|~|e|||||~|~|e|~|~|e|
|---|---|---|---|---|---|---|---|---|---|---|---|
||||Charity|name||Bethesda||Evangelical||Church||
|Other|names charity is known<br>by|||||||||||
|Registered||charity|number|(ifany)|1149548|||||||
||Charity's||principal|address|Main Street|||||||
||||||Brampton|||||||
||||||Postcode|||CAS|1SH|||



||Trustee name|Office (ifany)|Q t|t d f|tf|h|i|Name ofperson (or body)<br>entitled to appoint trustee (if|
|---|---|---|---|---|---|---|---|---|
|1|David Niven|||||||Trustees|
|2|Paul Bacon|||||||Trustees|
|3|Huw lley|Pastor/Chair||||||Trustees|
|4|Robert Pickett|Secretary||||||Trustees|
|5|Jonathan<br>West|||||||Trustees|





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|~|~||~|~|~|||
|---|---|---|---|---|---|---|---|
|||-|Financial support for the|church|remained|quite consistent|throughout|
||||the year, despite the pandemic.|||||





|Brief statement<br>ofthe charity's|Brief statement<br>ofthe charity's||||||||
|---|---|---|---|---|---|---|---|---|
|policy on reserves|||||||||
|Details of any funds <br>in deficit|materially|No funds|are|in deficit|||||
|Further financial<br>review details||(Optional|information)||||||
|You may choose to include<br>additional<br>information,<br>where||Our income is primarily<br>congregation<br>plus some|||from the giving ofmembers<br>ofthe church<br> additional<br>external supporters.||||
|relevant<br>about:|||||||||
|~<br>the charity's<br>principal|||||||||
|sources offunds|(including||||||||
|any fundraising);|||||||||
|~<br>how expenditure|has||||||||
|supported<br>the key objectives|||||||||
|ofthe charity;|||||||||
|~<br>investment<br>policy|and||||||||
|objectives<br>including<br>any|||||||||
|ethical investment|policy||||||||
|adopted.|||||||||
|||~|~ ~|~|~|~|~||



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|ForThe Year Ended 31stDe|cember|2020|||
|---|---|---|---|---|
||||2020|2019|
|Balance Brought Forward|||142,393.65|71,178.08|
|Receipts:-|||||
|Offerings &Donations||43,075.39||44,090.71|
|Property<br>Fund Donations||32,161.25||66,930.01|
|Grants, Gifts &Tax Refunds Received||14,749.79||10,654.72|
|Book Stall Income||132.99||340.50|
||||90,119.42|122,015.94|
||||232,513.07|193,194.02|
|Payments:-|||||
|Employee Costs<br>Gifts to Missionaries<br>& Evangelists||35,759.24<br>8,750.00||35,221.27<br>4,635.00|
|Training<br>and Conferences||114.01||1,031.80|
|Property<br>Fund Expenditure||4,056.00||60.00|
|Repairs, Renewals<br>and Equipment||7,550.84||3,31131|
|Heating,<br>Lighting<br>and Water Rates||1,333.39||1,297.62|
|Youth Work||270.19||891.44|
|Printing<br>and Stationery||99.65||247.03|
|Outreach||722.27||1,153.19|
|Book Stall Expenditure||189.88||465.93|
|Sundffes||2,292.89||2,485.78|
||||61,138.36|50,800.37|
|Balance Carried Forward|||2171,374.71|f142,393.65|
|Balance Sheet as at31stDecember||2020|||
|Cash At CAF Bank Ltd. - Church Account||56,895.95||62,475.64|
|Cash At CAF Bank Ltd. - Property|Fund|114,478.76||79,918.01|
||||5171,374.71|~142,363.65|
|Represented<br>by-|||||
|General<br>Fund|||56,079.95|62,475.64|
|Restricted Wiggles and Giggles Fund|||816.00|0.00|
|Restricted<br>Property<br>Fund|||114,478.76|79,918.01|
||||2171,374.71|142,393.65|
|Treasurer - Ruth Gay|||||
|independent<br>Accounts Examiner|||||
|Gordon E.Younger,<br>FCCA|||||
|18th February 2021|||||



