REGISTERED CHARITY NUMBÉR; I 158890
Audlted Financ(al StstefflentS
lor tlie year elided
31 March 2025
for
Kliwsyiocd aiapel Trust
DIH Audit Ltmiled
Slalulory Auditors
a)ur¢h Covil
StourbiKlge Ro44d
Ha￿soWen
West r4idlands
B633

Klngsviood Chapel Trust
Contents of the Financial £taternents
for the year ended 31 March 2025
Page
Report of the Trustee5
Retx)rr ol the Independent Auditors
Statemen¢ of Financlal Actfville5
Balance Sheet
Notes to Ihc Flnandal Statcmonls
10 lo 14
Delalled Slateiiienl of Financlal ActNities
15

Kiiigswoocf Cl￿pe1 Tiust
Report of the Tritr%tees
for the year ended 31 Marth 2025
The I f(Islees present their report ¥￿th the audited firtancial staten￿ntS of the Charfty for the year ended 31 ￿larch 2025.
The Trustoes hove odopted tlie pioviyons of Accounting and Rerx)rling by Charities,. Statement of Recommended
Practlce appllcable to charilles preparlng thelr accounts In accordarKe iyith the Financlal Re￿￿ng StarKlard applicable In
the UK atKI RepublK ol Iieland (FRS 102) {eflechve l January 2015).
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charrty numtser
l158890
Principal addre55
CIO Veèle Wasbrou9h Vriards LLP
PO Box 3501
Brlslol
BS2 2FL
Trustees
A Be.rry
M Brldgmon
K L Burns
K Jinks
JRKay
D l slade
P Whlte (Chalr)
G Be¥ry
Audltors
D)H Audll Llmlled
Statulory Audltois
Church Court
Stourbrldge Road
Halesoiyen
West Mldlands
B633
Solicitors & Clerk to the Trustee$
Veale Wasbrough Vt7ards LLP
PO Box 3501
8rlslol
BS2 2FL
Investment Manager and Adviser
EFG Harris Allday
5th Floor
103 Colniore Roiv
B3 3AG
Bankers
Unity Trust Bank
PO Box 7193
Plaiietary Road
willenhall
WVI 90G
Page I

King*v(yJd cha￿ Trust
Report of the Trustees
for tlie year ended 31 March 2025
OBJECTIVES AND ACTIVITIES
Objectlves and alms
The Trust Is managed vnder the Constilutlon dateo 17 Octthr 2014, ag amencfed by a re501utbn of the Tnjstees on 16
October 2015 ai)(5 regSstered by the Cliarity CDniinissioii ori J2 NoveiDbei 20J5,
The Trustees are aprKJinted by lelkjvi Trystees.
The objects of Ille Trust, as deflned by the ConsNlutK)n. are..
(l) Ilie provision aiid IiialiilenarKe of a Cliapel aiid ljuriol gTovnd for use for ￿1{910￿5 y￿r$I)Ip In accordaiice witl)
the prlnclples of Unilarianlsm a5 deflned In the constitution of the Geiieral Assembly d Unitarian and Free Chrlslian
Chiirches,.
121 to asslsi In the payment of the stlpend of the Minister andlor the Asstslant Trllnlster and any related
expenses of such offi￿,.
13) lo assist in Ilie provlsbn of accommoda1￿ for the Minlsler andloi the Assista171 Ninlster,.
141 to further the religious and other charilable woik of the congregation;
{5) PF and In so lar as the Income of the Trust cannot be applied to the ci>jerts above it iiiay be apF4ied In
furthcilng the objects of the Midland Unltartan Assoclalion (regF5tered Charlty Numbt¥.r 50(V)25) ar the Gencrèl Assembly
of Unltailan and Flee Chrtst*n Churches {Reglslcred Charity Nurnber 250788).
The Chapel is nan)ed kii?9svmod t4eetlng House. Packhorse Lane, HOll￿v(¥￿￿. Bliniingham 847 5DQ.
The congregaboii uslng the thapel Is called KlngsivocAI Meet(ng House, on exempt charity operalli?g under Ils ovin
consircudon the current verslon of whlch Is dated 30 June 2024.
Slgiiiflcant actlvltle$
Ihe Trust siippcrfts the ivork of the congiegath)n by making lunding available t£xvards Ihe stipend of a fv1inlsler and the
sjliiry of the Lay Assistant lo the cmgregatrnn, hy promding accommodation ihem and keepSng the Chapl In a good
slate of repalr and by carrylng out malni&nance iyoik as necessary to the fabrlc of Ihc ￿lIldIng5 oyorall. The ChaFel and
adjacei?t Parsoiiage Iiave been Gr￿e 2 Li51ed since 1999. Advlce on maintenance and repalr is lakeii fron) èli
experlence(l RICS qualified conservation building suNeyor. The graveyard and grounds are alw niainlained by the Tnjsl.
The conoregètknn make t1￿ Chapel open viilhout dlscrimJnalh)n lo all niember.s of the puNic and ivork toivards the
proniotlon ￿ rellglon In accordan￿ ivlth the prliiclF4es cl Unllarlanlsm. The schoolroom at Ihc reor cl the Chapel Is
made awd{￿ble by the congregadon committee lo a rarrtJe of local youth and cominunity groups as well <15 Its oviii
activit￿5. Trustees are sa11sf￿a that Ilie use of Ilie c17a￿l aiid its assoclaled buiiding51s uodeJlake17 for yublic benefit In
4¢cordan¢e with gUKlance issued by the Chaiity Commlsslon on pui4ic benelit.
In carylng out its charflaE4e oblects, the Trust IIDlses ivlth the congregatton commilloe as aprKoprtate recelvln9 regulaT
reports aboul act￿11￿5 that they urKlertake. The congregatlon cofflmttlee members are appolnled In accordance wttli
tlieir own conslitulk)ri al an aniiual geneial Ineetiiiy. Tb¥o of Ilie CUr￿lIt (olig￿allQn (￿111￿111ee are a150 Trustees or
the Trust In respect of whlch any p)tenlkil conflict ol Interest is managed accordingly.
The flnanclal assets of the Trust are hekl In a nomlnee attounl by EFG Haffls Alldèy (EFG). the Tr(￿1,$ finondal adviws
and managers who are apwlnled on a dlscrelionary ba5b lor the endovimenl p)rtfollo. Addliional unreslrlcted lunds are
also held by EFG ()n an adv5sory ba&s. An inve5tinenl sub-committee comprisiny th￿e Iwslees u5uèlly meets with EFG
twice a yeèr. A report fion) each nieeting is provlded to the next available Trustees meeliiig,
The Trust reneivs annvalty a specialfj.st insuiance polKy 10 C(wer tr()ih ils own ach"vitfes, piit4ic liability cover for wsilors to
the Chapel and to provhle buildlngs atNJ cimtonts cover.
Page 2

Klngsviotsd Chapel Trust
Report of the Trustees
for the year ended 31 March 2025
ACHIEVEMENTS AND PERFORMANCE
Charitable activities
The Trust, s main source ol fInan￿ is inttjme from the endoivrnent portfolio of investments monaged by EFG. Thls Is
suppleiiienled by odhoc income arlslng from the Tru#, s manageinÈnt of the gravey￿rd and rentlll income froni the t%Yo
neld5 IvhKh rt owns ￿jacent to the graveyèrd.
The funding lo be made avail0￿e during the folloi¥ii)g year to sopy)rt the activil*s of the cong￿ ￿tion )s revlevRd
annually al the March T￿slee$ meetN)9 for ivhich a budget of income and expe{￿llure Is prepare(i. Thls ￿￿get also has
regard to cashfloiy bearfng In niind the flucttjatlng nahjre ()f the monthly income received from the finiinclal inVL￿trnenÈs.
The pollcy and ba515 of chargliig for tlTre graveyaid Is kept under revielv. The g(aYeyard feinains open to all but ihdrges
for interments vary accordliig to categories, one such calegory beiiig nRnibers1)ip d Ilie congregalK)n.
Revlew ol Achtevements Aprll 2024 to March 202S
The Trust conllnued to provlde grant 5UPP)rt toviards the costs that the congregatk)n Incur in relallon to n)InLslry. Theie
V4a5 no h11n15ter in post during the year aiid 50 Ilie ￿Ver of grant support continued to be reduced lo that supporllng tlie
salary of the lay Assistant. Suth grant payments are n)ade by way of nionlhly standlng older lo the Congrega1￿)n bank
accoltnt. The posillon of hlinlster remains Ydcant at the present time. The congregatK)n continue to con4der lulure
mlnlslry airangenients.
The Trust ov411s Iviu (Jviellin9s.' firstly the Parsoiiaye ddjacenl lo the C11a￿ ¥¥hkh Is the Grade 2 L15tlng (Ind
secondly 2 Packhoise Cotta0& also l¢xaled iii Packliorse Lane. fil respe£l of botl) (iwellings Ihe Trust remali)s
responslble for struthral and exterftal re￿Irs, insurance, slatulory con)pliance a￿1 repalr of the maln services, The
Tiusi contlnues lo niake both buildin9s available to Ihe congregation for thelr tsse as living accommodallon. In 2020
iK)th bulldiws were let to the congregatk)n on for temis d 5 years permrtting sublelllng on eftlier a￿uled shorthold
lenatKy or serylce oLrupantY term5 a5 approprSate subject to the prlor consent of the Trust. 2 Packhorse ColtaGEs has
since acqtjisitlon in 2010 been lor use by the Lay A55151anl. More ￿(e1}tlY Ilie Parsona9e lias tjeeii offjupled uiider an
assured shorthold tenancy In ordei to malntaln occupancy iyhllst future rnlrsistry arrangements ale under conskleritbn.
The grazlng Ilccnce of the Love Lane Ikld was rcnewLYI for a further 2 ￿arS from Atyll 2023 at tl)e same lent, In 2021 a
nevi 25-year le65e of the Baleman, s Green stjbstavon slte In Packhorse Lane wès granted to Ivestern Power Dislrlbullon
at a relit of £50 ai)iTruin. Western Power DisliiLwtioii liave recent￿ Lkrome part of NatM)iial Grkj.
Malntenance conliacls remaln in ￿ace for the maln Chapel buildings In res￿1 ol flre precaulloiis, pest control and
healing rnalnlenance as wdl os a contract for malntonance of the graveyard ond grou￿15 SUp￿rted as necessary by a
volunteer group. malnteniin￿ of the diyellings ts carried out on an adhoc bas15 u4ng local SLtpJleis iyhen
I￿￿Sary.
Tnistees conlliiiie t(> conskler wheil)er lo make donations to either the Mldland Unitarian Assoclallon or the General
Assembly of Unltarlan and Free Chrlslian Churches In accordance with its chapllable objects. No d￿latk)nS ivere mad
duriiig the year in revlevi,
FINANcfAL REVIEW
ReseNes policy
Hitherto, the pollry af the Trust has I￿en to maiiitain free reseive5 of not k55 than 1100,000 formliig part of Ils
unrcslrlcleo funds lo cover the regular outgolngs adminstr3tlon of the Trust. Ho¥%'ever, IhL5 pdlcy Is currently U￿j￿r
ievlew an<i In Ihe wcLe55 of being reconsklered Jn the loht of the oblioatlons In respect of the bulldlng project currently
being uiiderlakeii.
Page 3

Kiiigsw(K)d Cliapel TnJst
Re.prJrt of the Trustees
for the year ended 31 March 2025
FUTURE PLANS
plans for 2025 and Beyond
Tru5tee5 conSId￿ the flnanclal Posbtlon ol the Trust to be sound at the year end. The Tiust contlnues lo Ilalse vArh the
congreyalk)n atnut thelr luluie plan5 for Ministry at King&Yo(xl and tlie level of filla￿kil support (hat may r¥qui￿d.
Jn 2021, Tru51ees received from its relalned RICS qualified conservation building suNeyor quinquennia1 reports for the
Chapel and Schoolr(K)m and the Parsonage. Tliese follthy on frorn the 2015 reports since ivhlch b.me niost ol the
recommendatlons for malntenance iyork have been carrled out. The Trust remalns responslble for structural and
external repairs, Insurance, statutory comFliance ènd repdii of tlie main servlces.
Garden Room Extenslon Project and Parsonage Converslon
As ivdl as certain major repoirs to the Schoolroom belf)g iequiied, the Triist has for some Ilrnp heen conllnulng lo
dlscus5 wltli the conoiegavon potential bulldlng Improvements lo better supEA)rt the community related ac[I￿lIeS of
Iigsviood Meellng HDU5e. Tli15 a150 exterKted lo consideration of ionverting tlie Parsonage, a large 4 tedrooni
detathed IioL)se, Into tr40 nèls. In 2023 ptannlng and listed bullding consents were oblaiiied. None of the proposed iyork
affected the Cha￿1 Itself bul vias lor alterations and repairs lo the S¢hcolroom alongside the constniclkjn of a neyi
garden ro(Jm extenslon alongside more modern kitchen and WC faciliues. In o(kliiion, the consents approved the
converslon of the Parsonage Into iwo flats. The50 pfans were all w51hln land o¥vned by the Trust and did not iequlre
consent5 or ille c{Troperal￿n or tliird parties.
There %Yere a ntsrnber of conditions and reserved matters attache11 to the planning and Ilsted bulldlng consents not only
In relatlon to the Listing ￿lt alg) bearing In mind that the extension elernent Iviis Intruding Into the Gieen Bell. The
Tnjst's srttlaltst advlscr then spent wme time dealing with Complknco i¥llh those condilk)ns bolore undertaklng a
lender exerc15e to e5tdblish likely c0515 of tIR W￿k, The lirst lender exercise dkl not produce a sallsfaclory r￿ul1,
Ho%vever, after è second ten￿¥ exerctse, the TnJ51 decided al Its Marcli 2025 meeung lo woceed lyith the ivork and In
April 2025 entered Into a Jcr form of conlrart ivith a sulta￿e contractor based on an Indkalwe tlme franie 015
months lo COM￿ete the iyork In accordance iyith the planning and listed buildliig consents prewously oblalned.
During tlie Fertod ￿tween the tsyo tender exerclses, Ilie Trust had Cdiefijlly consk4eied Iiow it i¥oukl fund Ilie project
taking advlce from botli ils financlal and kgal advlsers. Thls also Induded consullatipn with the Cliarlty Commlsslon on
certain specific polnls dealt with by the Tiusl's legal advlseis.
In practlce, whllst actlvllles In the Chawl r(self were nDI lo affected by the work and able to contlnue more or k55 as
normal, both the Schoolioom and Parsonè9e were l￿th fij1￿ handed over to the cvnlraclor and not goSng lo Le in use
for the duralKFn of ihe contract. All equiwnent was ￿a(ed in temporary off site storage and the resldenls of Ihe
Parsonage temporarily relocated.
Graveyard
Thefe are several years capacty remalnlng In the graveyard. In ￿0￿nIng for the fulure, the Trust 15 al tlie early 51dyes
of considering tlie fea%bility of graveyard exienslon. A5 a first slep, a groundwater survey of boili the iÈn)alThing
available land in the exlsting graveyard and also the other potential aieas of avèllable land ivitl)In the Trust. s obvnershlp
was carrled out In February 2022 by a Suitab￿ qvalilled firm lo satisfy EnMrDnn)ent Agency requirements. The oiitcome
of the rowrt Is consldered lo be salisfaclory both In terrns of the e￿$tIng graveyard and ￿terItIal exlenslon areas. In
addltioi), tlie exisung graveyard requlres repalrs lo the old bounclary viall dpAaing It from the adjacent Parsonaoe gardgi)
at some w)iiil repaiis to the Inain graveyard path are likely lo be necessary.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The Trust Is controlled by Its goveinlng docvment, Its Consiitutlon as a charllable Incorporated Organlsatk)n dated 17
Oclober 2014 a5 amended by a re501utk>n of the Trustees on 16 (ktober 2015 aiid registered by the Cl)allty Comiiilssloi)
on 12 No¥eri)ber 2015. nie Ilnked uniiKorwraled cliafity11158890.1)1s still controlled by Ihe Scli8nie apy'oved by the
Charity Commi55ion on 28 E*(ember 2008.
Trustees, rneetlngs are usually hekt tvrtce a year In March and October. The Conslitutlon rffjulre5 a mlnimum Df elgl)t
Trustees and for è mlninium of ftve Tru5tee5 to be present al each ffleeling to be quorale. Under the term5 of the
Constituti)n, Trustees ère normalty appglnted for life.
Messrs Veèle Wasbrough Vizards {VWV), the Trust's sor￿ltOrS, conb.nue to prtswde administralfve 5ervkes to the Trust
?nd lo prowde èdhoc leoiil advbce as rLyuired in connectlon Yiith Trust ￿lICleS and ILS D￿ratIon generally having regar¢J
lo Charity Commlssion procedures.
The Tnjst continues to the appropriateness of its txJlit*5 and proceduies for gcxxl governance.
Page 4

Kingswood Cliapel Trust
Rer)Oft of the Tnistees
for the yÈar ended 31 March 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Recruitment and appolntment of new Trustees
Any new Trustees are provlded vilth lrteta:ure outllnlng thelr responsibilittes together wrth a copy of the Constilulioii 6nd
ol the TfusL's latest report aThJ fiIiancial statements 01)d they are briefed Ihrough Introductory meeungs aLx)ul the
¢yganlsation and Iheir role before they become Tfuslees. Specific Tw5tee trnining can be offered as ivell.
Risk Inanagement
The Trustees have a duty to Identlfy and revlew the rlsks to Yihlch the Trust is exposed and to ensvre appropriale
controls are in ￿ace lo prowde reasonaue assurance agaii)st Irèud and error. A risk assessnieiit l)as t￿en completed
and is regularly updated. tn part￿UL1r, the Trustees have Identified the performatKe ol the Investment portfollo as a
result of rhe ever changlng st¢Kk mèrkel as a ilsk lo the Trusl and this is regulJrty kept LifKler revlow.
TRUSTEES, RESPONSIBILtrY STATEMENT
The Tiuslees are respons1t￿e for preparing Ilie Repoit of the Twstees and ihe finaiicial stateniei)is In accordaiice ivith
appllcable law and United Kingdom Accounlln9 Standards {Unlted KingLk)m Generalty Accepted Accountlng PractKe).
Tlie kw appllcable to cha11t￿$ In England and Wales, the Charrties Act 2011, Chartty (Accounts ar￿ Rcpoils) Rcgulatlons
2008 and the provlslons of the Constitutson requlfes the Tru5lee5 to prepare financlal statemeiits for each flii(¥iicial year
Ivl)Icli gfve a true and fatr ol Ihe state of affairs of tlie Trust and of U)e incomlng resource5 and application of
resources, Sncludlng Ihe Income and expenditure, of the Trust for thal pertod, In preparing Iliose flnantial statements,
the Trustees are requlred to
sekct sultable accounllno pollcle5 and then apply them conststently.
observe the methods arid princi￿e$ In t1￿ Cliarlty SORP..
Make Judgemen15 and estlniales that are reasonable aiid prudent,.
prepare the flnandal slaternents on the golng concern basls unk5s il Is inawroprièle to wesume that the Tnjst will
conllnue In buslness.
The Trustees are reS￿nSIble fvr keeting ploper accounliiig records wlTrSdi disck)se witl) reasOna￿e accuracy al any time
the financlal posl¥on of the Trust and lo enab￿ them to ensiiiE that the finaftclal statements con) iyilh the CliariMes
Act 2011, the Charty (Accoiinls and RerA)rtsl Regiitations 200EI and Ihe prnvlsbn5 of the C.onsl(tulion. They are ￿ls0
responsI￿C for ￿fe9￿ording thc assets of the TIu5t and herKe for ioklng rea￿nable slep5 for the preventfon and
delecb'on of fraud and other Irregukrlfjes.
17. 1 O: UICJ......
Apgn)ved by order of th1• b)avd of trustees on ............. .
and signed on its behalf by:
P While - Cliair ol Tnislees
Page 5

Rewrt of the IIKlepeiidenl Auditors lo ilie TIu5tees of
KlngswoDd Chapel Trust
Oplnlon
We Iiave audite(i tlie financial slatemenls ol Kingsw(KyJ Oiapel Trust {tlie 'cliariV) for Ll)e year elided 31 fvlarch 2025
bvhith compiise the Statement of Financial Activitses, the Balance Sheet ond notes to financial stalemenls, Including
a sun)mary of skjniftint accounting rxilicies. The financi31 reporbng from￿¥0[k that has bepn applied in thelr
preparat￿ft 15 applicaNe law and Unlted Klng(kim Accounung Stsndards (Unlted lQnodom Generally Accepted AccoLtnUng
Piacticel.
In our oplnlon Ilie nnandal slalements..
gNe a trlie and fair view of the stale of the charity's alfalrs as èt 31 Narch 2025 and of Its incomlng resources and
opptlcallon of resources, for the year then ended;
have been woperty prepared In acCorda￿e ivilh Unlted Klngdom Generally Accepted Accounting Pracllce; and
Iiave beeii prepared In accoTdaiice with tiie requiren)enls of the Clièiiues Act 2011.
Basls for opinlon
We conducted our audit In accordance iyilh International Standards on Audlung IUKI IISAS (UK)) and appllcable law.
Our reswnslbllities uftder Ih05e standards are further deSCrf￿d In ihe Auditors, respofisitmlities for tlie audlt of tlie
flnancial slaleineiits settioii of our rewjrt. We are indepeniieiit of Llie charity In accordaii￿ with the ethical
requlrements that are relevant to our aLKlit of the financial statements in the VK, Includiro the fRC's Eihlcal Slandaid,
and we have fLJlfilled our other ethlcal responsibllllies In accordafice Ivith tliese requlremenls. We believe that the audit
ovldence have obtained i5 sufficlent and apwopriate to provide a basls for our oplnlon.
Concluslon$ r¢latlng to golng concern
In audlllng the linancial slalements, we have concluded that the trustees, use ol the Ong concern basls of accoiintSng
in the weparallon of Ilie financlal Statements Is approprlate.
Based on the woA( vie have pe¥fornEd, y￿ have not Idenisfied any mated31 uncerlainlles relating to events or conditw)ns
Iliat, SiidlvKlually or colleclivety, Inay cast s¥Jiillicant doubt oli Ilie cliarity'5 alxlity to coi)1Snue as a golng coDce¥n fof a
periocl of al least tsvelve months from when the linhnclal 51alemenls are authorised forlssue.
Our responslb1lll￿S and the res[￿nSIbIlItIeS of thc trustees with respect to goln9 concein are descrlbed In the relevant
sectlons ol tl)Is report.
Q¢lier informatlon
Tlie trustee5 are responSI￿e for the other information. The ollier Information comprfses the Snlormation Included In the
Annual Repjrl, other than the finonclal slaienicnts and our Rewrl of the Independent Audltors thereon.
opliiion on the Iliiaricsal statemenls does Iiol cover the vllivr Inforn)alioi) an(S, except to tl* extent othern¥lse
explicltly staled in our report, %ye do not express any form ol assurance conclusion the￿0[).
In coni)ection with our audil of the finondal slatemenls, ovr resoonslblllty Is Io Tead the other Informatbn and, In ddng
so, conslder whether the other Inlormatbn Is matedally Inconslslent wlth the hnanckl slalements or our knowledge
oblalned In Ihg audit or oiherwSse apwars lo be materially 111Ss5tsled. If Yie Idei)bfy SUEI) m3teridl Incoiisisten¢ies or
apparent material nilsstalen)enls, we are requlred to delermlne iyhether thls glves rise lo a m3leirdl n)Is51atemenl li) the
linancL41 sl3lements themselves. If, based on the iyork Yie Iibve performed, ¥￿ Conclude that there Is a material
mlsstatement of thls other informatkm, we are reqvlred to rery)rt that fact. We have nothlng to rewjtt In Ihls regard,
Matters on which we are requlred to report by exception
We Iiave nolhliig to report ii) reSkECt of Ilie follthving Inèllers vjliere the Charllles {Acrounts and Reports) Regiilallons
200B requlres us to rewit lo you it, In our opinion..
the Inforn)atlon g￿en In the Rep)rt of the Tfuslees is inconslstent In ony rnaterial respect viith the finandal
5tatemellts,' or
sufliclent accountlng records have nol been kept,. or
tlie finonLi¢Jl 51atements are not In agreement bviih the accounlillg records and TebJm5,' or
we have not re￿[Ved all the inforn)alK)n explanations ive require lor our audit.
Responslbilitles of tru5teeg
As explalned more fully in tho Twstee5' Respjngblllucs Statement, the trustees are restkY)sible for the preparatloi) of
the financkl slalements iYhKh gNe a true and fair vlely, and for such internal contiol as Uie trustees delermiiie Is
Iiecessaiy lo eiiabie the preparatK)11 of financial statenEnts il)at are free from material n)isstatement. whetlier due to
fraud or error.
In wepaflng Ihe flnanclal stalernents, the trustees are responslble for assesslng the charlty's ablllty to contlnue as a
goliig concern, d15d051ng. as applkable, matters relat￿ to going Concern and using tlie going coiicern basis of
accounting uiiless Ilie Irustees eillier liiLend to liquijate Ihe charity or to ￿se operations, or Iiave llo realistic
alteriiative but to do so.
Page 6

Report of t1￿ Independent Auditors lo the Twstees of
King9Noud Cha0 Trust
Our responsibllities for the audit of the financlal statements
We 1i3ve been appointed a5 auditors under Section 144 01 the Charittes Act 2011 and report in accordance with the Acl
and relevant regulatK)ns made or having effect thereunder.
Our objectfve5 are to obtaln reasonable a55viance about whether the fiiianclal ststetnenls as a whole are free Irom
Inaleri61 mlsstatenienl, vihether due lo fTaLtd or wror, and to issue a Report of the Independent Avditors that Include5
our opinion.
Reasonable assurance is a high level of assurance, but Is not a giiarnnlee that an audit condticled in
accordance with ISAS (UK) %vill ahyays detect a material mi5Statement vihen it exists. Misslotements can arise fron) fraud
or error and are conskiered malerlal If, IndivSdualfy or In the aggregate, they coukl reasonably ￿ expected lo Influence
IhL ecoiiomlc decisions of users taken on Ihe basls of these flnancial ststefftents.
The exienl to whlch our pr￿ed￿￿$ are cèpabk ol delectlng irregularib"es, Incknding fraud is thtailed ￿￿W,,
We Idcntify and assess rt5ks of n?alerlal mlsstalement of the flnanclal statcmentft lvhether due to fraud and erior an
tl)eii de51gn aiid perforni (iudit wocedures cesy0115ive lo Ih05e risks, liicluding obtèliiing audit evldence that Is suffkieilt
and approprlate to provide a basis for our opinion.
Iii Identifying aiid assessing iisk5 of material Mlsstèten￿nt In reswt of trregularities, Includlng fraud and
non-compliance wllh laws and regufatloiis, we consKlered the follovilng..
the nature of tlie Indv51ry, control enviroili￿nt and bbslne55 pe¥lormance,'
results of our ei)oulrles of management about thelr own Ideiibfication and assessment of the risks of irregulèrilEs'
ny matters ive have Identlfled havlng revlevied the company's pmcedufes for compl￿n￿ Yiilh laws and regiilailons
and whether they were aware of any Instances of non-compliance. The key laiv5 and regulavons we consldered In thls
context Incliiijed the Charit￿S Act 2011.
As a result of lI￿e Procedu￿ ive considered the opp)rtunSlles tlial may exlst vilthin the organisation for fraiid resulung
In mJlerTal mlsslalement in the financial slaten?enls. Ive conldered that any such opwrtunlltes are nNligated by the
fact thai the company is uniler the close conlrol of ils dirpctors.
Our procedures lo arrlve at U)Is concluslon Included the lolloiylng:
revlewiftg balance sheet coiilrol accounls to ensure property rec￿l(lIed.
peifornilng analytlcal prtxedures to identify any unusLtal or unexpecte(d relauonshlps that May indicate rlsks of material
mlsstalement due to fraud,
enqulring wllh manaGoment concernlno actual and Wentlal lIt￿all0￿ clafms.
A furll)er de5C￿p1￿1] of our respoiisibilities for the audit of tlie finaiicial stalen)enls 15 Itxated on the FinJiicièl RepDrliiig
Council'5 website al wwvi.frc.org.uklauditoisreskKJn5ibilitEs. This de5Ctlptl¢)n forms part of our Report OF the
Independent Aiiditors,
Use of our report
Thls report Is made solely lo the cliaritys trvslee5, a5 a body. In accordance witl) Pait 4 of the Charities {Accounts and
Rekyjrtsl RegulalKJns 2008. Our aLKYIt ivork has been undertaken $0 that we mlght stale lo the tl)èrty's Irugtees those
mallers ive are requlred lo state lo them In an auditors, retx)rt and for no other purpose. lo the fullest extent ￿rni+lled
by lavi, wc do not accept or assvrne responsiblllty to anyone other than the charity and the charlvs trustee5 a5 a bDdy,
for our audlt ivork, for thls rep￿t. or for the oplnlons we have f￿ffled.
Djli Aiidil Limited
Slatulory Auditors
ChuTcI) Court
Slourbridge Road
Halesoiven
West ts1idlands
B633
Date..
2£
Page 7

Ki119&vooI Chapel TrLisI
Statement of Flnanclol AcihfjttCS
for the year ended 3114arch 2025
2025
'rotal
lunds
2024
Total
funds
Un￿st[1c¢ed
fU￿S
EndDwment
funds
Notes
INCOME AND ENDOWMENTS FROM
charltoble activlties
Chapel actlvllles
6,785
6,785
4,100
Inveslnienl Incoine
Total
EXPENDITURE ON
Charltable actlvltle5
Cliapel attivit￿5
Nel gJlnsl(losses) on Investments
57 780)
NET INCOMEI{EXPENDITURE)
20, 126
,442
22,168
148,622>
RECONCILJATEON OF FUNDS
Total flinds broiight fonyard
315,513
1,574.777
1,890,290
1,938,912
TOTAL FUNDS CARRIED FORWARD
336 239
1576 219
1 912 458
1890 290
Thc notcs form ￿irt of Ibese flnancial staleft￿ntS
Page 8

Ing%¥ood Chapel Trust
Balance Sheet
31 March 2025
￿n￿strIcted
funds
2025
Total
funds
End￿Vrne￿t
fvDd5
2024
Total
funds
FIXED ASSETS
Tangible assets
Ir*vestmen15
Notes
130, 162
223,436
1288 168
353,598
354,308
1400 831
130,162
,511,604
CURRENT ASSETS
Detkors
Cash at bank and In hand
1,641,766
1,755,139
1,883
207 434
I,t183
272 049
4,680
133 471
209,317
64,615
CREDITORS
Amounts falling diie wlthin one year
273,932
138,151
(3,240)
(3,240)
[3,uou)
NET CURRENT ASSETS
206 077
270 692
135 151
TOTAL ASSETS LESS CURRENT LIABILITIES
336,239
1,576,219
1,912,458
1,890,290
NET ASSETS
336 239
1 $76 219
1 912 4511
FUNDS
UnrestrKtthJ tunds
Endowment fLinds
336,239
1 516 219
315,513
15/4 777
TOTAL FUNDS
1912 458
1890 290
e financial statements iyere approved ty the Board of Trustees and authorf5ed for 1$5ue on
and ivere signed on Its ￿half by:
P Vlhlle Chalr of Triistee5
The notes lorm part of these ftnanckl statements
Page 9

King5wDod Chapel Tfllst
Notes to the Flnandal Statements
for Uie year ended 3114ardi 2025
ACCOVNTING POLICIES
Basls of preparing the financial statements
The financial statements ol the Tiust, Ivhkh 15 a publk beneflt entity under FRS 102, have been prepèred In
accordance wllh the Chariues SORP (FRS 102) 'A¢counting and Reporting by Charities.. Statement of
Recomrnonded Prartice applicable to charities preparing thelr accounts In accordance viiih the Hnèi)clal
Rewrtlng Standèrd akwlkaLle ￿ the UK and Republlc of Ireland {FRS 1021 (effectNe l January 2015}', Hnaiiclal
Reporlliig Standard 102 The FlnaiKial REt)orling Slatidard applicable in the UK and Republic of IrÈland', aiid the
Charitles Act 2011. The flnancial slatements have ￿en prepared under the hlslorKal c05t conventk)11 with the
exceplbn ol Invesln*nls and free*old properlles which ore incliided at fair value.
Income
All Iiicoiiie 15 recognised In the Stateineiit of Fiiiaiicl31 Activities once the Trusi has entitlenieiit to the fun(Js.
probable that the Incorne iylll be received and the arnount can be measured reliably. In¢on)Ing resource5 Frtsm
endOwn￿nt funds arl considered to ￿ unreslricled.
Expendlture
LlaNllties are iecrtyiilsed as expenditure as soon as there 15 a IEgal or c￿sIrUdfve obligalioii ion)miltlng tl)e
charity lo that ex￿ndit￿re, rt is probab￿ that a Iransler of ecorK>mK benefits will be required in setllemellt and
the amount OF the Obl￿atrOn can be measured reliabty. Expendiluie Is accounted for on an accwals hasls and hAs
bcen cla5s1ficd under headin95 that aggregate all cost related to the category. Ivhcre cost5 cannot be dlrecl
attrlbuted lo partlcular headlngs tliey have been alb)cated to aCtI￿tIeS on a basts con4stent i¥￿h the use of
resources,
Grants offered subject to conditions Yihich have not teen met at the year eiid date are noted ès a cornmllmenl
but not accrued as expcndlture.
Tanglblg fixed assets
Freel)old pr(Iperty 55 Included at fair value by the Trustees. The Freeliold Prosxrty comprises iwo flek15, the
Parsonage, the (1)a￿l and the Cottage. Tr(Jst propeity 15 not depreC￿ted as, In the oplnk)n d the Tiiisiee5, Ils
esllmaled resldual Vciluc Is not materially less than its tarrying value.
Taxation
The Trust Is exemix frDm tax on115 charitable ac15villes.
Fund accounting
Unrestrlcled funds can be used In accordance with Ihe charflable otye(￿S at the dlscrellon of the TnJstees.
Restrlcled funds can only be US￿ for partkular restrKted pur￿SeS wiiliin the objects of the Tiust. Restrlctlon5
ar15e when specilied by the donor or vihen funds ale ra15ed for partkulor restri¢led pul￿)se5.
Further eKklanation of the nèiure and purpose of each fund Is Included In the notes lo the flnanclal slalemenls.
Investments In 5ecuritie$
Inve5lnienls in securib'es are included al closing mid-markel value at the balance sheet dale. Any galn or loss on
revalLtab"on Is taken to the Statement of Flnanc4al Activities.
INVESTMENT INCOME
2025
2024
Rents receivabte
Income frÉim investments
957
904
Page 10
continued...

Klngsiyod Chapel TTLlSt
Notes to the Flnanclal Slalement5 - conténued
for Ilie yeai elided 31 Marcli 2025
TRUSTEES, REMUNERATION AND BENEFITS
There were Trustees, refflunEration or other Ixnefits for tlie year ended 31 flarch 2025 or the year ended 31
March 2024.
Trustees. expenses
There were no Truste￿, exrEiises paKI for the year eii(ied 31 Maich 2025 or the year ended 31 March 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fvnds
Endowment
funds
Tolal
fuiids
ZNCOME AND ENDDWMENTS FROM
Charltable activlties
Ch%)r￿1 8ct)vilies
4,1
4,100
Jnve5trtieiit Incorne
Total
EXPENDITURE ON
Charitable activitlaj
Chapel acti￿tIeS
Net 9alnslllosses) on ii)vestments
933
SB 713)
57 780)
NET INCOMEI(EXPENDifuRE)
10,091
(58,713)
148,6221
RECONCILIATION OF FUNDS
rolal fvnds broLtght loThvard
305,422
1,633,490
1,938,912
TOTAL FIINDS CARRIED FORWARD
315 513
1 574 777
I B90 290
TANGI8LE FIXED ASSErs
Frpphold
property
Plènt and
machlnery
Totals
COST
At l Aprll 2024 and 31 March 2025
347 920
355 01
OEPRECIATION
At l April 2024
Charge lor yoar
710
710
71CI
710
At 3114arch 2025
NET BOOK VALUE
At 3L March 2025
347 920
353 598
At 31 March 2024
347.920
354 308
The freehold property which comprises ttvo r￿Ids, the Parsonage, the Cha￿1 al￿ the Cottage vias Yalved on an
open niarket basls on 31 March 20L6. If the IrLrhold propetty had not b&n reva￿ed It ¥vould have been
Sncliided al a cost of £305,420.
Page 11
conts"nued...

Klngswood Chapel Trust
Notes to the Flnancial Staten)ents - contlnued
for the year ended 31 March 2025
FIXED ASSET INVESTMENTS
Liste(i
Investments
MARKET VALUE
Al L Apill 2024
Addit￿nS
Disposals
Revaluations
1,400,831
546,570
{647,321)
11912)
At 31 March 2025
1288 168
NET BOOK VALUE
Al 3J fvloicli 2025
128@ 168
At 31 Marcl) 2024
1400 831
There We￿ no Investment a55et5 oulslde the UK.
Cost or valuatlon al 3J h1arch 2025 Is repie5ented by..
Usted
Investments
Valuatljn In 2025
1288 168
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAIi
2025
2024
Prephymenls aftd accrued Income
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONÉ YEAR
2025
2024
cxlier creditors
MOVEMENT IN FUNDS
Net
movement
In fiinds
At
31,3.25
At 1,4.24
Unrestricted fuiids
General fund
315.513
20,726
336,239
Endowm¢nt funds
Endoviment Fun(J Land
Endovin)eiil Fund Other
58,500
J 516 277
58,500
1517 719
1574 777
1576 219
TOTAL FUNDS
1890 290
1912 458
Page 12
continued...

Xingsivood Chapel T￿$t
Notes to Ilie Flilanc￿al Slalements - contlnued
for the year e[￿ed 31 Mar£h 2025
MOVEMENT IN FUNDS- contintsed
Net movement funds, Includetl iii the al)ove ale as follovi5'.
EncomlThJ
sources
Resources
expended
Galns and
t05ses
Movement
In fund5
Unrestrirted funds
General fund
77.249
{65,116)
8,S93
20,726
Endowment funds
Endowmelll Fund other
1,442
1,442
TOTAL FUNDS
65 116)
Comparatlves for movement In fui)d%
Net
rnoven)ent
In fund5
At 1,4.23
31.3.24
Unrestrlrted funds
General fund
305,422
10,091
315,S13
Endowment fun(J$
Endovin)ent Fund Land
Elldoviment Fund (Xher
58,500
58,500
1516 277
58 713)
1633 490
58 713)
1 574 777
TOTAL FUNDS
1938912
4EI 622>
1890 290
Comparatlve nel n)ovemeDI In funds, Included In Ihe atove are as foll0v￿..
Incomlng
resoufces
Resouices
Gèlns and
1055es
Movernent
n funds
Unrestrlrted funds
General fund
72,043
(621185)
933
10,091
Endowment funds
Endowmeilt Fund Other
(58,713)
(58,713)
TOTAL FUNDS
57 780)
48 622)
The Pernianent Endown*nt Funds iepresent assets that are to be relained In perpetu￿Y. Income art5ing fron)
these Fuiids is eXpenda￿e for the general pUl￿seS of ihe Twst to establish and further the Trust's objectives.
Page 13
continued..

Kingswood Chapel Tnist
Notes to the Flnanclal Statements - contlnued
for the year en¢Je(131 Marcli 2025
io.
RELATED PARTY DISCLOSURES
There ivere related party tian5a(lions for the year ended 31 f4arch 2025. The giant to tlie Congregation
comnilltee was m6(k in the amount of E12.000 (2024: £19,000),
Veale Wosbrough VSzards LLP
Ns Jaime Hotxlay (secretary) Is a partnef of Veal Wa5brough Wizard5 LLP.
Secretartral and legal servlces rechafged by th15 related party duriiig the year aniounted to 16,YJO (2024.,
Fl 1,04S).
Tl)e charity 15 conlracld for rnalntenance servke5 to be supplSed by A B Services kn"mited, a company controlkd
by a sitling of Ms K Jinks, for an annual (ee of £10,0￿.
Pa9e 14

Kii)gs¥vdod Chapel Trust
Detailed Slaternent OF Thnanlial ActWil*s
for the yeor ended 31 Mairh 2025
2025
2024
INCOME AND ENDOWMENTS
Investment income
Rents re(e(valAo
lncotne from Investirieiits
957
904
70,464
67,943
Charitable aetivltles
Graveyard iocelpts
Total Incomlng resources
77,249
72,043
EXPENDITURE
Charltablè actlvlties
Couiicil lax iiisuraiice
Repalrs and nialntenance
Grant to Congregalbn Comrnrf(tee
6,297
18,038
6,345
13,281
36,335
31,626
Support costs
M?nagement
Audit
Legal dnd professlonal feel
Plant and nlachlnery
3,B28
24,172
710
3,360
27,117
710
28,710
31,187
Flnance
ank charge5
71
72
Totsl resources expended
Net Income before galns and losses
L2,133
9,158
Recognised galn$llosses
Fyoflls on dlsw)sals
Revaluatbns
21,947
11912)
3,449
61229)
Net incomel(expendlture)
48 622)
Tlii5 page does nol form part of the statulw financlal stateiiients
Page 15