## **CHURCHES for TUNBRIDGE WELLS** 

Registered as a charity with the Charity Commission (England & Wales) Registration number 1150026 

## **REPORT AND ACCOUNTS FOR THE YEAR ENDED** 

**31 AUGUST 2022** 



## **CHURCHES for TUNBRIDGE WELLS (CfTW)** 

CfTW was registered with as a charity with the Charity Commission (England & Wales) on 4 December 2012 as Christians Together in Tunbridge Wells with registration number 1100526 under the requirements of the Charities Act 2011. 

## **Administrative Information** 

|Address|St James Church House|
|---|---|
||Ferndale|
||Tunbridge Wells|
||TN2 3RE|
|Principal Bankers|CAF Bank|
||25 Kings Hill Avenue|
||Kings Hill|
||West Malling|
||ME19 4JQ|
|Independent Examiner|David R Ralph  FCIE|
||50 Southwood Road|
||Rusthall|
||Tunbridge Wells|
||TN4 8SP|
|**Trustees**||
|Revd Canon Jim Stewart|Chair (until 17 November 2021)|
|Revd Cliff Allen|Secretary and Chair from 17 November 2021|
|Revd Caroline Glass||
|Revd Duncan Threshie||
|Fr Peter Stoddart|Until April 2022|
|Revd Douglas Wren|From 17 November 2021|
|Captain Graeme Smith|From 17 November 2021|
|Revd Tim Humphrey|From 17 November 2021|
|**Hon Treasurer**||
|Alan Lockie|Treasurer|





## **TRUSTEES REPORT FOR THE YEAR ENDED 31 AUGUST 2022** 

## **Structure, governance and management of CfTW** 

There is a maximum of 9 trustees.  Those serving as trustees are elected by Members at a general meeting in accordance with the constitution.  Between general meetings the Trustees may appoint additional trustees provided the total number does not exceed 9. 

Under the constitution adopted on 1 May 2014 trustees serve for three years and may stand for reelection for a further term of three years. However, the members in general meeting may decide that a trustee may continue beyond a second term. 

Four trustee meetings were held over the year. 

## **Committees** 

The Trustees appoint the members of the Mosaic Management Committee and approved the membership of the Street Teams Committee. 

## **Members** 

Nineteen local churches were paid up members of CfTW during the year. 

## **Staff** 

A part-time support worker was employed for the Mosaic project. 

## **Objectives and activities** 

The main objective is to provide a means of consultation, sharing and working together for the churches in Tunbridge Wells area and to work for the benefit of the public, including working together to provide resources for the homeless in Tunbridge Wells and its surrounding area. 

## **Public Benefit** 

In planning activities the Trustees have considered the Charity Commission’s guidance on Public Benefit.  Activities have included: 

- ➢ enabling churches to respond to the needs of society and to witness the gospel; 

- ➢ working for the benefit of the public by means of the work on the Mosaic project and the Street Teams. 

## **Risk Management** 

The Trustees have sought to make themselves aware of the major risks to which the charity is exposed, as identified by the Trustees.  In particular, a procedure of obtaining approval for those working with vulnerable adults is in place.  Also, appropriate financial controls and insurance policies are in place. 



## **Achievements and Performance** 

Prior to appearance of the Covid-19 pandemic, the main work of the charity was the provision of a Winter Shelter for the homeless in Tunbridge Wells.  In the year under review, there was little call for the Shelter as the numbers involved would have been, happily, very small and the Shelter did not operate.  Moreover, the future need is anticipated to continue to be very small.  Consequently, the Trustees agreed to continue to emphasise work on the Mosaic project, a resource centre for the homeless and those at risk of homelessness.  In recognition of this move of emphasis, the Trustees agreed to rename the Winter Shelter fund to Mosaic Fund. 

In past years the Street Teams operated to provide food to the homeless and those in need from a street venue in Tunbridge Wells most evenings.  This activity had to cease when the Covid-19 lockdowns were imposed and the venue used was no longer available once the restrictions were eased.  The Street Teams committee looked for alternative avenues to continue its work but nothing suitable was found.  In summer 2022 the committee unanimously agreed to wind up operations and to transfer its surplus funds to the Mosaic project; an amount of £2,000 was retained to fund a recommencement of operations should a suitable opportunity arise. 

CfTW also organised opportunities for worship and lunches plus a week of prayer. 

## **Finances** 

As in previous years, most of the financial activity was in the Mosaic (formerly Winter Shelter) restricted fund.  The fund showed a significant surplus as there was little in the way of development costs and the centre benefited from rental income from other bodies making use of the facilities together with the grant from Street Teams. 

The Street Teams fund continued to receive donations from its supporters but, as noted above, had little opportunity to make use of the money received and most of the accumulated money was transferred to Mosaic towards the end of the financial year. 

External grants totalling £900 were also made during the year. 

## **Reserves** 

The Trustees have not set a reserves policy as the small balance on the unrestricted funds is such that they consider one is not appropriate.  It is anticipated that the larger balance on the Mosaic fund will provide sufficient cushion for the resource centre against all but the most extreme events. 

The Trustees consider the charity is a going concern. 

On behalf of the Trustees 

Revd Cliff Allen 



## **CHURCHES FOR TUNBRIDGE WELLS** 

## **RECEIPTS AND PAYMENTS for the year ended 31 August 2022** 

|**Note**<br>**RECEIPTS**<br>Subscrip ons<br>2<br>Individual & Corporate dona ons<br>2<br>Gi<br>Aid<br>2<br>Grants from Other Chari es<br>2<br>Interest Income<br>2<br>Other receipts<br>2<br>**TOTAL RECEIPTS**<br>**PAYMENTS**<br>Charitable ac vi es<br>2<br>Grants<br>2,9<br>Subscrip ons to other organisa ons<br>2<br>Administra on costs<br>2<br>Salary and related costs<br>2,4<br>Rent<br>2,4<br>**TOTAL PAYMENTS**<br>**SURPLUS / (DEFICIT) FOR THE YEAR**<br>Transfers between funds<br>**NET MOVEMENT IN FUNDS – SURPLUS / (DEFICIT)**<br>Total funds brought forward<br>**TOTAL funds carried forward**|**2022**<br>**Total Funds**<br>£<br>£<br>£<br>475<br>1,569<br>2,044<br>175<br>16,411<br>16,586<br>0<br>794<br>794<br>0<br>14,509<br>14,509<br>1<br>19<br>20<br>0<br>13,714<br>13,714<br>651<br>47,016<br>47,667<br>0<br>0<br>0<br>0<br>1,400<br>1,400<br>0<br>1,030<br>1,030<br>1,022<br>12,568<br>13,591<br>0<br>13,730<br>13,730<br>0<br>3,600<br>3,600<br>1,022<br>32,329<br>33,351<br>(372)<br>14,688<br>14,316<br>0<br>0<br>0<br>(372)<br>14,688<br>14,316<br>2,141<br>54,002<br>56,143<br>1,770<br>68,690<br>70,459<br>**Unrestricted**<br>**Funds**<br>**Restricted**<br>**Funds**|**2021**<br>**Total Funds**<br>£<br>1,991<br>11,987<br>225<br>1,840<br>7<br>1,664|
|---|---|---|
|||17,714|
|||43,372<br>1,773<br>1,816<br>7,179<br>9,033<br>3,600|
|||66,772|
||||
|||(49,059)<br>0|
|||(49,059)<br>96,380|
|||105,202|





## **CHURCHES FOR TUNBRIDGE WELLS** 

## **STATEMENT OF ASSETS AND LIABILITIES as at 31 August 2022** 

|**Note**<br>Cash Funds<br>6<br>Bank current accounts<br>Bank deposit accounts<br>Debtors<br>7<br>Total current assets<br>Liabili es<br>8|**2022**<br>**Total Funds**<br>£<br>£<br>£<br>687<br>31,133<br>31,820<br>1,082<br>37,557<br>38,639<br>1,770<br>68,690<br>70,459<br>0<br>0<br>0<br>1,770<br>68,690<br>70,459<br>0<br>0<br>0<br>**Unrestricted**<br>**Funds**<br>**Restricted**<br>**Funds**|**2021**<br>**Total Funds**<br>£<br>22,522<br>33,621|
|---|---|---|
|||56,143|
|||0|
|||56,143|
|||0|





## **NOTES** 

## **1. ACCOUNTING POLICIES** 

## 

These accounts have been prepared on a Receipts & Payments basis and record the cash payments to and from the various sub-funds. 

## **Fund Accoun ng** 

_Unrestricted funds_ are funds that may be used for any ordinary purpose of the charity 

_Restricted funds_ represent donations or grants received for a specific object or invited by the charity for a specific object or purpose. The funds may only be expended on the specific object or purpose which they were given. 

The charity operates a number of restricted funds, namely: Mosaic, Street Teams, Tunbridge Wells Fellowship of Evangelicals (TWFE), Picnic in the Park, Social Responsibility Fund, and Kairos. Of these restricted funds, Mosaic and TWFE operate their own current accounts. Street Teams used its own bank account un l July 2022 when the funds were transferred to the charity’s main account; the other restricted funds make use of the charity's main current and deposit accounts or that of TWFE. The charity has a deposit account which holds funds on behalf of the Unrestricted fund, Mosaic, TWFE, Picnic in the Park and the Social Responsibility Fund. 

Note 2 shows receipts and payments for each of the restricted funds. 

## **Receipts** 

All cash income is recognised when it is received. No a empt has been made to put a value on food or goods donated. 

Interest income is recognised when it is received. 

## **Payments** 

All payments are recognised when paid and the cost of any equipment is wri in which it is purchased. 

## **Assets and Liabili es** 

No value is placed on any equipment the charity holds and current assets are taken as the money held in the various bank accounts or due from debtors that the trustees believe to be recoverable. 

CfTW trustees have taken on the le ng of premises in Quarry Road, Tunbridge Wells, with a view to establishing a resource centre there. This currently includes a commitment for rent. This cost together with the development costs of the centre are being met from the Mosaic fund. 



## **2. ACCOUNTS BY FUND** 

|**(a) Unrestricted fund**<br>**Balance brought forward**<br>Subscrip ons<br>Dona ons<br>Interest Income<br>**Total Receipts**<br>Administra on<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**<br>**(b) Mosaic fund**<br>**Balance brought forward**<br>Dona ons<br>Grants received<br>Rental Income<br>Furlough payments from HMRC<br>Interest Income<br>**Total Receipts**<br>Charitable ac vi es<br>Salaries paid<br>Salary related costs<br>Expenses<br>Equipment<br>Administra on<br>U li es<br>Housing Jus ce membership<br>Rent<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**<br>**(c) Street Teams fund**<br>**Balance brought forward**<br>Dona ons<br>Gi<br>Aid<br>Grants from chari es<br>**Total Receipts**<br>Consumables<br>Grants made<br>Administra on<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**|**2022**<br>**£**<br>**2,141**<br>475<br>175<br>1<br>**651**<br>(1,022)<br>**(1,022)**<br>**(372)**<br>**1,770**<br>**29,862**<br>13,973<br>27,568<br>13,714<br>0<br>15<br>**55,270**<br>0<br>(13,512)<br>(218)<br>(4,622)<br>(972)<br>(2,872)<br>(4,071)<br>0<br>(3,600)<br>**(29,867)**<br>**25,403**<br>**55,265**<br>**12,514**<br>2,346<br>730<br>1,253<br>**4,329**<br>0<br>(14,812)<br>(31)<br>**(14,843)**<br>**(10,514)**<br>**2,000**|**2021**<br>**£**<br>**2,730**<br>425<br>2<br>0<br>**427**<br>(1,015)<br>**(1,015)**<br>**(588)**|
|---|---|---|
|||**2,141**|
|||**81,560**<br>7,740<br>440<br>0<br>1,664<br>6<br>**9,850**<br>(42,000)<br>(8,938)<br>(95)<br>(1,716)<br>0<br>(4,409)<br>0<br>(790)<br>(3,600)<br>**(61,548)**<br>**(51,698)**|
|||**29,862**|
|||**9,918**<br>4,155<br>225<br>1,400<br>**5,780**<br>(1,372)<br>(1,773)<br>(38)<br>**(3,183)**<br>**2,597**|
|||**12,514**|





|**(d) Tunbridge Wells Fellowship of Evangelicals**<br>**Balance brought forward**<br>Subscrip ons<br>Dona ons<br>Gi<br>Aid<br>Interest Income<br>**Total Receipts**<br>Evangelical Alliance subscrip ons<br>Grants made<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**<br>**(e) Picnic in the Park fund**<br>**Balance brought forward**<br>Interest Income<br>**Total Receipts**<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**<br>**(f)**<br>**Social Responsibility Fund**<br>**Balance brought forward**<br>Interest Income<br>**Total Receipts**<br>Grants<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**<br>**(g) Kairos Fund**<br>**Balance brought forward**<br>**Total Receipts**<br>Grants<br>**Total Payments**<br>**Surplus / (defcit) for the year**<br>**Balance carried forward**|**2022**<br>**£**<br>**fund**<br>**4,751**<br>1,569<br>92<br>64<br>1<br>**1,726**<br>(1,030)<br>(500)<br>**(1,530)**<br>**196**<br>**4,947**<br>**175**<br>0<br>**0**<br>**0**<br>**0**<br>**175**<br>**5,894**<br>4<br>**4**<br>0<br>**0**<br>**4**<br>**5,898**<br>**804**<br>**0**<br>(400)<br>**(400)**<br>**(400)**<br>**404**|**2021**<br>**£**<br>**4,121**<br>1,564<br>92<br>0<br>0<br>**1,656**<br>(1,026)<br>0<br>**(1,026)**<br>**630**|
|---|---|---|
|||**4,751**|
|||**175**<br>0<br>**0**<br>**0**<br>**0**|
|||**175**|
|||**5,893**<br>1<br>**1**<br>0<br>**0**<br>**1**|
|||**5,894**|
|||**804**<br>**0**<br>0<br>**0**<br>**0**|
|||**804**|





## **4. STAFF COSTS** 

The Mosaic project had one employee during the year 

## **5. PAYMENTS TO TRUSTEES AND RELATED PARTIES** 

- There were no payments to trustees or any related par es thereof or to any other related par es during the year. 

## **6. ANALYSIS OF ASSETS** 

|**(a) By Fund**<br>General fund<br>Mosaic fund<br>Social Responsibility Fund<br>TW Fellowship of Evangelicals fund<br>Picnic in the Park fund<br>Street Teams fund<br>Kairos fund<br>**Total**<br>**(b) By type of asset**<br>Current accounts<br>CAF deposit account<br>**Total**|**Total**<br>**Total**<br>**Unrestricted**<br>**Restricted**<br>**2022**<br>**2021**<br>1,770<br>1,770<br>2,141<br>55,265<br>55,265<br>29,863<br>5,898<br>5,898<br>5,894<br>4,947<br>4,947<br>4,751<br>176<br>176<br>176<br>2,000<br>2,000<br>12,514<br>404<br>404<br>804|
|---|---|
||**1,770**<br>**68,690**<br>**70,459**<br>**56,143**|
||687<br>31,133<br>31,820<br>22,522<br>1,082<br>37,557<br>38,639<br>33,621|
||**1,770**<br>**68,690**<br>**70,459**<br>**56,143**|



## **7. DEBTORS** 

None 

## **8. CREDITORS** 

None 

## **9. GRANTS** 

Grants totalling £14,812 were made from the Street Teams Fund; £500 was granted to support a social ea ng programme and the balance was granted to the Mosaic project to support its work. TWFE made a grant of £500 to Tunbridge Wells Youth for Christ. 

The KAIROS fund made a grant of £400 to an individual to contribute to the cost of a training course. 



## Independent Examiner’s Report to the Trustees of Churches for Tunbridge Wells 

This report on the financial statements of the Charity for the year ended 31st August 2022 which are set out on pages 1 to 10, is in respect of an examination carried out under s145. of the Charities Act 2011 (“the Act”). Where the charity’s gross income exceeded 250,000 I am qualified to undertake the examination by being a qualified Fellow of the Association of Charity Independent Examiners _._ 

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

The charity's trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (“the Charities Act”) and that an independent examination is needed. 

It is my responsibility to: 

- examine the accounts under section 145 of the Charities Act, 

- to follow the procedures laid down in the general Directions given by the Charity Commission (under section 145(5)(b) of the Charities Act, and 

- to state whether particular matters have come to my attention. 

## **Basis of independent examiner’s report** 

My examination was carried out in accordance with general Directions given by the Charity Commission. 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 the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below. 

## **Independent examiner’s statement** 

In connection with my examination, no matter has come to my attention. 

1. which gives me reasonable cause to believe that in, any material respect, the requirements: 

   - to keep accounting records in accordance with section 130 of the Charities Act; and 

   - to prepare accounts which accord with the accounting records and comply with the accounting requirements of the Charities Act have not been met; or 

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

## D R Ralph 

David R Ralph IEng JP FCIPD MIET FCIE HMCE MLR No. 12338775 17[th] January 2023 

50 Southwood Road Rusthall Tunbridge Wells Kent. TN4 8SP 

11. 

