## **ANNUAL REPORT** 

## **2023/2024** 

## Registered Address 

62 Cromer Road 

Sheringham NR26 8RT 

Charity Registration Number 1146572 

## Leadership Team 

Rev I Savory (Minister) T Rev P Skivington (Youth Minister) Rev D Ward  (Community Pastor ) Mr I Charsley (Secretary) T Mr C Harrison T 

## Management Team 

Mr M Barr (Treasurer) T Mr I Kidger T Mr T Dawson T Mr A Frere-Smith                           T Mrs B  Gabriel                                T 

T=   Trustees 

## Property Trustees 

The Baptist Union Corporation Limited Baptist House 129 Broadway Didcot Oxfordshire OX11 8RT 

Bankers 

Barclays Sheringham Branch 

Independent Examiner 

Timothy HIGNETT and Partners Ltd 



## Annual Report for 2023/2024 

The Trustees present their Annual Report and financial statements. 

## Charitable Object 

The Charity is governed by an Approved Governing document known as our Constitution (adopted 29 February 2012) which states that the principal purpose of the charity is the advancement of biblical Christian faith and also to advance education and other charitable purposes in the UK and/or other parts of the world. 

Since September 2013, the Church occupies the new building at 62 Cromer Road which is held by Baptist Union Corporation Trusts entirely compatible with the above object. 

## Organisational Structure and Decision making processes 

Covenant Partners (Members) of the Church are accepted in accordance with the Constitution which requires them to normally have been publicly baptised by immersion on their profession of faith in Jesus Christ. 

Partners’ Meetings take place during the year, one of which is the AGM. 

In accordance with the Constitution, Covenant Partners elect Trustees who together with the Leadership Team are responsible for the day to day running of the Church’s work and witness and the financial and legal aspects of the Charity. 

All partners are encouraged to take an appropriate part in the spiritual and practical tasks involved in the furtherance of the charitable objective. 

## Objectives and Activities 

Central to the work and witness of the Church is the provision of a regular public service of Christian worship held each Sunday morning at 10.15am. 

There are also occasional services at other times which are advertised on the Church Notice Board, Facebook and the website www.lighthousesheringham.org.  There is a full children and young people’s programme during the morning services.  The Church seeks to be a friendly and welcoming community and anybody is free to attend any of these services. 

The Church is involved with community activities that benefit children and young people: 

- Little Ones  –  a parent/toddler group 

- Football  - a number of teams for various age groups, playing in local leagues 

- Youth LifeGroups  –  youth discipleship 

- Family Food Friday  - provision of a free meal for families (alternate weeks) 

Other church activities include: 

- Kaleidoscope – an informal fellowship meeting for older people 

- Prayer and fellowship  Groups 

- Mens  Activities 

- Table Tennis Club,  a number of teams playing in a local league. 



The Church has a café for the use of the general public.  This offers a relaxed meeting place for all ages, including a soft play area suitable for pre-school children. 

The Church operates systems to ensure that all people working with children and vulnerable adults are appropriately vetted with regard to the Disclosure and Barring Service and regular Safeguarding training is available and required for all workers. 

The Church has read the Charity Commission guidance on public benefit and is satisfied that the activities outlined above clearly demonstrate that the charity is providing a benefit to the public. 

## Achievements and Performance 

Under the leadership of Rev Ian Savory, now in his 9th year with us, the church has grown and matured with regular term held groups having a spiritual emphasis as well as activities of a more practical nature.  The spring term concentrates on Prayer and   summer term has activities inside and out where people can sign up to join.  The Church has grown in numbers with many supporting the regular meetings held during the week. The Leadership meet every other week  to pray, plan and explore the future and all the Trustees meet four times a year to carry out their legal obligations and plan and discuss Church life. The Partners (Members) continue to be involved in all the activities within the church but also building bridges with the community, especially through the Cafe and weekly groups that use our building. 

The Church has a  Partnership of  86 and many regular worshippers.  The Church regularly runs a course for prospective church Partners. 

Attendance  at  Sunday  worship  services  averages  about  120.  The  midweek  Little  Ones  group continues  with about 15-20 parents with their toddlers.  Our children/youth work involves contact with around a 100 youth of Primary and Secondary school age.  Involvement in local schools has also continued and is  greatly valued by them. 

## Financial Review 

The majority of giving to the Church is now done by bank standing order which helps to budget the finances.  Some are committed to regular giving  at Sunday services. 

We are grateful to be able to support a full time minister, a youth pastor and a Community Pastor who is also involved with the running of local 'Men's Shed'.  We also have  part time administrators to deal with the use of the building and church matters. 

The Church is heavily dependent on its membership working as volunteers in all aspects of the church’s activities, many of which run with little or no impact on the Church’s expenditure, but nevertheless contribute substantially to the achievement of the Church’s objectives. 

Now that the loans for the Building have all been paid off with the funds from the sale of the Manse, it has enabled  the finances to be stabilised,  and a buffer to help with Salaries and rising utilitiy bills 

The financial results for the year, together with a summary of the accounting policies adopted are set out in the accompanying financial statements. 

Dated April 2024 



**CHARITY NUMBER: 1146572** 

## **LIGHTHOUSE COMMUNITY CHURCH** 

**STATEMENT OF ACCOUNTS YEAR ENDED 31 MARCH 2024** 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **YEAR ENDED 31 MARCH 2024** 

## **CONTENTS** 

||Page|
|---|---|
|ACCOUNTANTS REPORT|2|
|GENERAL FUND INCOME AND EXPENDITURE ACCOUNT|3|
|BUILDING FUND INCOME AND EXPENDITURE ACCOUNT|4|
|GIVE AWAY INCOME AND EXPENDITURE ACCOUNT|4|
|CAFÉ INCOME AND EXPENDITURE ACCOUNT|5|
|BALANCE SHEET|6|
|FIXED ASSET SCHEDULE|7|



1 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **ACCOUNTANTS REPORT YEAR ENDED 31 MARCH 2024** 

We hereby certify that the accounts for the year 31st March 2024 have been prepared, without carrying out an audit, from the Church's accounting records and information supplied by the treasurer. 

Our accounting procedures include examination, on a test basis, of evidence relevant to the amounts and disclosures in the accounts and an assessment of whether the accounting policies are appropriate to the Charity's circumstances, consistently applied and adequately disclosed. 

We have obtained all information and explanations which we considered necessary to enable us to give reasonable assurance that the accounts are free from material errors. 

In our opinion the accounts reasonably reflect the state of the Church's financial affairs as at 31st March 2024 and of its surpluses/deficits for the period then ended. 

## **Timothy Hignett and Partners Limited** 

7 High Street Cromer Norfolk NR27 9HG 

27th November 2024 

Approved on behalf of the leadership team and church trustees on 27th November 2024 

M Barr, Treasurer 

2 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **GENERAL FUND INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Offerings:<br>Donations<br>Regular giving<br>One off / other<br>Tax refunded<br>Rent<br>Sheringham Shed (Salaries)<br>Hardship fund<br>Sundry income<br>**EXPENDITURE:**<br>Remuneration<br>Housing expenses<br>Administration and staff expenses<br>Utilities<br>Telephone and IT<br>Maintenance<br>Insurance<br>Subscriptions and licences<br>Catering and housekeeping<br>Sundry expenses<br>Hardship fund<br>Mission<br>Training<br>Legal fees on manse sale<br>Depreciation - Fixtures and fittings<br>Profit on sale of manse<br>**Excess of expenditure over income to General Fund**|**£**<br>**£**<br>101,266.70<br>60,053.06<br>161,319.76<br>26,375.72<br>187,695.48<br>7,400.00<br>9,721.32<br>1,476.00<br>9,366.59<br>215,659.39<br>138,716.04<br>18,221.73<br>6,006.45<br>24,561.23<br>1,882.24<br>7,882.33<br>2,496.17<br>3,391.31<br>3,516.72<br>775.00<br>1,873.97<br>8,139.60<br>2,862.00<br>-<br>4,421.20<br>224,745.99<br>(9,086.60)<br>-<br>(9,086.60)<br>**2024**|**£**<br>**£**<br>93,665.00<br>53,254.10<br>146,919.10<br>33,631.64<br>180,550.74<br>3,600.00<br>21,531.39<br>1,540.00<br>3,813.35<br>211,035.48<br>145,835.02<br>19,399.76<br>6,811.43<br>29,075.45<br>1,467.32<br>5,514.93<br>3,200.34<br>4,669.86<br>5,268.60<br>356.50<br>743.13<br>1,497.30<br>3,941.00<br>1,146.00<br>5,378.14<br>234,304.78<br>(23,269.30)<br>60,749.98<br>37,480.68<br>**2023**|
|---|---|---|



3 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **BUILDING FUND INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Offerings/gifts<br>Fund raising events<br>**EXPENDITURE:**<br>Interest payable<br>**Excess of income over expenditure to Building Fund**|**£**<br>**£**<br>7,555.00<br>-<br>7,555.00<br>-<br>-<br>7,555.00<br>**2024**|**£**<br>**£**<br>23,371.00<br>2,050.00<br>25,421.00<br>23,788.63<br>23,788.63<br>1,632.37<br>**2023**|
|---|---|---|



## **GIVE AWAY INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Individual church partners<br>**EXPENDITURE:**<br>Donations made<br>**Excess of expenditure over income to General Fund**|**£**<br>**£**<br>1,611.60<br>1,611.60<br>1,700.00<br>1,700.00<br>(88.40)<br>**2024**|**£**<br>**£**<br>3,017.52<br>3,017.52<br>2,615.00<br>2,615.00<br>402.52<br>**2023**|
|---|---|---|



4 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **CAFÉ INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Café income<br>**EXPENDITURE:**<br>Opening stock<br>Stock and sundries<br>Wages<br>Closing stock<br>**Excess of income over expenditure to General Fund**|**2024**<br>**£**<br>**£**<br>29,433.98<br>29,433.98<br>800.00<br>11,410.18<br>10,510.92<br>(800.00)<br>21,921.10<br>7,512.88|**2023**<br>**£**<br>**£**<br>24,592.10<br>24,592.10<br>1,849.00<br>10,624.08<br>10,826.71<br>(800.00)<br>22,499.79<br>2,092.31|
|---|---|---|



5 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **BALANCE SHEET YEAR ENDED 31 MARCH 2024** 

|**FIXED ASSETS - per schedule**<br>**CURRENT ASSETS**<br>Barclays current account<br>Barclays saver account<br>Barclays building fund account<br>Petty cash account<br>Stock and work in progress<br>Gift Aid debtor<br>Prepayments<br>Less:<br>**CURRENT LIABILITIES**<br>Creditors<br>Interest free loans<br>**NET CURRENT ASSETS**<br>**NET ASSETS**<br>**GENERAL FUND**<br>Balance b/fwd<br>Excess of expenditure over income<br>Café excess of income over expenditure<br>Give Away excess of expenditure over income<br>**BUILDING FUND**<br>Balance b/fwd<br>Excess of income over expenditure|**£**<br>**£**<br>1,639,341.33<br>14,312.43<br>30,050.63<br>16,558.90<br>25.00<br>800.00<br>8,276.81<br>656.71<br>70,680.48<br>7,302.11<br>14,000.00<br>(21,302.11)<br>49,378.37<br>1,688,719.70<br>576,752.13<br>(9,086.60)<br>7,512.88<br>(88.40)<br>575,090.01<br>1,106,074.69<br>7,555.00<br>1,113,629.69<br>1,688,719.70<br>**2024**|**£**<br>**£**<br>1,642,212.13<br>54,231.56<br>70.62<br>6,679.38<br>25.00<br>800.00<br>8,224.64<br>1,523.39<br>71,554.59<br>6,939.90<br>24,000.00<br>(30,939.90)<br>40,614.69<br>1,682,826.82<br>536,776.62<br>37,480.68<br>2,092.31<br>402.52<br>576,752.13<br>1,104,442.32<br>1,632.37<br>1,106,074.69<br>1,682,826.82<br>**2023**|
|---|---|---|



6 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **FIXED ASSETS YEAR ENDED 31 MARCH 2024** 

|**Cost**<br>At 31st March 2023<br>Additions<br>Disposals<br>At 31st March 2024<br>**Depreciation**<br>At 31st March 2023<br>Charge for the year<br>At 31st March 2024<br>**Net Book Value**<br>At 31st March 2023<br>At 31st March 2024|**TOTAL**<br>**CROMER ROAD**<br>**FIXTURES AND**<br>**EQUIPMENT**<br>**£**<br>**£**<br>**£**<br>1,759,388.23<br>1,626,077.73<br>133,310.50<br>1,550.40<br>-<br>1,550.40<br>-<br>-<br>-<br>1,760,938.63<br>1,626,077.73<br>134,860.90<br>117,176.10<br>-<br>117,176.10<br>4,421.20<br>-<br>4,421.20<br>121,597.30<br>-<br>121,597.30<br>1,642,212.13<br>1,626,077.73<br>16,134.40<br>1,639,341.33<br>1,626,077.73<br>13,263.60|
|---|---|



7 



**CHARITY NUMBER: 1146572** 

## **LIGHTHOUSE COMMUNITY CHURCH** 

**STATEMENT OF ACCOUNTS YEAR ENDED 31 MARCH 2024** 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **YEAR ENDED 31 MARCH 2024** 

## **CONTENTS** 

||Page|
|---|---|
|ACCOUNTANTS REPORT|2|
|GENERAL FUND INCOME AND EXPENDITURE ACCOUNT|3|
|BUILDING FUND INCOME AND EXPENDITURE ACCOUNT|4|
|GIVE AWAY INCOME AND EXPENDITURE ACCOUNT|4|
|CAFÉ INCOME AND EXPENDITURE ACCOUNT|5|
|BALANCE SHEET|6|
|FIXED ASSET SCHEDULE|7|



1 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **ACCOUNTANTS REPORT YEAR ENDED 31 MARCH 2024** 

We hereby certify that the accounts for the year 31st March 2024 have been prepared, without carrying out an audit, from the Church's accounting records and information supplied by the treasurer. 

Our accounting procedures include examination, on a test basis, of evidence relevant to the amounts and disclosures in the accounts and an assessment of whether the accounting policies are appropriate to the Charity's circumstances, consistently applied and adequately disclosed. 

We have obtained all information and explanations which we considered necessary to enable us to give reasonable assurance that the accounts are free from material errors. 

In our opinion the accounts reasonably reflect the state of the Church's financial affairs as at 31st March 2024 and of its surpluses/deficits for the period then ended. 

## **Timothy Hignett and Partners Limited** 

7 High Street Cromer Norfolk NR27 9HG 

27th November 2024 

Approved on behalf of the leadership team and church trustees on 27th November 2024 

M Barr, Treasurer 

2 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **GENERAL FUND INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Offerings:<br>Donations<br>Regular giving<br>One off / other<br>Tax refunded<br>Rent<br>Sheringham Shed (Salaries)<br>Hardship fund<br>Sundry income<br>**EXPENDITURE:**<br>Remuneration<br>Housing expenses<br>Administration and staff expenses<br>Utilities<br>Telephone and IT<br>Maintenance<br>Insurance<br>Subscriptions and licences<br>Catering and housekeeping<br>Sundry expenses<br>Hardship fund<br>Mission<br>Training<br>Legal fees on manse sale<br>Depreciation - Fixtures and fittings<br>Profit on sale of manse<br>**Excess of expenditure over income to General Fund**|**£**<br>**£**<br>101,266.70<br>60,053.06<br>161,319.76<br>26,375.72<br>187,695.48<br>7,400.00<br>9,721.32<br>1,476.00<br>9,366.59<br>215,659.39<br>138,716.04<br>18,221.73<br>6,006.45<br>24,561.23<br>1,882.24<br>7,882.33<br>2,496.17<br>3,391.31<br>3,516.72<br>775.00<br>1,873.97<br>8,139.60<br>2,862.00<br>-<br>4,421.20<br>224,745.99<br>(9,086.60)<br>-<br>(9,086.60)<br>**2024**|**£**<br>**£**<br>93,665.00<br>53,254.10<br>146,919.10<br>33,631.64<br>180,550.74<br>3,600.00<br>21,531.39<br>1,540.00<br>3,813.35<br>211,035.48<br>145,835.02<br>19,399.76<br>6,811.43<br>29,075.45<br>1,467.32<br>5,514.93<br>3,200.34<br>4,669.86<br>5,268.60<br>356.50<br>743.13<br>1,497.30<br>3,941.00<br>1,146.00<br>5,378.14<br>234,304.78<br>(23,269.30)<br>60,749.98<br>37,480.68<br>**2023**|
|---|---|---|



3 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **BUILDING FUND INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Offerings/gifts<br>Fund raising events<br>**EXPENDITURE:**<br>Interest payable<br>**Excess of income over expenditure to Building Fund**|**£**<br>**£**<br>7,555.00<br>-<br>7,555.00<br>-<br>-<br>7,555.00<br>**2024**|**£**<br>**£**<br>23,371.00<br>2,050.00<br>25,421.00<br>23,788.63<br>23,788.63<br>1,632.37<br>**2023**|
|---|---|---|



## **GIVE AWAY INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Individual church partners<br>**EXPENDITURE:**<br>Donations made<br>**Excess of expenditure over income to General Fund**|**£**<br>**£**<br>1,611.60<br>1,611.60<br>1,700.00<br>1,700.00<br>(88.40)<br>**2024**|**£**<br>**£**<br>3,017.52<br>3,017.52<br>2,615.00<br>2,615.00<br>402.52<br>**2023**|
|---|---|---|



4 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **CAFÉ INCOME AND EXPENDITURE ACCOUNT YEAR ENDED 31 MARCH 2024** 

|**INCOME**<br>Café income<br>**EXPENDITURE:**<br>Opening stock<br>Stock and sundries<br>Wages<br>Closing stock<br>**Excess of income over expenditure to General Fund**|**2024**<br>**£**<br>**£**<br>29,433.98<br>29,433.98<br>800.00<br>11,410.18<br>10,510.92<br>(800.00)<br>21,921.10<br>7,512.88|**2023**<br>**£**<br>**£**<br>24,592.10<br>24,592.10<br>1,849.00<br>10,624.08<br>10,826.71<br>(800.00)<br>22,499.79<br>2,092.31|
|---|---|---|



5 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **BALANCE SHEET YEAR ENDED 31 MARCH 2024** 

|**FIXED ASSETS - per schedule**<br>**CURRENT ASSETS**<br>Barclays current account<br>Barclays saver account<br>Barclays building fund account<br>Petty cash account<br>Stock and work in progress<br>Gift Aid debtor<br>Prepayments<br>Less:<br>**CURRENT LIABILITIES**<br>Creditors<br>Interest free loans<br>**NET CURRENT ASSETS**<br>**NET ASSETS**<br>**GENERAL FUND**<br>Balance b/fwd<br>Excess of expenditure over income<br>Café excess of income over expenditure<br>Give Away excess of expenditure over income<br>**BUILDING FUND**<br>Balance b/fwd<br>Excess of income over expenditure|**£**<br>**£**<br>1,639,341.33<br>14,312.43<br>30,050.63<br>16,558.90<br>25.00<br>800.00<br>8,276.81<br>656.71<br>70,680.48<br>7,302.11<br>14,000.00<br>(21,302.11)<br>49,378.37<br>1,688,719.70<br>576,752.13<br>(9,086.60)<br>7,512.88<br>(88.40)<br>575,090.01<br>1,106,074.69<br>7,555.00<br>1,113,629.69<br>1,688,719.70<br>**2024**|**£**<br>**£**<br>1,642,212.13<br>54,231.56<br>70.62<br>6,679.38<br>25.00<br>800.00<br>8,224.64<br>1,523.39<br>71,554.59<br>6,939.90<br>24,000.00<br>(30,939.90)<br>40,614.69<br>1,682,826.82<br>536,776.62<br>37,480.68<br>2,092.31<br>402.52<br>576,752.13<br>1,104,442.32<br>1,632.37<br>1,106,074.69<br>1,682,826.82<br>**2023**|
|---|---|---|



6 



## **LIGHTHOUSE COMMUNITY CHURCH** 

## **FIXED ASSETS YEAR ENDED 31 MARCH 2024** 

|**Cost**<br>At 31st March 2023<br>Additions<br>Disposals<br>At 31st March 2024<br>**Depreciation**<br>At 31st March 2023<br>Charge for the year<br>At 31st March 2024<br>**Net Book Value**<br>At 31st March 2023<br>At 31st March 2024|**TOTAL**<br>**CROMER ROAD**<br>**FIXTURES AND**<br>**EQUIPMENT**<br>**£**<br>**£**<br>**£**<br>1,759,388.23<br>1,626,077.73<br>133,310.50<br>1,550.40<br>-<br>1,550.40<br>-<br>-<br>-<br>1,760,938.63<br>1,626,077.73<br>134,860.90<br>117,176.10<br>-<br>117,176.10<br>4,421.20<br>-<br>4,421.20<br>121,597.30<br>-<br>121,597.30<br>1,642,212.13<br>1,626,077.73<br>16,134.40<br>1,639,341.33<br>1,626,077.73<br>13,263.60|
|---|---|



7 

