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2022-03-31-accounts

Trustees' Annual Report for the period

Period start date

Period end date

From

01 April 2021 To 31 March 2022

Reference and administration details

Charity name

The Active Rhema

Other names charity is known by

TAR

Registered charity number 1164601

Charity's principal address 3 Viscount Square

Herne Bay Kent Postcode CT6 6FT

The Trustees

The trustees who served the charity during the period were:

Dr Oluseyi Adesina, Dr (Mrs) Olufunbi Adesina, and Dr Sunday A Oniosun

Structure, governance and management

GOVERNING DOCUMENT

TAR is constituted under a constitution dated 26[th] November 2015 and is a registered charity number 1164601.

HOW THE CHARITY IS CONSTITUTED

Charitable Incorporated Organisation (CIO)

TRUSTEE SELECTION METHOD

Appointed by a resolution passed at a properly convened meeting of the charity trustees.

POLICIES ADOPTED FOR THE INDUCTION AND TRAINING OF TRUSTEES

The induction process for any newly appointed member of the Trustees comprises an initial meeting with the Chair and other Trustees, followed by a series of short meetings with the Chair on the powers and responsibilities of the Trustees.

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ORGANISATIONAL STRUCTURE AND DECISION MAKING

TAR is organised so that the trustees meet regularly to manage its affairs.

RISK MANAGEMENT

The Trustees have assessed the major risks to which the charity is exposed, in particular those related to the operations and finances of the charity and are satisfied that systems and procedures are in place to mitigate our exposure to the major risks.

Objectives and activities

Summary of the objects of the charity set out in its governing document

POLICIES AND OBJECTIVES

The objectives of The Active Rhema are:

Each year our trustees review our objectives and activities to ensure they continue to reflect our aims. In carrying out this review, the trustees have considered the Charity Commission's general guidance on public benefit and in particular its supplementary public guidance on the advancement of religion for the public benefit.

STRATEGIES FOR ACHIEVING OBJECTIVES

We have adopted the following strategies for achieving the above objectives:

ACTIVITIES FOR ACHIEVING OBJECTIVES

The charity in pursuant of her objectives organised programme of events which were open to all throughout the period. These were on a regular basis - online Christian prayer meetings, Dayspring Bible Club for kids, and outings for families to meet.

VOLUNTEERS

TAR is grateful for the generous labours of its volunteers who are involved in service provision, charity activities and contributions. It is estimated that over 600 volunteer hours were provided during the year. If this is conservatively valued at £9.50 an hour, the volunteer effort amounts to over £5,700.

Achievements and performance

REVIEW OF ACTIVITIES

How our activities deliver public benefit.

In addition to our usual monthly meetings, we carried out a wide range of activities in pursuance of our charitable aims. There was an improvement in our income compared to the previous financial year. However, we continued working within the financial constraints we introduced two years ago. We are yet to make a Gift Aid claim for the 2021/2022 financial year. The trustees consider that the activities summarised below provide benefit to those who attend our events and the wider community:

All are welcome to attend our regular meetings. While there were fewer restrictions this year due to COVID-19, we could not organize any regular in-person meetings. We, therefore, continued with our online meetings for various groups.

We continue strengthening our web seminars with prayer meetings every Friday and weekly bible study. These webinars provide a safe, accessible platform for everyone who wants to grow their faith in Christ to come together and share their experiences and encourage one another. We continue to attract new subscribers.

Our Dayspring Bible Club continues to grow stronger with new subscribers. We thank God for His faithfulness. As a result of the increased number, we started three parallel sessions during the year. This enabled us to split the kids based on age to allow for more age-related discussions. The third group is for 16–18-year-old, and we hope to develop this further in the new year. With the parent’s permission, the children had the opportunity to discuss the Bible and have fun doing so with their mates on a safe platform that TAR provides. We continue to hold the session once a month, and one of the highlights has been the session on Bible quizzes. Our focus has been on the knowledge and application of God’s Word in everyday living whilst also developing leadership and communication skills. DBC members also engaged in the TAR Christmas Project 2021 (sponsored by TAR), where they worked together to reach out to any of their chosen local charities sharing the love of Christ in giving.

We were again privileged to host our fourth Christmas Love and Share event during the reporting year. The event was also held online due to Covid-19 restrictions on public gatherings. It allowed members and other attendees to share and fellowship together during the Christmas season, which further helped us achieve our objectives. We also started the TAR East Egg Hunt in this reporting year. It brought many TAR members together to learn about Easter and fellowship together during this important Christian celebration.

Although we could not have regular meetings, TAR allowed families to physically meet up in groups during the reporting year. It provided encouragement and bonding for all who participated, especially after many had yet to have the opportunity to meet others because of the restrictions. However, we had our first geographical summer visit in August 2021 to two cities in Wales and a day out in Kent.

Working with local churches - Apart from our work with university students, we continue to work with local churches in Canterbury. Especially where we recognise that they have a distinctive programme to help children and young adults get to know God better and be established in the Christian faith. During this reporting year, we continue to make a targeted contribution toward the work being done in the Kids Church at Barton Church, the youth at Calvary Victory Church and the discipleship programme at Canterbury Vineyard.

Porchlight - A city-wide charity providing intervention and support for the homeless. We initially started with a Christmas donation in December 2015. We later decided to make it regular to continue to support their amazing work with the vulnerable homeless and rough sleepers in Canterbury.

Canterbury Food Bank - Furthermore, in our work to prevent or relieve poverty, the trustees recognise the work of Canterbury Food Bank, especially considering the surge in the use of their services because of COVID- 19 and the great work that the team at Canterbury does to support the vulnerable people in the city. Hence, we continue to make regular financial donations toward the amazing work that they do to support the local people.

Financial report

RESERVES POLICY

The trustees have established a policy whereby the unrestricted funds not committed or invested in tangible fixed assets ('the free reserves') held by TAR should be three quarters of the voluntary income.

INVESTMENT POLICY

The trustees have decided that at present, funds should be retained in the bank. Any change in such banking arrangements should be agreed upon by the board. As far as possible, funds will be retained in interestbearing accounts.

STATEMENT OF TRUSTEES' RESPONSIBILITIES

The Trustees are responsible for preparing the Trustees' report and the financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).

The law applicable to charities in England & Wales requires the Trustees to prepare financial statements for each budget year which give a true and fair view of the state of affairs of TAR and of the incoming resources and application of resources of TAR for that period. In preparing these financial statements, the Trustees are required to:

The Trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the Charities Act 1993. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

This report was approved by the Trustees on 22/01/2023 and signed on their behalf by:

Dr Olufunbi Adesina

The Active Rhema

Financial Activities

April 2021 - March 2022

TOTAL
Income
Discounts/Refunds Given 103.00
Donations and legacies 6,048.17
Total Income £6,151.17
TOTAL £6,151.17
Expenditures
Accounting Software Subscriptions 187.20
Advertising/Promotional 186.07
Charges & Interests 0.80
Charitable activities exp 1,458.87
Insurances 367.24
Local outreach 50.00
Office/General Administrative 105.98
Expenses
Outreach 103.64
Printing, Postage and Stationery 79.00
Travel and Accommodation 328.74
Webinar Subscription 143.88
Websites & other online service 483.28
costs
Total Expenditures £3,494.70
NET OPERATING INCOME £2,656.47
Other Expenditures
Musical Instruments Depreciation 124.49
Expense
Office Equipment Depreciation 275.05
Expense
PA System Depreciation Expense 303.41
Tools & Accessories Depreciation 129.52
Expense
Total Other Expenditures £832.47
NET OTHER INCOME £ -832.47
NET INCOME/(EXPENDITURE) £1,824.00

The Active Rhema

Balance Sheet

As of March 31, 2022

TOTAL
Fixed Asset
Tangible assets
Musical Instruments Cost 622.49
Musical Instruments Depreciation -622.49
Office Equipment Cost 2,384.07
Office Equipment Depreciation -1,633.38
PA System Cost 1,516.97
PA System Depreciation -1,516.97
Tools & Accessories Cost 647.56
Tools & Accessories Depreciation -647.56
Total Tangible assets £750.69
Total Fixed Asset £750.69
Cash at bank and in hand
Club, Charity And Trust Account (1568) 6,521.48
Total Cash at bank and in hand £6,521.48
NET CURRENT ASSETS £6,521.48
Creditors: amounts falling due within one
year
Current Liabilities
Accruals 0.00
Total Current Liabilities £0.00
Total Creditors: amounts falling due within £0.00
one year
NET CURRENT ASSETS (LIABILITIES) £6,521.48
TOTAL ASSETS LESS CURRENT £7,272.17
LIABILITIES
TOTAL NET ASSETS (LIABILITIES) £7,272.17
Charity funds
Opening Balance Equity 4,723.97
Retained Earnings 724.20
Surplus/(Deficit) 1,824.00
Total Charity funds £7,272.17