Gateway Church Abergavenny
Report and Accounts Year ended 31 March 2024
1 Lamb's Passage, London EC1Y 8AB www.stewardship.org.uk
Gateway Church Abergavenny
COMPANY INFORMATION
FOR THE YEAR ENDED 31 MARCH 2024
Trustees Lawrence Wilson Susan Hopkins Katherine Mallord Stephanie Foley Joanna Taylor Company Secretary Lawrence Wilson Key Staff Pastor Chris Vaz Governing Document Memorandum and Articles of Association dated November 2011 amended 5th January 2021 & 30 May 2023. Company Registration Number 07842926 Charity Registration Number 1146530 Principal Address and Gateway Christian Centre Registered Office Monk Street Abergavenny Monmouthshire NP7 5ND
Independent Examiner
Bankers
Sarah Crispin ACA Stewardship 1 Lamb's Passage London EC1Y 8AB HSBC UK Bank plc
| Contents | Page |
|---|---|
| Company Information | 1 |
| Trustees' Annual Report | 2-9 |
| Independent Examiner's Report | 10 |
| Statement of Financial Activities | 11 |
| Balance Sheet | 12 |
| Notes to the Accounts | 13-20 |
| Detailed Statement of Financial Activities with Comparatives | 21 |
Page 1
TRUSTEES’ ANNUAL REPORT
(INCORPORATING DIRECTORS’ REPORT) FOR THE YEAR ENDED 31 MARCH 2024
Gateway Church Abergavenny Monk Street, Abergavenny NP7 5ND
Registered in England & Wales 7842926
Registered Charity No. 1146530
The trustees, who are the charity’s directors for the purposes of company law, have pleasure in submitting the Report and Accounts for the year.
Objects of the charity
The charity is a charitable company and is governed by its memorandum and articles of association. The objects of the charity, as set out in the governing document, are for the public benefit to advance the Christian faith.
1.0 Achievements and performance
It is with immense gratitude again to God, that we present this annual report for 2023/24, outlining how the charity’s key objectives have been pursued during the year, the significant outcomes that have resulted, and our future planning and financial statements.
This has indeed been such an incredible year for us as a fellowship. We have felt an even greater engagement within the life and heart of the church like never before – with people participating in all that’s happening with heart and soul, with our Connect Groups seeing a greater involvement amongst their members, a greater sense of ‘family’ across the Body, volunteers (whom we now call servers) giving over and above what’s asked of them, the atmosphere in our Sunday morning services electric and buzzing with enthusiasm and unity, and an unprecedented degree of links with the wider community. We can easily say that the number of agencies who have
Page 2
approached to connect with us in this one year alone, has been more than the collective number of the last 5 years.
Our last Alpha course saw the highest number of participants – both in terms of those new or wanting to discover faith in Jesus, as well as the team support.
At our last count, we have over 160 active, regular, committed, servers/volunteers – faithfully serving week in and week out, giving of themselves to serving the King and serving each of us.
Newcomers continue to visit us almost every Sunday, with a good percentage of them staying on to becoming part of our Gateway family. Alpha and foundation courses have led to 8 baptisms and 47 new 'congregants' committing to the life of the church.
Our external funding has indicated a significant increase, once again indicating the favour of God and the goodwill being established within our wider community. Our Carol Service in December showed this – whereby we had the highest number of nonchristians visit, as well as the highest number of ‘key individuals’ accepting our invite, including the High Sheriff of Gwent. They were all touched by the clear gospel message that was shared, and we continue to pray that they would know Jesus as their saviour one day.
Our involvement with the wider church continues to grow, as we support pastors, leaders and leadership teams in various ways – recognising we are all part of that one body and our purpose is to see His Kingdom advance. Chris Vaz continues to facilitate this part of our vision, as he serves on the National Team for New Wine Cymru, as Area Leader for the Assemblies of God GB (South Wales), as well as offering leadership input to various churches, pastors and leaders.
We continue to have a voice and presence in the governmental circles, with Chris Vaz invited to the Houses of Parliament and the Senedd several times to contribute to national debates and discussions.
All in all, we can say we have seen the goodness of the Lord right through 2023/24, and for that we are grateful to the Lord and to each of our amazing Gateway family members
2.0 Objectives and Activities
This can be articulated in three straplines:
“To know God and to make Him known.” “To be a relational people.”
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“To make room for the Holy Spirit.”
And:
‐ To share the life-giving and life transforming message of Jesus Christ to everyone in our immediate and surrounding communities (Preach the Gospel).
To assist members of the fellowship in every way possible to develop and grow in the faith they have chosen to follow (Make Disciples).
To model a biblical pattern of local fellowship, where members do not exist in isolation but thrive as a vibrant spiritual family, bound by genuine relationships, caring for one another, serving together and collectively pursuing kingdom objectives (Love One Another).
To be a powerful witness of the love and power of Christ to the community we live in, on a day-to-day basis, by caring for the sick, providing for the needy, comforting the hurting, healing the broken-hearted, giving hope to the hopeless, befriending the lonely, embracing the rejected, and offering support to those who cannot manage on their own. (Serve the Community).
With no ‘new projects’ imminent at this point, our focus for the next year is to strengthen all the 4 areas of focus we are already involved in, namely:
-
Mission (witnessing & evangelism locally)
-
Discipleship
-
Prayer & the supernatural
-
Children & youth
We are delighted to see how the work among our young people is taking shape, and we want to support and build that even more. Connect groups are an important aspect of church life at Gateway, and so we want to keep developing and strengthening them.
We thank God for His incredible blessings towards us during 2023-24. We are blessed with a healthy demographic within the fellowship, and with over 80% of our adult members linked into Connect groups, we have a great network to facilitate discipleship, care, connection and growth.
God has blessed us with a good, solid foundation – in terms of spiritual and relational health, processes and structures that serve the vision, fabulous teams and ministries that are healthy and growing, good-will and strong links within our community, enabling us to be a prophetic voice, connections with the wider body at every level – local, regional, national and global – all this now serving as a platform to build upon, and continue to advance His Kingdom based on the vision and strategy He has given us.
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Gateway Connect groups are smaller groups that meet weekly or fortnightly where people have the opportunity to get to know one another, grow in their faith together, have fun and build stronger relationships.
Currently, approximately 80% of the adults attending Gateway Church are part of a Connect Group. Over the last year, a number of groups have merged and new ones have started in Monmouth and Abergavenny.
Operation Gateway Relief (OGR): We were able to bless over 1,700 people with either a Christmas uncooked meal kit or a cooked meal. We distributed sweet and craft bags for the children and gift bags to the care homes and businesses in town. Monmouthshire Housing Association staff helped to deliver this year because they were amazed at what Gateway does. A local councillor came and visited the work. This was all made possible by donations from various local businesses and the support of our amazing servers who helped pack up the bags and deliver them.
We also completed OGR Easter. We were able to distribute 297 Easter eggs to children in our community because of the generosity of people in church and local supermarkets. Both these projects have enabled us to build good connections with all sorts of agencies.
Gateway Community Cafe: The cafe is open Tuesday to Thursday and thanks to an amazing team of servers who volunteer in various roles so that we can serve up to 30 hot meals a day as well as drinks and cakes. We collect from various local supermarkets and shops which enables the provision to our community of this service, free of charge.
Alongside the cafe we run programmes: cooking classes for both adults and children and budgeting courses, literacy courses and an art class. There are also interest groups that run. These include photography, Action for Elders, H’Art and Bible Journaling.
We also have the agency I-Connect whose staff come into the cafe to support people with learning new technology.
Prayer has continued to be one of the key areas of focus for us this year. Like the early church who ‘devoted themselves…to prayer’ (Acts 2:42), we recognise its importance in underpinning every aspect of Gateway's ministry. With this in mind, we endeavoured to highlight different needs in email prayer letters and via The Buzz magazine to all church members who are urged to pray individually and in groups on a regular basis. We are praying that many will come to Christ and that the life of the church will be healthy and glorifying to God, as well as interceding for national and international concern.
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Children: GC Kids has grown in numbers over the past year, both in terms of children attending and adults serving on the team. This means that we have now split into 3 groups according to age, with 8-10 children in each group. This has enabled the adults to bring an age-appropriate focus to the group and to continue to build good relationships with the children. Each group has a Teacher and an Assistant, including 3 young helpers from Gateway Church Youth who serve once a month.
Youth and Young Adults:
Friday Youth 31 Fridays: Max Attendance 22, Average Attendance 15, Young people engaged with 41.
Sunday Youth: 36 Sunday Sessions: Max Attendance 18 Average Attendance 12 Young people engaged with 21.
Extra Summer Holiday Activities - 2023: 2 Night Youth Camp (15 young people) - The Rock, Summit Centre, Trelewis. A three-day Team building Course with South Wales Fire & Rescue Service. (10 Young People) 3 x Summer Drop Ins on a Friday Afternoon. (17 different young people).
In planning the activities, the Trustees have applied the guidance on public benefit issued by the Charity Commission.
3.0 Structure, governance and management:
The Board of Trustees:
Lawrence Wilson (Chair, Safeguarding, Finance), Sue Hopkins (Human Resources), Kath Mallord (Without portfolio), Steph Foley (Without portfolio), Jo Taylor (Funding, Grants and Housing), Aled WIlliams (Co-opted: Buildings, IT, Health & Safety, Risk), Helen Cox (Co-opted: Without portfolio), Chris Vaz (Observer).
The trustees have met all the requirements of the Charities Commission and Companies House in terms of its financial and legal activities as a registered charity.
During the year there were modifications to the leadership of the church with the establishment of the Core Leadership Team taking up the responsibilities of the Elders and formally reporting to the Trustees. These changes were in response inter alia, to the sustained growth of the church and the need to focus responsibilities on key paid and volunteer positions in the church.
There have not been any health and safety incidents to report in the past period.
There have not been any incidents of serious concern to report either.
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Our Data Protection registration with the Information Commissioner’s Office is up to date until next March next year. Our GDPR system is performing well, with people registering their communication preferences via our database. We have had a small number of people who have unsubscribed from our database, owing to them having relocated out of the area. There have been no data breaches or complaints reported.
During the year the church safeguarding policy was reviewed. Training was provided for those in leadership as well as for all involved in the summer holiday club. Good relations are maintained with Monmouthshire Social Services, MIND, GAVO, the Police, Stewardship, and Thirtyoneeight (the safeguarding organisation). At the time of writing all DBS requirements are in place.
Grants & Awards: At the end of the summer, we were successful in a grant application for £2,000 from MCC Monmouthshire Food Partnership to support the work carried out in the cafe. An application to the Inchrye Trust was successful. The cafe will receive the sum of £1,500 over a 3-year period, the first £500 was received in December 2023. We were blessed to start the financial year with a successful National Lottery Grant for £10,000 which funded the 2023-24 Christmas and winter outreach work carried out by Gateway. MHA contributed a further £200. This year we have been blessed to see great support from partnership agencies. MHA & GAVO have been key contributors and the financial year started with a grant of £3,000 for summer activities and events and a grant of £1,000 towards utilities. In the summer we were successful with a grant for £2,500 to launch a mobile IT suite. MHA showed their support again with a successful grant for £1,000 towards Gateway’s Baby Bank. With an additional £10,000 available for use from a successful 2022 grant.
Conclusion
2034/2024 has seen Gateway emerge from lockdown and COVID in a stronger and healthier position than ever before. We thank God for his blessings upon us as a fellowship and are committed to following the vision He has set out for us in 2024/25.
Financial review
The Statement of Financial Activities shows a deficit for the year of £16,787 (2023: deficit of £1,957), and reserves now stand at £556,833, of which £518,242 is unrestricted.
We acknowledge and appreciate the sacrificial and consistent giving by each of our members, who consider themselves partners in the work of the ministry to which He has called us collectively.
Page 7
Reserves policy
Our policy is to retain sufficient unrestricted reserves:
-
●To ensure that the charity has sufficient funds to meet its financial commitments.
-
●To demonstrate that the charity is sustainable into the future.
-
●To ensure that the charity is able to manage future unforeseen financial difficulties.
●To ensure that excessive funds are not held without any identifiable reason or for any identifiable purpose.
Financial reserves are considered in two parts:
●General reserves that are deemed necessary to meet future operational requirements and to protect the charity against future financial uncertainties including loss of income and unexpected increases in operating costs.
●Reserves set aside to meet future financial commitments for a specific significant project or venture or planned future commitment.
At the year end, the charity held unrestricted cash of £364,426 of which £229,565 is held for specific future projects and the charity is complying with its reserves policy.
Responsibilities of trustees under company law
The trustees are responsible for preparing the trustees' annual report and the financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).
Company law requires the trustees to prepare financial statements for each financial year which give a true and fair view of the state of the affairs of the charitable company as at the balance sheet date and of its incoming resources and application of resources, including income and expenditure, for the financial year. In preparing these financial statements, the trustees are required to:
-
select suitable accounting policies and apply them consistently;
-
observe the methods and principles in the Charities SORP;
-
make judgements and estimates that are reasonable and prudent;
-
state whether the applicable accounting standards have been followed, subject
to any material departures disclosed and explained in the financial statements; and
- prepare the financial statements on a going concern basis unless it is
inappropriate to presume that the charity will continue in operation.
Page 8
The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charitable company and enable them to ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguarding the assets of the charitable company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
Approval
This report, which has been prepared in accordance with the provisions of the Companies Act 2006 relating to small companies, was approved by the trustees and signed on their behalf by:
Lawrence Wilson
Date:
Page 9
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF
Gateway Church Abergavenny ('the Company')
I report to the charity trustees on my examination of the accounts of the Company for the year ended 31 March 2024 on pages 11 to 21 following, which have been prepared on the basis of the accounting policies set out on pages 13 to 14.
Responsibilities and basis of report
As the charity’s trustees of the Company (and also its directors 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 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
Since the Company’s gross income exceeded £250,000 your examiner must be a member of a body listed in section 145 of the 2011 Act. I confirm that I am qualified to undertake the examination because I am a member of the ICAEW, which is one of the listed bodies.
I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe:
-
accounting records were not kept in respect of the Company as required by section 386 of the 2006 Act; or
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the accounts do not accord with those records; or
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the accounts do not comply with the accounting requirements of section 396 of the 2006 Act 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
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the accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Sarah Crispin ACA Institute of Chartered Accountants in England and Wales
Stewardship 1 Lamb's Passage London EC1Y 8AB
Date:
Page 10
Gateway Church Abergavenny
STATEMENT OF FINANCIAL ACTIVITIES INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2024
| Note INCOME AND ENDOWMENTS FROM: Donations 3 Charitable activities 4 Other trading activities 5 Investments 6 Total income and endowments EXPENDITURE ON: Charitable activities 7 Total expenditure Net gains/(losses) on investments Net income/(expenditure) Transfers between funds 15 Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward 15 |
Unrestricted Funds £ 213,516 6,506 10,795 7,861 238,678 237,989 237,989 - 688 - 688 518,242 518,930 |
Restricted Funds £ 60,189 - - 221 60,409 77,884 77,884 - (17,475) - (17,475) 55,378 37,903 |
Total Funds 2024 £ 273,705 6,506 10,795 8,081 299,087 315,873 315,873 - (16,787) - (16,787) 573,620 556,833 |
Total Funds 2023 £ 240,452 3,904 10,989 1,707 |
|---|---|---|---|---|
| 257,053 | ||||
| 259,010 | ||||
| 259,010 | ||||
| - | ||||
| (1,957) - |
||||
| (1,957) 575,576 |
||||
| 573,620 |
The statement of financial activities includes all gains and losses recognised in the year.
All income and expenditure derive from continuing operations.
The statement of financial activities also complies with the requirements for an income and expenditure account required by the Companies Act 2006.
The notes on page 13-20 form part of these accounts.
Page 11
Gateway Church Abergavenny
BALANCE SHEET
AS AT 31 MARCH 2024
| Note FIXED ASSETS Tangible assets 9 CURRENT ASSETS Stock 10 Debtors 11 Cash at bank and in hand 12 CREDITORS: Amounts falling due within one year 13 Net current assets / (liabilities) Total assets less current liabilities TOTAL NET ASSETS FUND BALANCES 15 Unrestricted Funds General funds Designated funds Restricted Funds |
Unrestricted Funds £ 148,835 148,835 - 12,049 364,426 376,475 (6,380) 370,095 518,930 518,930 289,365 229,565 518,930 - 518,930 |
Restricted Funds £ - - 1,389 - 36,514 37,903 - 37,903 37,903 37,903 - - - 37,903 37,903 |
Total Funds 2024 £ 148,835 148,835 1,389 12,049 400,940 414,378 (6,380) 407,998 556,833 556,833 289,365 229,565 518,930 37,903 556,833 |
Total Funds 2023 £ 149,663 |
|---|---|---|---|---|
| 149,663 | ||||
| 4,817 8,094 420,463 |
||||
| 433,374 (9,418) |
||||
| 423,956 | ||||
| 573,619 | ||||
| 573,619 | ||||
| 293,686 224,555 |
||||
| 518,241 55,378 |
||||
| 573,619 |
The charitable company is entitled to exemption from audit under Section 477 of the Companies Act 2006 for the year ended 31 March 2024.
The members have not required the company to obtain an audit of its financial statements for the year ended 31 March 2024 in accordance with Section 476 of the Companies Act 2006 however, in accordance with Section 145 of the Charities Act 2011, the accounts have been examined by an independent examiner and their report has been included in these financial statements.
-
The directors (who are the charitable company's trustees for the purposes of charity law) acknowledge their responsibilities (a) ensuring that the charitable company keeps accounting records which comply with Sections 386 and 387 of the Companies Act 2006 and
-
(b) preparing financial statements which give a true and fair view of the state of affairs of the charitable company as at the end of each financial year and of its net income or expenditure for each financial year in accordance with the requirements of Sections 394 and 395 and which otherwise comply with the requirements of the Companies Act 2006 relating to financial statements, so far as applicable to the charitable company.
The financial statements have been prepared in accordance with the provisions of Part 15 of the Companies Act 2006 relating to small companies.
The financial statements were approved by the Board of Directors and were signed on its behalf by:
Lawrence Wilson
Date: _______
Company number: 07842926
The notes on page 13-20 form part of these accounts.
Charity number: 1146530
Page 12
Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
1 Statutory Information
The charity is a charitable company limited by guarantee and is incorporated in the United Kingdom. The company's registered number and registered office address can be found on the Company Information page.
2 Accounting Policies
These financial statements are prepared on a going concern basis, under the historical cost convention.
These financial statements have been prepared in accordance with the "Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) ("the Charities SORP"), with the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland ("FRS 102"), with the Companies Act 2006 and with the Charities Act 2011. The charity meets the definition of a public benefit entity as set out in FRS 102.
The principles adopted in the preparation of the financial statements are set out below.
a) Going concern
The trustees (who are the charitable company's directors for the purposes of company law) have assessed whether the use of the going concern basis is appropriate and have considered possible events or conditions that might cast significant doubt on the ability of the charity to continue as a going concern. The trustees have made this assessment for a period of at least one year from the date of approval of the financial statements. In particular the trustees have considered the charity's forecasts and projections and the possible implications should projected income and / or expenditure vary unexpectedly. The trustees have concluded that there is a reasonable expectation that the charity has adequate resources to continue to operate for the foreseeable future. The charity therefore continues to adopt the going concern basis in preparing its financial statements.
b) Income
Income including investment income is recognised in the period in which the charity becomes entitled to receipt, the amount receivable can be measured with reasonable certainty, and receipt is probable. For the most part, income is generally recognised when it is received. Income is only deferred when the charity has to fulfil conditions before becoming entitled to it or where the donor has specified that the income is to be expended in a future period.
Income from donations includes:
-
i) Recoverable gift aid. This is recognised when the related donation is received. Gift aid that has not been recovered by the balance sheet date is included as a debtor.
-
ii) Donated facilities, services and goods. Goods donated for distribution to beneficiaries are recognised as income when receivable at fair value (being an estimate of the amount it would cost to purchase those items). Facilities, services and goods donated for the charity's own use are recognised as income when receivable at their value to the charity.
The charity relies on volunteers to carry out many of its activities. However, in accordance with the SORP, the value of these services has not been included in these financial statements as they cannot be reliably measured.
When donated goods, services and facilities are distributed or consumed, an expense in respect of those items is included in the Statement of Financial Activities. At the year end any goods that have not been distributed or consumed are recognised as stock; donated fixed assets are capitalised.
Income from charitable activities represents income receivable from goods, services and facilities supplied in furtherance of the charity's charitable objects. It includes income from Youth & Childrens' activities and other church events.
Income from other trading activities represents income receivable from activities undertaken to generate funds for the charity. It includes income from the hire of the church buildings.
Investment income represents income generated by the charity's assets and includes income from bank interest.
- c) Expenditure
Expenditure, including irrecoverable VAT, is recognised when it is incurred or, if earlier, when a legal or constructive obligation for a payment arises provided that it is probable that settlement will be required and the amount of the obligation can be measured reliably.
The charity makes grants to other institutions and individuals to further its charitable objectives. Grants payable are recognised as constructive obligations arise, which is generally when the charity expresses a commitment to the recipient that can be measured reliably and then only to the extent that any conditions associated with the grant are outside of the control of the charity.
The cost of raising funds is not significant and has not been separately disclosed.
Governance costs, which are included in expenditure on charitable activities but are identified separately in the notes to the accounts, includes costs associated with the independent examination of the financial statements, compliance with constitutional and statutory requirements and any other expenditure incurred on the strategic management of the charity.
Page 13
Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
2 Accounting Policies (cont.)
d) Fund accounting
General funds are unrestricted funds which are available for use at the discretion of the trustees in furtherance of the general objectives of the charity. Designated funds comprise unrestricted funds that have been set aside by the trustees for particular purposes. Restricted funds are donations which are to be used in accordance with specific restrictions imposed by donors; they include donations received from appeals for specific activities or projects.
e) Tangible fixed assets
Items purchased or donated for the charity's own use are capitalised when the cost of purchased items, or the fair value of donated items, is more than £500 and the item is expected to benefit the charity over more than one accounting period. Depreciation is charged on a straight line basis so as to write down the value of each asset to its estimated residual value (if any) over its expected useful economic life. To achieve this objective the following rates of depreciation are charged:
Freehold land Is not depreciated (because it is not consumed by use) Freehold buildings Over 50 years after taking account of the building's residual value Fixtures, Fittings & Equipment Over 3 to 7 years
The carrying values of tangible fixed assets are reviewed for impairment in periods when events or changes in circumstances indicate that the carrying value may not be recoverable.
f) Stocks Stocks of donated items held for distribution to beneficiaries are measured at fair value. Most regular stock is perishable (& generally at or beyond sell by date) and is therefore not included.
g) Pension scheme arrangements The charity operates defined contribution pension schemes for its employees. Obligations for contributions to these schemes are recognised as an expense when the liability arises. The assets of these schemes are held separately from those of the charity in independently administered funds.
h) Taxation The company is a registered charity; it has taken advantage of the various reliefs from taxation available to charities and no tax is payable on the charity's income.
i) Financial instruments The charity's financial assets and financial liabilities all qualify as basic financial instruments, as defined by FRS102. Except for loans, creditors and debtors are measured at their expected settlement value (normally the amount of cash that the charity expects to pay or receive). The charity recognises liabilities for the principal of those loans that remains outstanding at the year end (i.e. the liabilities exclude any interest chargeable on the loans in future years).
j) Exemption from preparing a cashflow statement
The charity has taken advantage of an exemption conferred by the Charities SORP and has not prepared a cash flow statement.
k) Critical accounting estimates and areas of judgement The trustees do not consider that there are any material sources of estimation or uncertainty at the balance sheet date that could result in a material adjustment to the carrying values of assets and liabilities in the next reporting period.
3 Donations
| 3 Donations |
||
|---|---|---|
| Donations of cash and similar Donations in kind (note 3a) Other grants receivable Income tax recoverable a Donations in kind comprise: Goods donated for: Distribution to beneficiaries |
2024 £ 189,472 40,333 11,930 31,971 273,705 2024 £ 40,333 40,333 |
2023 £ 169,958 31,265 10,000 29,230 |
| 240,452 | ||
| 2023 £ 31,265 |
||
| 31,265 |
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Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
| 4 Income from charitable activities Youth & children's activities Other events & activities 5 Income from other trading activities Rental income 6 Investment income Bank interest 7 Charitable expenditure a Costs incurred directly on specific activities Salaries, travel and expenses Ministry expenses and training Worship and Media Speakers expenses Children and Youth work Meetings and events Community Projects Failed Housing Project appeal donations returned Donations in kind expensed Grants payable (note 7c) b Costs incurred on support & administration Governance costs Independent examiner's fee Other Insurance Running costs and admin Utilities Building repairs and maintenance Depreciation Total expenditure |
2024 £ 5,893 612 6,506 2024 £ 10,795 10,795 2024 £ 8,081 8,081 2024 £ 148,099 3,846 3,331 2,212 8,177 1,887 15,382 15,836 43,761 242,532 9,099 251,631 3,120 - 3,120 3,795 13,463 25,731 9,799 8,334 64,243 315,873 |
2023 £ 2,232 1,672 |
|---|---|---|
| 3,904 | ||
| 2023 £ 10,989 |
||
| 10,989 | ||
| 2023 £ 1,707 |
||
| 1,707 | ||
| 2023 £ 134,915 3,360 3,621 1,983 6,555 3,332 8,718 - 29,897 |
||
| 192,381 9,290 |
||
| 201,671 | ||
| 3,060 2,851 |
||
| 5,911 2,100 11,975 21,091 7,219 9,044 |
||
| 57,339 | ||
| 259,010 |
The fee payable to the independent examiner for preparing and examining the accounts was £3,120 (2023: £3,060); in addition the charity paid £210 (2023: £200) to Stewardship for consultancy services.
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Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
7 Charitable expenditure (cont.)
c Grants payable
| Institutions £ Grants for UK and overseas mission 9,079 Grants for the relief of poverty - 9,079 The comparatives for the previous year are as follows: Institutions £ Grants for UK and overseas mission 9,254 Grants for the relief of poverty - 9,254 The charity's principal grants to institutions comprised: The Assemblies of God Vision of Hope Gilwern New Wine Cymru EastWest Ministries Grants to institutions for less than £1,000 each Gross wages and salaries Social security Pension costs Analysis of staff costs, the cost of key management personnel and trustee remuneration |
Individuals £ - 20 20 Individuals £ - 36 36 2024 £ 4,800 1,224 1,224 1,800 30 9,079 2024 £ 141,335 4,172 2,592 148,099 |
2024 £ 9,079 20 |
|---|---|---|
| 9,099 | ||
| 2023 £ 9,254 36 |
||
| 9,290 | ||
| 2023 £ 4,800 1,224 1,224 1,800 205 |
||
| 9,254 | ||
| 2023 £ 129,898 2,719 2,298 |
||
| 134,915 |
8 Analysis of staff costs, the cost of key management personnel and trustee remuneration
The average monthly number of employees during the year was 9 (2023: 9.75) and the full time equivalent number of employees during the year was 5 (2023: 5.5). Most of the charity's activities are carried out by volunteers.
No staff received salaries at a rate of more than £60,000 per annum.
The charity's key management comprise the trustees and the key staff named on the Company Information page.
During the year key management received employment benefits totalling £42,725 (2023: £38,926).
No trustees received employment benefits in either the current or preceding year.
9 Tangible fixed assets
| Cost/valuation At 1 April 2022 Additions At 31 March 2023 Accumulated depreciation At 1 April 2022 Charge for the year At 31 March 2023 Net book value At 31 March 2023 At 31 March 2022 |
Freehold Fixtures Property £ £ 162,500 19,675 - - 162,500 19,675 29,250 12,823 3,250 1,912 32,500 14,735 130,000 4,940 133,250 6,851 Land & buildings |
Fittings and equipment £ 30,114 7,506 37,619 20,552 3,172 23,724 13,895 9,561 |
Total 2024 £ 212,289 7,506 |
|---|---|---|---|
| 219,794 | |||
| 62,626 8,334 |
|||
| 70,959 | |||
| 148,835 | |||
| 149,663 |
Page 16
Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
10 Stock
| Donated goods For distribution to beneficiaries 11 Debtors Falling due within one year: Tax recoverable Other debtors Prepayments and accrued income 12 Cash at Bank and in Hand Cash at bank with immediate access Notice deposits Petty cash 13 Creditors: liabilities falling due within one year Taxation and social security Accruals |
2024 £ 1,389 1,389 2024 £ 4,599 - 7,450 12,049 2024 £ 160,480 240,207 253 400,940 2024 £ - 6,380 6,380 |
2023 £ 4,817 |
|---|---|---|
| 4,817 | ||
| 2023 £ 6,384 364 1,346 |
||
| 8,094 | ||
| 2023 £ 420,463 - - |
||
| 420,463 | ||
| 2023 £ 2,099 7,320 |
||
| 9,418 |
14 Pension commitments
During the year employer’s pension contributions totalling £2,592 (2023: £2,298) were payable to defined contribution personal pension schemes. No pension contributions were owing at the balance sheet date (2023: £nil).
Page 17
Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
15 Funds
During the year the movements in the charity's funds were as follows:
| Designated Funds Bible School Fund Holiday Club Vision Fund Youth Fund General Unrestricted Funds Total Unrestricted Funds Restricted Funds Operation Gateway Relief Housing project Poverty and Hardship Fund Gateway Community Cafe Youth training Holiday Club IT Hub Aggregate of funds |
Opening balance 2024 £ 4,599 - 218,152 1,805 224,555 293,686 518,241 22,798 27,621 4,817 141 - - 55,378 573,619 |
Incoming resources 2024 £ - 478 5,173 2,415 8,066 230,611 238,678 11,034 925 42,950 - 3,000 2,500 60,409 299,087 |
Outgoing resources 2024 £ - (915) - (2,579) (3,494) (234,495) (237,989) (13,836) (15,836) (45,146) - (3,000) (66) (77,884) (315,873) |
Transfers in the year 2024 £ - 437 - - 437 (437) - - (12,710) 12,710 - - - - - - |
Closing balance 2024 £ 4,599 - 223,325 1,642 |
|---|---|---|---|---|---|
| 229,565 289,365 |
|||||
| 518,931 | |||||
| 19,996 - 12,710 2,621 141 - 2,434 |
|||||
| 37,903 | |||||
| 556,833 |
The transfers referred to above were made for the following reasons:
a) Transfer from General Funds to designated Holiday Club fund as a subsidy for this activity.
b) Transfer from the Housing project fund to a Poverty and Hardship Fund following the resolution by trustees that the former was a failed appeal. Further details are included in the funds descriptions on the following page.
Analysis of net assets by fund
The assets and liabilities of the various funds were as follows:
| ysis of net assets by fund assets and liabilities of the various funds were as follows: |
|||
|---|---|---|---|
| Tangible fixed assets Stock Debtors Cash at bank and in hand Creditors falling due within one year |
General Designated funds funds £ £ 148,835 - - - 12,049 - 134,861 229,565 (6,380) - 289,365 229,565 Unrestricted Funds |
Restricted funds £ - 1,389 - 36,514 - 37,903 |
2024 £ 148,835 1,389 12,049 400,940 (6,380) |
| 556,833 |
Page 18
Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
15 Funds (cont.)
In the previous year the movements in the charity's funds were as follows:
| Designated Funds Bible School Fund Holiday Club Vision Fund Youth Fund General Unrestricted Funds Total Unrestricted Funds Restricted Funds Operation Gateway Relief Housing project Gateway Community Cafe Youth training Aggregate of funds |
Opening balance 2023 £ 4,599 - 217,021 1,908 223,528 286,803 510,331 22,822 26,421 16,003 - 65,245 575,576 |
Incoming resources 2023 £ - 1,756 1,131 476 3,363 207,378 210,741 17,075 1,200 27,572 465 46,312 257,053 |
Outgoing resources 2023 £ - (2,682) - (580) (3,262) (217,064) (220,325) (12,281) - (26,080) (324) (38,685) (259,010) |
Transfers in the year 2023 £ - 926 - - 926 16,569 17,495 (4,817) - (12,678) - (17,495) - |
Closing balance 2023 £ 4,599 - 218,152 1,805 |
|---|---|---|---|---|---|
| 224,555 293,686 |
|||||
| 518,241 | |||||
| 22,798 27,621 4,817 141 |
|||||
| 55,378 | |||||
| 573,619 |
Analysis of net assets by fund
In the previous year, the assets and liabilities of the various funds were as follows:
| Tangible fixed assets Stock Debtors Cash at bank and in hand Creditors falling due within one year |
General Designated funds funds £ £ 149,663 - - - 8,094 - 145,347 224,555 (9,418) - 293,686 224,555 Unrestricted Funds |
Restricted funds £ - 4,817 - 50,561 - 55,378 |
2023 £ 149,663 4,817 8,094 420,463 (9,418) |
|---|---|---|---|
| 573,619 |
Designated Funds
The Bible School Fund is for funds related to the bible school
The Holiday Club Fund is for income and expenses for the running of a holiday club. The Vision Fund and is for investment in staffing & building needs.
The Youth Fund is for funds to support activities with youth and young adults
Restricted Funds
Operation Gateway Relief Fund is to support community projects.
The Housing Project Fund was to provide housing and support for the homeless in our community. During the previous financial year, the trustees agreed that this was now a failed appeal. As far as possible donors have been contacted and funds refunded or transferred to other causes as requested. The remaining balance in the fund represents donations received where donors either could not be identified or could not be contacted. The trustees resolved to use these funds for similar purposes in alleviating poverty and hardship in the communities in and around Abergavenny and the Charity Commission have given consent to this under section 67A(4) of the Charities Act 2011.
The Poverty & Hardship fund is to enable the Church to reach out to the vulnerable in the community in terms of day-to-day living, accommodation and general wellbeing needs.
Gateway Community Cafe (formerly known as Fathers Arms) is a drop-In Café, providing food and support for those in need in our community
The Youth Training Fund reflects the receipt and use of funds for training young people
The IT Hub Fund is to enable the charity to buy laptops and IT equipment so that IT courses, including online safety, can be provided to the public.
Page 19
Gateway Church Abergavenny
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
16 Transactions with related parties During the year the charity:
- a) received donations totalling £14,360 (2023: £14,305) from related parties (which includes trustees, any other members of key management and anyone closely connected to them).
Except as disclosed in note 8 'Analysis of staff costs', there have been no other transactions with related parties during the year.
17 Members
Each member of the company commits to contribute if the charity is wound up an amount of £10.
Page 20
Gateway Church Abergavenny
DETAILED STATEMENT OF FINANCIAL ACTIVITIES WITH COMPARATIVES
FOR THE YEAR ENDED 31 MARCH 2024
| Note INCOME AND ENDOWMENTS FROM: Donations 3 Charitable activities 4 Other trading activities 5 Investments 6 Total income and endowments EXPENDITURE ON: Charitable activities: 7 Total Expenditure Net income/(expenditure) Transfers between funds 15 Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward 15 |
General Designated 2024 2024 £ £ 213,038 478 4,090 2,415 10,795 - 2,688 5,173 230,611 8,066 234,495 3,494 234,495 3,494 (3,884) 4,572 (437) 437 (4,321) 5,010 293,686 224,555 289,365 229,565 Unrestricted funds |
Restricted 2024 £ 60,189 - - 221 60,409 77,884 77,884 (17,475) - (17,475) 55,378 37,903 |
Total 2024 £ 273,705 6,506 10,795 8,081 299,087 315,873 315,873 (16,786) - (16,786) 573,620 556,833 |
General Designated 2023 2023 £ £ 194,243 - 1,669 2,232 10,989 - 477 1,131 207,378 3,363 217,064 3,262 217,064 3,262 (9,685) 101 16,569 926 6,883 1,027 286,803 223,528 293,686 224,555 Unrestricted funds |
Restricted 2023 £ 46,209 3 - 100 46,312 38,685 38,685 7,627 (17,495) (9,868) 65,245 55,378 |
Total 2023 £ 240,452 3,904 10,989 1,707 257,053 259,010 259,010 (1,957) - (1,957) 575,576 573,620 |
|||
|---|---|---|---|---|---|---|---|---|---|
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