Luton Central Baptist Church Annual Report kn the Charity Commission
In this report the th]stees of Luton Caitr21 Baptist Church present their re￿rt and financial stateW￿￿ts
for the 2020 calendar year. This is our seventh annual reEx)T¢ w¢ became [￿]stered with the Charity
Commission in F¢brwy 2014.
Re￿Stered Address: 528 Pajk Sirt tart0￿ LUI 3ET Charth Office Tekphone: 01582 422 635
Charlty Regi4tr8¢ion Number. 1155929
TruJtfft8
Mr Samson Akinola (eld¢r. fr(xn January 1.20201
Mr Ian Benjamin (elderl
Mr Stev¢ Conyb¢ar¢.
MT John Evgns (treasur￿ from Jattu￿ 1*2019A
Rev Andtrw Gale (minister),
Miss Pamela Greener (elder,X
Mr Timothy Newns
Mr Roland Ogberigl
Miss EIi7Abeth Oyedem
Ms Melanie Jane Quin
Mr Erwin M F Tadiar (secretary, eldet).
Property Trnste
The Baptist Union CoryKJration Limit&l BAptik llo￿ 129 Br(wdway, DidcoL Oxfordshi￿, OXI I
8RT
Our main bank is Lloyds Gwe St IArton (309528) Branc14 Ljoyds Bank plw PO Box lo￿. BXI
ILT Church or8anisatiow have fimds wtth a number of other Ixnk4 and th¢ chuTth has subslant
fimds with the Coventy Building aJMJ with the Baptist Union
Independent Euminer.
Mr Moses Oluniyi Peters FCC& Moses Peters & Company. 136 Soknk House. Moorland
Roa¢ L<)ndoo SW9 8UR
Clwitable Object
The cI￿lty is 8overned by a Consti￿0￿ ado0￿ 20 Juty 2010 whi¢b states that our winc1￿1 purp)se
is th¢ advancement of the Christian faith ac£ording to the PTincipks of the Baptist denomination. The
church may also advance aucation and caTry Out other clwitable in the United Kingdom
an(Vor other parts of the world. The church occupies prerni￿ whtch are held by the Baptist Union
CotPOTation W on Trusts which are ￿tIlety oxnpthl¥l¢ with thc alx)vc obiw

to have betn publicty Fwtis¢d on the professi￿ of faith in Jesus ChrisL or following other mod¢5 of
baptism to r¢n¢w their public w)fe&8ion of faith tn J¢57LS ChTisL
The church member's metting n(nwlty takes pkn six times peryear and h&8 wsiI)ilty for the
overall W>ll￿ ofthc thurch. Jn accordance with the constltirt1￿ the Mem￿[S appoint up to twelve
deacons, who together with th¢ ministff and elders (who are also app)inted by the members). ar¢
responsible for the day to day nmnin8 of the church and the financial and legal &Sp￿ts of the charity.
All members are encouragd to tsk¢ an appropriate pgrt IL the spiritual and practical t&sks involv¢d in
the furthernnce of the charitable obje£tiv&
Rel¢vant matters may be submitteA to the church m¢rtin8 by the tru#ees guidance. or may be
raised by members at the church meeting for fith wnsideratioo by the tTr￿. Though the
¢4ynstitution ￿rn)its decisions to be made at church m¢¢tings by appropritr m&joritie4 the church
seeks to work by consensus wherever p)ssible.
As a result of actions taken by the church in line with governtnent guid8n¢¢ in r¢sFK)tW to COVID-19
the ¢huT¢h m¢mbers met once prior to March 2020 8nd the lock dovrn in England.
Obje¢¢ive8 aAd Athiliey
Jn order to achieve the principat obje¢ttve which is set out alw the church provides a variety of
activities which ar¢ available both to tts membership and to the c4xnmunity generally. C¢ntr81 to the
work and witn¢5s of the church is the Fyovision of regular public services of Christian worship. Thas¢
services take pla￿ on Sundays at 10.45 am. The aim ts to show the love of jes￿ Christ in both word
and deed and to briog people into a closer relationthip wtih Him ￿ livin8 LonL
There were no services atthe Perry Gzr¢n Baptist ChapcL near Kimpm after lockdown in March
2020. While online service5 via ZIM)m and Fac¢t4>)k w￿¢ undertaken on Sundays at 10:45 am during
this perio(L
The church seeks to be a friendty and welcoming ¢oD￿￿ty and is free io attend any of
these onlin¢ services. During kKkdoTrvn we have not l￿d visitor& with no op￿r￿m￿ to share tea a￿7
coffee afteT th¢ s¢rvice. and ooce a month to slwe in a (free) fellowship meal. which norn￿1￿ tak¢s
pl￿. During this yw our motto text was-But just &8 He wkn called you is holy, so b¢ holy in all
you do-.
At th¢ start of 2(r20 various activiti￿ for Children ￿ youth such &$ Sunday School have t8k¢n plac¢
during th¢ s¢rvice. There have I￿} many activitses for children and youllg p)ple durin8 the week
(such as a mums and tots group. Boys, Brigad4 Girls, Brigade, SHIELD discussi￿ group. and Youth
Club) and these serve & large numtrw of families not othmvise connectsd with the church. Anyixyjy
working with children or vulller8ble thlts is appropriat¢ty v&t￿l with regard to the Criminal Records
Bureau. For those of more mature year4 IM)th Tea and Hymns [8t￿ six Swiday afternoons per year)
and the Thursday Afternoon FellowthÉp (weekty) Continue to be wpular. Further details of these and
other actÈvities can be obtsined at the Sunday seryic¢s of worship or in the church nmgazine 'Contsct"
which is produced tnonth. Th¢s¢ thIld￿ y(xnh alld related activities where I￿lted aft
th¢ start of loGkdoTrYn IJ) March 2020
TTh0t￿ Ann¥al Re￿￿¢." L*on CentralBwi%l CIMffchPage 2

During the I0¢kdo￿ wi(yl a number of activities where unthrtaken to suNx)rt out ¢hur¢h members
who have unable to att¢nd th¢ chwch building while it was closed to services. The capabilty to
provide Simday s￿¥1¢¢$ and prayer meeting over ZAxmi and Facebook h&8 been established. Many
church members well &s those Witho￿ a direct connethon to the church have been able to attend
the online services. Th¢ ¢hwch encowaged outreach to memlw through visits and calls and letters
to help many who may have feh lonety and unsw)porte4L The church also ￿0vided meals to our
senior memb¢rs through visits to their knes and tsking the time to have a chat 8rMI eontte£t with
them. Plans to provide pastoral Sup[￿ to thurch tn¢mber5 were also invoked. The church is
dependent on its memknship wotking as volunteers in all aSp￿ts of the church's activtties. m8ny of
which run with little or no iM￿¢t on the church's expefjditur4 but n¢v¢rtheless contribut¢
substantially to the achievement of the church's objectives and the figure of 30 volunte¢rs in th¢
8nnual return is very conserYativ¢. Many of our volunteers have not been required during the
lockdown peri(xl with a few members coming to church on Sundays to help with the broa￿ of the
online services.
tkspite the inability for church montws to attend the building on Sundays the decline in income (see
belowl ILS b¢¢n minimis¢d with the enccrtwdgement of members to give directto the church bank
account. Th¢re have iwi a few meMt￿S who contlnue to give cash via offerillg envelope or cheques
which are collected from thurch m¢mlKts on requesL
The motto text for 2021 will be Psalm 137:4,-How sball we sing the tml's song in a stran8¢ land?.
& re¢ognition and ¢nwurag¢meot to all as we continue to h&ve church renM)tely during lockdown.
Flnalldal Revlew
out in the accompanying fitwicial st*¢m¢nts. This rqM)rt is followed by the independent examinerfs
reiw and then by
the church acLou@ firstty in the forni we bave u￿￿1￿ ad0￿ed in yeats pasL and then in the
simplifi¢d SUMM￿ pres¢ntation of the CC16a d(￿￿￿ellt which combines all of the fimd8 of the
church and its &&8ociat¢d (Yganisatious.
The church raisesthe fimds to cany on its activiti&s from within its own membership aTrJ
congregation. no wider public app￿ for funds It￿le during the year. We Dornwlly contribute
considerable sums to other ch8ritie4 lrtal, Dational 8nd int¢rnational. both through special collections
and by setting aside money from our norn￿ income for this Put￿)se. During 2020 it was not p)ssible
to undertake special collections during the yeaT but in spit¢ of thi& gen¢ral giving to oth¢r charities
has not been limit&l. The most sigttificant exFnse is related to th¢ salari¢s of our Oaff. including a
minister. an assistant minister in trainin& a famity WOTker, administrative ￿]stant and cleaners. All
but the first of th¢s¢ posts is part time. The church t(x)k advantage of the fiwlougb schenk for the
cle8ners when it bec8me available. since the church iwilding not in use during the period of the
lockdown. The seciynd most extthsiv¢ ¢lem¢nt of our expenditur¢ is the heating and lighting of our
premises: the new beating control system h&8 reAluce these cosL% with the impr(>ved managem¢nt of
h¢ating requirement resulting from the limiteA use ofthe premises. Apsrt from the giving of the
Congregatio￿ (and gift aid thereon) the only other source of income is r￿t from the tlats we
Caddingm 8nd from others using our ￿1]dIng or ¢ar pfirk
Trwtees AM￿alRe￿￿1.. Cetha1B<¥￿ ChvthPugE 3

For 2020 we Iwve limttti4 use of our Church t￿lIding and ptrmises whi¢b has had an impact on
inwme. Giving vms ittwacted due to the lockdown f￿ much of the year. How¢v¢r th¢ oulcome was
not &8 bad as was f¢8red because of an i￿re￿Ied W￿rtiOn of chU￿h mfflnb¢rs giving via direct debit
this year. As SUC￿ by the ¢nd of the year the offerings for 2020 was marginally lower than for the
previous y¢ar. which Imd particularty Str￿8. Ot1￿ soujres of income were also dow￿ so
overalL we had & deficit (if we treat the figures &5 in pr¢vious y¢ars).
We have continued to conforni more fully to a rff¢ipts 8Dd payinents methThl for presenting the
a¢counts. as per the changes 8dopt&l in th¢ w¢vious year. The general fjjnd shows a decline when
compared to 2019 and the a¢wunt shows a defictt for 2020. It is importaot to realis¢ that in spite of
the challenges of 2020 our financlal SIti￿tion h&8 not be£ome suddenty wor￿. For 2020 our income
from use of pr¢mises has a decline, whik there h&$ been an incre&se in the rate paid for
accounting and independ￿t examinatson of our ac¢ouDt4 Mostty. the negative impart bas been
limit¢d due to increa5eAI giving via dir￿1 debit and the relatively e4Aier collection of gift aid whioh is
now countsl the year it is 8ctu81ty T￿civ¢￿ whik our nmning costs have h&$ been lower due to the
limit us¢ of th¢ church premi￿ during th¢ kthlown peri(xL
Date ofapproval: 22 2021
Signed by one ￿ two trnstees on ithlf of all the trustees
J EVANS.
AGAI

INCOME AND EXPENDMIRE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2020
INCOME
Generdl:
Offerings
Gift Aid Tax Re-
Claimed (Note 10)
Org's Donatlons
Varlous Donatlons
Caddington (Noie 151
TAF Funds
Miscellaneous
Contact Donatlons
Parking
Amazon Smile
a)urch Hire
Totsl
2020
2019 EXPEPIDITURE
Pastornl & E￿￿er￿n.
I￿,822 Mlnlster
Adminlstratfve Asslstant
22.790 Fami￿ Worker
l(M) Asslstant Minister
5,679 Youth Work Costs (Note 12)
11.095 Speakers
21 TAF
190
599 Evangelism & Outreath
343
172 P35toral Care
2.170
4,025 Music Ministry
32
26 Total
4.349
10.230
104M51 IS5￿59 Pr￿￿e$lawr￿ Bulld1￿1.
Ltghtln& Heating & Water
Maintenan
1,077 Gardenln8
597 Insurance
L674 Cleaning Costs. Less Furlough
T¢Aal
2019
82.029
37.201
4,104
12,749
4.836
1895
37.311
12,366
12,473
4.776
4.632
710
258
267
150
1,685
877
909
61616 66.654
4,669
4.803
1987
4.596
L450
1,340
3,128
3,081
4,651
7,402
14885 21222
Specific Donation&'
BMS
Home MÈssion
Totsl
337
Special Collectlonk"
Christian Aid
Harvest
Christmas
Bible kKiety
Toilet Twlnning
Communlon Fund
401 Manse Ex￿nSe&.
834 Energy & Water
420 Insuran
23 Counal Tax
380 Maintenance
L705 Total
273
375
550
1.772
180
77
1.843
1,351
543
Total
3.763 Stationery. Prirt Postage &
Photocopier
Organ & Plano Expenses
L61)) Telephone
Miscellaneous (Note 13)
Total
056
1.131
139
1.667
4.146
162
447
2.891
9,313
Investrnert Income:
Green Pastures
6,032
Other Income:
Insurance Claims
Special Collertions
Transfer To Communion Fund
BMS (Plote 81
Home Mission1Note 9)
Total
653
543
8,092
6,806
16m4
1,252
1,705
5,340
5,275
13.572
Cumulatwe Total CIF ll￿.T54 16W Cunwlathm Tatal Cfr
112A54 113.638

INCOME AND EXPENDMJRE ACCOUtItS {Continuedl
FOR THE YEAR ENDED 31 DECEMBER 2020
INCOME
2020
2019 EXPENDmiRE
2019
QNnulatl¥e Tot41 BIF
IIA734 166Jb42 Cunwlalk*Totsl OIF
IW54 I￿.638
Steel Internal Doors And
Electronic L
New Fire Exit Doors
Car Park Elertn)nic Locks
9,786
15,137
25.712
Totsl
So￿5
Total
108.TJ4 1661)42 Totsl EXp￿￿111Ure
111454 164273
Transfer From TAF=
Costs from TAF fund
Tran5ferTo TAF:
O TAF fund
21
Transfer From
Repairs & Renewals
Fund:
Items Purchased
TransferTo
Repairs & Renewals
Fund:
50,635 Caddington Income
258
11,095
rplus l (Delklt) ForThe Year
-u78 41.288
muFatlveTotsl
108.734 I16￿rI Cuftwtstfrde Titsl
10&734 216,677

BALANCE SHEEr
AS AT 310ECEMBER 2020
2019
TANGIBLE FIXED ASSErs:
Properties & Other Fixed Assets (At Cost)
Caddington Flats (At Costl
Total Tan8lble Flxed Awets
516.CQ7 516,IX17
245.OCIJ 245.oc
761m7 761,007
CURRENT ASSErs:
B U Corporation Trust Fund TL076
Green Pastures Unsecured Loan Stock
Bulldlng Soclety Account: Balance Held
Lloyds Bank Ojrrent Account." Balan￿ Held
Lloyds Bank Dep051t Account: Balan￿ Held
Totsl Current Assets
52,837
52,663
40,IXJO 40,000
83.225
81,754
39,681
43,428
7,937
223.683 225,78Z
TOTAL ASSErs
986.789
REPRESENfED BY
BUILDINGS FUND:
Church Building
20 & 23 Collings Wells aose
New Church Improvements
Fixed A55ets Purchased
Totsl Bulldin85 Fund
478,896 478,896
245.000 245,OIXJ
9.011
9,011
28.100
28.1(K)
761￿7 761,007
U CORPORATION TRUST FUND
51837 52.663
OThER FUNDS:
General Fund
Communion Fund
Repairs & Renewals Fund
Projects Fund
Thursday Afternoon Fellowship
T•)tsl Other Funds
27,070
31,048
4,247
4,154
4.883
4.272
133.077 131,989
1,569
1,656
170.846 173.119
TOTAL FUNDS
984690 986.789
The Flnancial Statements were approved by the board oftrustees on gi cttober 2021,
and were signed on its behalf by:
Trustee's Name:
Signature:
Trustee's Name:

NOTES TO ThE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2020
Accountlng Polkles
The accounts have been prepared on the historical cos¢ and receipts & Payff￿nts
basEs. No provision has been made for depre(iation in these accounts.
Tangtble Nxed Assets
Values for the freehold land at 52A Park Street. and for the Manse at 59 Oakley Rd
do not appear on the balance sheet. as the cost or valuation at the time of transfer
to Central Baptist Churth Is unknown.
The land & the church building at Pdrk Street. Luton Is used for Christian Religious
artivitie5. The church buildirv& was constructed in 1986, and is currently insured for
fire and other risks for £2,627,588.
The chapel at Pery G￿en. near LLrton. Is built on land held on a deed of grant. It
cost £18,813 to build in 1986. The chapel is used for Christian Religious activities,
and is currently insured for fire & other risks for £156,071. The cost was completely
amortised at the time of buikling.
The Manse at 59 Oakley Road. Luton prO￿deS accomrnodation for the incumbent
Minister employed by the Church. It was built in about 1937. and is currently
insured for fire and other risk for£328335.
Two flats at number5 20 & 23 Collings Welts Close. Caddington, were purchased in
2016, and are held on lease from Central Bedfordshire Council. At the time of
purchase. 98 years remained on the lease. Each flat is insured by the council for a
sum of £XI.¢xrf). They are let to tenants thro￿ Town & Country Ma￿ate Ltd.
2019
Freehold Buildlngs @ Church at Park Stree¢ Luton
Leasehold Properties @ Cost
20 Collings Wells aose. Caddington
23 Collings We115 Close. Caddington
Other Fixed Cost:
Organ
Fixture & Fbttings
Other Equipment
Dishwasher
New Ampltfication Equipment
New Cooker
New Entrance Doors
Totsl Tan8D>le Flxed Assets
439.658 439.658
122,500 122,500
121500 122.5
30,132
30.132
19.930
19.930
5,774
5.774
2,753
2,753
3.928
3.928
7.430
7,430
6.402
6.402
76¥(K)7 76L007

NOTESTO THE Accoupifs FOR ThE YEAR ENI*D 31 OECEMBER 2020
2020
2019
Opening Balance BIF
Fee for removal of covenants
Interest
Pald to Churth
C1051ng Balance CIF
52,663
52,217
174
51837
52.663
General Fund
Opening Balance B/F
Surplus l {Defidt) For The Year
CIDslnq Balan￿ CIF
31.048 -10.240
-3.978
41.288
Z7,070 31.048
Communlon Fund
Opening Balance BIF
Offerings During The Year
Interest (See Note 111
Payments Made
C105ing Balano CIF
4,154
543
20
470
4247
3,489
1,705
20
-1,060
4154
Repairs & Renewals Fund
Opening Balance BIF
Transfer From General Fund
Transfer From Baptist Union
Interest (See Note 111
Steel Intemal Doors And Electronic Locks
New Fire Exit Doors
Car Park Electronic Locks
4.272
258
43,459
11,095
353
353
-9,786
-15,137
-25.712
Closlng Balance CIF
4.272
Proie¢ts Fund
Opening Balance B/F
Interest Isee Note 111
Closing Balance CIF
131.989 130,925
1,064
3,077 ￿1.989

NOTESTO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2020
2019
Drymtlon To BMS
Payments during the year
Overpayment brought fopward
Total payments Induded In the A(c￿nts
8,092
5,340
092
Donathn To Home M1$51on
Payments durfng the year
Underpayment brought forward
Totsl payments Induded In the ACCI￿nts
5.275
5275
io
Glft Ald Tax Re¢knlmed
Receivable at start of the year
Received during the year." Grft Aided Offerings
Received during the year: Small Donations Scherne
Transfer to GB: Grft Aid on Subs
Total Oft akl tax redaimed induded In the A(t•unts
10.366
20.908
-118
11366 22.790
11 Interest Re¢eNed
Bank Deposit Account
Coventry Buikling S(Kiety
Totsl received duriry the year
1.471
L474
1,446
IN50
Apportloned to:
Communion Fund (See Note 5)
Repairs & Renewals Fund (See Note 6)
Projert Fund1See Note 7)
TAF (See Note 141
Total Apportloned
20
353
1,088
13
¥474
20
353
13
1450
The apportionment a5 set out above is based on the approxlmate balances in
each fund. Interest received from B U Corporation Trust Account is credlted to the
B U Corporation Trust Fund.

WT014 CENTRAL BAPTISTCHUROI
NOTES TO THE Accoup¥fs FOR THE YEAR ENDED 31 DECEMBER 2020
2020
2019
Youth Work Costs
Communicate
Youth Attivities
Holiday Club
Family Workjmessy Church
Girls Brigade
Boy5 Brigade
Totsl payments In¢luded In the ACC￿￿$
67
321
194
980
1.398
54
1.345
661
4￿31
359
1.398
750
Mlscellaneous Expendlture
Bank Charges
Subscriptlons ITO EA & BUI
Payroll Fees
Accountlng & Independent Examination Fees12019 & 2020)
Training
Flowers & Other Mrscellaneous
Total payrnnts Induded In the Accounts
407
957
539
954
834
3,7(N)
214
350
zwi
Openin8 Balano BIF
Speakers payments from church funds
Other Expenses
Donations Made
Exce55 of income over expendi￿re pald In
Interest (See Note 11)
aoslng Balaft￿ CIF
1.656
1.622
-1
21
13
1.656
13
Flats at 20&23 ColNn8s Well Close. Cadth￿t￿ Rental Income
Gross rental income
Rent Owed & Deposits Held
Management fee
Maintenan
Amount rttelved from M¥n4in8 Agent
Council Service Charge
li,(
14,688
425
-1,996
-2,228
-7.377
446
¥693 IZ,439
-1,435
-1,344
Net rental Incorn Induded In the A(%ounts
Estlmated feturn on total cost for a fvll year.
11,095
4.4%
1%

NOTES TO THE Accouiifs FOR THE YEAR ENDED 31 DECEMBER 20x1
2019
16
Uoyds Bank Currert A¢￿UTht Balance Held
Attual balance per bank ststement on tst January
Cheques not yet cleared from the account
Lodgement not yet credtted to the account
Openlnz balance held on the acc(x*
4L998
42.760
-3.221
1,475
4L014
1.430
Actual balance per bank ststement on 31st December
Cheques not yet cleared from the account
Lodgement not yet Lyedtted to the account
aD￿n8 balance held on the account
41,056
-1.375
41,998
1.430
39,681 43A28
17 GOI￿ Concern
The charws trustees have made appropriate enquiries, and reviewed that the
charity has adequate resources and sufficient sources of funds available, and a
therefore confident that the charity will continue in operation for the foreseeable
future. The Covid-19 pandemic and the counter-measures tsken to suppress it have
caused disruptions in UK. with consequent impacts on church 8atherin8s, income
and finances. which trustees have also reaSona￿Y considered, and concluded that
the events do not cast significant doubt upon the Charity's abllttyto contlnue as a
going concern. Therefore, the trustees considered that it ts appropriate to prepare
the accounts forthe year ended 31 December 2020 on a going concern basis. Most
activities of the charity a￿ continuin& albeit in modified form.

srATEMEKf OF FINAIKIAL ACTIVITIES FOR THE YEAR EMDED 31 DECEMBER 2020
2020
2019
Totsl
Fund
Fund
Incomlng Resowces
Offering5
Donations
Bank Interest
BMS & HMF
Special Collertions
Subscriptions
Miscellaneous
Communion Fund
Su&Tota15
Transfers In
Totsls
94.395
451
1.050
io
94,997 125.793
4.194
6.067
1,658
1.919
1,674
5,107
1,942
10,685
31,132
543
1,705
I￿11 113.445 175.339
63,781
I￿11 114246 239.120
9,932
543
10&734
753
L55Z
108.734
&552
Resources Expended
Pastoral
Premtses
Manse Expenses
BMS & HMF
Donations
Special Collertions
Other Activities
su￿Totals
Transfer to Central
Transfer to Rèpairs & Renewals
Transfer to GB
Trsf to Communlon Fund
Totals
63.616
16.885
4.035
14.898
470
64.568
17,696
4,035
15,098
67.871
73,638
2,877
10,615
134
653
1,702
592
13.830
14,411
2,185 iU.980 in248
50.810
11.095
150
543
1,705
1364 1235 IIWI 235.008
811
2LK)
l(M)
653
11,824
1.314
1.314
258
111712
570
Net Movement In Funds
.3.978 1
4635
4,112
Funds BIF tst January
31.048 194.734
1.916
14242 241.940 237.828
Funds CIF 31st December
27m I96￿15 1104 I3￿18 239305 241.940

LIItON CENTRAL BAPTISTCHURCH
Repah5 &
2019
Total
Fund
Fund
Fund
Fund
Fund
Total
Incomlng Resources
Offering5
Donations
Bank Interest
BMS & HMF
Special Collections
Subscriptions
Miscellaneous
Communlon Fund
S￿￿TOtal$
Transfers In
Totals
353
174
1.896
20
543
174
648 1.896
12,821
14.717
611
174
Resources Expended
Pastoral
Premises
Manse Expen5e5
8MS & HMF
Donations
Special Collections
Other Artivities
Su&Totrls
Transfer to Central
Transferto R & R
Transferto GB
Tr5f to Communion
Tota
470
470
1.060
i(x)
100
570
470
50,635
470
570
51,695
Net Move In Funds
174
Funds 8/F Istjan
4.154 131J89
42n 1.656 5L663 194734 231.712
Funds CIF 3tst De¢
4247 133rn 4*3 I￿ 51837 196,613 194,734

W￿N CEtirRAL BAPTISTCHURCH
2020
Totsl
2019
Total
JUMP
UFT
In¢omlnz Reswrces
Offerfngs
Donation5
Bank Interest
BMS & HMF
Speclal Collectlons
Subscriptions
Miscellaneous
Communion Fund
Sub-Totsls
Transfers In
Totals
263
2,315
1,942
14
392
61
271
421
753
271
616
1552
4.534
150
271
616
1552
Pastoral
Premlses
Manse Expenses
BMS & HMF
Donations
Special Collections
Other Activities
Sub-Totsls
Transfer to Central
Transfer to R & R
Transfer to GB
Trsf to Communion
Totsls
134
990
109
151
151
1.314
314
50
4.142
4,276
125
150
201
4551
Net Move in Fund5
271
474
312
Funds BIF Istjan
379
7S6
274
1.783
Funds Cfft 31st De¢
356
374
1,916
-li-

**INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF LUTON CENTRAL BAPTIST CHURCH (CHARITY NUMBER 1155929) ON ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020 SET OUT ON PAGES ONE TO ELEVEN** 

I report to the trustees on my examination of the accounts of the above named charity for the year ended 31[st] December 2020 set out on pages one to eleven. 

## **Responsibilities and Basis of Report** 

As the charity trustees of the above named charity, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”). 

I report in respect of my examination of the above named charity’s accounts carried out  under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

## **Independent Examiner's Statement** 

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect: 

- accounting records were not kept in accordance with section 130 of the Act or 

- the accounts do not accord with the accounting records 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. 

## **Signed:** 


**Date:** 22[nd] October 2021 

**Examiner's Name:** Mr Moses Oluniyi Peters 

## **Relevant Professional Qualification:** FCCA 

**Relevant Professional Body:** Association of Chartered Certified Accountants 

**Address:** Moses Peters & Company Chartered Certified Accountants 136 Southwyck House Moorland Road, London SW9 8UR England 

