PNEVMA CHURCH
(A COMPANY UMITED BY GUARANTEE)
TRVSTEES REPORT AND
VNAUDrrED FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31ST MARCH 2022
CHARtfY REGISTRATION No: 1156319
COMPANY REGISTRATION No: 08824457

PNEVMA CHURCH
(A COMPANY LIMThED B Y GUARANTEE)
CONTENTS
Pa9e 2
Reference and administrats.ve detai15 of the charity. its trustees and advisors
Page5 3 to 5
Trustees. ￿port
Page 6
Independent eKaminerfs ￿ptsrt
Page 7
statement of fillanci61 attivities
Page S
Balance sheet
Pages 9 to 19
Notes to the fina[￿￿1 ststaJents

PNEUMA CHURCH
{A COMPANY LIMfTED BY GUARANTEe)
TRUSTEES REPORT
FOR THE YEAR ENDED 31 MARCH 2022
REFERENCE AND ADMINISTRATIVE INFORMATION
CHARITY NAME
Pneuma Church {forme￿V Ashford Vineyorll Church)
CHARTTY NUM8ER
1156319
COMPANY REGISTRATION NUMBER
8824457
START OF FINANCIAL YEAR
1st Apth 2021
END OF FINANCIAL YEAR
31st March 2022
TRUSTEES THAT SERVED DURING
THE YEAR TO 31 MARCH 2022
Mr C M knmrT4arKe
Mrs R Tom5ett Jenkins)
Mr I Witts
Mrs J Morton
Mr R Anderson (resigr*d 28th June 2021)
Mts E Dav&e5
Mrs P Dur*can
Mr R M L Eason las of 31st Oecèmber 2021}
Mr J K Henderson {as of 31st December 20211
COMPANY SECRETARY
m￿ J Morton
REGiSTeRED ADDRESS
Unts i & 9 Ashford works
Cobbswcod In¢Justrial Estate
Brunswick Road
Ashfc*d
Kent
TN23 IEH
DATE OF INCORPQRATION
23rd December 2013
GOVERNING DOCUMEKr
Memorandum ènd Articles of Association
BANKERS
Metro Bank
One Southarnp￿ Row
don
WCIB SHA
CAF Bank Limited
25 Kings Hill Avenue
Kings Hill
ME19 4JQ
INDEPENDENT EXAMI14ERS
Independent Examiners umited
Unit 2 The Broadbridge Business CenrKe
Delling Lane
Bosham
K)18 8NF

PNEUMA CHURCH
(A COMPANY UMfrED BY GUARANTEE)
TRUSTEES REPORT
FOR THE YEAR ENDED 31 MARCH 2022
The trustee5 present their report and finanoal ststements for the year ended 31 March 2022.
The flnannal ststements have been prepared in arcordance viith Accounting and Reporting by charIt￿S= Statement of
ecornmended Pracw applicable to charibes prÈparing their accounts In accordance with the Finaricial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021 leff￿ve i January 20151 (Chanties SORP IFRS 10211, the Anancial
Reporbng Stsndard applicable in the UK and Republic of Ireland (FRS 1021 and the Co¥npanies Att 2006.
Objertives and Activities
In sewng objectives and planning for activltTres, the Trustees have given due Cons￿erat￿)n to general gU￿a￿e published by
the charity coMrni￿on ￿￿tift9 ro public benefit and in particular to its supplementary publie benefit guidance.
The Charity'5 objettIv￿ (the objects) are for the public benefit and are restricted to the fdlowing:
(al ro advano the ChTrstian faith in ￿(Dr￿a￿te with the Stst￿nt of beliets in the scheduk to the artKles he￿t0
4ttatheO, includlng but not by way of lirnitstion through the planting of other Vineyard Churches in such ways and In the
Borough of Ashford, such part5 of the United Kingdorn or the wortd as rhe Tr￿leeS from time to time may think fit,.
Ibl to further Christian education in Ashford. the Uniteij Kingdom ano the Wor￿ as the Trustee5 from time to may
think f￿,.
Icl to ￿lIeVe sickness and finantial hardship and to promote and preserve good heaifh and wholeness by the provision of
funds, goods or *rvices of any klnd. Includiry through the pmvision of counsellingi training in life skills. emotional
support through belortging and support in Ashford or such parts of the United Kingd(Kn or the work1 as the Trustees from
time to time rllay think flt-,
Id) io provide or aS5￿t in the provTsion of facilities In the Int￿$S of social welfare for recreation or other l&isure time
occupation of individuals who have need of such facil￿￿ by reason of their youth. age. Infirrtuty or disability. flnancial
hardship or s￿la[ circumstance with the objecDve of Improving their condrtions of life:
(e} to help bnng a fullness of life to the wplÈ of k%hford and beyond as the trustees see fit, creating an environtnènt
where people do not have to believe In order to belong and where those who consider thernselves to be a part of Pneuma
Church a￿ focused on bnngiry Lhs fullness of life to others both locally and beyond.
The volunteers at Pneuma Church make an enormus contritKrtk)n in Seeing us fulfil our alms. We have around 200
volunteers who contrfbute in a vanety of ways. from the fTh)d bank to The Beehive, on Sundays and in youth and mo￿.
Uts155ing the vOlun￿rS has been trKky this year and whik a number have had to isolate or quarantine, there have still been
many ￿Ople who have stepped up and Volunteer￿ many hour5.
AchSe¥em•nt and Perfomiance
Thrgughout lockdown and the period of Covid-19. Pwrna Church has been consistendy present to support people. Ths has
been done thmugh soaal media with daily output to encourage Peop￿ and help reLluce Isolation. Als(>, many groups moved
online and continued to operate (such as Coffee Clubl and others. such as Ashford Singsi had to be f*xible and Irstead
Create online Spaces for many a "Sirrfjsalongl" and for quizzes etc.
Sunday services began streaming without a L￿k in Sundays and a fcx)d bank was strrted Imrnediate￿. This contlnues to
gather food from various sources and link in wtth the council to bnng much needed supplies to hard-hit families, This project
develop￿ Into a Social supermarket programrne. c￿the5 baby supplies were distributed throu9hout this tsme as part of
our Storehouse.
Pr*uma Church contlnued a meals programme supplying tneals to the local IK)SPital for frontline staff. This utilised home
kitchens then local chets to provide over 4,000 meals which were delivered daily. abng with brand new microwaves an¢J a
fridge for the storage and preparation of foo¢1 at the hos￿tal.

PNEUMA CHURCH
(A COMPANY LIMTh£D BY GUARANTEE)
TRUSTEES REPORT
FOR THE YEAR ENDED 31 MARCH 2022
Aside from our consistent Income that is provlded by personal donations. our fundraising team were able to seize many
opportunities afforded by the various bodies who were making grants available. We employ an incorne generator wh{￿@ aim
Is to bring in £20,0￿ across the year. The final figure in this finanoal year was £52,580.
Financial Review
The charty has achieved a deficit of £90,770 for the year. cornpared to a SL(rplus of £58,202 for 2021. The year has been
unusual, due to recovery from the impatt of COVID-19. General donations were up slighdy (£243,171 compared to
£234,917 in the previous yearl. Grant income svas significantly down. LKal government grants were £40,849 compared to
£61,916 In thè previDU5 year. The main difference 15 that the previous year included slgnificant grants from other trusts ancl
charitsble foundations, for support dunng the COVID-19 period a[￿ We￿ ring-fenced for spetifit use. These grants have
decreased to £16,515 frorn £LI8,436 the prevKJus year. Finally the previou5 accounts include funds received for rhe COVID-
19 Job Re￿ntIOn Scheme totalling £9,586, compare<J to £218 this year.
The charity has a policy for hdding reserves (see Finan￿ Policy. sertK)n 91- The Trustees agreed io hold re5erve5 toverin9
approXima￿lY one rnonth s expenditure to alh)w for a temmrary shortfall in income, or unexpected expendI￿re, thereby
ensuring that the chanty will be able to continue to fulfil its charitsble objectives. The reseTves hekl at the end OF this year
are £12,000.
The Trustees will endeavour not to set aside funds un-necessarity. The tnjstees have assessed the major ri5k5 to which the
charity 15 exposed are satisfEd that the￿ are SYst￿n5 are in placè to ￿ltIgate exposu￿ to the major risks.
It Shou￿ be noted that the Church is going through a pernd of transition. [￿t-coV1D-19. and chan¢Jing to Pneuma Church,
and is closely monitoring incoff* and expenditure_
struthrei governance and management
The charity is controlled by ts goveming ￿￿UM￿t. a deed of trust. and constitutes a lirnited cornpanyt lirnited bv
guarantee, as defined by the Companies Att 2006.
The trustees, who a￿ also the direttors for the purpose of company bw. and who served durir¥J the year and up to the date
of signature of the financial staternents were..
Mr C M KinNnarKe (Chair)
Mrs R Tomsett {nee Jenkins)
Mr I Witts
Mrs l Morton
Mr R Anderson (resigned 28th June 2021)
Mrs E Davies
Mrs P Duncan
Mr R M L Ea50n las of 31st Oecernber 2021)
Mr J K Henderson (as of 31st Decernber 2021)
None ¢f trustees has any beneficial interest in the company. All the tr￿Stee5 are members of the company and guarantee
to contrlbLrte £1 in the event of 3 winding up.

PNEUMA CHURCH
{A COMPANY UMThED BY GUARANTEE)
TRUSTEES REPORT
FOR THE YEAR ENDED 31 MARCH 2022
The trustees ￿P)rt 4yas approved by the Board of Trustees.
Trus￿e$ are seletted. supwrted and trai￿ la ￿CordanCe with the Pneuma Churrh Trustee Criter%? and Recruitrnent Policy.
The charty during this aCC￿ntiThJ perifyy was a member of VCVKI IVir*yard Chvrche5 of United Kingdom and frelandl and is
strUctu￿d as follows..
Senlor Pastors lead rhe Church. They de￿ate to and suprKxt'.
Pastors, who delegate to and 5UPPOrt=
Key Leaders. who delegate to 5UPPOrt.'
w￿er Leaders.
The trustees mMitor from the outside, working with the leader5 to revise rA)IK￿S where necessary and checklng that these
policies are understood arKI being implemented to the best of the abil￿ of the leaders.
Funds held as custodian tvustees on beh•lf of others
None
Trustees Reswn$lbilities
The Chariknes Act and the Cornpantes Art require the Board of Trustees to prepare financial statetnents for each financial year
which give a true a￿1 fair view of the stè¢e of affair5 of the charity as at the end of the financial year and of the surplus or
deficit of the charty. In preparing those fI￿r￿131 statements the Board is required to..
select suitable accounting policies and then apply them consistently..
rnBke judgements and estimates that are ￿050nable and prudent.. and
prepare rhe financial statements the going concern basis unless it is inappropdate to presume
that thè chèrity will continue in operation
state whether applicable accounknng Standards and statements of recomrnended praLtice have been followed,
subject to any matenal deparn1￿ disck)sa1 and explained in the financlal sraternents.
The trusrees a￿ resp)nsible for maintsining adequa￿ accounting record5 which disdose with re350nable accuracy at any
time the financ￿[ posityon of the charity and ¥Yhich are suffic*nt to shobv and explain the charity's transathons and enable
them to ensure that the financol ststements cofflply wirh the Comp3n*s Att 2006 and comply with wulations tnade under
the Chènties Art. They a￿ also ￿ponSIble for 5afe9uardiry the assets of the dwrity and hence for taking wsonable Steps
for the preventK)n and detection of fraud and other irr8Jularities.
The trustees are a150 responsible for the contents of the trustees. report. ar￿ the ￿pOnsIbIlty of the independent examlner
n relat￿n to the trustees. ￿port is limited to exalnining the rerx)rt and ensuring that, on the face of the report, there are no
intonsi4tenc￿s with the figures tJLsclosed in the fillancial statements.
These accounts have been pre[￿￿ in accordance with the provisi￿$ appl￿ble to companies subSert to the small
compafjie5' regime.
Thls Report wa5 approved by the Trustees ..
. 5iyned on their behalf by..
Mr CM KSmmance
Trustee

PNEUMA CHURCH
INDepENDENT EXAMINERS REPORT TO THE MEIIBERS OF PNEUMA CHURCH
I report to the twsrees on my examination of the accounts of Pneuma Churth for the year ended 31st March 2022.
Responslbilities and basls of report
As the charity's trustees of the charitsbk ctynpany Iv41K) are also the directors of thè company for the purposes of company
lawl, you are responsible for the preparation of the accounts In accotdatKe with the reqU1￿ments of the Companies Act 2006
l-the 2006 Act").
Having satssfied Myse￿ that the accounts of the chartiable company are not required to be audited for this year under Part
16 of the 2006 Act ènd are eligible for independent examination. I report in respect of my examinatkjn of your charity's
accounts as carried out under section 145 of the Charitses Att 2011 fthe 2011 Art-l. In carryin9 Out my examination, I
have folk)wed the Directvjns given by the Charity Commi55b)n (under $￿t￿)n 145{5}{bl of the 2011 ACL
The company's gross income exceeded £250.000 and l am qu6lified to uTrJertake the examinatic￿ by belng a member of The
Association of Chanty In¢ependent Etsminer5.
Inqlependent exarninerfs statemert
I have cornp￿ted my exarnination. I confimi that apart from the matter discbsed bdow. no other material matters have
come to my attention whlch gives me cause to b￿leVe that."
accounting records were not kept in accordance with Sect￿)￿ 386 of the Companies Act 2006.. or
the accounts do not accord wth s￿h records: or
the accounts do not ¢ompfry with relevant accountiry requireynents under 5ertion 396 of the Companies Act 2006 other
than any requirement that the accounts give a'true and fair. view is not a matter Cons￿er£￿ 05 part of an independent
examination.. or
the accounts have not been prepored in accordan￿ with ihe Cknarit￿ SORP IFRS102).
The Examiner has drawn to the attention of the charity managewt the fart that sorne of the restnrtèd funds held Inarnely
Mens Shed and Fit for Purposel relate to projects that fifttshe(l rnany years ago. The Trv5tees have been advised to attempt
to contact the original donors to obtain permissN)n for the restricti￿ to be lrfted or trarsferra to another similar project, or
failing that. to contatt the Charity Commission for further guidarKe.
I have no concerns ané have come across no othpr matters in connertK)n with the exarnlnatk>n to which attention shoukj be
drawtTr in this report in order to enable a proper understanding of the accounts to be ￿3¢hed.
Signed..
Narlle.. J Irvinesrnith FCIE
Datè.. 8th November 2022
Independent Examiners Ltd
Unit 2 The Broadbndge Bu>￿5 Centre
Delling Lane
B05ham
West Suss8X
POL8 8NF

PNEUMA CHURCH
(A COMPANY UMTfED BY GUARANTEE)
STATEMENT OF FINANCIAL AcfiviTIES INCORPORATING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2022
Un￿StrICted Restricted
Funds
Funds
TOTAL
2022
TOTAL
2021
Income from:
l)onations and legacies
222.855
77,698
300,553
424,855
Charitable activftes
3.736
33,739
37,475
3,034
Investments
13
24
Other Trading activibes
20
176
737
913
Total tncfjme
226.775
112 179
338 954
427 913
Expenditure ￿.
Charitable acttvities
33. 3b
249,666
180,058
429.724
369,712
Total Expenditure
249,666
180.058
,712
Net incomelexpenditure before
other r¢cognised gains and losses
122.8911
167.8791
(90.770)
58,202
Transfers between Funds
io
(2.1851
2.185
Net nkwement in fund$
125.0761
165,6941
(90,7701
58,202
Recondllatlon of ￿nds.
Total Funds Brought Forward
60.462
130.986
191,448
133.246
Total Funds GirrÉed Fonwar
35,386
65,292
100,678
191 448
Moveynents on all reseNes and all recognised gains losses are shown atx)ve. ￿J1 of the organi5ation'5 operations are
Class￿ as coftbnuing.
The note5 on pages 9 to 19 form part of these financol statwnents.

PNEUMA CHVRCN
(A COMPANY LIMITED BY GUARANTEE)
Reg.cornpany M.I>BB24457
BALANCE SHEET
AS AT 31 MARCH 2022
VnrestriLted Restritted
Fund5
Funds
31.3.22
Total
31.3.21
Totsl
Note
Fixed Assets:
Tangible assets
7.689
11,392
19,081
48,792
Current A￿ets.
Debtors
Cash at bank and in hand
Total Current Assets
3.740
4,634
4,634
155 418
160 052
53.006
53.900
Creditors.. amounts frdlling due wf(hin one year
117.691)
117.6911
117,3961
NET CURRENT ASSETS
27.697
53,90r)
81,597
142.656
TOTAL ASSETS less current liabilities
35,386
65.292
100.678
191,448
NET ASSETS
35,386
65,292
100,678
191,448
Funds of the Charity
General unr￿tritted Fund5
Restntted Funds
35.386
35.386
65.292
60.462
130,986
65.292
Total Funds
35.386
65.292
100,678
191,448
The company's finanaal statements have been prepared tn accordance with the prov6￿n5 applicable to companies s￿b)ett to
the small compansos regime.
The trustees acknowledge thelr responsibilities for ensufing that the charity keeps accountsng record5 which cotrply with
section 386 of the Act and for preparir%) financial statements whith give a true and fair view of the 5¢4te of affairs of the
company as ar rhe end of the financial year and of its incoming resources and application of resources. including its income
ané expenditure. for rhe financial year in aicordance with tho requirernents of 5ectyons 394 and 395 and which otherwise
tomply with the requirements of the Companies Aa 2006 rektiThJ to financ%al Strdtements, so far as applicable to the
company.
The company TS entil￿d to the exemption from the audit requirement ojntained in section 477 of the Companies Aet 2006
for the year ended 31 March 2022.
The members have not required the company to obtain an audit of ts firyancial statements for the year In qU￿tIOn in
atcordance with sectH)n 476. However. in accordance with sectkjn 145 of the Chantses Act 2011. the accounts have been
examined by an IndepÈndent Examiner whose report appears on page 6.
The fifi4n¢ial 5t3temenis wtre approved and lor i59Je by the Trustees on .
t￿1r tyehajl. by:
..aThJ s￿ne￿ on
Mr CM KimmarKe
TrusLee

pr4EUMA CHURCH
(A COMPANY LIMtrED BY GUARANTEE)
NOTES TO THE FIPIANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
l. Accounting policies
) Basis of preparation
The principal accounting policies aoopted. judgements an¢J key sources of estimation uncertainty in the preparatw of the
financial staterrEnts ère as follows-.
The financial statements have been prepared in accordaKe with Accounting and Reporting by Charities.. Ststement of
Recommended Practi￿ applicable to charities preparing their accounts in accordance with the Financk41 Reporting Standard
applicable in the UK and Republic of Irdand IFRS 1021 leffettive l January 20151 IChar1ties SORP IFRS 10211, the Financial
Reporbng Stsndard applicablé in the UK and Republic of Ireland (FRS 1021 and the Compan5es Att 2006.
Pneuma Church meets the definltyon of a public benefrt entty under 102. Assets and IkibilitEs are Inib"ally ryognised at
h6rorical cost or transactron value unless otheThiise ststed the relevaff accountsng ty)licy.
The charity has tsken advantrge of the provi￿0￿5 in the SORP for chariti￿ applyiTrJ FRS 102 UrK1ate Bulletin I not to
prepare a Ststement of Cash Flows.
The financial statements are prepared in stersifigi whth t5 the funCt￿nal curTen(y of the charity. Monetary amounts in these
financial statements are roUr￿e£l to Ihe nearest £1. There may be mir*)r discrepancies as Pen￿ a￿ not being shown.
b) Changes to accounting estimates
There have been no changes to accounting estimates in the ￿pOrting period.
) Material prior period errors and chan9es to previous accounts
No material prior period errors have been idenrified in this accounbng perK)d and there have been no changes to previous
accounts.
d) Preparation of accounts 4)n a 90ing eoncern bas1$
Preparation of the accounts 15 on a going concern basi%. The Trus￿5 a￿ of the v5ew that the level of ￿serveS will support
thÈ tharity going forward.
e) Income
Income Is Included in the Statement of Tinartc￿l Art￿lt￿s (SOFA) when..
the charity becomes entitle(J to the Income:
kt 15 more likely than not trot rhe trustees will rec•ve the resour￿.. and
. the monetsry value can be measured with suffioeftt relwbilrty.
f) Interest reeei¥able
Interesr on funds held on detwtsit ￿ included when re￿Ipt is probable ano the amount can be measu￿￿ reliably by the
charity.. this is normally upon notiftcabon of the Interest paid or payable by tl* Ban
g) Grants and Donations
Grants and donath)ns are only iftduded sn the SOFA when the gener* recognition criterla are met {5.10 ¢0 5.12 FRS
102 SORP).
h) Tax Redaims on Donations and Gifts
Gift Aid receivable is Included In Income when there is a valid declaration from tt* L#onor. Any Gift Aid amount ￿CoVe￿￿ on
a donation is considered to be part of that 9ift and 15 treated as an addibon to the same fund as the initial donation unless
the clonor or the terFns of the appeal have specifled otherwi*.
i) Government fjrants
The charity has recewed government grants in the réwbng ceri(￿.

P14EUMA CHURCH
(A COMPANY LIMrrED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
J) Fund accounting
Unrestritted fund5 are available for use at the of the trustees in furtheronce of their charttable objectives unless
ts)e funds have been designated For other purwses.
Restrirted fund5 are subject to specific conditions by donow5 a5 to how they twbay be used. The purwse5 and uses of the
restricted funds are set out in the nores to the financial statements.
Endowrnent funds ère subject tLI specific Cond￿On5 by donors that the capital must be maintained by the charity.
k) Expenlbture
Expenditure Is accounted for on an atcruaLs bags and has been dassifEd unoer heading5 that aggregate all c05t ￿lated to
the category. Where costs tsnnot be direthy attributed to parDcular headir>gs they have been allocated to acbVIti￿ on
bas￿ consistent with the use of resources. Grants offered SubJ￿t to conditions which have not been met at the year end
date are nood as a commitsnent bul not accrued as expendttyre.
l) Oflsetting
There hès been no offsetting of assets and liabilitE5, or income arK1 expen5e5. Unl￿ requi￿￿ or pemitted by the FRS 102
SQRP or FRS 102.
m) Operatin9 leases
Rental chargts payable under operating are charged on a straight IT￿ basis over the temis of the lease.
n) Taxatlon
The charity Is eyernpt from tax on its charitable activities.
o) Legal ststu$ of the cha¥ity
Th& charity 45 a company limited by guarantee and has Tho share capital. In the event of the charity bejng wound up. the
liability In respett of the guarantee is limited to £1 per member of Ihe charity.
p) Redundancy payments
The charity rnade no reLlundancy payments during the pe￿0d.
ql P¢nsions
The company operates a defined conthbutron pension scheme pension charge represents the amounts paYats￿ by
the cornpany to the fund in respett of the year.
r) Debtors
Debtors Iincluding trade debtors aftd loon5 recetvablel afft measured on Inltial recognition at settlement amount after any
trade discounts or amtsunt advanced by the tharity. Subsequently. they are measured at the cash or other consideration
expected to be received.
s) Creditors
The charity has Cr￿ltOrS which are measured at set￿￿￿nt amounts less any trade discounts.
t) Tangible Fixed Assets
Tangible fixed assets are initklly measu￿￿ at C05t and subw￿ntIY measur& at cost or valuation. net of depreciatv)n ènd
any Irllpairment losses.
DeprecKation is recogni￿ so as to write off the cost or valuation of assets less th￿r residual values over their useful Ilves on
the following ba515'.
Leasehold improvements IO% on cost until 31.3.20. From 1.4.20: 35% on c05t
Plant and equipment 20% on ￿￿wing batsnce
Fixtures and fittings 20% on red￿Ing balance
Computers 33% on cost
The gain or k)ss arising on the dlsrxisal of an a55et iq detemined as the drfference between the sale pr￿ed5 and the
carrying value of the asset. and is recognised in net income/(expendl￿reI for the year.
io

PNEIIMA CHURCH
(A COMPANY UI4ITED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 MARCH 2022
2. INCOME FROM..
Un￿trItted Restricted
FuThJs
Funds
TOTAL
2022
TOTAL
2021
al Donations and legacies
Oonations and 95fts
Grants - local govemment
Grants - other trusts and foundatio
Grant5 - ￿mRc job retentyon scheme
216.855
5.500
500
26.116
35.349
16,oiS
218
242,971
40.849
16.515
218
234,917
61.916
118,436
9,S86
222 855
300 553
424 855
bl ChaThtsble activthes
Sales withln chartsble activities
cha￿ta￿e rental i￿ome
33,456
283
33.456
4,019
442
2,592
3,n6
3,736
cl Investments
Interest recelvable
13
24
13
24
) Other Trading artiv￿leS
Fundralsing evenrs
176
737
913
176
737
913
li

PNEUMA CHURCH
(A COMPANY UMrrED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 MARCH 2022
3. EXPENDrruRE ON
un￿$[￿rted Restritted
Punds
Funds
TOTAL
2022
TOTAL
2021
Charitat>le attivitres
al Dirert Costs
Staff costs
Stsff trainln
Travel and subsisten
Giving out
Piano Costs
Refreshments
Other ministry tosts
Singsl And UK Sing51 Expense$ 12021." includes ￿f￿ndS ￿e1ved)
Singsl tour costs {2022.' includes refund5 given)
Cost of Goods Sold
Youth
152.714
2,074
1,741
12.695
73.306
1.874
1.275
3.455
226.020
3,948
3.016
16.150
177,941
1,456
549
10,926
2.000
4,926
18,863
16.335
600
3.6S6
3,557
3,603
15.307
717
1.400
5,548
7,259
18,864
717
1,400
5.548
373
373
bl Govemance costs
Accountancy and Bookkeeping (includes accounts $ofva￿}
Independent Examiners Fees
453
2.112
4S3
2,112
430
2,610
sha￿ of support Costs (note 4}
70.292
73.572
143.864
133,076
249.666
180 058
429 724
369 712
12

PNEUMA CHURCH
(A COMPANY UMITED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 MARCH 2022
4. ANALYSIS OF EXPENDITURE BY TYPE
TOTAL
TOTAL
Unrestricced Restricted
Funds
Funds
2022
2021
Depreciatron
Entertalnment
Operatlng lease charyes and rent
Rat& and water
Insurance
L¥ht ènd heat
Telephone
Pnnting, postage and stationery
Advertising
Sundries
Subscriptions and licences
Repairs and mainienance
Bank charges
Legal and professk)nal fees
1.090
874
34.541
2,B57
1.102
6.642
3.345
4.635
1,242
3.330
2,213
7.166
35.252
107
21.445
438
422
1.992
736
3.667
420
546
3.025
4,686
36,342
981
55,986
3,295
1,524
8,634
4,QBI
8.302
1.662
3,876
5.238
11,852
52,625
40,305
2,226
1.054
4.408
3,814
6.539
2.190
2.572
5.871
7,342
1111
135
1,119
838
{1}
973
1,118
1,209
2,92
Total 2022
73,572
143,864
133 076
Toral 2021
110 514
133 076
5. NET LNCOMEIIEXPENDITURE)
Thls s stated after charging..
TOTAL
2022
TOTAL
2021
Independent Examiners Fees
2,112

PNEUMA CHURCH
(A COMPANY LIMrrED BY GUARANTEE)
NOTES TO THE FINANCIAL sfATEMENTS {tontinued)
FOR THE YEAR ENDED 31 MARCH 2022
6. TANGIBLE FEXEO ￿SET5
Fit for Pu
Resrricted
FvrKJ
se
Beehive
General
Restricted ￿n￿$t￿cted
Fut
Fund
Restric
Pund
Restricted
Fund
Leasehold
ant and
Improvements Equipment
Flxtures and Fixtures and Computer
Fithngs
Eouipment
Total
Cost
Additions
Disposèls
Cost at
01-Apr-21
134.439
19.182
2A16
2,8BO
3,990
13.577
2,641
172,894
6,631
31-Mar-22
134.439
179 525
Depreciation
Disposals
Charge
Depreaatson at
01-Apr-21
100.592
13.417
I￿76
576
7.439
124.102
148
901
31-Mar-22
14.570
160 444
Net Book Value
Net Book Value
31-Mar-22
31-Mar-21
797
590
5,393
2,304
7.689
6,138
19,081
48.792
33,847
5.765
738
Durlng the 202L financrdl year the Trustees a55essed the ￿MaInl￿g wful life of lea*hdd impmvements and have
concluded that 3 more apProp￿ate rate of depreoation is 35%. Accor(lingly as from Isr April 2020, the dep￿ciat￿n rate on
this category of fixed assets was uplifted from IO% to 35%.
7. DEBTORS AND PREPAYMENTS
unrestriC￿d Restricted
Fund
Fund
Total
31.3.22
Total
31.3.21
Prepayments
other debtots
694
3.940
3.740
3.940
894
4,634
8. CREDITORS AND ACCRUALS.. AMOUNTS FALUNG DUE WtrHIN ONE YEAR
unrestrirted Restritted
Funtj
Fund
Total
31.3.22
Total
31.3.21
Accruals and deferred income
Independent Examlners Fees
Social Security c05ts
12.786
2.112
2.793
12,786
2,112
2,793
12,612
2,100
1684
14

PNEUMA CHURCH
(A COMPANY UMITED BY GUARANTEE)
NOTES TO THE FINANCIAL sfATEMENTS {¢ontinued)
FOR THE YEAR ENDED 31 MARCH 2022
9. ANALYSIS OF STAFF COSTS. TRUSTEE REMUNERATION ANO EXPENSES AND
ThE COST OF KEY MANAGEMEP4T PERSONNEL
2022
2021
Gross Wages and Salarie5
Casual Wages
Social Security Costs
Employerfs Peftsion Costs
213,504
2,397
7,2So
2,869
168.847
140
6.367
2,587
226 020
The average number of persor6 eJnployed by cumpany during the year was as folkJws:
2022
15
2021
13
Artiviti￿ in fvrtherance of or9anisatitin's objettives
Administration
No employees received ernoltsments tn eX￿sS of £60.000 (2021: Nil)
The key management personnel of the chanty comprise the Trustees and SenK)r Management Team. The total employee
benefits Iintluding employer natK)nai Insuran￿ and employer pe￿0Th contributK>nsl of the key management personnel of
the charity were £85.848 12021.. £82.2541
The charlty offers a defined conthbutsots pension scheme. The assets ￿ the scheme are held separately from those of the
charity, in an independently administÈod fund. The pensi￿ c05t charge represents contnbutions pay0b￿ by the C￿rIty to
the fund amounted to £2,869 12021.. £2.620).
In this financial pertod the charity ha5 paSd trustees remuTreratttrn aThJ tenefits lincludlng EM￿0yer NI and Employer Pension
contributyonsl for their roles as Church Pastor and Site Manager as follow5.'
Remut)eratK)D Emo&)ytr Nl
athj Pw&on
2022
Totsi
2021
Total
C Kimmance (Chwth Pa5tDrl
R Tomsett (site Nanagerl
Governing dcKument
Governing document
45.387
8,413
53.800
6.217
51,604
51,365
60.017
No trustees Y4ere remunerated for their role as a trustee. Two trustees ￿e1ved r￿mb￿r5￿Ment for purchases mode on
behalf of the charity totalling El.972 12021-. £1,OLO)-
In the period the tharity has paid trusiee5 experses as folbws:
2022
2021
Number of trustees who were paid expenses
2022
Totsi
2021
Total
Travel, mileage and subsistence
Total amount paid
540
540
15

P14EUMA CHURCH
(A COMPANY LIMITED BY GUARANTEE)
NOTES TO THE FINAIICIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 MARCH 2022
10. RELATED PARTY TR4NSAcnoNs
In the penod thè charity has paid remuneratN)n to ￿ated parties to trustees. for their roles as Churrh Pastor and Beehive
Projett Administrat(* as folbws-.
2022
Torbl
2021
Total
d peng
N Kimmance Ichurch Pastor)
L Anderson IAdmillistrttorl
C Kimmance (Trusreel
R Anderson (frusree
until 28th June 20211
22.996
379
2,456
25,452
379
25,336
1,477
2,456
Note.. only the salary for L Anderson for ihe per￿ up to the r@S￿￿3tKjn of R ArQerson as è Trustee on 28th June 2021 is
skv)wn above for 2022.
11. STATEMENT OF FUNDS
Statement of Funds
Current Year
Expenditure Transfers
Bakn
01-Apr-21
Incorne
8alance
31-Mar-22
General Un￿tricted Funds
226 775
249 666
Nens Shed
comp￿S1on
Ashford Singsl
Beehive
Fit for Purpose
982
25.849
26,305
6.158
5,998
6S,292
40.312
23.007
26.336
40.349
130.986
37.371
7,877
66.931
(51,8341
14,5791
189,2941
34,351
180 Oi8
2,185
112.179
TOTAL FUNDS
338 954
429.724
100 678
Statement of Funds
Prior Year
Expenditure
Balan
01-Apr-20
Income
Transfers
6alance
31-Mar-21
Gener81 Unrestncted FuTrJs
288,121
235 392
Mens She
Compasslon
Ashford Singsl
Beehive
Fit for Purpose
1,324
300
23.570
11.633
101 300
138 127
{342)
982
40,312
23,007
26,336
40,349
130,986
79,148
13
60,631
{39.136>
1576>
14S,9281
48.679
134,319
12,272
L2,614
139 792
TOTAL FUNDS
133 246
427 913
369,711
191,448
16

PNEUMA CHURCH
(A COMPANY LIMrrED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 IIARCH 2022
Mens Shed
The Men's Shed Fund Is Lsed to provide opportunities for men to participate in practical group
activities such as engineering projetts. woodworking or gardeningt where they can share and learn
new skills by working 'shoulder to shoulder, to support one another. The Men's Shed project was
cbsed In the surnmer of 2020. With the agreetnerit of the Men's Sheds organisabon, the physical
Items bought with grant were donated to other, I￿¥1 groups v4ho were providing è similar
facility. The Trustets Int￿ w seek to realkxate any remaining cash fun(Js to a current project
with sitnilar aims.
Cornpassion is the arm of the th￿rth that Wps to support and empower the local comrnunity tLI
lea¢ more fU￿illed lives. ernbcx1ies a number of projects. The rnain project Is -Renew-, which
has received generous funding from Ashforyl P4)rough Counol. Again. the WHH Mea15 Was a tirne
kmited projert duriThJ Covid Lockdown. whith has now ended,. as was the Covid-19 Relief Fund.
Ashford Sin9sI is a community chtyr sponsored and operated by Fkneuma Church. It offers weekly
rehearsals. arranges quLzze5 and conterts In ai¢J of Iixal causes. and an annual tour to
Europe.
The Beehive is a secondhand clothing bwbque thèt offers a personal shopping seTvice to ladies
who come In for clotJ)Ing. Some ladie5 are referred to The 8eèhive by Social Ser¢i￿S or GPS etc
and will then be given ciotthes for [￿. Tho Beehive also rurs life-sknlk groups frotn its property In
Ashford.
This fund v*as for P[￿[￿￿ Church's projert to acqui￿ its own p￿miSeS, known as The Warehouse.
This inclL¥les donatN)ns retyv&. expenses irKurred as part of thè pro]*t, as well as capital
exrendifure on the w3rehouse. The fund was dosed and declared finisheij in December 2018. and
the balance held at 3Lst March 2022 represents the ner btsok value of fixed assets (for the
warehou5el that were purchased with fhose funds.
Compasslc
Ashford Sings!
Beehive
F￿ for Purpose
S si￿951
Wk
Mam thurr*
V5
31-Mar-22
TOTAL
Creditors
Fixed ￿Sets
Mens Shed
Compassion
Ashford Sin951
Beehive
Flt for Purpose
25.849
5.868
25,849
26,305
6,158
19,743
765
5.393
765
32.699
Ll,391
65,292
AS SiTr951
Beebr4e
Main ch￿r¢h
31-Mèr-21
TOTAL
bank
bknkls
Debtors
C￿dItorS
Fixed Assets
Mens Shed
Compa55ion
Ashford Singsl
Beehive
Fif for Putpose
982
40.312
15.912
2,533
982
40,312
23.007
26,336
6,401
21.499
2,304
40,349
42.653
6,401
2L.499
59.739
694
130,986
17

PNEUMA CHURCH
(A COMPANY LIMtrED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 MARCH 2022
12. SUMMARY OF FUNDS
Stsmmary of funds
cU￿￿t
ear
Balan
Income
ExpendIture
Transfers
Balance
31-Mar-22
01-Apr-21
General funds
Restricted funds
60.462
130 986
191 448
226,775
112,179
338 954
1249,666)
180 058
1429 724
12.1851
35.386
65,292
100 678
Prior Year
Expenditure Transfers
Balan
01-Apr-20
Incom
Balènce
31-Mar-21
General fiJnds
Restricted fuThls
(4,8811
138 127
133 246
288.121 (235.3921
139.792
134 319
427,913
369 711
12,614
60,462
130 986
13. ANALYSIS OF NET ASSETS BEfwEEN FIJNDS
Currert
Unrestricted R￿trIcted
Fund
Fund
Total
2022
Tangible assets
Current assets
Creditors due within one year
7.689
45,386
117,6911
11.392
53,900
19,081
99,288
117,6911
Prfor
Un￿$tritte￿ Restrirted
Fur
Fund
ear
Total
2021
Tangityle assets
Current assets
Creditors due within one year
5.799
72,059
(17.3961
42,993
87,993
48,792
L60,052
117.3961
130.986
191448
18

PNEUMA CHURCH
(A COMPANY LIMITED BY GUARANTEE)
NOTES TO THE FINANCIAL STATEMENTS (continued)
FOR THE YEAR ENDED 31 MARCH 2022
14. OTHER DISCLOSURES
The charity does not have any comrnitments rnt provided for in the attounts.
The charity ho5 not given any guarantees.
The charity has not received any loans secureil on any of its assets.
At the year eftd the charity not have any conijngent liakn"lities.
IS. RtSK ASSESSMENr
The trustees a￿ awa￿ of the need to pn)perly manage and mitigate the risks faced by the company. Details of how the
charity has achieved this are provided in the Tmstees, RerKJrt. The trustees confirm thai they have paid due regard to the
Charity Commission guidance offt risk assessment when adopting and impknjenting policies for the chanty
16. PUBLfc BENEFIT
The charity acknowledges its rÈqvirements to dernonstrate clearty that it must have charits￿e purposes or "aims" that are
for the public benefii. Details of fK)w the charity has achieved this a￿ provided In the TrLJStees' Report. The trustees confirm
that they have paid due regard to the Charity Commission guidan￿ on puNic benefil beft>re decidiw what acivityes the
charlty shDuld undertake.
17. DECLARATIONS
Sufficient resources are held rn approprFate form to enable each fund to be applied in accordance with any re5tricfions
irnposed.
The trustees have not changed the year etxl datè nor length of the chariVs fina￿la1 year.
The charity did not rnake any material ex-gratia paymernts durirvJ the year.
The truste￿ conflrn that there 15 relevant inforynation of wh￿h the I[xje￿ndent Examiner 6 unawa￿.
19