The Wave Youth and Children's Ministry st Annual Report for the year ending 31 August 2025 The trustees of the Wave Youth and Children's Ministry (The Wave,) present their report and financial statements for the year ending August 31 , 2025. 1 . Charty Details Name". The Wave Youth and Children's Ministry 1159902 Charity Number: Address: Outspan, Haycrafts Lane Hanmans Cross BH19 3EB Trustees during the year 119124 to 31108125 Chairman/ Safeguarding officer Treasurer: Caroline Powell Adam Garnish Secretary". Jeanette Awty Rev- James Mercer Hannah Flemming-Hill Web page designer/manager 2. Structure and Trustee Appointment The Wave is registered as a charitable Incorporated Organisation (CIO) and is governed by its constitution and a Board of Trustees. The trustees are supported by a Council of Reference drawn from local people and church leaders. The Trustees meet usually once every other month. The Trustees are appointed by the Board. The aims in recruiting new trustee are:_ a. To find Trustees with the right expertise and commitment to further assist the Wave in achieving its objectives. b. To seek as wide a representation as possible on the Board of Trustees from the constituent churches of 'churches together in Swanage..
At the beginning of September 2024 the Wave operated through a team of two professional Youth workers Richard Docherty The Emmanuel Baptist church Youth Minister As of October 2024 he was no longer a partner of the Wave and became solely line managed by Emmanuel Baptist Church. Hannah Fenton - Lane The Wave's school worker left our employment at the end of November 2024. Objective During the Year The Wave's for the year beginning September 2024 To consult with Churches together in Swanage, schools and supporters of the Wave on the services and support the Wave could offer and a seamless transition to our new way of working. Activities and Achievements In response to financial difficulties the charty has had to reconsider our operating model. In October we had to say goodbye to our school's worker and closed our direct interaction with schools mentoring and youth work. The Trustees are considering the future strategy of the charty as a grant making organisation for local community faith- based initiatives targeted at childieri and youth. As part of this process, we communicated with Churches together in Swanage. The Purbeck School. The Swanage School. local youth group leaders and our financial supporters. Wrthout further financial support we were unable to continue with our direct school's work and made our school's worker redundant. From November 2024 we have slowly transitioned to being a grant making organisation. We began to formulate the principles under which we will award grants and the mechanisms by which they could be applied for. During the year we received l O applications for graTrts of which 9 have been SucsSfUl. Examples of how the funding was used to support youth/young people's work in the area are:_ Remix and Rooted (Emmanuel Baptist Church: youth groups aimed at young teens) with refreshments.
Methodist Church Toddlers Group with new play toys. This organisation supports new mums in the Swanage area. Resources for the Christian Children's work at Swanage Carnival. Public Benefrt. Safeguarding and risk Assessment The Trustees have complied with the duty in section17 of the Charities act 2011 to have due regard to the public benefit guidance published by the Charity Commission. All Trustees are Enhanced Disclosure and Barring Service Certificate (DBS). The designated Safe guarding Officer acts as a Consultant DBS issues where needed. New Trustees are required to complete a Trustee Eligibility Declaration and also receive induction materials, including copies of the latest accounts and Board Minutes and are directed to the Charity commission documents on their website - in particular The Essential Trustee (CC3) We require all organisations applying for grants to be able to show a current safeguarding policy. All applicants are responsible for their own risk assessment and food hygiene policies. Financial risks are managed by the regular examination of the monthly Treasurer's report. 6. Financial Review Income has remained stable throughout the year at around 400 pounds per month from our regular supporters. This is sufficient to sustain expenses to support regular youth club and schools work activities. One off grants have been made to support youth activities in accordance with the charity objectives. The trustees consider the Charity is an ongoing concern. No trustee or connected person received any remuneration or benefit from the Charity during the year. No funds are held as a Custodian Trustee. Signed on behalf of the Trustees by= 26 (Caroline Powell: Chair of Trustees
The Wave Youth & Children's Ministy Charity Accounts Year Ended 31 August 2025 Suttle & Co ACCOUNTANTS
Suttle & Co Unft l.The AJM Centre ProspÈ£t Bush$ Park Swanage BM19 IFE ACCOUNTANTS Info@8m51rttle.co.uk l 01929 422093 IhlDEPENDENfE¥AMINEfS REPORT TO THE TRUSTEES OF THE WAVE YoufH a CHIU)REKS MINISTRY FOR THE YEAR ENDED 31sfAUGUST2025 Respertk responslblhtks oAthe Trttstees andexamlners The charity's tnisrees are re5ponsiblefor the prepomtton of the occounts. The charitys trustees consider thot on audit is not requiredfor this yeor lUn•yersertK 1441 of the Choriti'e5Act 20111the ChDritlesActJ ond thot an independent excmxnation is needed. ft ts my responslblllty to.. exornine the accounts fundersertbn 145 of the ChoritlesActl lollow the procedures loid down in t Generol Dirertions qiven by the alIty commissnerS (undersertion 145(51(b) of the Chanties Attj," and to store whether portkularmoners come to my attentkn. Bosls of Independentexamlnerfs 5totement My exominotion wos carried out in occordotKe with General Direction5 qiven by the Charity Commission. An examinatlon includes o review of the ottounting records kept by the thority ond o comporiwi of the uccounts presented with those records. It otso include5 considemtion olony unusuol items or disclosuTr5 in the accounts ondseekino explonationslmm the tnistees ¢onceming ony such motters. The procedures undertoken do not provide oll the evidence that would l required in on oudlL ondconsequenrtyno opinlon is given os to whether the occounts present o true ondfvirf viewond the report is IMyJited to those mtters set out in the stotement bek)w. Jndependent exomlfterfs staten In connection with my examlnotion. no nwtterho5 Come to my ottentrfon." l. Which gives me reosongbk couse to beIve thot In 0yner1ol respe(t the requlrements to keep occounting record5 in occordonce wrth section 130 olthe ChoritiesAcL ond to prepare aLYounts which occord with the ocrounting record5 ond compty with the acantIng requirements of the Chorities Act hove not been meL or 2. To whicl in my opinion ottention shotsld I drnwn In order to enoble o pmper understqndin9 of the accounts to be reodRd. 2oPQo Mr5H Chnstopher A Th ACPA Stsitlc. & Co Lld 1% roK7s:trred at C(r.panies H¢At5e Inbybei 149291041. The re¥i5tL'rgd oliPt¢t F> Unit J Tho AJM Cet)trt. Prospeci t3usknes£ Pafl. Swanage, bH19 IFE. DiTecio". 5.. Saroh I'liTr5hip MAJT.% Htlcft ChTTStopkn¢r ACPA MAT[ Consultanl.. Gèry Sultk IAIA ACPd aat sah ¥¥irLah"p is Ikensed iegufaied by AAT underlictnce ftL¢mber 1Tr15894. AAT Is r&co£nhed by TrèJsJry' rosur¥I$ {omolian witF. the Money lètsndÈiin8 Re8kntJrions and Suwe & Co 5UPt¥Vised by AAT in thi% respert_
The Wave Youth & Chlldren's Ministry Balance Sheet 31 August 2025 2025 2024 Current Assets Debtors - Gift AKI Tax Refund D 1346.50 4022.00 Bank Account 10121.51 17379.42 Currènt Llabilltl88 PAYETrension -2790.96 Current Assats less Currnnt Liabllttles: 11468.01 18610.46 Funds Unrestricted Funds Restricted Funds 11468.01 18610.46 0.00 11468.01 18610.46 Approved by.. . Trustee TTUSt .. Date
The Wave Youth & Children% k1inistry Notss to the Accounts Year •nd•d 31 August 202S 2025 2025 2025 R•strkt•d Unregtricted Total KOrnI• Rosourc 2024 Don•tiotM: D(#tIOnS Received . LhyeStred l)onations Rectyved 44on Gift AKI . UrvestrKXed Donatronl Rethved . Restricted Donations Rewved . Nc4) Gift AKI . Restriel8d Gfft Aid Tax Red•'matsè 9580,95 I.77 250.(X) 250.IXI O.IK) 1660.72 1972.35 2395.00 1680.72 7296.72 729&72 1F156.07 Genpral Expenses sOr Club Equv Wages Hannah Fenlon Hamah F 1123.27 o.fy) 11840.78 229.18 750.(KI 1123.27 1774.63 1972.35 28919,63 1347.03 0.00 11840.78 229.18 750.00 Advertising Comwter arKI Softvare lftsuw(x Trainirrfj Other 360 00 253 13 349.28 1398.00 1377.80 215.95 279.99 215.95 279.99 o.(Ki 0.00 14439.17 14439.17 37751.85 Excess of eXpendire over InGo 0.00 -7142A6 -7142.45 -219%.78 Ilovfflt of Fund•: Restricted Unrestrlcted Tolal Funds 18610.46 18610.46 Movemert in Year o. -7142.45 -7142.45 Funds c o.f 11468.01 11468.01