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2021-12-31-accounts

Report of the Trustees for the year ended 31 Dec 2021

Emmaus International Ministries

Registered Charity number 1154541

Principal address George Road Baptist Church, Erdington, B23 7RZ

Correspondence address 49 South Road, Erdington, B23 6EA

1

This report provides a summary of the activities of the charity during 2021, the accounts for the year ending 31[st] December 2021 and the independent examination report.

The trustees present their report with the financial statements of the charity for the year ended 31[st] December 2021.

1.COMMENCEMENT OF ACTIVITIES

The charity commenced activity in November 2013.

2. STRUCTURE, GOVERNANCE AND MANAGEMENT

Emmaus International Ministries is predominantly a church founded on the ‘congregational’ style of Free Church governance. Church Members meet together in a Church Members’ Meeting under the guidance of the Holy Spirit and under the Lordship of Jesus Christ to discern the mind of God in the affairs of the church.

Members of the church are accepted in accordance with the Constitution which requires them to be or to have been publicly baptized on profession of faith in Jesus Christ, or to renew their public profession of faith in Jesus Christ.

The Church Members’ Meeting is normally convened three times each year. In accordance with the Constitution, the members appoint seven trustees (deacons/elders) among whom are Minister/s, Church Secretary and Treasurer (who are also appointed by the Members), and collectively known as the diaconate, are responsible for the day to day running of the charity work and the financial and legal aspects of the charity. All members are encouraged to take an appropriate part in the spiritual and practical tasks involved in the furtherance of the charitable objectives.

The trustees for 2021 are as follows:

3. THE CHARITY’S OBJECTS (The Objects) ARE:

To advance the Christian religion in the Midlands for the benefit of the public through the holding of prayer meetings, lectures, public celebration of religious festivals, producing and/or distributing literature on Christian faith to enlighten others about the Christian religion.

2

4. ACTIVITIES

1. In fulfilling the purpose, the Church will engage in a range of activities either on its own or with others that will vary from time to time with activities being initiated, expanded, or closed, as appropriate.

2. The activities may include but are not restricted to:

3. Notwithstanding the appointment of persons to accept responsibility for any of the activities all individuals, organisations, groups, and committees operating within the life of the Church, and their leaders, shall be accountable to the Charity Trustees (Deacons) through any specific direction of the Church Members' Meeting.

5.AFFILIATION AND RELATIONSHIPS

1. Emmaus Church is affiliated to Baptist Union of Great Britain and the Heart of England Baptist Association.

2. The Church will normally promote, encourage, support and advance the work of any wider bodies we come in affiliation with, through prayer, financial contributions and, where appropriate, by making personnel available from the membership of the Church. The Church will also work with other Christians for the furtherance of the Christian Faith.

6. ACTIVITIES REPORT FOR 2021

The principal purpose under which Emmaus International Ministries operates is to advance the Christian faith to all nations, focusing especially on reaching out to Eastern Europeans particularly but not exclusively.

3

To this end we are seeking to create opportunities, projects and work among Eastern Europeans through Emmaus Church Birmingham and other church plants that have been already planted or that we seek to plant in the near future.

1. The Covid Pandemic

Since the Covid pandemic has been significant in the Church’s life in 2020 as far as the ability to gather and worship in person is concerned, we will mention the impact on the regular activities.

While 2021 has been a difficult year, with manifold online meetings, as much as it was deemed possible and safe, following the governmental guidance and restrictions, we gathered for worship. This has been a blessing throughout the pandemic, despite physical distancing, masks and shortened meetings.

2. Projects

Merging : the merging process started in 2019, was put on hold until the relaxation and consequently the lifting of restrictions. Since May, the Merging Team has resumed its meetings, with the sole purpose of assessing whether the project was still on track - despite the pandemic.

During the pandemic, the major focus was to serve the congregation as best possible given the circumstances, but once the restrictions were lifted it was time for the Merging Team to resume its mission of establishing the terms for the Merger.

Online Church : presented with the unexpected and challenging situation of being pushed online, we’ve adjust swiftly and prepare for online services. In April of 2020 the church leadership decided unanimously in favour of a more prominent presence online to serve people who - for whatever reasons - cannot be present for physical meeting. Our online presence continued into 2021.

We conducted Zoom meetings, recordings and short videos of encouragement. We’ve also recorded short messages of ‘Hellos’ from church members for the wider church and uploaded them on YouTube for people to know that we’re here and we’re open people, talking about a God who’s greater than Covid and infinitely more faithful than governments and organisations. Once the lockdown passed we adjusted again to meetings in person in a reduced number and with several limitations. During this time we’ve kept in touch with the more marginal people.

3. Church Growth

Due to focusing our attention and efforts on maintaining an online connection this year, we haven’t devoted extra efforts to increasing the Church membership. However, we have been greatly encouraged and glad to see new people seeking God and fellowship with the Church via online services as well as in person worship meetings post-lockdowns.

4. Social and Community Engagement

The bulk of our community engagement has been carried over the phone or via online meetings.

Signature

(Chairman)

4

Emmaus International Ministries

Statement of Financial Activities

For the period from 01 January 2021 to 31 December 2021

Unrestricted Restricted Endowment Total Prior year
funds funds funds funds total funds
Incoming resources
Incoming resources from generated funds 26.81
Voluntary income 65,086.50 65,086.50 154,339.28
Other incoming resources 4,550.04 4,550.04
Total incoming resources 69,636.54 69,636.54 154,366.09
Resources used
Charitable activities
Minister salary 13,762.68 13,762.68 9,727.70
Church Planting 1,000.00 1,000.00
Church direct ministry 935.98 935.98 662.59
Church growth 300.00 300.00 96,887.11
Mission & Outreach 700.00 700.00 1,050.00
Emmaus International Mission
Church administrative costs 7,478.15 7,478.15 7,351.83
Total resources used 24,176.81 24,176.81 115,679.23
Net incoming / outgoing resources before transfer 45,459.73 45,459.73 38,686.86
Transfers
Gross transfers between funds - in 2.00
Gross transfers between funds - out (2.00)
Net incoming / outgoing before other gains / losses 45,459.73 45,459.73 38,686.86
Other recognised gains / losses
Gains / losses on investment assets
Gains on revaluation, fixed assets, charity's own use
Net movement in funds 45,459.73 45,459.73 38,686.86
Reconciliation of funds
Total funds brought forward 192,473.63 192,473.63 153,786.77
Total funds carried forward 237,933.36 237,933.36 192,473.63

24 September 2022 Page 1

Emmaus International Ministries

Analysis of income and expenditure Selected period: 01 January 2021 to 31 December 2021

Total
Unrestricted Designated Restricted Endowment This year Last year
Incoming resources
Incoming resources from generated funds
Incoming resources from generated funds
16 - Interest 26.81
Incoming resources from 26.81
generated funds Sub-totals
Voluntary income
0 - Balance b/f from 2013
00 - Balance b/f from 2014
01 - Offering Erdington 685.00 685.00 7,485.51
02 - Tithe in cash Erdington
03 - Tithe bank acc Erdington 23,486.00 23,486.00 29,011.27
04 - Sunday school donation
05 - Reserved ministry 20,457.75 20,457.75
06 - Summer camp
07 - Equipment
09 - Donation
10 - Refund
11 - Acocks Green bank deposit from
offering
12 - Gift Aid Erdington 5,950.00
13 - Save to buy Building Project 20,457.75 20,457.75 111,892.50
14 - Tithe/Offering EIM
15 - Support for ministries
17 - Building Project x
Voluntary income Sub-totals 24,171.00 40,915.50 65,086.50 154,339.28
Incoming resources from 24,171.00 40,915.50 65,086.50 154,366.09
generated funds Totals
Other incoming resources
Other incoming resources
08 - Minister Stipend 4,550.04 4,550.04
Other incoming resources Sub- 4,550.04 4,550.04
totals
Other incoming resources 4,550.04 4,550.04
Totals

24 September 2022 Page 1

Incoming resources
Grand totals
Unrestricted
Designated
Restricted
Endowment
Total
This year
Last year
28,721.04
40,915.50


154,366.09
69,636.54
Resources used
Charitable activities
Minister salary
002 - Minister salary
11,922.00



11,922.00
8,310.22
003 - Minister NINO & PAYE
540.72



540.72
623.05
004 - Minister Pension
1,299.96



1,299.96
794.43
13,762.68



13,762.68
9,727.70
Minister salary Sub-totals
Church Planting
005 - Pastoral Costs






100 - Travelling - Church Planting






101 - Equipment - Church Planting






102 - Other expenses - church
planting






105 - Support for ministries
1,000.00



1,000.00

1,000.00



1,000.00

Church Planting Sub-totals
Church direct ministry
001 - Travelling






007 - Children department
435.98



435.98
162.59
008 - Youth department






022 - Visiting preachers ( fees and
expenses)
500.00



500.00
500.00
104 - Woman






935.98



935.98
662.59
Church direct ministry Sub-
totals
Church growth
017 - Conference participation






018 - Conference planning
300.00



300.00

103 - Building Project





96,887.11
300.00



300.00
96,887.11
Church growth Sub-totals
Mission & Outreach
013 - Home Mission Fund
300.00



300.00
250.00
014 - Other Mission






015 - BMS World Mission
300.00



300.00
500.00
021 - Other Mission and Special
projects
100.00



100.00
300.00
700.00



700.00
1,050.00
Mission & Outreach Sub-totals
11,922.00



11,922.00
8,310.22
540.72



540.72
623.05
1,299.96



1,299.96
794.43
13,762.68



13,762.68
9,727.70
























1,000.00



1,000.00
1,000.00



1,000.00







435.98



435.98
162.59






500.00



500.00
500.00





935.98



935.98
662.59






300.00



300.00






96,887.11
300.00



300.00
96,887.11
300.00



300.00
250.00






300.00



300.00
500.00
100.00



100.00
300.00

24 September 2022 Page 2

Total
Unrestricted Designated Restricted Endowment This year Last year
Emmaus International Mission
016 - International Mission - Tanzania
023 - International Mission - Summer
Camp
Emmaus International Mission
Sub-totals
Church administrative costs
006 - CLC
009 - Payroll & other fees Heba/BGUB 549.50 549.50 500.17
010 - Equipment 675.79 675.79
011 - Miscellaneous expenses 2,828.39 2,828.39 739.00
012 - Hire of Premises 3,000.00 3,000.00 3,000.00
019 - Other expenses & media 424.47 424.47 2,862.66
020 - Hospitality 250.00
Church administrative costs 7,478.15 7,478.15 7,351.83
Sub-totals
Charitable activities Totals 24,176.81 24,176.81 115,679.23
Resources used 24,176.81 24,176.81 115,679.23
Grand totals

24 September 2022 Page 3

Emmaus International Ministries

Balance Sheet detailed

31/12/2021
31/12/2020
As at
As at
Current assets
1: church account
Total Current assets
Net Asset surplus (deficit)
Reserves
Excess / (deficit) to date
Starting balances
Total Reserves
237,933.36
192,473.63
237,933.36
192,473.63
237,933.36
192,473.63
45,459.73

192,473.63
192,473.63
237,933.36
192,473.63
24,711.04
Unrestricted
20,166.81
213,222.32
Designated
172,306.82

Restricted


Endowment

Represented by Funds
237,933.36
192,473.63
Total

24 September 2022

Page 1

Emmaus International Ministries

Statement of Assets and Liabilities (by code) As at: 31 December 2021

Class and nominal code
Designated
General
Restricted
Endowment
Total
Last year
Class and nominal code
Designated
General
Restricted
Endowment
Total
Last year
Current assets - Current assets
1 : church account
213,222.32
24,711.04


237,933.36
192,473.63
213,222.32
24,711.04


237,933.36
192,473.63
Totals
213,222.32
24,711.04


237,933.36
192,473.63
Totals
Represented by
Unrestricted - General
Designated - BP
Designated - CAMP
Designated - EIMRM
Designated - Equipment
Designated - Tanzania
Restricted - Kids
Restricted - MIT
Restricted - Tanzania

24,711.04


24,711.04
20,166.81
175,297.65



175,297.65
154,839.90






37,924.67



37,924.67
17,466.92





























213,222.32
24,711.04


237,933.36
192,473.63
Totals

24 September 2022 Page 1

Emmaus International Ministries

Fund movement summary Selected period: 01 January 2021 to 31 December 2021

Fund Fund balances Incoming Outgoing Transfers Gains and Fund balances
brought forward Resources Resources Losses Carried forward
BP - Building project 154,839.90 20,457.75 175,297.65
EIMRM - Reserved Ministry 17,466.92 20,457.75 37,924.67
General - General fund 20,166.81 28,721.04 24,176.81 24,711.04
Totals 192,473.63 69,636.54 24,176.81 237,933.36

24 September 2022 Page 1

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF EMMAUS INTERNATIONAL MINISTRIES (Reg charlty number 1154541.) I report on the accounts of the Trust for the year ending 31st December 2021, which have been set before me. Respective responsibilities of trustees and exominer The charity's trustees are responsible for the p￿paratIOn of ihe accounts. The charity's trustees consider that an audit is not required for this year under settlon 144121 of the Charities Act 2011 (the 2011 Attl and that an Independent examlnation is needed. It 15 my responsibility to.. examine the accounts under sectlon 145 of the 2011 Act.. to follow the procedures laid down in the general Directions glven by the Charlty Commisslon under section 1451SllSbl of the 2011 Act; and to state whether particular matters have come to my attention. 80515 of independent exominer s report My examination was carried out in accordance with the general Dlrections Biven by the Charity Commission. An examinatlon include5 a review of the accountlng records kept by the charity and comparison of the accounts presented with those records. It also Includes consideration of any unusual items or disc105ures in the accounts and 5eekln8 explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evldence that would be required in an audit and consequently no opinlon is given as to whether the accounts present 'true and fair view, and the report Is limlted to those matters set out In the statement below. Independent exominer s stotement In connection with my examination, no matter has come to my attentlon.. 111 which 8lve5 me reasonable Cause to belleve that in any material respect the requirements: to keep aceountlng record5 In accordance with section 130 of the 2011 Act,. and to prepare accounts which accord wlth the accounting records and compty with the accountlng requlrements of the 2011 Act have not been met; or 121 to which, In my opinion, attention should be drawn in order to enable a proper understanding of the •ccounts to be reached. Paul Allen 4 Swan Road Draycott In The Clay Ashbourne DE6 5GW Date- 7 Ottober 2022