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2023-12-31-accounts

Charity registration number 1146306

Hollywood Christian Life Centre (HCLC) Annual Report and Financial Statement For the year ending December 2023

TRUSTEES

TRUSTEES
David R Foster
Andrew J Wright
Charity Number 1146306
Principle Address Hollywood Christian Life Centre
Simms Lane
Hollywood
Birmingham
B47 5HN
Registered Address 185 Shawhurst Lane
Hollywood
Birmingham
B47 5JR
Bankers Co-Operative Bank
118, 120 Colmore Row,
Birmingham
B3 3BA
Safeguarding Advisors Christian Safeguarding Services
6 Marshalsea Rd
London
SE1 1HL
Afliations to Fellowship of independent Churches

HCLC

Trustees Report

For year ending December 2023

Objectives and activities.

To encourage our members to ‘Know Christ and make Him Known’ in

accordance with our statement of faith.

To be involved in supporting the local community.

To support other missions with the same objectives.

To support other organisations and charities with similar objectives.

Significant Activities

We have regular gatherings in our Church building and also at Meadow Green School Wythall for our any people attend, to promote the Christian Faith.

Our Pastor and Assistant Pastor are heavily involved in the local community as are other members of the Church.

Our activities involve, children’s and young people’s clubs, a food bank, weekly coffee mornings (mainly for the elderly), ‘Time for Tea’, visiting and caring for the elderly and needy, in addition to other local involvements with our local council and other organisations.

We have been supported financially by our local and district councils. The Pastors involvement in two of our local schools, includes taking

assemblies and helping individual children. He is also a Governor at Meadow Green School.

Our Assistant Pastor is running, for 2 days a week, a program of support for pupils who find it hard to engage in the regular school lessons, in our local senior school Woodrush High School. This also involves local and national businesses.

We also support practically and financially people referred to us by our local housing association and others organisations.

We are also, cautiously, growing links with a project to establish a school in Africa.

Dave Foster

Report to the
trustees/directors/
I+>LL/ycej) c^rrasm ft` L\eLe cj±h+TAG
members of
On accounts for the year
ended
3\sT OGceTh@ce as23
Charity no.:
•A \ 4¢,3o b
Company no.:
o]C)059o9
Set out on pages '3 .- 5
tr:#:#::t::ayr:::reuns:ee:S3°r/mY2X/a#n2agonoftheaccountsofthe
Responsibilities and As the charity's trustees of the Company (who are also the directors of the
basis of report company for the purposes of company law), you are responsible for the
preparation of the accounts in accordance with the requirements of the
Companies Act 2006 ("the 2006 Act").
Having satisfied myself that the accounts of the Company are not required
to be audited for this year under Part 16 of the 2006 Act and are eligible for
independent examination,I report in respect of my examination of your
charity's accounts as carried out under section 145 of the Charities Act 2011
("the 2011 Act"). In carrying out my examination,I have followed the
Directions given by the Charity Commission (under section 145(5)(b) of the
2011 Act.
Independent
examiner's statement EEEEEEEEEEE + . .i. ++'ii. +..
I have completed my examination. I confirm that no material matters have
come tp Ty..attenqon {other+nan that diooloocd below+which gives me
cause to believe that:
• accounting records were not kept in accordance with section 386 of the
Companies Act 2006; or
• the accounts do not accord with such records; or
• the accounts do not comply with relevant accounting requirements under
section 396 of the Companies Act 2006 other than any requirement that the
accounts give a `true and fair view which is not a matter considered as part
of an independent examination; or
•the accounts have not been prepared in accordance with the Charities
SORP (FRS102).

Statement Of Financial Activities
For the Year ended 31st December
2023
YE 31-Dec-23 YE 31-Dec-22
INCOMING REsOURCES U nrestricted Restricted Total Total
Funds Funds
Voluntarylncome 117,582 54,370 171,952 155,893
Activities for generating funds 0 0
Income from investments 0 518
Incoming resources from charitable
activities 0 0
Other income 0 0
TOTAL -INCOMING RESOURCES 117,582 54,370 171,952 156,411
RESOURCES EXPENDED
Costs of generating voluntary income 0 0
Charitable activities 118,279 10,704 128,983 117,221
Governance costs 1,766 0 1,766 1,517
Other resources used 2,101 0 2,101 523
TOTAL -RESOURCES EXPENDED 122,147 10,704 132,851 119,261
NIT INCOMING RESOURCES -4,5 64 43,666 39,101 37,150
OTHER GAINS OR LOSSES 00 0 0
NIT MOVEMENT IN FUNDS -4,5 64 43,666 39,101 37,150
BALANCES B/FWD 1.1.23 117,088 27,436 144,524 107'374
BALANCES C/FWD 31.12.23 112,524 71,102 183,625 144,524

YE 31-Dec-23 YE 31-Dec-22
Total
FIXED ASSETS
CURRENT ASSETS
Bank & Cash in Hand 183,625 144,524
Debtors 0 0
Total -Current Assets 183,625 144,524
CURRENT LIABILITIES
Creditors
NETASSETS
CHURCH FUNDS
Unrestricted 112,524 117,088
Restricted 71,102 27,436
183,625 144,524

YE 31-Dec-23 YE 31-Dec-22
GENERAL FUND -INCOMING Unrestricted Restricted Total Total
RESOURCES Funds Funds
Voluntary Income -Gift Aided 87,158 87,158 83,397
Regular Gift Days 0 0 0
Donations, appeals etc 12,471 12,471 11,375
Events 6,399 6,399 8,846
House Purchase 35,500 35,500 0
Other Income 6,059 6,059 36,213
Gift Aid Tax Recovered 24,365 0 24,365 16,063
Subtotal 117,582 54,370 171,952 155,893
Income from Investments
Interest
Subtotal
TOTAL -INCOMING RESOURCES 117,582 54,370 171,952
GENERAL FUND -RESOURCES
EXPENDED
Staff Costs 76,632 76,632
Staff Expenses 1,050 1,050
Nominated Mission Orgs. 12,764 12,764
UK Mission 1,352 1,352
Donations & Appeals 2,795
Events 6,709
House Purchase 1,200
Children & Youth 3,955
Catering 84
General Expenses 8,573
Training & Development 2,030
Stationery & Publicity 974
Governance 0
Equipment 0
Buildings / Property 10,866
Total 118,279 10,704 128,983
Governance Costs 1,766
Total 0 1,766
Other Resources used:
Furniture & Equipment 2,101
Total 0 2,101
TOTAL -PAYMENTS 10,704 132,851 119,261
NET UNRESTRICTED FUNDS -4,564 31,894
NIT RESTRICTED FUNDS 43,666 43,666 5,256
TOTAL 43,666 39,101 37,150

Report to the
trustees/directors/
I+>LL/ycej) c^rrasm ft` L\eLe cj±h+TAG
members of
On accounts for the year
ended
3\sT OGceTh@ce as23
Charity no.:
•A \ 4¢,3o b
Company no.:
o]C)059o9
Set out on pages '3 .- 5
tr:#:#::t::ayr:::reuns:ee:S3°r/mY2X/a#n2agonoftheaccountsofthe
Responsibilities and As the charity's trustees of the Company (who are also the directors of the
basis of report company for the purposes of company law), you are responsible for the
preparation of the accounts in accordance with the requirements of the
Companies Act 2006 ("the 2006 Act").
Having satisfied myself that the accounts of the Company are not required
to be audited for this year under Part 16 of the 2006 Act and are eligible for
independent examination,I report in respect of my examination of your
charity's accounts as carried out under section 145 of the Charities Act 2011
("the 2011 Act"). In carrying out my examination,I have followed the
Directions given by the Charity Commission (under section 145(5)(b) of the
2011 Act.
Independent
examiner's statement EEEEEEEEEEE + . .i. ++'ii. +..
I have completed my examination. I confirm that no material matters have
come tp Ty..attenqon {other+nan that diooloocd below+which gives me
cause to believe that:
• accounting records were not kept in accordance with section 386 of the
Companies Act 2006; or
• the accounts do not accord with such records; or
• the accounts do not comply with relevant accounting requirements under
section 396 of the Companies Act 2006 other than any requirement that the
accounts give a `true and fair view which is not a matter considered as part
of an independent examination; or
•the accounts have not been prepared in accordance with the Charities
SORP (FRS102).

Statement Of Financial Activities
For the Year ended 31st December
2023
YE 31-Dec-23 YE 31-Dec-22
INCOMING REsOURCES U nrestricted Restricted Total Total
Funds Funds
Voluntarylncome 117,582 54,370 171,952 155,893
Activities for generating funds 0 0
Income from investments 0 518
Incoming resources from charitable
activities 0 0
Other income 0 0
TOTAL -INCOMING RESOURCES 117,582 54,370 171,952 156,411
RESOURCES EXPENDED
Costs of generating voluntary income 0 0
Charitable activities 118,279 10,704 128,983 117,221
Governance costs 1,766 0 1,766 1,517
Other resources used 2,101 0 2,101 523
TOTAL -RESOURCES EXPENDED 122,147 10,704 132,851 119,261
NIT INCOMING RESOURCES -4,5 64 43,666 39,101 37,150
OTHER GAINS OR LOSSES 00 0 0
NIT MOVEMENT IN FUNDS -4,5 64 43,666 39,101 37,150
BALANCES B/FWD 1.1.23 117,088 27,436 144,524 107'374
BALANCES C/FWD 31.12.23 112,524 71,102 183,625 144,524

YE 31-Dec-23 YE 31-Dec-22
Total
FIXED ASSETS
CURRENT ASSETS
Bank & Cash in Hand 183,625 144,524
Debtors 0 0
Total -Current Assets 183,625 144,524
CURRENT LIABILITIES
Creditors
NETASSETS
CHURCH FUNDS
Unrestricted 112,524 117,088
Restricted 71,102 27,436
183,625 144,524

YE 31-Dec-23 YE 31-Dec-22
GENERAL FUND -INCOMING Unrestricted Restricted Total Total
RESOURCES Funds Funds
Voluntary Income -Gift Aided 87,158 87,158 83,397
Regular Gift Days 0 0 0
Donations, appeals etc 12,471 12,471 11,375
Events 6,399 6,399 8,846
House Purchase 35,500 35,500 0
Other Income 6,059 6,059 36,213
Gift Aid Tax Recovered 24,365 0 24,365 16,063
Subtotal 117,582 54,370 171,952 155,893
Income from Investments
Interest
Subtotal
TOTAL -INCOMING RESOURCES 117,582 54,370 171,952
GENERAL FUND -RESOURCES
EXPENDED
Staff Costs 76,632 76,632
Staff Expenses 1,050 1,050
Nominated Mission Orgs. 12,764 12,764
UK Mission 1,352 1,352
Donations & Appeals 2,795
Events 6,709
House Purchase 1,200
Children & Youth 3,955
Catering 84
General Expenses 8,573
Training & Development 2,030
Stationery & Publicity 974
Governance 0
Equipment 0
Buildings / Property 10,866
Total 118,279 10,704 128,983
Governance Costs 1,766
Total 0 1,766
Other Resources used:
Furniture & Equipment 2,101
Total 0 2,101
TOTAL -PAYMENTS 10,704 132,851 119,261
NET UNRESTRICTED FUNDS -4,564 31,894
NIT RESTRICTED FUNDS 43,666 43,666 5,256
TOTAL 43,666 39,101 37,150