Resources expended may be further anatysed rf thls would help the reader of the accounts. This year Last year Ana is Costs of generating voluntary income Youth Club Expenses Make Kunch Ex ennses Commun Choir Ex 2,137 5,240 41 1,343 3,218 27 nses Total 7,417 4.588 SOS expenditure on charitable activities Missiona Donations Pat rial and Youth Work Donations to eo le in need Donations to vssisty.ng preacheTS rtension Heros Ex enses 23,224 1,494 8,564 3.158 800 37.240 23,124 2,504 6,514 Total 32,142 S10 Separate materails iten of expenses 6,988 Total S 11 Other General CharT De reciation Govenanace 142.008 4.338 154,860 4.338 Total 146,346 159.198 TOTAL EXPENDITURE 191.003 202.918 CC17a (Excell 1010112025
Section C Notes to the accounts cont Note S Support Costs Please complete this note rfthe chai7ty has anatysed its expenses using activity categories and has support costs. Fundraising activity Charitable Activity Governance Activsty Total Cost ort cost Total Note 5 Details of certain item5 of expenditure 11.1 Please provlde detalls of the amount of any payment or reimbursement of out-of-pocket expenses made to trustees or to third parties for expenses incurred by trustees. ff no expenses were paid, please enter'None' In the appmpriate box(es). This year Last year Number of trustees who were paid expenses Nature of the expenses Total amount paid 6.2 Fees for examination or audit of the accounts Please pmvide details of the amount paid forany statutory extemal s¢nrtlny of accounts and other services provided by your independent examiner oraudhor. If nothing was paid please enter NONE in the appmprlate box(es). This year East year Independent examinerfs OT auditors. fees for reporting on the accounts other fees (for example: advice. consultancy. accountancy services) paid to the independent examiner or audttor 100 CC17a (Excell 1010112025
Section C Notes to the accounts cont Note 5 Paid employee5 Please complete this note rfthe charity has any employees. 11.1 Staff Costs This year Last year Salarled and wages Social secutiry Gosts Pension costs (defined contribution scheme) 41.972 62,702 821 8,132 71,655 4,048 46.020 Total staff costs 7.2 Average number of fu1141me equNalent employees in the year The parts of the charity in which the employees work This year Number Last year Number Total 7.3 Defined contribution pension scheme Please Complete If a deflned contnbutson Brief detat15 of the scheme nsion schenpe is o This year Last year The ¢05ts of the scheme to the charty tor the year The amount of any contributions outstanding at the year end The amount of any contributions prepaid at the yEar end 4048 8132 CC17a (Excell 1010112025
Section C Notes to the accounts cont Note 8 Grantmaking Please complete this note rf the charity made any grants or donations which in aggregate fomi a material part of the charitable activities undertaken. 8.1 Total value of grants rants to institutions Total amount £ rants to individuals Total amount £ Purpose for which grants made Total 8.1 Grantmaking costs If the charity's accounts are prepatwT on the -activity basis- please give details of any support cost associated with grantmaking. Please enter "Nil" rfthe Charity does not identify and/or allocate support costs. Support Costs of grantmaking 8.3 Grants made to institutions 11 the charity has made grants to partscular institutions that are material in the context of its grantmaking please give details of the institution supported, purpose of the grant and total paid to each institution listed. Sufficient infomiation should be given to provide a reasonable UndetandIng of the range of institutions su orted. Names of institutions Purpose Total amount of rants aid£ 3,972 7,008 3,564 5,016 3,564 BMSWorld Mission Friends 1nternatt.onal Support of misioary work in the world Support of missionary couple in the UK Support of missionary person in the UK Support of missionary work in the UK Support with estabkishing new churches in Kent InterseNe Baptist Union Home Mission Seba-Kent thameside project Total grants to institutions 23,124 CC17a (Excell 1010112025
Section C Notes to the accounts cont Note 9 Tangible fixed assets Please complete this note if the charity has any tangibk fJ¥ed assets 9.1 Cost orvaluation Freehold land & buildings other land & buildings Plant, machinery and motor vehiCS Fixtures. rrttings and equipment Payments on aecount and assets under nstructs.on Total Balance brought forward Additions 17,352 17,352 Revaluations Disposals Transfers ' Balance carried foward 17,352 17,352 9.2 Accumulated depreciation and impaiTment Provisions -Basis SLorRB SLorRB SLorRB SL SLorRB Rate 250/ts Balance brought forward Depreciahon charge for vear lrnpaiment provisions 6,717 6,717 4.338 4,338 Revaluations Disposals Transters. Balance carrted forward 11.055 11,055 9.3 Net book value Brought forward Carried forward 10.635 6.297 10,635 6,297 9.4 Revaluation If any fixed assets have been revalued please gwe details of the valuer and method of valuation The ?ransfers" row is for movements between fixed asset categories. . Please indicate the method of depreciats.on by deleting the method not applicable (SL = straight line.- RB - reducing balance). Also please indicate the rate of depreciation.- for straight line. what is the antiupated life of the asset (in years)." for reducing balance, what is the percentage annual deduction. CC17a (Excell 10 1010112025
Section C Notes to the accounts cont Note 10 Investment assets Please complete this note rf the charity has any InvenIent assets. 10.1 Fixed assets investments Caryjng (market) value at beginning of year Add." additsons to investments at cost Less: disposa15 at caryng value Addl(deduct): net gainllloss) on revaluation Carrwng (market) value at end of year Please provide below." 10.2 A breakdown of the market values of investsnents shown above agreeing with the balance sheet row 803. 10.3 A breakdown of the Income from investments agreelng with SOFA row SO3. Analysis of investments 10.2 Market value at year end 10.3 Income from investments for the year Investhient propertles Investments listed on a recogntsed stock exchange or held in common inveslment funds, open ended investment companies. unit trusts or other collective Investment schemes Investments in subsidiary or connected undertakings and companses Securities not listed on a recognised Stock Exchange Cash hekl as part of the Investment portfolio Other investments Total 10.4 Material investment holdings It any single investment is material in temis of its value (for example represents more than 5 per cent of the value of the charity's total investments) please provide detalls. Investment held Market Value CC178 (Excell 11 1010112025
Sertlon C Notes to the accounts ont Note 11 Debtors and prepayments Please complete this note rfthe charity has any debtors orp Analysis of debtors ments. Amounts falling due within one year This year Last year Amounts falling due after more than one year This vear Last vear Trade debtors 990.0 Amounts due from subsidiary and associated undertakings other debtors Prepayments and aGcrued income 16,202.0 Total Note 12 Creditors and accruals Please Complete this note Ifthe charity has any Creditors orxcruats. 12.1 Analysis of creditors Amounts falling due within one year This year Last year Amounts falllng due after more than one year This year Last vear Credit card Trade ¢redrtors 39 989 9,177 4.789 Amounts due to subsldiary and associated undertakings OtheT creditors Accruals and deferred income Total 12.2 Cash at bank and in hand CC17a (Excell 12 1010112025
Section C Notes to the accounts (conti Note 13 Endowment and restricted in¢ome funds Please Complete this section rfthe Charity has any endowment orrestricted Income fijnds. 13.1 Funds held Please give a brief des¢rlption of any of the following type of funds held by the charity: pem7anent endowment funds {PEI' expendable endovmient funds (EE)" and restricted income funds. including special trusts, of the charity (R). Fund Name Type PE. EE orR Purpose and Restrictions Unrestircled General Fund Little Lights Fund People in need fund Minister Patorial fund To support fvrther WOWTk with thiildren To support peope in need in our communty To support people in need To support Christian againnst pverty activities CAP Fund 13.2 Movements of major funds Please give details of the mvements of the major funds sumn7ansed In the restricted and endowment columns of the Statement of Financial Activities. un balances brought forward un balances carried forward Incoming resources Outgoing resources Gains and losses Transfers Fund names Unrestircted General Fund Little Lights Fund People in need fund Minister Patorial fund CAP Fund 514.022 487 150.860 664,882 487 8.821 8,821 7,150 7,150 Total Funds 530.480 150,860 681,340 13.3 Transfers between funds Please give details of any transfers belween funds. From Fund {Name) To Fund IName) Reason Amount CC17a (Exeell 13 1010112025
Section C Notes to the accounts cont Note 14 Transactions with related parties If the charity has any transactions wyth relatedparties (other than the trust expenses explained in note 6) details of such transactions should be pmvided in this note. If there are no transactions to report, please enter"None" in the relevant boxes. 14.1 Remuneration and benefits Please give the amount of, and legal authority for, any remuneration or other benefits paid to a trustee or other relatedparties by the charity or any institution or company connected with it. Legal authority (eg order, governing document} Amounts paid or benefit value This year Name of trustee or connected party Last year Minister 33,665 14.2 Loans Please give details of and amounts owing to orfrom Ihe charity s trustees or other related parties by the charity at the year end. Name of trustee or connected party Amount owing This year Last year Legal authorty Due to trustees and related parties Due from trustees and related oarties 14.3 other transaction(s) with tTUStees or related parties Please give details of any transaction undertaken by (or on beham ofj the charity in which a trustee or relatedparty has a matwial interest Name of the trustee Relationship to or related char Description of the transaction This year Last year CC17a {Excel} 14 1010112025
Section C Notes to the accounts (cont) Note 15 Additional Disclosures The following are significant matters which are not covered in other notes and need to be included to provide a proper understanding of the accounts. If there is insufficient room here, please add a separate sheet. CC17a (Excel) 15 1010112025
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examinerfs Report Report to the trusteesl members of Emmanuel Baptist Church 31" March 2024 On accounts for the year ended Charity no (if any) 1145500 Set out on pages I report to the trustees on my examination of the accounts of the above charity ("the Trusf) for the year ended 31 March 20241 Responsibilities and As the charity trustees of the Trust. you are responsible for the preparation basis of report of the accounts in accordance with the requirements of the Charities Act 2011 ("the Acf). I report in respect of my examination of the Trust's accounts carried out under section 145 of the 2011 Act and in carying out my examinats"on, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. I have completed my examination. I confinn that no material matters have come to my attention in connection with the examination which gives me cause to believe that in. any material respect: accounting records were not kept in accordan with section 130 of the Act or the accounts do not accord with the accounting records Independent examiner's statement I have no concems and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. Signed= Date= Name= Genevieve Jones Relevant professional qualification{s) or body {if any}: AAT Address: 71 St Marks Avenue Gravesend Kent DA11 9LN IER October 2018
Section B Disclosure Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts- directions and guidance for examiners). Give here brief details of any items that the examiner wishes to disclose. IER October 2018