f4fP, O-JvLn Lol
Trustees Report & Audited
Financial Statements
Sandford Road Gospel Hall Trust
Fortheyearended 5 April 2024

Contents
Legal anOAdrnillr5tratThie Information
RepgrtoftheTrustees
IndependentAudltorfs Reporttothe Membersof5andford Road Gospel HallTfUSt
li
Statemerbtof FinanclalActlwties
12
8alanGeSheet
Noteshmiing partof the Yinancialststerner
16
Resources Expended
17
Analysi¥ ofNetAssets- Currentye3r
18
Anaws irf NetAssets- Prforyear
19
Movement in Funds- Currertyear
20
Movementin Funds- Prioryear
21
Cumparativestatement of Finand3lAthr¢ie5
Tru5tee5REpwt&AUth￿ ￿￿#[￿11St•r4rn*1i$ gBndfoTd Road G0s￿lma￿Tr¥yl
31J•ty3ll5
Pi¥e2of21

Legal and Administrative Information
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
4rity Name".
Sandford Road GDspel HallTrust
Registered CharityNumber.
1159242
Trustees:
Daniel Joseph Mallinson (Chairl
Darryl Paterson
Garry Hughes
Chartes Hoare (resigned 305eptember2023}
Michael Sm5th
Hugh Mccréadie lapwinted 305ept¢mber 20131
Treasurer
DanielJoseph Mallinson
PrlnclpleAddresy.
41 Sandford Road, Doncp5ter.Yorkshrre, GBR. DN4 8DV
Avditor Infomiatio
Hebblethwaites Accountants
Westbrookcourt
Sharrowvale Road
Sheffield
Sll 8IZ
Accountant:
Oldfield Adiisory LLP
1120 Elliot Court
Herdld Avenue
Coventry
LY56U8
Bankers:
Natwest Bank pl
PO Box26
12 High Street
D¢ncaster
DNI IEJ
Truste£sReport&Audited Fknan<tal 5tztements 5￿ftsrd Road E05pelHallTiusL
3lJ4n2
Page3ofii

Report of the Trustees
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
The trustee5 pre5enttheirrepon alongwith thefin2ncla15tstèments of the Charityfortheyearended SApri12024. The financial
statements have been prepared in accordance with the accounting policies set out on page 13 and 14 and complywith the Tnt5t
Deed and applicable law.
Styucture, Governance and Management
Governing Document
The Charfty is an unincorporated trustcon5tituted bya Deed ofTrustdated 31 May1982. most recently amended by Deed of
Variation dated Augu5t2014. Thè trustwas ￿gistered wtihthe Charlty Cornm￿10n for England and WalesoTh 17 November
2014 uftdercharity Registration Number. 1159242
Recruitment and appointment of newTru5teÈ5
The Trusteeswho havéseNed duringtheyèar and since theyearÈnd aresetouton page3. None ofthe Trustees, norany person
connected with them. received any remunorntion orexpensesfrom the Charity in the yoarÈndod 5.Apri12Q24.
TheTrustoperates one Gospel h311 and Trustees are chosEn fmm amongthe regularcongrogation of thp halls. New Twstees are
lloninBted bythe existingTtU51eE5 Qr bythe conEregation and murtbe appoirited by unanimous resolution of the congregation.
They are selected accordingto their5kilb and experience and are expected to use bcith in fvrthering the oblects of the chartty-
Check5 are made to ensure theTrustees' ell￿bIlItyto actand incoming Trustees are made aware oftheirfespon5ibiltkne5 bythe
existingTrustees. who ensure that newT￿SteeS read theTrust Deed and relevant charity Commi55ion guldance.
WiderNetwork
The Trustees maintain infrjrmal links with 5im1larthar￿eS with a v¢ew to p00lingexperier￿ considered useful in pursulngthe
object5 of the Charity- The Charityaiso maintairs particular link5 Imth Abbeyd31e. Canterbury Road, Checkstone, Sprlngvale and
Williamson Gospel Hall Trusts with which itshare5 member5 of Its congregatioa.
Risk Management
Th¢Trustees have identified and reviewed the majorrisks to whith the charityis exposed and conff rrn thatth2yhave established
systems to manage and millgate those risks.
Objectives and Activities
Objectives and Aim5
The charitable purposesof the Chartyarethe advancementof the Christian reliwon forthe public benef5t, irnduding by the
carrylng on of the service of God In accordancewith the Old and NewTestaments of the Holy 8ible as followed byth05e
Chri£tianstormingpart tyf the wori(kwde fellowship knowll asthe plymouth Brethren Chrfstian Church Ithe"Brethren"l and ary
other charitable purpose5 collnerted with 6rethren_The corÈ doctrine of the Brethren and proper Practi￿ in furtherance gf
certain aspects ofdoctrine aresumrnarised in two schedules to theTrust D*d.
Public Benefit
The Trustee5 confirn thatthey have complied with theirc5uty Undersec￿On 4 otthe charitiesArt 2011 to have due regard to the
Charity CDmrnission's general guidance to charities on public benefrt.
DetaiLs of publicbenefit activttiescarriÈd out by S3ndford Road Gospel HallTru5t can bè found in the separate 3ppefid5Xto this
rèport.
Tru5tee5RepDrt&Audlted ￿nan￿41st3￿m￿nts Sandford R03d(knpeiHBiifNgt
Pa814of21

Repwt0ftheTrL￿tees
Main activities and achievements
TheTru5t provide5 and maintains oneGospel hall i¥here reli￿0￿$ meetirngs aro held by the local Brethren community. Details of
the origins,trachings and way of lrfe Of the Urethreft can be found on the Webslte-w￿.p1YmQUlhbrethrO￿Chrl5tlanthu[ch.0rg
and Inthe5chedulesto theTrust Deed.
Plans for future periods
Despfrte the increased c05tafenergy.thetrustees feÈlthatthe5e Increased costs are not5ignificantly Impadingon the ability of
the charityto ¢ontinueas a goingconcem.
Meetings
Meetings held at the Gospel halLs include the Lord's Supper (Communion), Gospel preaching4 Bible readings and Bible
addrèsses. There is a structured weekly schedule of meetings and, depending on the particularmeeting* betsyeer) 20and 60D
people normally attend these o¢casion&
The meetings are 3ttended bythe regularcongregation and most areopento otherpropedy disposéd visitOT5. The notiTr board
Outside the Hall welcornesvisitors and d*p13ys the times of Gospel preachings. alorgwith atelephone numberforthosè
5eekingfurther inhrmation orhelp. Gospel tracts, which are disthbuted bystreet preathers. also displaythls inforrn3tion.
eibles and an eXtens￿e range of otherchristyan readlnEmaterial are on dispiayatthe halb andwsltors arefreeto help
themsetves.
Trugees Fieport&Atsthrt•d Rnandélststprnents Sarth(K￿R￿￿ GospeIHallT￿5t 31Jpn2
Pa8eSo12J

ReportoftheTnJsree5
Spreading the Gospel message and the life of a Christian
The Gospel halL% are a base from which the tegularcongregatton and oth2r5who attend the meetlngs are encouraEed to spread
the Christian Gospel. Inword and deed.
Members of the congregation would usually participate irba prDEfdrnmeof street preaching ¥vhere Gospel tracts art provided
free oFcharge by rhe Charityto such preachersto be handed out to tnrerested membet5 of tlie public. Dueto the Covid-19
andernicthis has notbeen po55ibl￿ duringthe financialyear. butthe congregation aim to continueth15 once it is safe to doso.
n carrying outthi5 wtsrk, the congrogation considers ttself to be liwngout its faith in practic4 as ￿rtiCUlarlY exemplrfJÈd in the
following txtr3ctfrom thesthedLtle to the Trust Oeed on living a Chri%tibn life:
We 5eekan4Y are Èrtctturaged to live exemplary lives in au oUr￿la￿0nsh1psWth others in thewldeicommunitylinduding
former Brethrenl, in accordan￿WIth the teachings Of Holy SuiPture11 Tim 2.21.
Wè regularlygD Out from OUT hornes to preach an ihestreets,todi5tribute Christian literature and engage with the wider
community lincludingfomièr Brethren) in orderto presenteternalsalvat*on, avaiiableto all men byfaith in Jesu5 Christ.
12Tim 4.21.
We seek as members of the publicto lead Christian lives as husband5 and wves, parents, chlldrÈn. employers. emplayees
and neighbours. Ico13.-22-25, Co14..11.
The preserv¢ltion and protertion of thefam&tyunit is fur,damental and children areprtzed as a ble55ing from God. Ipsalm
127:3-51.The elderlyare valued member5 of thE communtty, forwhom both theirfamily and the WTder cotnmunity are
expected to care.
Holy Scripturecommands us to bÈ good neiJts aboufs to others. and rfeal wlthallotherpÈople lincludingToimer Brethren)
openly. honestlyond fairly and consistèntwiih these principlos, vieshould give ourtime, talents and rnoney to assist
those in noed inthewitjercommunbty. inso frdras reasowoble given our abilitiÈs aRd otsravailable resouTce5. Imatt 7..12.
Matt22J9. Eph 4281.
Funding
Funding i550ughtthrough gifts from the congregation alld Gift￿￿ is claimed on eligible donatlon& Funding is sometimes
received frorn othercharitabletrustswith complemefttsryobjectives.
Financial Review
In theyearended 5April 2024 theTrust had a surplus of incomingre50urces ovw resources expended. This was due to the grants
Total voluntary Income re£eNedthisye2rwas£2,40&491 compared trj £156521 in the prewousyear.
AtlfLtnds held were unre5trirted fund
Reserves Policy
The Trustees have corssidered thè level of reserve5theywi5h to retalll.3ppropTrate to the charity'5 needs. based on its size and
the level of its financial commltments. TheTnJst ha5 no employee5 and its ￿E￿larOutgolnES are minimal.Accordingty, thè
Trustees have decidÈd to adopta policy of maintaining no significant reserves. althDugh they are currently accumulatlnE funds
fora potential new Meeting hall. The congregation is kept regularly informed as to parttcular newjs lorfuAd5, and otherrelevant
matters and thÈTmstees aim tg ensure thatthe Charitywill be able to continue to fijifil its charitable tsbjectives even ifthere is a
tpmporaryshortfall ln incorne oruThexperted expenditure. by raising a fvnds appealtothe congregation.
Free ReseNes at theyearend were £2.45852212023: £219.5ni
fru#ees REport &AuditEd Fkn¥Kial5tateM￿ts
SaodlDrd RDwJfa05pelH￿1Tn￿t 31trkn2025
PageGoF21

ReportoftheTrystees
statement of fru5tees Responsibilities
Thetrusteesare responsible forpreparingthe Report of the Trustees and the financial staternents In accordart￿ with applicable
law and United KirtgdomA¢counting Stsndards lU￿rted Kingdom GenerallyAccépted Accounting Pr3Cticel.
The13w applicablÈto chaTitie5 in England and Wale5. the Charitie5Act20U, Charity Ikcountsand Reports) Regulations and the
provisions of theTrust Deed require the Tntstee5to prepare financialstatements for each fillancialyearwhich give a true and
fairvlew ol the state olaff3ir5 of the Charityand gf the inctsmingres()urce5 and application ol resources. sncluding the income
and expenditure. of the Chartyforthat period. In preparingthose financial statements, the TrLt5tEes are required ttr.-
select suitable accountlng PDlcies and then applythem consistentlyj
observe the methods and principles in the Charity SORP IFRS 1021.
makejudgementsand estimates thatare re3sDn3ble and pnJdèn¢'
ststewhether applicable accountinEStandards have beén followed. subjertto anymaterial departures dTsdosed and
explained in thefinancrdl stalerpprts.
preparethe ftnèncialstatèmentson thÈ goingconcem basis unle5S tt is inappropriateto presumethatth£ charitywll
continue in operation.
The trustees are respotEsible lor keepSng properaccourrtingrecord5which disclosewlth reasonable aEcurary atanytimethe
financial positlon of thecharity and to en2ble them to ensurethatthe finandal Stratements compty withthe CharitiÈsAct2011.
the Charity (Atcounts and Reports) Regulations and the provisions olthe Tnjst Deed. They are atso responsible fors3feBuarding
the assÈts ol the thatity and hence lor taking reasonable5tepsfor the prevention and detection offrauij and other irregsjlarities.
All transactions have been reviewed and approved bytwo trustees.
On Behalf
the bDard:
Daniel M
Ilinson (Trusteel
llate
TrustQè5Report&AudltEd Rnancial siatemej
Sandford RoHdGospellfaiifrust 31JaTh2025
gE7of2L

IndependentAuditor's Report to the Members of
Sandford Road Gospel Hall Trust
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
Opinion
We have auditedthe financia15tstements ofsaftdford Road Gospel Hall Trust lthe charity) fortheyear ended S April 2024 which
comprise the statem&ntof financial activibe5, 5taternentof finanoal po51tirpn and the related note5 includinE a summaryof
sisniticant accounting policies. Thefinancial reporting frameivorkthathas been applied Tn their preparètion 15 applicable law
and United Kingdom Accountingstsndards., including FRS102The Financial Reporting 5tand8rd applicable in the L+Kand
Rèpublic ol Ireland (United Kingdorn GenEr3tlyAccepted Accounting Practi￿1.
The report is also made 501elyto the charity's members. as a body, in accordance with section 144 ofthe Ch3ritiesAct2011 and
reEulations made undersection 154 ofthalAct. Our auditwork ha5 been undertaken so that we might stste to the charities
Men)be￿ those mattersthat are required to statetothem in an auditorfs roport and forllo Dther purposè. Tgthe fullest extent
perrnitted by law, we do not acceptnor a55umÈ responsibility to afiyoae otlierthan the chaiityand the charity's membÈrs asa
bodyforourauditWDrl lor this report orfortheopinions thatwe have formed.
In ouropinion, thefinancial thtemO¥￿.
give a trueand fairvlew of thestate of the tharitls affairs as at 05Apri12024 and of itsincoming ￿sOurceS and application
of those resourtÈ5, including income and expenditure, fDr theyearthEn ended,.
have been properlyprepared in accordan￿ with United Kingdorn GÈnerallyAccepted Accounting Prattice:
have been prepared in accordancewith the requirements ofthe Charities Art2Qll.
Basis for opinion
We conducted ourauditin accordance with Internationzl StandardsonAuditing (UK) I1￿ and applicable law.OJr
re%ponsibilitie5 under thosesiandards arefvrtherdescribed in the auditovs responsibilities forthe atsdilof the financial
ststementssection of our reporLWe ?re independent ofthe charityin accordance with the ethical requirementsthat3re
relevant to our auditof the financlal stotements in the UK. including FRC Ethical Standard.andwe have fulfilled ovrotherethical
responsibilitiei In 3ccordance with these requirements.we believe thatthe auditevidencewe have obtained is sufficientand
appropriate to prtivide a basisforouropinioH.
Conclu51ons relati￿gtO golngtoncern
We have nothingto reportin re5pecE0fthefolio￿￿￿ matters in relatiori to which the ISA% (UK) reouife usto repDrttoyou where..
thetrustees. use of thegoing conEem basis of accounting in the preparation of the financial statements is not
appropriate. or
the trustee5 hav2 notdisclosed ift the financial statements ally identiFied material uncettsintiesthatrn&y Cast 5ignific3nt
doubtabout the chariws abiltyto continue to adopt the goingconceTn basi5 of accountingfora period ol at le35t twelve
months from the date when thefinancial siatemonts are aLrthorised forissue.
TrusreesTrepDrt&AuditedFinancla151aiwnents
5andtord RoadGuspeikl¥TITrust 31Jan202S
Paze4 of21

IndependentAuditoV5 R@￿ttts thetdembe￿OfsI￿j1ordROadth5PeIHawrrU5t
otherinformation
The other information cornprises the information included In the annual reporL otherthan thÈ financialststements and our
auditors, report thereon. The trustees are re5pon5ible forthe Dther infomiation. Ouropinion on thefinancial stBtements does
not cover the otherinformation and, eKcepttothe extrntOthen￿":se explicitly5tsted in Qurreport we do notexpress any ltsm Df
assurance conclusion thereon.
In connection wlth trur8udttofthe firTanci31st3tement& Durrespon51blllty is to read the other infomation and, in doingso,
considerwhetherthe otherinformation Is materlally inconsistentwith thÈfinancial ststements or our knowledge obtained in
the audit or othÈMise appears to be Tnaterially misstated. If we identifysuch materiBI inconsistencies or apparent material
mlsstatement% we are required to detemine whethÈrthere is a material misststementin the financlal statements or8 material
miss￿tement ofthe otherinformation. If. based on theworkwe have performed,we conclude thatthere is a material
mi5#atementofthis otherinformation, we are reqvired to reportthatfaLt
We have notaudited the opening balancEs.
We have nothingto report in this r￿ard.
Matters on which we are requSr•dto report byÈxception
In the light of the knowledge and under5tan&ingofthe chaTity and its ertwronrnentobtained in the courseforthe audil we have
not identified materi?1 mis5tstements in the trustees, reporL
We have nothingto report in ￿peCt ofthe follpwing matters Tn relation towhich the ChoritiEsAct2011 requires us to reportto
you ff, In ouropinion:
the information giv￿ in thctrustees, report Is inconst5tent in any materialrespectwiththe financial 51atements; or
adequatefinancial accounting records have not been keptr. or
thè finallaal statements are not In agreement with the accounting records orretums., or
we have n(rtreceived all the information andexplanationsw? requi￿ forouraudit
Responstbllitre5 Df t￿￿eeS
As explalned morefulty in thetrt15tees' iesponsibiliti&5 Statsmenl the trnstee5 are responsible forthe prepzration ofthe
rinancial statèmÈnts and forbeir)gsètisfied thatthey give a truÈ and fairwew, and forsuch intemal control as the trustees
deteTmine is necessaryto enable the preparation of financial statementsthat arefree frorn material misst3tements.whether
dijp. to frAiirf ¢)r•rmr
In preparin8the financial statements, th? tru5tee5 are responsible forasse5singthe chaiivs abilityto continue as a golng
concern, dlsclosin& as applicable, matters related to goingconcern and usingthegoing concern basis of accountingvnless the
tfU5tees either intend to liquidate the Charity0r￿aSe operatiors, or have no realistic 3ltemative butto do $0.
Tru*￿e5(1ÈPQft&AUdlted HnandalStatp.tnents
ndfwd ￿dI￿Pe1 llJan1015
Pdy9of21

IndeppnOentAuditortRèporttothe blembersolSandfcidR&3d6DspelHaiifrust
Autlitor'5 re5pon5ibilltiesforthe 3udTt of the finan¢ialststements
Our objectwe5 ale to obtain reasonable auurance aboutwhetherthefinancial statern@nts as a whole are free from material
misstatement. whether due to fraud or error, 3nd to issue an auditorfs reportthat includes ouropinion. Reasonable assurdnte 15
a high level of assurance, but is not a guarantee thatan auditconductÈd with the ISA% {UKI will always detett a material
misststement when itexists. Mi55taternents ran ari5efmm fraud, or errorand a￿ con5iderEd materially if. individually or in the
agg￿g￿te, they ctjuld reasonably be expected to influence the economicdÈciyons of usets taken on th? ba515 of these financial
staterner￿.
As part ol an audit in accordan￿WIth the Isk IUK).we exercise profe5sionaljud8ement and maintain professionalKeptlC15m
thrgughoutthe audit We also-
identifyand assessthe risks of rnatellal Thi55raternentof the rtnancial statements, whetherduetofraud orerror, deslgn
and perforrn audlt procÈdures responsiveto those risks. and obtsin audit evldence that issufficient and appropriats tr)
provlde a bèsi5forouT opinion. He risk of ntstdeterting a Material mi55tstsmentre5ultingfrorn fraud is highèrthan one for
resultingfrom error, as fraud may involve collusion, forgery. Intentional omissions. misrepresentations, orthe override of
internalcontrol.
Ohtaln an understandingof intemal control ￿levant to the auditin orderto deslgn audit prO￿dUresthat are 3pproprlate
in the circum5tanc?s. but ngtforthe busiThe55 of exprèssing an opinion Dnthe effectlveness of thè internal control.
Evaluate the appropriatern￿ of accounting pdiae5used andthe ￿asOnab{enessofaccounting estimates and related
dls¢losure5 made bythÈ trustee5.
Conclude on the appropriateness ofthe trustees, use gf thegoingconcern basis of accountillEand, based on theaudit
evidence obtained, whether a rnaterial untertaintyexist ￿lated to eventsorcor4dition5 that rray cast significant doubton
the chariV5 abibtyto continue as a goirFgconcem. If we concludèthat 3 materÉal uncertaintyexists.we are requirefl to
draw attention in our auditors reportto the rÈlated disclosures in thè financial statements or, rf5uch disclosures are
Inadequ3te, to rDodifyour opinion. Ourcondusions are based on the audit evidence obtained up tothe date of our
audit¢rfs report. However. future events orconditions may causethe charltyto cease as a goingconcerrb.
Evaluaièthe overall presentation, strurture and cgntentof the fillancialstatetnents, includingthe disclosures, and
whetherthe h"nancialstatements represent the ￿t￿erlYing transactions and events in a mannerthatachlev￿fa1r
presw)tstion.
We commu
audÈt and
tewith thosecharged with govemanee regardin& amonuother n￿tter5, the planned scope and timing ofthe
eantauditfindings, including anysignificaftt defjcienues in internalcontrol thatwe identify duringouraudit
Roger B￿nn8n IS
r StètutoryAudTrtort
For and on behalfof
Hebblethwaites
Chartered Accountants and 5tatutoryauditor
2 Westbrook Court
Sharrowvale Road
Sheffield
Sii 8YZ
0 3
TrUJteÈ%kÈrA>rt&Audlt￿rln•nd*l5tatQrnoTrts
Sandlord kaBdG(wèIHallTIU5t
31Jan102S
PègeLODF21

Statement of Financial Activities
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
UIIAESTRICTED
FUHDS
DESIG￿TED
FUtIDS
TOTALFUNDS
2024
TOTALFUNDS
2013
Income and endowmentv.
Dvnatlonsand Le
cie5:
CDntributionslromthe ConBrtEab¢n
GiftAid Donations
193,020
193.OZO
123,055
90
19390
IncomeTèxrEfvnds
4J48
4,848
3,459
Gronts Rece￿0 (note 51
Legacles
2,OB83TO
2.OB8,3YD
I￿.883
16.132
I￿2.865
Investments
IntErest Received
Totsllncom• and endowmentv.
1408h91
408AyI
156,521
Expenditure:
Running Meeting lioomslnote91
Con8regation SupportlTIDte91
Costofdon3tedseNces Inote41
Grdntsto affiliated trusts (note51
TotalExpendlture'.
L17.JS0
ts7,ts0
70,453
1500
41,533
4L533
52,476
329.203
178,6&3
178,663
453,632
Net Incomel(Expenditurel
29.809
2229*09
1297.1101
Net Movement In Funds
2329,809
1297,1101
UNRESTRMD
FUNDS
DES16NATED
nlNDS
TOTALAJNOS
2024
TOTALFUNDS
Reconciliation of funds (note 11
Torél Funds boughtfopNard
NEt movementirt fvnds
76
996,876
1,294986
7??QPfv
TotrlFunds carried fDTward
1226.665
U26,685
996,876
The notes on page 13- 21 hrrn part of these ffnanclal statrrnents.
TrUst￿Rep￿rt&Au(llted TIMrydilSttteinth)ts SattdfDryJRoadGospdH?IITTWt
31Jan2ts2S
PèeeiLof21

Balance Sheet
Sandford Road Gospel Hall Trust
As at5April 2024
2024
2Q23
Fixed Assets
T?nwble assets (note 61
Total FixedAs5ets
768.162
T68.162
Y[T,3￿1
T77￿04
Current assets
Prepayments3nd accwed income
C15h atbank and in hand
17.973
24372
2343,124
20L526
OtherDeb¢of5
102.863
Total Currentassets
I463￿1
225,898
Creditors: amounts fallinJ due within one year
Accruab and defprred Income
5,439
Tot3lCredltors: amountsfaUingduewkNn oneyear
5,439
6?26
Net current assetsllliabilities)
4454
219,572
Total assets less current liabilities
3,726,685
996.876
NetAssets
226,685
Y9S076
Funds {note 101
UnNStri¢ts¢J funds
3226.685
3226.685
996,876
996.876
Total Fund5
The unaudited fSn
Trust g
atements were approved and authorised forissue bytheTrusteesof Sandford Road Gospel Hall
.and were signed on its behalf by.
Daniél Mallinson rrrusteel
Thenotes on page$ 13-21 fomi partofthEsefinancialstatements.
rrustees RepOrt&AudltedFin￿a1statQfftents Santhrd FthdGo5pdHallTTh￿ 31Jan2025
Paye12of21

Notes forming part of the Financial Statements
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
I.ACCOUNTING POLICIES
1.1 Basis of financlal ststements
Thefinancial Strdternents have been prepared in accordance with the Staternentof Recomrnended Prart[￿- Accountingand
Reporting by Chartbes preparlngtheiraccounts In accordancewith the Financial Reportingstsndard applicable in the UKand
Republic of [r￿Land IFRS 1021 issued Dn 16Juty 2014, and incorptsratiThg updète bulletins l and 2, and the Financial Reporting
Standèrd applicable ift the United ltingdom and Republicof Ifeland IFRS 102) and UKGenerallyAcceptedAccovnting P￿ctIC
Thefuncttonal currencyof thetharity is5terllng 1£).
The Trustmeets thè definition of ) public benefitentity underFRS 102. Assetsand li3bilj+ies are initially recognised athistDrical
costortran5action value unles5 Otherwise stated in the relevantaccounting policy notelsl.
1.2 Income
Donations are recognised in theyear in which there ssentitlementand probabiltyof receiptard the amount un be measured
with re3sonable certainty. Income is onty defetted when the charity h35to fulffl conditions before becoming entitted to itor
where the donor has specified thatthe illcorne is to beexpended in a fvtureyear. Gift aid is added to the value of the donation to
whlch It relates.
Oonated seNices are recognlsed a5 income and expenditure inthe financial ststements when organisations or individuaLs offer
théir senfjces and support pro bono.The value ofthe5e donateé ￿￿C￿5 to Sandlord Road Gospel Hall Tnjst is considered to be
equal to marketvaloje which would be paid werethe serwce formallyprocured. This includesservices paid for by athertTU5ts.
Irtvestment Income Is accounted fDr on a receivable b3515.
1.3 Expenditure
Expendlturé 15 included orn an aCCFuais basis. Llabilitie5 are recognised as soon asthere is a iegalorconstructive tsbllgation
commiitingthe charity to payout resources.
Charitable activities comprisethose costsdirectlyattrtbutsbleto the fuifhlmentof the charitable objert
1.4Governance and support¢05ts
Support costs have been allocated be￿eeft governance costs and othergJpportcosrs. Goverftante ¢05ts tomprise all ¢¢sts
involvSTrgthe public accovntabilityof the charity ard costs related to statutory requirements. Governance and support costs are
allocated tocharitable actNlties on the basis of capacityuseil.
1.5 Tangible fixed assets and depreciation
Tzn6ible fsxed assets Icosting more than £iooI arestated at costle55 depreciatior. Freehold land is not depreaated.
Depreciatlon 15 provided at rate5 cèlculated to write off the cosl less estimated ￿51￿￿alValUe. of each 355etover itsexpocted
usefLJI life as follows:
Freehold buildings
2556straiEht Ilne
Property improvements
2.5% straight line
Flxture5 and Fittings
IO% reduting balanc
TnJ5teesRepx>rt&Auifited fiaKKièlSt4ternEnts
s￿dIcId Ra￿ GospeiHaUTru5t 3LJw2U25
age 13 tsf21

NDte5fofiningpartofthe YinaDualstat￿eThts
1.6 Taxation
The Trust is a reElStered charityaThd is not liable to United Kingdom incomeorcorporationtsxon charitsble activities, provided
Fncome falls withiTr the charitable exemptionsand is spent on charitable purpose5.
1.7 Fund5
The general unrestricted fund is freeforthETfUSteestO Useforany purposos in fvrtherantr of thetrust'5 charitable objects.
Resttfrted fund5 arlse from donations to thè tsus(which are m3defora specific purpose. REstrirted fijnds can only be used for
the purpose for which funds were given.
1.8 Preparation of consolidated financial statements
The Charltydoe5 not have a tradlngsubsidiary.
IS Goingconcem
TheTrustee5 con&derthatthere are no ma￿131 uncertainties aboutthe ehariVsabiltyto Continue zs a going concern.
1.10 Significant estimates and judgements
The trustees do not considerthatthere are anysources ofe51irnotign uncen3intyaithe reporting date thathave a significant
r15k of causing a rvaterial adjustmenttothe carying amountsofa5sets and liabl1￿e5 Within the next ￿Porknng period.
2. TRUSTEE5' REMUNERATIONAND EXPENSES
NoTrustees received any remuneration orother beneffts frvm an employmentwtththe tharity and no Trustees were reTmbu￿ed
for o%pense5 P023: none)
3. WAGES AND SALARIES
There are no ernployees12023.' none)
4. Donated Services
2024
2023
Donated se￿ICe5
Donated To..
t)onated 5ervice5toAbbeydaleGospel HallTnJst
Donated SÈNitesto CanterburyRo3dGospelHallTNst
Donated Services ro Checkaone7rust
4L533
38,46T
779
Donated 5orvicesto SprinBvalEGHf
Donared Servicesto Wilb"amson Gospel HaltTrust
Totsl Don*2d 5erw
11,176
n9
52.476
41533
TnL%tee5Wort&AudltsdMThafflri•lStst￿rn￿nts
SandForrf RDadGu4oiHa(ITtU5t
2025
Pa8e140f21

NDte5fwrnlngparto11ts2FtnaDa4lStatÈments
5. Grants
2Q24
1023
Grants:
Grants Received From:
Grants from affiliated tWst-Sprin￿aleGQ$pel HallTiitsst
TptalGrants Received:
2,088370
2,0SB.370
16.132
Gr8ntstD;
Grantsto Abbeydale Gospel HallTrust
TotalGTants:
329203
6. Tangible Fixed A55ets
Land and Quildin85-Sandford Road
Fjxtures and Fitttngs
Totals
At5 April 2023
843,92B
24.034
867.962
Additiot)s
2.652
2,652
Disp05a15
At 5April 2024
84S580
24.034
870.614
At SApril 2023
79.695
10,953
90.658
CuTrentYÈar Depreciation
10.487
1,307
11,794
Eliminated on dtSP05als
At 5April 2024
90.182
12.270
1014S2
At 5 April 2024
756399
11.764
768.lff3
At5 April 2023
764,233
13.071
777,3Q5
Land registry titlesof the above property heifl are SYK126602. SYK298398. SYK141857 and SYK298399.
T. TRANSACTION5 WITH RELATED PARTIES
Duringthe financial year. doTh2tio￿ of £13,74012023= £15,670) were receNed from related partie5. Donations were also received
from Datim Ltd tota￿￿8£43.5oo. of which Garry Hughes is a dirertor. No reimbursetnerrts were m3do tcs relatsd partie50f thé
t￿￿tee5.
8.VOLUNTEERS
Sandford Road Gospèl Hall Trust reliés ￿relYOn volunteers to carry outthe managemertt, admlnistratlon and general
maintenancèwork. TheTNst has no paid staff orpaidTrustees.
TnkrteosRéport&kndthd Flnanciilstatoments 5aTrdlord Ro¥lGry4HanTiult 31J￿20]S
Pase 15of2l

Resources Expended
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
9. Resources Expended
MEEDIIG k¢OM
COST5
TQTNLCDSTS
2024
TOTAicosrs
2023
CHARttABLE
AcfiiAYEE5
Direct C05t5
PremisÈscosts- repaiTSand malnlenan
Premises costs-he4L I￿ht and power
Telephone
ealth ond5afety
Leg31 and profethnal
Bankchafges
CongrpgHtionSupptsrt
Pub15c outreach eynsÈ
Depretiation
In5ufdnce
14.277
14277
IT.615
iQ588
17.615
11.965
306
306
312
644
77J37
56
5,969
tso
56
1500
10.354
11.7Y
11,794
11,566
1.886
1562
74953
Governan
3,632
Totsl Direct Costs
7,150
137.150
GovemancÈ co5tsinclude £180 Iprioryear £1801 in re5pettof independentexaminetsfee
AuditorFees of £3.OOQ wlll be included.
Ttv5ree5RepOrt&AL￿It￿d F￿andalS10teW￿ntr S•ndtort Road GwlHallTDJSt ￿￿an2025
PaKe16of21

Analysis of Net Assets - Current year
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
IQ.ANALYSIS OF NET ASSET5 BEfwEEN FUNDS
10.1 Currentyear
UIIPE5TwcfÈD REsfRICfEO TOTAL FUNDS
FUhT$5
2024
Fund5
Tanglble Fixedknets
CurrentAsspts
768,If2
IW.981
15.4391
3,226.6&%
T68,162
2.463,961
15.439}
CurrentLiabilltte5
Totsl Fund5
3.24685
rtirstees Report&Audtr(e4 FtnandalStJtornents Sandfth Raad GospeiHallTru5t 31Jan1025
Pdge17Df21

Analysis of Net Assets- Prioryear
Sandford Road Gospel Hall Trust
Forthe year ended 5 April 2024
10.2 Prioryear
umREST￿CrfD 2023RE5TRicfED
FUND5
FUNDS
TOTAL FUNDS
Funds
Tanglble F￿AsSets
Currertknets
YYTJ04
Tr1￿04
225.898
16,3261
996,87S
225,B98
16.3261
996,876
Current Liabilities
TotalFunds
YrustEe5RepDrt&hJdtted F1nanthaistater￿ts
Sandhrd R•#d HallTn
31JanYJ7S
Pa¥e L8ot21

Movement in Funds- Currentyear
Sandford Road Gospel Hall Trust
Forthe year ended 5 April 2024
11. Mtsvement in Funds
11.1 MovementinfiJnds- ¢urrentyear
UNREsThicfED
FVND5
DESIGNATED
FUNDS
RESTrICTEO
FUNDS
TOTALFVNDS
Movement in Funds
Totslfunds boughtloNJard
Incomi￿gre50urCe5
Resources expended
Totslfunds Carried lorward
996076
44Q8N9L
99&&T6
1408,491
I178,6￿}
78,F
3326.685
3,226,685
Twth&sReport&kndited YirAtDoalSl>tEtnonts
San￿ordRO￿dGo5pQlHa1lT￿St
31Jah2Q25
P￿￿]90r11

Movement in Funds- Prioryear
Sandford Road Gospel Hall Trust
For the year ended 5 April 2024
11. Movement In Funds
11.2 Movemefit in fund5- Prforyear
UNREsTricfED
FUNDS
OESIGIi4TED
FUIID5
RESTRICTED
FUNJS
TOTALFUNOS
2023
Movement in Funds
Tot?Ifund5boughtfoMard
Incoming rÈsour
Resources expended
Totalfunds tarried forward
85.028
8￿9
L293,986
156,52L
1453,Q21
996,&75
156,521
1444.6731
995.8T6
I￿959)
Trust4•S￿apOrt&AU￿￿E4 T￿￿ncIlI5￿￿e￿ts Santhrd Road GosplH8llTru¢ 31J8D2025
Pageioofll

Comparative Statement of Financial Activities
Sandford Road Gospel Hall Trust
Forthe year ended 5 April2024
DESIENATEO
FVNOS
TOTALFUNDS
2023
FUND5
Income and endowments".
Donatlonsand Le
acies:
Contributions frorn the Con8re8atirJn
GrftAit* Donatiorts
InctsmeTax ￿l￿ndS
123.095
14095
13.8
13.835
3,4SS
14132
3h59
IQ132
Gragjts RecÈlved Inote51
Investments
InterestRecewed
Totallncorne2nderrdowrnert5-
Is6￿21
Ex
endiknre:
Running MeetingRocm5 (note91
ConRregation Supportlnote91
Cost ofdonated serwcès (note41
Grdntsto affiliatedt¢U5tslnot¢ Sl
Tot31 Expenditbre..
.994
7.459
7U,453
1,500
52,476
52,476
329203
329.203
4M&T3
8.9S9
451632
Net IncomÈl(Expenditurel
1288.1521
18.9591
1297,1101
Netmovementln Funds
IWJ52)
{8.9591
P97AIOI
UIIRESNUE?
FUNDS
lE￿6NATED
FVIIDS
TOTALFUMP5
Reconaliation of funds
Yotal Fund5 boughtforward
Nèt movemÈntinfunds
note 11)
1285.028
89S9
1,293.986
(288.1521
IB.9591
129T.IIDI
TotalFvndscarri¢dfoThYard
s9￿876
996,876
Tru5te&TREPOrt&Audlted FinaNrialStstemqnts
SaThll(YdRDadGospelHallTti
IlJan20
Pa8ello121

SRGHT
Sandford Road Gospel Hall Trust
PUBLIC BENEFIT REPORT
April 2023- April 2024
The purpose of this factual presentation, is to show how the Sandford Road Gospel Hall
Trust (SRGHT) community engage in many acts of public benefit and interact with the wider
community.
The Plymouth Brethren were established in 1828 when John Ne150n Darby broke with the
established Church in Dublin. Darby and others formed a fellowship based on the strict
observance of Christian teachings as set out in the Holy Scriptures. Darby came to Plymouth
in the early 1830s and the congregation grew rapidly. Early publications were produced in
Plymouth and distributed to other congregations of followers throughout the globe.
SRGHT | 41 Sandford Road | Doncaster | DN4 8DU l en
uiries
sandfordroad ht.0
101302536405 | Charity No.. 1159242
Trustees.. Joseph Mallinson l Darryl Paterson l Hugh Mccreadiel Garry Hughes l Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
Introduction
There are over 18,500 Plymouth Brethren members in the UK, spread across 86 locations.
These locations can be found on the Plymouth Brethren Christian Church (PBCC) UK Site.
There have been Brethren Gospel, or meeting halls in Doncaster for many years with the
earliest records giving dates of 1873. SRGHT was formed on 31" May 1982 to acquire
buildings to be used for the advancement of the Christian religion by carrying on the service
of God, including the celebration of the Lord's Supper, Gospel Preachings, Bible Readings
and addresses on the Word of God and other meetings of a Christian religious character
according to the injunctions contained in the Holy Scriptures and the tenets and practices
of those Christians forming a worldwide fellowship known as Plymouth Brethren.
The SRGHT congregation is one of the larger congregations in the UK, with 340 members
living on the Doncaster region; however with residents from the Chesterfield area attending
services weekly, and together with other visitors, numbers attending services regularly
approach 500 persons, from young babies to nonagenarians.
SRGHT | 41 Sandford Road | Doncaster l DN4 8DU | en
uiries
sandfordroad ht.or
101302536405 | Charity No- 1159242
Trustees: Joseph Mallinson l Darryl Paterson l Hugh Mccreadie | Garry Hughes | Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
Our Network
To read more on the PBCC way of life, please visit our website
https://www.plymouthbrethrenchristianchurch.org website.
--Qz￿39l7825 1 action
uk-rapldrelieftoam.org I vnrnnpldreliefteam.org
Members of the Doncaster Rapid Relief Team at a re￿￿t event
SRGHT | 41 Sandford Road | Doncaster | DN4 8DU l en
uirie5
sandfordroad ht.or
| 01302536405 | Charity No: 1159242
Trustees: Joseph Mallinson | Darryl Paterson l Hugh Mccreadie l Garry Hughes | Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
Street Preaching and Tract Distribution
Street Preaching
Street Preaching has been actively promoted by the Plymouth brethren for many years, at
least from the 1920,5, and today 15 enthusiastically supported by members of the Sandford
Road Gospel Hall Trust, as we seek to follow the example set out by our Lord Jesus Christ
(Luke ch4 v17- 20)
The essential activity of publicly preaching the name of Jesus and God's wonderful Gospel
indiscriminately, gives joy and encouragement to our daily lives. as having personally
proved the tangible benefit and immense improvement believing in Jesus brings, we seek to
highlight the availability of Jesus to all mankind.
Currently the main chosen location is Near the Frenchgate Shopping Centre. Street
preachings have been held here since the 1990s.
Romans IOv13," For everyone whosoever, who shall call on the name of the Lord, shall be
saved
The aim of the street preaching is not to recruit additional members for the Plymouth
Brethren but to present eternal salvation as available to all men by faith in Jesus Christ and
His blood and His work of atonement.
Tract Distribution
Members of the congregation have continued to hand out tracts to neighbours and people
in need when they have met them.
Tracts are available for download on the below website:
htt
christiandoctrineand
os
el ublishin
.or
SRGHT | 41 Sandford Road l Doncaster | DN4 8DU l en
uiries
sandfordroad ht.or
101302536405 | Charity ND: 1159242
Trustees: Joseph Mallin50n | Darryl Paterson l Hugh Mccreadie l Garry Hughes | Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
Outreach
At the heart of our community is the commitment to care and compassion, as we recognise
the rights of all humanity within society. Members of the Congregation dedicate their time
volunteering through our charitable arm, Rapid Relief Team(RRT) and contribute financially
to many causes. As SRGHT, we actively seek opportunities to support our local community
by working with local charities and public organisations to effectively reach those in need.
See below statistics from our outreach program, in 2023124:
14
Entities Supported
120
Family Foodboxes Distributed
900
RRT Smart Bars Delivered
62
Care Kits Donated
82
Comfort Packs Delivered
48
Blanket Packs Delivered
1296 Hot Meals Provided
Pallet5 of Waters Bottles Donated (approx 5000 bottles)
IOk+ G
ospel Tracts Distributed
SRGHT141 Sandford Road | Doncaster l DN4 8DU | en
uiries
sandfordroad ht.0
101302536405 | Charty No.. 1159242
Trustees.. Joseph Mallinson l Darryl Paterson l Hugh Mccreadiel Garry Hughes | Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
SRGHT Doncaster in Action
Community support is channelled through the Rapid Relief Team {RRT) with many members
of the SRGHT community actively involved in frontline action.
Case Study:
Bluebell Wood Hospice- Dragon Boat Race
Doncaster RRT supported the Bluebell Wood Dragon Boat Event on Saturday at Manvers
Lake. RRT provided over 1000 signature burger and sausage meals to attendees and lOO%
of all proceeds went back to the Children's Hospice.
x* '"
SRGHT | 41 Sandford Road l Doncaster | DN4 8DU l en
uiries
sandfordroad ht.or
| 01302536405 | Charity No.. 1159242
Trustees.. Joseph Mallinson l Darryl Paterson l Hugh Mccreadie | Garry Hughes l Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
Case Study:
South Yorkshire Fire & Rescue - Open Day
On Saturday the Doncaster RRT team supported the Rotherham Fire Station Open Day and
provided over 270 meals and drinks. RRT also raised £635 in donations which will go back
to the Firefighters charity.
YOUI
SRGHT | 41 Sandford Road l Doncaster l DN4 8DU l en
uiries
sandfordroad ht.or
| 013025364051 charity No.. 1159242
Trustees: Joseph Mallinson l Darryl Paterson l Hugh Mccreadiel Garry Hughes l Michael Smith

SRGHT
Sandford Road Gospel Hall Trust
Case Study:
Doncaster Housing for Young People - Snooze in the South
htt
clubdoncasterfoundation.co.uk
news
article
foundation-slee
-out-back-for-2024-with-snooze-in-the-south
Hot RRT Signature Breakfast for all those participating in the freezing sleepout.
Tki ST
88171251
co-Power Stadiurn
SRGHT | 415andford Road l Doncaster l DN4 8DU | en
uiries
sandfordroad ht.or
| 013025364051 charity No: 1159242
Trustees.. Joseph Mallinson l Darryl Paterson l Hugh Mccreadie l Garry Hughes | Michael Smith