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2024-04-05-accounts

Trustees Report & Unaudited Financial Statements Prince Avenue Gospel Hall Trust Forthe year ended 5 April 2024

Contents Legal and Administrative Information Report of the Trustees Report of the Independent Examiner Statement of Fin3ncial Activities io Balance Sheet li Notes forming part of the Financial Statements 15 Resources Expended 16 Analysis of Net A5sets- Currentyear 17 Analysis of Net Assets- Prioryear 18 Movement in Funds- Currentyear 19 Movement in Funds- Prioryear 20 Comparative Statement of Financi3lActivities TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page2 0120

Legal and Administrative Information Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 Charity Name: PrinceAvenue Gospel Hall Trust Registered Charity Number: 1163105 Trustees: Shaun Fry Murray Hibbert Gerry Morrish Vaughn Newton Neil Smith Trea$urer: Vaughn Newton PrincipleAddress: 167-169 Stanbridge Road Leighton Buzzard LU7 4QL Independent Examiner: Sandra Thurgood FCCA 3 Dells Lane Biggle5wade Beds SG18 8LP A¢countant: Oldlield Advisory LLP 1120 Elliott Court Herald Avenue Coventry CV5 6UB TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page30120

Report of the Trustees Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 The trustees present their report along with the financi31 statements of the Charity forthe year ended 5 April 2024. The financi31 statements have been prepared in accordance with the accounting policies set out on page 11 and complywith the Trust Deed and applicable law. structure, Governance and Management Governing Document The Charity is an unincorporated trust constituted by a Deed olTrust dated 30 September 2000, most recently amended by Deed of Variation dated 12 August 2014. Thetrust was registered with the Charity Cotnmi55ion for England and Wale5 on 12 August 2015 undercharity Registration Number.. 1163105 Recruitment and appointment of new Trustees TheTrustees who have served duringthe year and since the year end are set out on page 3. None ofthe Trustees, nor any person connected with them, received any remuneration or eKpenses from the Charity in the year ended 5 April 2024. TheTrust operates six Gospel halls and Trustees are chosen from amongthe regularcongregation ofthe halls. New Trustees are nominated by the existingTrustees or by the congregation 2nd must be appointed by unanimous resolution of the congregation. They are selected accordingto their skills and experience and are expected to use both in furtheringthe objects of the Charity. Checks are rnade to en5urethe Trustees, eligibility to act and incoming Trustee5 are made aware of their responsibilities bythe existingTrustees, who en$￿￿ that newTrustees read the Trust Deed and relevant Charity Commission guidance. Wider Network TheTrustees maintain informal links with similar charities with a viewto poolingexperience considered useful in pursuingthe objects of the Charity. The Charity also maintains p3rticul3r links with Bidwell Gospel Hall Trustwith which it shares members of its congregation. Risk Management The Trustees have identified and reviewed the major risk5 to which the charity is exposed and confirm that they have established systetn5 to rnanage and mitigate those risks. Objectives and Activities Objectives and Aims The charitable purposes of the Charity are the advancernent olthe Christian religion lorthe public benefit, including bythe carrying on ofthe service ol God in accordance with the Old and New Testament5 olthe Holy Bible as followed bythose Christians forming part of the world-wide fellowship known as the Plymouth Brethren Christian Church Ithe"Brethren'l and any other charitable purposes connected with Brethren. The core doctrine of the Brethren and proper practices in furtherance ol certain aspects of doctrine are 5ummari5ed in two schedulesto the Trust Deed. Public Benefit The Trustee5 conlirffl that they have complied with theirduty undersection 4 olthe CharitiesAct 2011 to have due regard to the Charity Commission's general guidance to charities on public benefit. Details of public benefit activities carried out by PrinceAvenue Gospel Hall Trust can be found in the separate appendixto this report. TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page40120

Re￿rtOftheTr￿Stee5 Main activities and achievements TheTrust provides and maintains six Gospel halls where religious meetings are held by the local Breth￿n community. Details ol the origins, teachings and way of life of the Brethren can be found on the website- www.plymouthbrethrenchristianchurch.org and in the schedules to the Trust Deed. Plans for future periods Desplte the increased costol energy, the trustees feel th3tthese increased costs are not significantly impacting on the ability of the charity to continue as a goingconcern. Meetings Meeting5 held at the Gospel ha115 includethe Lord'5 Supper Icornrnunionl, Gospel preachings, Bible reading5 and Bible addresses. There is a structured weekly schedule of meetings and, depending on the particular meeting, between 30 and 300 people normally attend these occasions. The meetings are attended bythe regularcongregation and most are open to other properly disposed visittsrs. The notice board outside the Hall welcomes visitors and displays the times of Gospel preachings, along with a telephone numberfor those seeking further information or help. Gospel tracts, which are distributed by street preachers, also display this information. Bibles and an extensive range olother Christian reading material are on display atthe halls and visitors are free to help themselves. TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page50120

Re￿rtOftheTr￿Stee5 Spreading the Gospel message and the life of a Christian The Gospel halls are a base from which the ￿guLarcongregatiOn and others who attend the meetings are encouraged to spread the Christian Gospel, in word and deed. Members olthe congregation participate in a programme o15treet preaching and G05peltracts are provided free of charge by the Charity to such preachers to be handed outto interested members of the public. In carryingoutthis work,the congregation considers itsellto be living out its faith in practice, a5 particularly exemplified in the following extract from the schedule to the Trust Deed on living a Christian life.. We seek and are encouraged to live exemplary lives in all our relationships with others in the widercommunity (including former Brethren), in accordance with the teachings of Holy Scripture11 Tim 2..21. We regularly go out from our hornes to preach on the streets, to distribute Christian literature and engage with the wider community lincludingformer Brethren) in orderto present eternal salvation, available to all rnen byfaith in Je5U5 Christ. 12 Tim 4..21. We seek as members ofthe public to lead Christian lives as husbands and wives, parents, children, employers, employees and neighbours. (Col 3.'22-25, Col 4'.11. The preservation and protection olthe farnily unit is fundamental and children are prized as a bles5ingfrom God. IP5alrn 127..3-51. The elderly are valued mernbers of the community. lor whorn both their family and the widercommunity are expected to care. Holy Scripture commands usto be good neighbours to others, and deal with all other people (including former Brethren) openly, honestly and fairly and con5iStentwith these principle5, we should give ourtime. talent5 and moneyto a5S15t those in need in the wider community, in 50 far a5 reasonable given our abilities and our available resource5. (Matt 7..12. Matt 22.39, Eph 4..281. Funding Funding is soughtthrough giftsfrorn the congregation and GiftAid is claimed on eligible donations. Funding 15 sometimes received from other charitable trusts with complernentary objectives. Financial Review In the year ended 5 April 2024 theTrust had a surplu5 01 incotning resources over resource5 expended. Total voluntary income received thisyearwas £282,026 cornpared to £2,218,252 in the previous year. All funds held were unrestricted funds. Reserves Policy TheTrustees have considered the level of reserves they wish to retsin, appropriate to the charity's needs, based on its size and the level of its financial commitments. The Trust has no employees and its regular outgoings are minimal. Accordingly, the Trustee5 have decided to adopt a policy of maintaining no Significant re5erve5. The congregation is kept regularly informed a5 to particular needs for lund5. and other relevant rnatter5 and the Trustee5 airn to ensure thatthe Charitywill be able to continueto fulfil its charitsble objectives even if there is a temporary shortfall in income or unexpected expenditure, by raising a funds 3ppe31 to the congregation. Free Reserves at the yearend were £1,58012023.. £Nill TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page60120

Re￿rtOftheTr￿Stee5 statement of Trustees Responsibilities Thetrustees are responsible for preparingthe Report olthe Trustees and the financial statements in accordance with applicable 13w and United Kingdom Accounting Standards (United Kingdom GenerallyAccepted Accounting Practice). The law applicable to charities in England and Wales, the CharitiesAct 2011, Charity IAccounts and Report51 Regulations and the provisions of the Trust Deed require the Trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the Charity and of the incoming resources and application of resources, including the income and expenditure, olthe Charityfor that period. In preparing thosefinancial statements. the Trustees are required to.. select suitable accounting policies and then applythem consistently., observethe methods and principle5 In the Charity SORP IFRS 1021.. makejudgements and estimates that are reasonable and prudent., state whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements., prepare the financial statements on the going concern basis unless it is inappropriate to presume thatthe charitywill continue in operation. Thetrustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at anytimethe financial position of the charity and to enable them to ensure thatthe financial statements comply with the Ch3ritiesAct 2011, the Charity IAccounts and Reports) Regulations and the provisions olthe Trust Deed. They are also responsible lorsaleguarding the a5set5 of the charity and hencefortaking reasonable Steps for the prevention and detection olfraud and other irregularitie5. All transactions have been reviewed and approved bytwo trustees. On Behalf of the board.. Vaughn Newton (Trusteel Date TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page70120

Report of the Independent Examiner Prince Avenue Gospel Hall Trust Forthe yearended 5 April 2024 I reporttothetrusteeson myexamlnation olthe accounts ofthe PrinceAyenueG05pel HallTrustfortheyeèrended 5Apri12024. Respective responsibilitie5 of Trusteès and Examiner Thecharity'strustees are responsible forthe preparation ofthe accounts in accordance withthe reqU1￿meThts oftheCharitie5 Act 2011 I'theAct'l. I report in ￿pert￿f myèxamlnation ofthe Trust's accounts carried outtsndersettfjon 145 of the2011 Act and in caTryingout my examination I have followed all the appli£able Directiorts glven bythe Charitycommisslon undersection 145lSllbl oltheArt. Basis of Independent Examlner's Report Myexaminatyon was carried outin accordance with the General Directions given bythe Chartty Commission. An examlnatlon includes a review ofthe accounting records kept bythe char¢ty and a comparison of the accounts presented with thoserecords. It also indudes consideration of any unusual items ordisclosurÈs in the accounts, and seeklng Df expianationsfrom you as Trusteesconcerninganysuch matters. The procedures undertaken do not provide alltheevidenee thatwould be wuired In an audit. and consequently no opinion is gnien astoWh￿herthta¢c0urtts present a'trueandfairview. and the report is limlted to those matters 5etout in the statements below. Independent Examinerfs Statement I havecompleted my examinatlon. I confim) that no materièl matters have come to my attention in connection with the examination giving me cause to believe that in any material respect- A£counting record5were not kept in respectoltheTrustas required by5ection 130Df theAct' or The aicounts do not accord with those records.. or The aicounts do not complywith the appli£3ble requirements concemingthefomi and content of ac£ounts set out in the Charities IAtc¢yJnts and Reports) Regulations 21M>8 otherlhan any requirementthatthe accounts give a'true and fairview, whlch is nota matterconsidered as partof an independentexarnination. I have no concerns and have come across noother tnatters in conneclon with theexamination to whlch attentlon should be drawn in this report inorderio enable a properunderstandingoftheaccountsto bere8thed. SandraThurgood FCCA 3 Dells Lane Biggleswade Beds SG18 8LP 14Janu3ry2025 T￿slee5P*pOrt&VThaUditqdF1￿3r￿dStaI¥￿eThts PrfnCeAv•nueGo$pelHè￿ThU$t 14Jan20LS

Statement of Financial Activities Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 UNRESTRICTED FUNDS DESIGNATED FUNDS RESTRICTED FUNDS TOTALFUNDS 2024 TOTAL FUNDS 2023 Income and endowments: Donation5and Le acies.. Grants Received Inote 51 Donated Setvice5 Inote41 Total Incomeand endowments: 2,141,429 281,358 668 282,026 T6,823 281,358 282,026 2,218,252 Expenditure: Running Meeting Rootn5 Inote 91 Total ExpendituTe'. 94,641 668 95,310 54,244 94.641 95.310 54,244 Net IncomellExpenditurel 186,717 186,717 2,164,009 Net Movement In Funds 186,717 186.717 2.164,009 UNRESTRICTED FUND5 DESIGNATED FUNDS RESTRICTED FUNDS TOTALFVNDS 2024 TOTALFUNDS 2023 Reconciliation of funds Inote 111 Total Funds boughtforward Net movernent in funds 2,164,011 2,164,011 186,717 186,T17 2,164,009 Totsi FundscarrSed forwar 2350.728 2,350.728 2.164,011 The notes on page 11- 20 form part of these financial ststements. TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page90120

Balance Sheet Prince Avenue Gospel Hall Trust As at 5 April 2024 2024 2023 Fixed Assets Tangible a55et5 (note 61 Total Fixed A55ets 2,349,14B 2,169,009 2,349.148 2.169,009 Current assets Prepaymentsand accrued income Cash at bank and in hand 2,701 Totsicurrent assets 2.703 Creditors: amounts fallin due within one ear Accruals and deferred income 1,123 5,000 TotslCreditor5.' amounts falling due within oneyear 1.123 5,0(K) Net current assetsllliabilitiesl 1.580 14,9981 Total assets less current liabilities 2,350,728 2,164,011 NetAssets 2,350.728 2.164,011 Funds (note 101 Unrestricted funds 2,350,728 2,164,011 Totsl FuThd5 2,350.728 2.164,011 The unaudited financial statements were approved and authorised for issue by the Trustee5 of Prince Avenue Gospel Hall Trust on.........................................and were signed on its behalf by. Vaughn Newton ITrusteel The notes on page5 11- 20form partof these financi315tatement5. TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 100120

Notes forming part of the Financial Statements Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 I. ACCOUNTING POLICIES 1.1 Basis of financial statements The financial statements have been prepared in accordance with the Statement ol Recommended Practice.. Accountingand Reporting by Charitie5 preparingtheiraccounts in accordance with the Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021 issued on 16 July 2014, and incorporating update bulletins l and 2, and the Financial Reporting Standard 2pplic3ble in the United Kingdom and Republic of Ireland IFR5 1021 and UK GenerallyAccepted Accounting Practice. Thefunctional currency of the charity is Sterling 1£). The Trust meets the definition ol a public benefit entity under FRS 102. Assets and liabilities are initially recognised at historical C05tortran5action value unles5 Otherwise stated in the relevant accounting policy notel51. 1.2 Income Donation5 are recogni5ed in theyear in which there is entitlernent and probability of receipt and the arnount can be rnea5ured with reasonable certainty. Income is only deferred when the charity has to fulfil conditions before becoming entitled to it or where the donor has specified that the income is to be expended in 3 future year. Gift aid is added to the value of the donation to which it relates. Donated services are recognised as income and expenditure in the financial statements when organisations or individuals offer their services and support pro bono. The value of these donated services to PrinceAvenue Gospel Hall Trust is considered to be equal to market value which would be paid werethe service formally procured. This includes Services paid lor by othertru5ts. Investment income is accounted for on 3 receivable b3SIS. 1.3 Expenditure Expenditure is included on an accruals basis. Liabilities are recognised as soon as there is a leg31 or constructive obligation committingthe charityto pay out resources. Charitable activities comprise those costs directly attributsbleto the fulfilmentof the charitable objects. 1.4 Governance and support costs Supportcosts have been allocated between governance costs and other support costs. Governance costs comprise all costs involving the public accountability olthe charity and costs related to statutory requirements. Governance and support costs are allocated to charitable activitie5 on the basis ol capacity used. l.S Tangible fixed assets and depreciation Tangible fixed assets (costing morethan £IOOI are stated at Cost less depreciation. Freehold land 15 notdepreciated. Depreciation is provided at rates calculated to write oflthe cost, less estimated residual value, of each asset over its expected useful life as follows.. Freehold buildings 24b straight line Property improvements 480 straight line 1.6 Taxation TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst

Note51ormingp3rtoltheFinancial Statements The Trust is a registered charity and 15 not liable to United Kingdom income orcorporation tax on ch3ritable activities, provided incornefalls within the charitable eKernption5 and is spent on charitable purpose5. 1.7 Funds The general unrestricted fund 15 free lorthe Tru5tee5 to Use for any purp05e5 in furtherance of thetru5t'5 charitable object5. Restricted funds arise from donation5 to thetrust, which are madefora specific purpose. Restricted funds can only be used lor the purp05eforwhich fundswere given. 1.8 Preparation of consolidated financial statements The Charity does not have a trading subsidiary. 1.9 Going Concern The Trustee5 considerthatthere are no rnaterial uncertaintie5 about the charity's abilityto continue a5 a going concern. 1.10 Significant estimates and judgements Thetrustees do not COn5iderthat there are any sources ol estimation uncertainty at the reporting date that have a 51gnificant risk of causinga material adjustment to the carrying amounts of assets and liabilities within the next reporting period. 2. TRUSTEES, REMUNERATION AND EXPENSES No Trustees received any remuneration or other benefits from an employmentwith the charity12023'. none). Trustee expenses reimbursed are disclosed in note 7. 3. WAGESANDSALARIES There are no ernployees12023.' none) 4. Donated se￿1£es 2024 2023 Donated SeNices R￿e1Ved From.. Bidwell Gospel HallTrust Total Received.. 282,026 282.026 76,823 76,823 TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst

Note51ormingp3rtoltheFinancial Statements 5. Grants 2024 2023 Grants: Grants Received from.. 1,491,429 Kirby Gospel HallTrust TotalGrants Received-. 650,000 2,141,429 6. Tangible Fixed Assets Toddington Stanbridge Road Ivinghoe Aston Stoke Hammond Ashcroft At 5 April 2023 218,969 370,459 336,000 335,000 325,000 AdditlOn5 Disposa15 At 5 April 2024 218,969 370,459 336,000 335,000 325,000 At 5 April 2023 2,189 3,704 3,360 3,350 3,250 Current Year Depreciation 2,190 3,705 3,360 3,350 3,250 Eliminated on disposals At 5 April 2024 4,379 7,409 6,720 6,700 6,500 At 5 April 2024 214.590 363.050 329,280 328.300 318,500 At SApril 2023 216,780 366,755 332.640 331,650 321.T50 Kirby Road Toddington lrnprovetnents Stanbridge Road Improvements Ivinghoe Aston Improvements Stoke Hammond lrnprovements Totals At 5April 2023 325,000 TO,584 146.769 10,344 61,555 2.199,680 Additions 19,559 194,569 214,129 Disposals At 5 April 2024 325,000 70,584 146.769 29,903 256.124 2.413.808 At 5 April 2023 3,250 2,823 5,870 413 2,462 30,671 Currentyear Depreciation 3,250 2,823 5,871 685 5,506 33,990 Eliminated on disposals TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 130120

Note51ormingp3rtoltheFinancial Statements At 5April 2024 6.500 5,646 11.741 1.098 7,968 64.661 At 5 April 2024 318,500 64,938 135,028 28,805 248,156 2,349,147 At SApril 2023 321,750 67,761 140.899 9,931 59.092 2.169.008 Land registrytitle5 of the above property held are BD306604. BD91651, BM30685T, BM340111. BD173427 and BD285313. 7. TRANSACTIONSWITH RELATED PARTIES During thefinancial year, no don3tions were received from related parties. The trust made reirnbur5ements to related partie5. totaling£29,59812023.. £2451. The trust also made payrnentstotaling £180.709 to a cornpanyolwhich a latherol a trustee is a director. 8.VOLUNTEERS PrinceAvenue Gospel Hall Trust relies entirely on volunteers to carry outthe management, administration and general maintenance work. The Trust has no paid staffor paid Trustees. TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 140120

Resources Expended Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 9. Resources Expended MEETING ROO COSTS OTHER CHARITAeLE TOTALCOSTS 2024 TOTALCOSTS 2023 Direct Costs Insurance 1.350 1,350 3.402 Premises costs- repairsand maintenance Premi5e5 C05ts- heat, light and power Legal and profession¥1 8,180 8,180 I,oio 16,OID 16,010 6,233 995 995 6.907 33,990 33,990 30,671 CommunityOJtr*ach Events Refurbishmentcosts 668 668 33,073 33,073 Governance 1,043 1,043 6,020 Total Direct Costs 94,641 668 95,310 54,244 Governance costs include £300 in respect of independent examiners fees (prior year.. £6020 in respect of auditorsfeesl. TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 150120

Analysis of Net Assets - Current year Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 10.ANALYSIS OF NET ASSETS BETWEEN FUNDS 10.1 Current Year VNRESTRICfED FUNDS RE¥fRICTED FUNDS DESIGNATED FUNDS YOTALFUNDS 2024 Funds Tangible Fixed Assets CurrentAssets 2,349,148 2,349,148 2,703 2.703 Totsi Funds 2,350,728 2,350,728 TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 160120

Analysis of Net Assets- Prior Year Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 10.2 Prioryear UNRESTRICTED FUNDS DESIGNATED FUNDS RESTRICTED FUNDS TOTALFUNDS 2023 Funds Tangible Fixed Assets CurrentAssets 2,169,009 2,169,009 15.(KJOI 2.164,011 15.OWI 2.164,011 Totsl Fund5 TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 170120

Movement in Funds- Currentyear Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 11. Movement in Funds 11.1 Movement in fund5- currentyear VNRESTRICfED FUNDS DESIGNATED FUNDS RESTRICTED FUNDS YOTALFUNDS 2024 Movement in Funds Total funds boughtforward Incoming resources 2,164,011 2,164,011 281.358 668 282.026 Resources expended Totsifunds carried forward 194,6411 2,350,728 2,350,728 TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 180120

Movement in Funds- Prior Year Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 11. Movement in Funds 11.2 Movement in fund5- Prioryear VNRESTRICfED FUNDS DESIGNATED FUNDS RESTRICTED FUNDS YOTALFUNDS 2023 Movement in Funds Total funds boughtforward Incoming resources 2.218.252 2,218.252 Resources expended Totsifunds carried forward 154,2441 154,2441 2,164,011 2,164,011 TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page 190120

Comparative Statement of Financial Activities Prince Avenue Gospel Hall Trust For the year ended 5 April 2024 UNRESTRICTED FUNDS TOTAL FUNDS 2023 Income and endowments: Donation5and Le acies.. Grants Received Inote 51 Donated Setvice5 Inote41 Total Incomeand endowments: 2,141,429 2,141,429 76,823 T6,823 2,218,252 2,218,252 Expenditure: Running Meeting Rootn5 Inote 91 Total ExpendituTe'. 54,244 54,244 54.244 54,244 Net IncomellExpenditurel 2,164,009 2,164,009 Net Movement In Funds 2.164,009 2.164,009 UNRESTRICTED FUND5 TOTALFUNDS 2023 Reconciliation of funds Inote 111 Total Funds boughtforward Net movernent in funds 2,164,009 2,164,009 Totsi FundscarrSed forwar 2,164.OIL 2.164,011 TrusteesReport&Unaudited Financial Staten)ents PrinceAvenJeGospelHallTrJst Page200120

Signature Certificate

Reference number: 6VSDR-TCOYQ-ZKA9U-GRKM6

Signer

Timestamp

Signature

Vaughn Newton

Email: vaughn@dymatecuk.com

Sent: Viewed: Signed:

Recipient Verification:

✔ Email verified

15 Jan 2025 16:14:34 UTC 15 Jan 2025 16:22:06 UTC 15 Jan 2025 16:24:00 UTC

15 Jan 2025 16:22:06 UTC

IP address: 51.155.132.210 Location: Chesterfield, United Kingdom

Document completed by all parties on: 15 Jan 2025 16:24:00 UTC

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