Trustees. Annual Report for the period
Peric*J start date
Period end date
20
2021
From
Section A
Reference and administration details
Charity name
SIMNEf OUTREACH MINISTRIES
Other names charity is knowft by
SIWIEf OIITRFACH; HOLY TRINtrY TABERNACLE
Registered charlty number (rf any)
1147641
Charitys principal address
SCHOOL HOUSE
SELBORNE ROAD
CROYDON
Postcode
CRO 5JQ
Names of the charity trustees who manage the charity
Trustee name
Office {rfany)
Flame of pwson lor body) entitled
int tntske
rfan
TRUSTEE BOARD
APOSTLE SIMON A
IDOVVU
PASTOR
MOSHOOD AMOS
AMOSU
CHAIRPERSON
05105f2012
HUPMN RESOURCES
MANGER
01106f2014
TRUSTEE BOARD
PASTOR ADEBAYO
GEORGE-LAWAL
Rev. JONATHAN O.
OLALEYE
SECRETARY
011(W2014
TRUSTEE BOARD
13108r2018
TRUSTEE BOARD
10
12
13
14
15
16
17
18
19
20
Names of the trustees for the charity. rf any. (for example. any custodian trustees)
TAR
Marth 2012

Name
Dates xted rf not for whole
ear
Names and addresses of advise￿ (Optional inft)rmation}
of adviser
Name
Address
Name of chief executive or names of senior staff Th￿berS (Optional infornlatiw)
Section B
Structure,
overnance and mana
ement
Description of the charfty's trusts
TRUST DEED
Type of governing document
How the dlarity is o)nstiiuted
DECLARATION OF TRUST MADE
On the 3rd day of octo1￿r 2012
Trustee selection methods
Apart from the first trustees, every Trustee must be appointed [for a tenn
of Three (3) years] by a resolution of the Trustees passed at a s￿CIal
meeting called under dause 15 of the deed.
Addltlonal governance issues (Optional infomiation)
You may choose to inc1￿le
additional information, where
refevant, abouL"
policies and procedures
adopted for the induction and
training of trustees-,
the charity's organisational
structure and any wider
netsvork with which the chaiity
relationship with any related
partie5:
ttustees, consideration of
major risks and the system
and procedures to manage
them.
THIS CHARITf HAS CONFLICT OF INTEREST POLICY IN PLACE
TAR
March 2012

Section C
Ob-ectives and activities
OUR OBJECTS ARE:
1 To advan￿ Ihe Chrisban religion in London arKd other Pl￿S. within
England and Wales, and overseas, in accordan￿ with the statements of
beltef appearirKJ in the schedule and Christian doctrtnes. for the benefft of
the public.
2 To advan￿ education in such ways and in such parts of the United
Kingdom or the workl as the trustees from time to time may think fft..
3 'The preventton or relief of poverty mainly in London and other places,
nationally or overseas by providing: grants. items and services to
individuals and supporting other charibes or organisations {local, national
and overseas) workirYJ to prevent or relieve poverty."
Summary ofthe objects ofthe
charity set out in its
governing document
All our Ob"
are tharrtable
ACTlVtfiES UNDERTAKEN
Our trustees have had regard to the guidance issued by the Charity
Commission on public benefft.
All our Objects are charrtable arKI the following activrties in fvrthering
them are for public benefiL'
We undertook our usual weekEy and monthly chur¢hlministy activities
such as fellow5hiplmeetings. preaching, and bible studies. prayers and
ounselling. Evangelism and Radio Ministy. The following activities were
also undertakan.
Summary of the main
activities undertaken for the
public benefit in relation to
these objects {include within
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on publi
benefit)
Marc* 2012
TAR

Additional details of obiKtsves and activitses (Oplional information)
Grant Policy & Procedure
The TTUStees must use the income and other revenues ofthe organisats.on in
promobng the Objects in the governing ¢knunEnt (Trust Deed). This wtll indude
the pu￿1* ofactsjalty wing out the objects as in paragraph$ 1. 3.2 and 3.3
of the Trust Deed.
You may choose to indude
further statements, whe
relevant, about
policy on grantrnaking."
policy programme related
investment",
contrtbution made by
volunteers.
We currenty have limrted funds and on only rnake gTrnts in the form of small
financial assi*no to applicants in genuine need and not to those who have
deliber*ety made themselves destibJte, or those who have not explored other
availabie SoUr￿S like their entitlement to statels(KJal benefits or affordable
commercBI loans. ConskYeTrkn wrll be given to individuals who are genuinely
experiencing ffnan¢ial hardship or sid< because they are or at risk of
becoming Foor. due to". bereavenEnt of the main bread winner in the frdmily. with
very In0)￿￿, due to ill-heallh. and peO￿e who are unemployed and people
that do not have rewur5e to public fijnds. Therefore. each applicatton will be
Means-tested and assessed on Iheir individua ments.
Depending on availabilty of fitnds, Srro11 finanaal grant may also be given to
support other charitable organ￿atr.0nS undertaktng ￿milar obiect and activities.
01 fural communits.es facing uisis or natural disaster.
No trustee or connected per￿ to a trus1￿ may use their posth'on to influen
or obtsin any k¥wate finanaal or m*erial benefit from this charrty except they
ordinarity qualty by satisfying the criterta mentioned above. Such trustee or their
o)nnecled person MUST NOT te involvej in the decision mthng for their grant
applicabon. Please ￿ the Conllict-of-lnterest Policy.
TAR
March 2012

Section D
Achievements and performance
Assisted and supwrted people towarts emptyment.
Summary ofthe main
achievements of the charity
during the year
Supported homeless and less priVi￿ged Peop￿ by proVid￿g f(M)d and materials
for them.
Prowded educational training. materials and support fr)r yourosters which
helped them gain pl￿t into universty education.
Restored families through u)unselling and rrorriage enrithffent programmes.
Relieved povety for sorr£ Fwple through provlsion of dothing. toiletries for
home18SS Feople.
Organized monthty progra￿ (Hours of Possibilities} in Luton Town- prov*Jing
payers aNJ encouragemenL
Organised conferences and seminars for rwile in United ￿ngdoM at
Ashburnham. Battte in East Susse
Provided financial and We￿a￿ supp)rt br cov•J 19 affe(*ed people in the
communty.
Engaged in Missionary works in Afri(a
TAR
M8rc* 2012

Section E
Financial review
TRUSTEES AND OTHER RELATED PARTIES
No payments were made to any tmstee or ary person o)nnected with them. No
material tran￿tionS took p*e a trustee or any person o)nnected wilh
them.
Brief ststement of the
charity's policy on reserves
GRANTS
Total JRS Grant r￿1ved foryear2020f2021 amounbj to £.
GIFf AID
NONE
The foll￿1ng are exlra¢15 from AnnuaE A¢￿Ul￿ for the year eThJing 31st March
2021
TOTAL INCOMING RESOURCES
£ 45,498
Details of any funds materialty
in deficit
Total Resources expended on
ManagirKJ arKI Administering the Charity
£ 73.872
NEf ￿comING1{0￿[GO1MG}
RESOURCES
Totsl funds brought foryrard
Total fuTrJs carried forward
Further financial review details (Optional infonnation)
You may choose to indLKle
The mwn sources of the charity's vwme are donalions and grfts from
additional infonnation. where
supporters and members.
relevant about:
In addttion to any ¢)thei t¥)wers they have. the Tru*ees may exercise any ofthe
the charity's prinupal
followtng powers in to further the objects (but not for any other purpose):
SoUr￿S of funds (induding
{1) to rdise funds. In exercising this IK)wer. the Trustees must not undertake any
any fundraising)"
substantsl pern￿￿￿t trading actsvity and must comply with any relevant
stabjtory regulations"
how expenditure has
supported the key obiectsves
of the tharity"
investment policy and
objectives including any
ethical investment policy
adopted.
£128,374)
£ 27.968
£ 00.406
{ii) to buy. take on lease or in exdjange, hire orotherwise aouire propety and
to maintain and equip rt for use..
(iii) to se51. tease or otherwtse dispose of all or any part of the prO￿ty belonging
to fhe Charity. In eXe￿i￿n9 this power. the Trustees must o)mpty as appropriate
with sect#)rs 36 and 37 ofthe Chartbes Act 1993. as amended by the Charities
Act 2006;
(iv) to borrow money and to charge the wme or any part of the propety
belonging to the Charity as security for repayrr￿t of the rmney borrow&Y. The
Tnjslees must ¢x)mpty as appropriate with sections 38 and 39 of the Charities
Act 1993, as amend&1 by the Charittes Act 21Th, rf they wish to mortgage land
owned by the Charity"
Iv) to cwperate with other charities. voluntary bodies and statutory authoritses
and to exchange Inforr￿l0n and advi￿ with them:
(vil to establish or support any tharitab￿ trusts. associalions or instiiutions
fomEd for any ofthe chartkble pUrF￿ included in the objects"
(vii) to acquire. merge with or enter into any partnership orjoint venture
arrangen￿￿t wth any other Charity formeA for any of the objects..
(viii) to ueate such a(fvisory committees as Trustees think fit
{ix) to eM￿0Y and remunerdte suth slaff as are necessary for c2nying out the
work of the Chanty;
(x) to do any other FawTrJl thing is ne(xssary or desirab￿ for the achievement
ofthe ob"
TAR
March 2012

Section F
Other optional information
ACCOUNTING POLICIES
The accounts have been Pr￿r￿j in accordan￿ with applicabk accounting standards and follow the
recomnEndaltons in stateff￿nt of Re￿rnMended Practi￿. Accounting for charib.es (SORP) issued in October, 2000.
Voluntary income is re￿]ved by way of donatR)ns and gifts It is shcNm tii full in the Statement of Financia5 Actwities.
when rece¢ved. Gffts in kn'nd are valued at the￿ estim*d value to the charity and are induded under the appropriate
headings.
Inlangible ino)me is valued and included in irthme to the extent Ihat it represents goods or servw whth would
otherwise be purchased. VIfrEre ti is drfficult or not rM)ssitrAe to value the or servtis. such as volunteer bme,
the arDunts do not indude them.
Grants, including grants forthe Fmjrthase of fiwj assets. are rertyJnised in fijll in Slate￿￿nt of Financial Athities
in the year in which they are r￿￿ed.
RestrtcEed fijnds are to be used for speofied pur[￿SeS as required by the donor. Expenditure which meets these
criteria is allocated to the relevant fijnd. Income derived from these funds is retained within the fvnds concemed.
Designated funds are unrestrict￿1 funds whth the trust￿ have desgnated to be used for a specific pufpose.
I￿ere these funds y￿Id investrnent inccffle. this is available for general pU￿oses. Unrestricted funds are *Jnds
which are not designated w restricted.
Depreciation is (31culated * a r* to write off the cost oftangible fixed assets ￿ a reduThng ba[an￿ over their
estlmated u3eful lives. The rates applied per annum are as folk)ws:
Fixtures and Fltbngs
250
Equipment
25%
Motor Vehicle
25%
Section G
Declaration
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charity's trustees
Signaturels)
Full name(s)
Positlon (e.g., Secretary. Chair. etc)
APOSTLE SIMON ADEflNK4 IDOVLJ
PASTOR MOSHOOD AMOS AMOSU
Chairman
Human Resources Mana
er
23-J2-2021
TAR
March 2012


## **SIMNET OUTREACH MINISTRIES** 


**ANNUAL REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH, 2021** 




## **SIMNET OUTREACH MINISTRIES** 

|**Contents**|Page|
|---|---|
|Legal and administrative information|3|
|Report of the Trustees|4|
|Report of the independent examiner|6|
|Statement of financial activities|7|
|Balance sheet|8|
|Notes forming part of the financial statements|9 & 10|



2 




## **SIMNET OUTREACH MINISTRIES CHARITY NUMBER : 1147641** 

## **Legal & Administrative Information** 

|WORKING NAME:|:HOLY TRINITY TABERNACLE|:HOLY TRINITY TABERNACLE|
|---|---|---|
||:SIMNET OUTREACH MINISTRIES||
|FINANCIAL YEAR|:1st April, 2020 - 31st March, 2021||
|DIRECTORS/MANAGEMENT COMMITTEE|||
|AT 31/03/2020|Apostle Simon Adeyinka Idowu|:Chair|
||Mr Adedayo George-Lawal|:Secretary|
||Mr Moshood Amos Amosu|:Human Resources|
||Dr (Rev) Jonathan Olaleye|:Trustee|
|**Address:**|Simnet Outreach Ministries||
||School House||
||Selborne Road||
|**Independent Examiner**|Croydon<br>CR0 5JQ<br>Charterbrook Accountants||
||291 - 307 Kirkdale<br>Unit 129, Regency House Business Centre<br>Sydenham, London||
||SE26 4QD||
|**Bankers**|||
||National Westminster Bank Plc||
||Stoke Newington Branch||
||198 Stoke Newington Branch||
||London||
||N16 7GA||




3 




## **SIMNET OUTREACH MINISTRIES** 

## Report of the Trustees for the year ended 31st March, 2021 

The Trustees present their report along with the financial statements of the charity for the year ended 31 March, 2021.  The financial statements have been prepared in accordance with the accounting policies set out on pages 9 to 10 and comply with the charity's trust deed and applicable law. 

## **OBJECTS** 

1.  The advancement of the Christian religion and education 

2.  Welfare Support to bereaved families 

3.   The provision of education & support for young people whose parents suffer from mental illness. 

4.    Evangelism (Radio Ministry) 

5.   Mission Meal Outreach for the homeless. 

6.   Workshops and Seminars for Church Leaders. 

## **Legal Status, Governance & Management** 

**Board meetings are bi-monthly and ensure the purpose of the organisation is implemented through effective planning resulting in the annual work plan, associated resources to deliver core and projects, and support to our voluteers, who are the back bone of our** service delivery. 

## **Funding** 

Delivery of our work programme and related costs are archieved through a mixture of offering and tithes, as well as donations from members 

## **Public Benefit** 

The Board have due regard to the guidance on public benefit in planning, resourcing and delivering its activities. 

## **Risk Management** 

The Board ensures there is a risk management policy which reflects the range of risk to which the organisation may be exposed and associated **mitigating systems are in place.** 

4 




## **SIMNET OUTREACH MINISTRIES** 

## **Report of the Independent Examiner** 

We have examined the financial statements on pages 7 to 8 which have been prepared under the accounting policies set out on page 9. 

## **Respective responsibilities of trustees and examiner** 

As the charity's trustees you are responsible for the preparation of the accounts; you consider that the audit requirement of section of the Charities Act 2006 does not apply. It is our responsibility to state, on the basis of procedures specified in the General Directions given by the Charity Commissioners Act, whether particular matters have come to my attention. 

## **Basis of opinion** 

Our examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently we do not express an audit opinion on the view given by the accounts. 

## **Opinion** 

In connection with our examination, no matter has come to our attention: 

(1)     which gives us reasonable cause to believe that in any material respect the requirements 

a)  to keep accounting records in accordance with section 41 of the Act; and 

b)  to prepare accounts which accord with the accounting records and to comply with the accounting requirements of the Act 

has not been met; or 

- (2)     to which, in our opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached. 

## **Charterbrook Accountants** 

Date: 06-Dec-21 

291 307 Kirkdale Unit 129 Regency House Business Centre Sydenham London SE26 4QD 

6 




## **SIMNET OUTREACH MINISTRIES** 

## **STATEMENT OF FINANCIAL ACTIVITIES** 

## **FOR THE YEAR ENDED 31ST MARCH, 2021** 


**----- Start of picture text -----**<br>
|||||||
|---|---|---|---|---|---|
|Not|Restricted|Unrestricted|TOTAL|TOTAL|
|Funds|Funds|2021|2020|
|£|£|£|£|
|Incoming resources:|
|Grant|-|16,588.00|16,588.00|-|
|Other Income|-|304.00|304.00|-|
|Tithes & Offering|-|15,580.00|15,580.00|50,454.00|
|Gift Aid|-|-|-|27,383.00|
|Donations|13,026.00|13,026.00|1,812.00|
|-|45,498.00|45,498.00|79,649.00|
|Less:|
|Resources Expended|
|Evangelism & Honorarium|13,209.00|13,209.00|9,148.00|
|Rent|4,780.00|4,780.00|10,500.00|
|Salaries|22,817.00|22,817.00|26,064.00|
|Insurance|-|1,237.00|1,237.00|1,222.00|
|Welfare Support & Mission Meal|-|12,710.00|12,710.00|2,728.00|
|Printing & Publicity|-|2,420.00|2,420.00|4,937.00|
|Motor Running Expenses|-|850.00|850.00|3,322.00|
|Missionary Work|6,092.00|6,092.00|13,406.00|
|Volunteer Expenses|-|1,128.00|1,128.00|750.00|
|Telephone & Internet|-|1,500.00|1,500.00|975.00|
|Independent Examiners fee|-|400.00|400.00|400.00|
|Conferences/Seminars|-|2,500.00|2,500.00|6,837.00|
|Equipment & Materials|-|1,584.00|1,584.00|2,278.00|
|Postage & Stationery|-|347.00|347.00|1,847.00|
|Subscription, Training & educational Support|-|1,907.00|1,907.00|2,866.00|
|Depreciation|1(f) & 3|-|391.00|391.00|1,791.00|
|TOTAL EXPENSES|73,872.00|73,872.00|89,071.00|
|Net Incoming/(Outgoing)|-|(28,374.00)|(28,374.00)|(9,422.00)|
|Balances b/f|27,968.00|27,968.00|27,968.00|
|Balances c/f|406.00|406.00|27,968.00|

**----- End of picture text -----**<br>


7 




## **SIMNET OUTREACH MINISTRIES** 

## **BALANCE SHEET AS AT 31ST MARCH, 2021** 

|**Notes**<br>**Fixed assets**<br>Tangible assets<br>1(f)& 3<br>**Current assets**<br>Debtors & Prepayment<br>2<br>Cash at Bank and in hand<br>Creditors: amount falling due<br>within one year<br>4<br>**Net current assets / Current liabilties**<br>**Total assets less current liabilites**<br>**Represented By:**<br>Restricted Funds<br>Unrestricted Funds<br>1B<br>Designated Funds<br>Total Charity Funds|**2021**<br>**£**<br>**£**<br>5,482.00<br>9,264.00<br>406.00<br>9,670.00<br>(4,594.00)<br>5,076.00<br>406.00<br>-<br>406.00<br>406.00|**2021**<br>**£**<br>**£**<br>5,482.00<br>9,264.00<br>406.00<br>9,670.00<br>(4,594.00)<br>5,076.00<br>406.00<br>-<br>406.00<br>406.00|**2020**<br>**£**<br>**£**<br>5,873.00<br>17,483.00<br>11,665.00<br>29,148.00<br>(7,053.00)<br>22,095.00<br>27,968.00<br>-<br>27,968.00<br>27,968.00|**2020**<br>**£**<br>**£**<br>5,873.00<br>17,483.00<br>11,665.00<br>29,148.00<br>(7,053.00)<br>22,095.00<br>27,968.00<br>-<br>27,968.00<br>27,968.00|
|---|---|---|---|---|
||||||
|||406.00||27,968.00|
|||-<br>406.00||-<br>27,968.00|
|||406.00||27,968.00|



We certify that the annexed accounts are in accaordance with the records, information and explanations supplied by us Trustees 

and have our approval. 

Signed by Order of the Board 

## **APOSTLE SIMON ADEYINKA IDOWU** 

**Date:** 06-Dec-21 

8 




## **SIMNET OUTREACH MINISTRIES** 

## **Notes forming part of the financial statements for the year ended 31st March, 2021** 

## **1.  Accounting policies** 

## **(a)   Accounting convention** 

The financial statements are prepared under the historical cost convention and in accordance with the Financial Reporting Standard for Smaller Entities (effective March 2000). In preparing the financial statements the charity follows best practice as laid down in the Statement of Recommended Practice "Accounting and Reporting by Charities" (SORP 2005) effective October 2000. 

## **(b)  Fund Accounting** 

Unrestricted funds are funds which are available for use at the discretion of the trustees in furtherance of the general objectives of the Charity and which have not been designated for other purpose. Restricted funds are funds which have been given for particular purposes and projects. 

## **( c ) Incoming resources** 

All incoming resources are included in the financial statements when the Charity is legally entitled to the income and the income can be quantified with reasonable accuracy. Pledges are only recognised when the amount is certain. 


## **(d)  Resources expended** 


**----- Start of picture text -----**<br>
        Expenditure is accounted for on accrual basis and classified under the heading appropriate to the nature of<br>        the expenditure.<br>(f)   Tangible fixed assets and depreciation<br>        Tangible fixed assets are depreciated on a straight-line basis over their estimated useful lives as follows:<br>Equipments 25%<br>Furniture, Fixtures & Fittings 25%<br>Motor Vehicle 25%<br>**----- End of picture text -----**<br>


## **2.  Current Assets** 


**----- Start of picture text -----**<br>
2021 2020<br>£ £<br>Debtors and Prepayments 9,264.00 17,483.00<br>Cash at Bank and in hand 406.00 11,665.00<br>9,670.00 29,148.00<br>**----- End of picture text -----**<br>


9 




## **SIMNET OUTREACH MINISTRIES** 

## **Notes forming part of the financial statements (cont'd) for the year ended 31st March, 2021** 

## **3.  Tangible fixed assets** 

|**Cost**<br>At 01 April, 2020<br>Additions<br>Disposals<br>At 31st March, 2021<br>**Depreciation**<br>At 01 April, 2020<br>Charge for the year<br>On disposals<br>At 31st March, 2021<br>**Net book value**<br>At 31st March, 2021<br>At 31st March, 2020|**Furniture &**<br>**Motor**<br>**Total**<br>**Equipments**<br>**Fittings**<br>**Vehicle**<br>**£**<br>**£**<br>**£**<br>**£**<br>15,632.00<br>475.00<br>8,100.00<br>24,207.00<br>-<br>-<br>-<br>-<br>0<br>0<br>0<br>0<br>15,632.00<br>475.00<br>8,100.00<br>24,207.00<br>9,759<br>475<br>8,100<br>18,334<br>391<br>0<br>0<br>391<br>0<br>0<br>0<br>10,150<br>475<br>8,100<br>18,725<br>5,482<br>0<br>0<br>5,482<br>5,873<br>0<br>0<br>5,873|
|---|---|



None of these assets were acquired under the terms of hire purchase. 

## **4.  CREDITORS: Amount falling due within one year** 

|**Cost of Charitable Activities**<br>Independent Examiners fee<br>Other Creditors|**2021**<br>**2020**<br>400<br>450<br>4,194<br>6,653|
|---|---|
||4,594<br>7,038|



10 

