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2024-03-31-accounts

DEVA CHURCH

Charity Reg . No. 1152350

REPORT OF THE TRUSTEES

For Year Ended 31st March 2024

The trustees present their report with financial statements of the charity for the year ended 31st March 2024.

The trustees have adopted the provisions of the Statement of Recommended Practice (SORP) Accounting and reporting by Charities issued in March 2005.

1.0 PRINCIPAL ADDRESS:

Deva Church Ffordd Pant y Celyn Prestatyn Denbighshire LL19 8YE

2.0 TRUSTEES AND CHURCH ELDERS:

Andrew Dalton Trustee and Elder David Jones Trustee and Elder Eric Payne External Trustee Phillip Shepherd External Trustee

MEMBER TRUSTEE:

Ron Cutting

All Trustees were appointed upon the adoption of The Constitution on 4th May 2012 except for Phillip Shepherd who was appointed on 7th July 2016 and Andrew Dalton who was appointed on 6th July 2017.

3.0 INDEPENDENT EXAMINER:

Salisbury’s & Co. Accountants, Irish Square, ST. ASAPH Denbighshire LL17 0RN

4.0 STRUCTURE, GOVERNANCE AND MANAGEMENT:

4.1 Governing Document. The charity is controlled by its governing document, a constitution adopted on the 4th May 2012.

4.2 Governance The day to day management of the Church is overseen by the 2 Elders assisted by 3 Deacons and appointed Leaders of specific works.

In addition, many other areas of The Church's work are undertaken by Volunteers whose assistance is much appreciated.

5.0 RECRUITMENT AND APPOINTMENT OF NEW TRUSTEES:

New trustees are appointed by the current Trustees.

6.0 OBJECTIVES AND ACTIVITIES:

6.1 Overview

The objectives of Deva Church are to communicate the life changing Gospel of Jesus Christ to as many people as possible and also to provide a Christian Church Fellowship. To be able to reach this objective the Church carries out a number of varied activities including regular Sunday Services held for worship and the preaching of the Gospel which include crèche and special classes for children if they attend. Outreach to and support for the local community is through weekday activities providing for needs of older people and activities for ladies. Church is also involved in providing a Local Authority “Warm Hub” and its own “Deva Hub” and/or coffee morning. The church building is also used for a number of community activities, organised by The Church and others including Neighbourhood Watch, and 'Surgeries' for local Councillors and community Police Officers. On Tuesdays a Midweek Prayer and Bible study meeting is held providing information on local and world issues for prayer information along with Bible ministry. Regular reports are given on worldwide missionary work to inform and provide an opportunity to give financial support. 6.2 Information At 31st March 2024 the Church had a formal Membership of 38 augmented by a number of regular attendees to its Services.

7.0 ACHIEVEMENTS AND PERFORMANCE:

7.1 Overview:

The Church is committed to demonstrating the love of Christ in its neighbourhood and has adopted ideas to fulfil its aims.

7.2 Information:

The updating of its website and provision of recorded sermons provides a valuable contact with those unable to attend services on a regular basis. The Church's financial giving to Mission has been reviewed to ensure cost effective use of resources.

8.0 FINANCIAL REVIEW :

8.1 Reserves Policy It is the policy of the charity to maintain unrestricted funds which are the free reserves of the charity at a level which provides sufficient funds to enable the charity to continue in operation while it addresses any unforeseen expenses or shortfall in long term resources.

Income for the for year ending 2024 has slightly decreased to £26,721 from £29,957 in the year ending March 2023.

9.0 PUBLIC BENEFIT:

The trustees have considered the guidance produced by the Charity Commission on the provision of public benefit and they confirm that public benefit has been provided by the following:

7) Providing support and undertaking Funeral Services for those who are and are not Members of The Church.

8) Holding a monthly Communion Service with 'signing' for deaf attendees.

9) Updating the Church Website to provide more information to the Public and encourage more to come to our meetings.

10) Members actively involved in other charitable work including Good News for Everyone (formerly The Gideons UK), MEDCARE, Bible Society and SASRA.

11) Allowing the Church building to be used for Community activities such as Councillor’s and Police Surgeries, Exhibitions, Prestatyn Town Council’s Civic Service and as a Polling Station.

12) A review of our regular donations to Missionary works was undertaken and led to the system of regular amounts being given to specified works rather than based on a variable monthly offering.

10.0 STATEMENT OF TRUSTEES RESPONSIBILITIES:

11.1 The trustees are responsible for preparing the report of the Trustees and the financial statements in accordance with applicable law and United Kingdom Accounting Standards(United Kingdom Generally Accepted Accounting Practice). The law applicable to charities in England and Wales, the Charities Act 1993 Charity(Accounts and Reports) Regulations 2008 and the provisions of the trust deed requires the trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the incoming resources and application of resources, including the income and expenditure of the charity for that period. In preparing those financial statements the trustees are required to: "Select suitable accounting policies and then apply them consistently Observe the methods and principles in the Charity SORP Make judgements and estimates that are responsible and prudent Prepare the financial statements on the going concern basis unless it is appropriate to presume that the charity will continue in business".

11.2 The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities Act 1993, The Charity (Accounts and Reports) Regulations 2008 and the provisions of the Trust Deed. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection and other irregularities.

Signed………………………… David K Jones Trustee

November 2024

DEVA CHURCH REGISTERED CHARITY No 1152350 INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 MARCH 2024

Deva Church Accountant's Re ort In accordance with instructions given to ourselves, we have prepared the income and expenditure accounts for the Deva Church in Prestatyn for the year ended 31 March 2024. We can confirm that appropriate records are being maintained for the church and no matters of concern have arisen. Salisbury & Co Irish Square Upper Denbigh Road St Asaph Denbighshire LL17 ORN 12-Sep-24

Deva Church General Fund Account enditure for the ear ended 31 March 2024 Income & Ex Year Year 3110312023 INCOME 3110312024 Total Offering5 and Direct Credits 19.810 13.392 Charity comrnission- Gilt Aid refund 2.397 Utility Refund Software Refund Prestatyn Council / Warm Hub Room Hire 95 25 1,376 1,376 350 470 TOTAL RECEIPTS 21,186 20,258 Transfer from Reserve Accouni 5,000 9,500 8ank Inierest 535 199 TOTAL INCOME 26,721 29,957 EXPENDITURE Charitable Activities Gifts and Spoakor5 @xpon5e5 Churf h A¢tSvStles total ii,oio 1,880 1,660 12,890 1,660 Evangelism inc explorers and toddlers Phoiocopier, siationery and iniernet Evan8ellsm Community total 1,108 687 1,108 687 3,203 25 2,923 160 2,631 Outreach work Caretaking, windows and cleanin8 materlals Church Growth Trusi- insurance Fee Proiection insurance 8uilding and contents insurance Building and giounds repairs and mèinienance Premlses and Utltllltes total 3,141 160 260 1,162 7,543 1,258 3,358 10,927 14,897 Legal lees. licences and audil Adminlstratlon total 2,282 1.069 2,282 1,069 Sundries (Flowers, Wine, Taxis etcl Catering Sundr5es total 4Q5 556 853 853 i.ooi Capital Expenditure Poppy Appeal Oesignation Gifts / Donations 200 1,930 TOTAL EXPENSES 28,060 21,444 Bank Charges 12 TOTAL OUTGOINGS 28,060 21,456 SurplusllDeficitl 1,339 8,501 Tr3nsler5 to M155ionary Account 'rran51ers to Reserve Account 2,000 6,600 2,000 6,600 Total Surplu51lDellcltl 3,3391 1.901

Deva Church Bank Reconciliations Balance @ 31 03 2023 Recei CR 831ance @ ments 31 03 2024 DR Tr3nsfers CR Transfers DR Pa Nat-west Current account - General Fund 6,044.00 19,168.50 5,lJOO.00 2.000.00 26,034.57 2.177.93 Nat-west Business Reserve account 43,067.35 535.21 5.000.00 38,602.56 Missionary Fund 1,209.21 7,205.00 2.000.00 9,213.75 1,200.46 50,320.56 26.908.71 7.000.00 7,000.00 35,248.32 41,980.95 Nat-We5t Current account - Reconciliation Balance per staternent 2,177.93 Nat-west 8usiness Reserve account 8alance per statement 38,602.56 Nat-west Mlsslona Account - Reconciliation Balance per statement 1,200.46

DEVA CHURCH REGISTERED CHARITY No 1152350 INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 MARCH 2024

Deva Church Accountant's Re ort In accordance with instructions given to ourselves, we have prepared the income and expenditure accounts for the Deva Church in Prestatyn for the year ended 31 March 2024. We can confirm that appropriate records are being maintained for the church and no matters of concern have arisen. Salisbury & Co Irish Square Upper Denbigh Road St Asaph Denbighshire LL17 ORN 12-Sep-24

Deva Church General Fund Account enditure for the ear ended 31 March 2024 Income & Ex Year Year 3110312023 INCOME 3110312024 Total Offering5 and Direct Credits 19.810 13.392 Charity comrnission- Gilt Aid refund 2.397 Utility Refund Software Refund Prestatyn Council / Warm Hub Room Hire 95 25 1,376 1,376 350 470 TOTAL RECEIPTS 21,186 20,258 Transfer from Reserve Accouni 5,000 9,500 8ank Inierest 535 199 TOTAL INCOME 26,721 29,957 EXPENDITURE Charitable Activities Gifts and Spoakor5 @xpon5e5 Churf h A¢tSvStles total ii,oio 1,880 1,660 12,890 1,660 Evangelism inc explorers and toddlers Phoiocopier, siationery and iniernet Evan8ellsm Community total 1,108 687 1,108 687 3,203 25 2,923 160 2,631 Outreach work Caretaking, windows and cleanin8 materlals Church Growth Trusi- insurance Fee Proiection insurance 8uilding and contents insurance Building and giounds repairs and mèinienance Premlses and Utltllltes total 3,141 160 260 1,162 7,543 1,258 3,358 10,927 14,897 Legal lees. licences and audil Adminlstratlon total 2,282 1.069 2,282 1,069 Sundries (Flowers, Wine, Taxis etcl Catering Sundr5es total 4Q5 556 853 853 i.ooi Capital Expenditure Poppy Appeal Oesignation Gifts / Donations 200 1,930 TOTAL EXPENSES 28,060 21,444 Bank Charges 12 TOTAL OUTGOINGS 28,060 21,456 SurplusllDeficitl 1,339 8,501 Tr3nsler5 to M155ionary Account 'rran51ers to Reserve Account 2,000 6,600 2,000 6,600 Total Surplu51lDellcltl 3,3391 1.901

Deva Church Bank Reconciliations Balance @ 31 03 2023 Recei CR 831ance @ ments 31 03 2024 DR Tr3nsfers CR Transfers DR Pa Nat-west Current account - General Fund 6,044.00 19,168.50 5,lJOO.00 2.000.00 26,034.57 2.177.93 Nat-west Business Reserve account 43,067.35 535.21 5.000.00 38,602.56 Missionary Fund 1,209.21 7,205.00 2.000.00 9,213.75 1,200.46 50,320.56 26.908.71 7.000.00 7,000.00 35,248.32 41,980.95 Nat-We5t Current account - Reconciliation Balance per staternent 2,177.93 Nat-west 8usiness Reserve account 8alance per statement 38,602.56 Nat-west Mlsslona Account - Reconciliation Balance per statement 1,200.46