REGISTERED COMPANY NUMBER: 09623674 (England and Wales)
REGISTERED CHARITY NUMBEIL" 1164704
Tn￿te¢s,
rtaud
FIDalle1￿ Statements for the Year Ended 31 March 2023
for
Sunbri
e Road Mission
Limited b Guarantee

Sunbrid Road Mission
Contents of tbe Finallci￿ Statements
for thc Year Endd 31 Marth 2023
Page
T￿￿tee$, Report
Indepelldent Examin&s Report
Statement of Fiwicial Activities
Balanc¢ She
6 to 7
Notes to tbe Financial Statements
8 to 16
Detailed Staten]ent of Finamcial Activities
17 to 18

rid e Road Mi&8ion
Trusteeg, R ort
for tbe Yeat Ended 31 March 2023
The tr1￿ wbo are also directors of the clJ2rity for the p￿￿oSe$ of tbe COIDP￿l¢s A¢t 2(X16, present their report with
th¢ fiDaD¢iai statem¢nts of tILe ¢lMrity for th¢ y¢ar ¢nd¢d 31 March 2023. Th¢ tn]st¢es have adopted the provisions of
AwovDling aDd Reporting by Charities: Statemellt of Recollunended Practice applicable to clwities preparing their
accou1￿ in accordance with the Financial Re￿Irting StaJLdard applicable in the UK and Repubjic of frelgnd (FRS 102)
(effective l January 2019).
The Tr￿teeS of tb¢ charity are also the Elders ofthe churc
Objectives and Ain
The objects of the Church are for the benefit of the public ("tbe Objects"):
to advattce the Christian faitb in aCcOrdaTr￿ Thith the Ststement in such ways aDd in such parts of the United Kingdom or
the world as the directors from tinie to time nuy thit]k fit.
to relieve sickness and financial hardsbip and to promote and preserve good health by the provi￿0￿ of fi￿ds, goods or
services of any kind including througb the provision of counselling and support in such parts of the United Kingdom or
the world as th¢ dir¢¢tors from ¢im¢ ¢0 think fil and
to advznce education in sucb ways alld in such parts of the United Kingdom or the world as th¢ diTrctors from time to
tirne Tllay tbink fiL
Signifieant at￿VItIeS
The chartty's activities during the period were operntrd by some paid staff and a significant number of volunteers as
follows=
- Employing pastoral stsff to be responsible for the te2ching and spiritual dittction of the cburch
- To hold regular rneetillgs foT worship, teachit)g and prayer
- To continue to develop aDd operate specific teaching programmes for various ag¢ rauges
- Continue with the operntion of youth and cbildren's work on a weekly basis.
- Continue to work with the homeless and the marwknsed people ID our society in a project known as fnner City.
- Conlinue to operate a community facility knowo as Hope House wher¢ progrdDITnes bave been developed to engage
with the conllnumty a sbort distance away from church
- To ¢olltiDue to develop evangelistic progranllnes to engage ￿Trth ¢hildren and adults over the whole spectrum of society
- To hold various leadersbip n￿etitigs tbat are required for eacb of the ministries to (Trperate so that effective plauDing
and motiitOTing can be undertaken
- Ellgage with other similar charities and organi5ations that prornote the thistian Fattb
- Hold vaTkQUS meetings on our Premi￿S with other organisatioDs that have specialist miDiStries in order to enhance
derstanding in these arcas
- Hold weddings, ftmerals and other meetings where appn)priate
- Hold regular meetings wsth Trustees and Elders (some including D¢a¢tsns) ag we geek to maintain alld develop our
Church
- Fijiancially aad prdyerfillly support V8rtous people are called to missionary work both iti the UK and overseas
- tu August 2013 we purch&sed sO￿t land close to our present site that will ultimately be developed and become o
new cbvwh. In FebTuary 2017 we received planning peTmiSSion to be able to develop the new stte into new church.
Platitiing pern)ission lapsed in January 2020 aTLd we are DOW in the process of rerflesigDing the propety and will be
submitting alternative pl￿ for approval dvring 2022. We bave reviewed the prOj￿t and bave re-deSi￿d the building
to meet our future needq at a more realistic cosL
Publie betsefit
Having regard to the Charity Co￿1￿1$s1on guidance on Public B¢DefiL th¢ Tr￿Ste¢S are confident that all our clwitable
2¢tiviti¢s ar¢ undertaken to fllrtl￿ our cbaritable objectives for the public bellefiL
FINANCIAL REVIEW
Reseryes policy
The Charity's reserve policy is to hold sufficient fvnds in rsscrve to enable the eharity to operate for a period of six
mottths if no other funds w¢r¢ available.
Page I

Sunbrid e Road Mi
Trustees,
for the Year Ended 31 March 2023
The ¢baTity's ts>tsi in¢oming resources for the period were £439.329 aDd its total outgoing resources were £255,286
resulting in net incoming resources of £184.043 prior to the revaluation of ttvo of the ehalities properties. The
reva1uationpr0d￿ed a ]Let gain of £122.741.
The c]Jaritys Det asse18 at the period end were £1,885,187.
To continue all the activities outlined abov¢
- Continue witb the develOpn￿llt of tbe bullding project Mthere we seeknng trj relocate our church
. Develop new prOgra[DL￿ and ministries as and when required.
Governing docurnent
The chaTity is ¢ontrolled by its governing docvmenL a deed of tr]sL and ¢¢)nstitut¢s a limited ¢¢)mparLy, IizDited by
guarantee, as defjned by the Companies Act 2006.
Re£rnitment and appointment of new trustses
NTew Tn￿reeS are appointed ill COJLwltstion the Elders. These are recrnited from within the Church and need to
adbeTe to specific conditions as laid down in Sttiptr.
Organlsatton&l strlletsre
The Trustees delegate the operational aspects of tbe Chatity to the Elders (who are also Members of the Company). The
EldeTS work with the Deacons, paid stsff and a si￿1fiCallt nwnber of volunleers to deliver the ch￿]￿ble activities
throughout the year.
The extensive number of volutheers are supervised by tbe Elders alld Deacons in all they do alld are encouraged to be
trained and equipped for the specific cljaritsble activities that they deliver.
Induction attd trailliDg of new trustees
Most TnLStees are already familiar with the P￿ctiCal work of the Clwity but new Trustees will be inTrTted to speud some
time obserring the different aspects of the work by meeting Psstoral staff and volunteers on a regular basis.
Tn￿teS will spend some time with the P8Storal staff and the Chair of T￿￿tte8 looking at the role of a TTr￿tee, the
Governing Documents. fu￿ncial inforn]ation and discussing fjjtt￿e plans.
Related partie5
L Esteeves Coelho, M D Pilkington attd B Pearsoll tlree of the Cbaritys trttstee4 are employed &$ s218ried Pagtors.
Rfisk tnaDagement
The trustees have a duty to identify 2nd Teview the Tisks to which the eharity is exposed aDd to ensure appropriate
Controls are in place to proNYde reasonable assurance agait)st fraud and error.
A risk register is in place and is reviewed by the Tn￿le¢S on a Te8u]ar basis.
REFERENCE AND ADMtNISTIi4TtVE DETAILS
Reglgtsred Company number
09623674 (England and Wales)
Registered Charity number
11647
Regl$tered office
15 Meadow Cowt
Allerton
Bradford
W¢st Yorksbirc
BD15 9JZ
Page 2

Sunbrid Road Mi
Tn￿te¢s,
for the Yeat Ended 31 March 2023
Trnstees
A S Parker
I P Thompson (resiglled 31.7.22)
Dr M J Rodway
L Esteeves Coe]ho
J A Oxford
M D Pi]kingtoD
B R Pearson (resigned 30.6.22)
Company Secretary
A S Parker
Independent EiamiDer
24 VictoIia Avenue
Saltaire
Sijipley
Wesi Yorkshsre
BD18 4SQ
STATEMENT OF TRUSTEES, RESPONSIBILrrtES
The trnst¢es (utho aTe also th¢ directors of Sunbridge Road Mission for the purposes of company law) are responsil)le
for preparing the T￿￿ee8. Report and the financial statements ID accorthce ￿7th app]icable law and U￿lted Kingdom
Accounting Standards (United Kingdom Genernlly Aecepted Accounting Prdetiee).
Company law requires the tThStee8 to prepare fU￿1¢Ial statements for each fi1￿Cial year which give a true and fair view
of the gtate of affairs of the ehari12ble eompany and of the incoming resources and application of resowce& including
the income and expenditure, of tht charitsble company for that p¢riod. Tn preparing those financial statements, the
tr￿S are required to
select suitsble accounting policies and thell apply them ¢ot]sistently"
observe the methods and principles in the Cbarity SORP.
make judgerneDts alld eStill￿teS tbat teasonable and PEudent.
prepare the fiz￿1claI State￿£llts oll the going concern basis uuless it is inappropriate to prwrn¢ that the charitable
compally continue in business.
The trustees are responsible for kttping proper accounting records wbich disclose with TeasoDable accuracy at any time
the fiTwicial p05iliou of the cEwitsble compaDy and to enable them to ensure that the financial statements comply with
the Con]pat)ies Act 2006. They are also responsible for safeguarding the a5￿ts of the charitable company and hence for
taknng Te&sonAble Strps for the prevention and d¢tection of fraud and other 1￿e￿￿ar]ties.
This report h&$ been prepared in accordance ￿Tth the special provisions of Part 15 of the Companies Act 2(K)6 relating
to small COTnpanies.
Approved by order of the board of trtLStees on 17 July 2023 aDd signed OD its behalf by.
A S Parker- Tn￿tee
Page 3

OTt to the TT
Sunbrid(re R
Mission
Independent examiner's report to the trustees of Sunbridge Road Mission {'the Company,)
I report to the charity trust¢¢5 on iny examtnation of the accounts of the Company forthe year ended 31 March 2023.
Responsibilities and basis of report
As the charity's trustees of the Company (and also its directors for the purposes of company lawl you are responsible for
the prepardtion of the accounts in accordance with the requirements of the Companies Act 20061'the 2006 Act'}.
Having saiisfied rnyself ihat the accounts of the Company are not required tg be audited under Part 16 of the ?006 Act
and are elioiblc for independent examination, I rewrt in respect of my examination of your charity's accounts ag carried
out under se￿lOn 145 of the Charities Act 2011 ('the 2011 Ace)- In carrying out tny examination I have followed the
Directions given by the Charity Commission under Section 14515} Ibl of the 2011 Act.
Indtpendenl examiner'$ statement
Since your ¢harity'S gross income exceeded £250.000 your examiner must be a member of a listed body. I can confimi
that l am qualified to undertake the examination because l am a metnber of the Institute of Chartered Accouniants in
Entsland and Wales. which is one of the listed bLKiies.
I have completed my examination. I conf￿rn that no matters have com¢ to my attention in connection with the
¢xamination giving me c2US¢ to believe=
accountsng records were not kept in respeci of the Company as required by Section 386 of the ?006 Act; or
the accounts do not accord with those records. or
the accounts do not comply with the accounttng requirements of Section 396 of the 2006 Act other than any
requiretncnt that the accounts ￿ve a true and fair view which is not a matter considered as part of an independent
ex￿nInatIon. or
the accounts have not been ptepared in accord8nce with the methods and principles of the Statement of
Recommended Practice for accounting and rcporting by challties (applicable to charities prepatitig their accounts
in accordance with th¢ Financial Reportujg Standard applicable in the UK and Republic of Ireland (FRS 10?>).
I have no concerns and have come across no other matters in co[￿ection with the exajnination to which att¢ntion should
be drawn in this report in order to enable a piopei undet5tanding of the accounts to be reached.
Ann Everin FCA
Ann Everin Chartered Aecountant
17 July 2023
Page 4

vllb 'd ¢ Road Missioll
tstement
cial Adivities
Year Ended 31 March 2023
31.3.23
Total
fL￿dS
31.322
Totsl
Ullrestricted
fi￿d
Rcstricted
fiulds
Notes
Donations alld legacies
181,105
244,547
425.652
263,307
Investment income
8.360
1,560
8,360
5,317
11,570
4,688
3,757
Total
184.862
254.467
439,329
279,565
EXPENDITURE ON
Charitsble aCti￿tieS
Charitable activities
Building Project
149,999
82,317
232,316
180,298
143,237
Other
11,731
11239
22,970
19,473
Tota]
161.730
93,556
255286
343,008
NET INCOMEI(EXPEF4DrruRE)
Transfers between funds
Otber recognised gainsloosses)
Gai)]slOosses) onrevalllation of fixed assets
23.132
(58J61)
160,911
58,361
184,043
(63.443)
13
152,000
(29259)
122,741
Net movement fuDds
116,771
190,013
306,784
(63,443)
RECONcIL￿TIoN OF FUNDS
Totsl fill￿ls brought fonvard
457.184
1,121,219
1,578,403
1,641,846
TOTAL FUNDS CARRJED FORWARD
573,955
1,311,232
1.885,187
1,578,403
The notes fortu part of these financial statetnents
Pag¢ 5

Sw]brid e Road Mission
he¢t
31 March 2023
31.3.23
Total
fi]nds
31.3.22
Total
fi]nds
Unrestricted
fi]nd
Restricted
fi￿dS
Notes
FIXED ASSETS
TaDgible assets
440,015
548,205
988,220
852,461
Debtors
Cash at bank
io
3,884
131,840
47,369
763,338
51,253
895,178
80,123
700,362
135,724
810,707
946,431
780,485
CREDITORS
ADjo￿ts falling due within one year
(1,784)
(47,680)
(49,464)
(54,543)
ET CURREL4rr ASSETS
133,940
763,027
896,967
725,942
TOTAL ASSETS IISS CURRENT
LIABILrriES
573.955
1,311.232
1,885,187
1.578,403
NET ASSETS
573.955
1,311,232
1,885,187
1,578,403
13
UTtrestri¢ted fuDds:
Generdl fimd
Restricted funds..
Building Fwid
Hope House
Inller City
General fund
MissioD2ry
573,955
457,184
1269,150
865,186
201.823
15.760
4,938
33,512
41082
1,311232
1,121219
TOTAL FUT4DS
I,885,187
1,578,403
The cbaritable company is entitled lo exemption from audit under Section 477 of the CowaDies Act 2006 for the year
ended 31 March 2023.
The members bave not required the co￿panY to obtain an audit of its financial statements for the year ended
31 March 2023 in acGordaDce Section 476 of the Conjpanies Act 2006.
The trnstees acknowledge their responsibilities for
{a)
eThsuring that the cbatitable conw2ny k¢¢ps ac￿￿ntIng records that comply with SectioTJs 386 alld 387 of the
Companies Act 2006 aud
preparing fiDallcial ststements which give a and fatr view of the state of affairs of the ¢haritable company as
at th¢ ¢nd of each fjnancial yeas and of its Surp1￿ or deficit for each financtal year in ac£ordance with the
requirements of Sections 394 and 395 and which othcTWiSC comply the requirements of the Companies Act
2006 r¢lating to financial statements, so far as applicable to the cbaritablc company.
Ib)
The notes forn] part of these financial statements
Page 6
onlinue¢L..

Sunbrid Road Mission
BalaDC¢ Sheet- continued
31 MaT¢h 2023
These financial stateJ)Jellts have been prepar¢d accordance th¢ provisions applieable to clwitable colljpatiies
subject to the sttMll companies regitue.
The financial stat¢ments were approv¢d by the Board of Trustees and authorised for issue on 17 July 2023 and were
siglled on its behalf by..
A S Parker- Tn￿
Th¢ Dotes forn] part of the$e financial statements
Page 7

Sunbri
e Road Missio
Notes to the Financial Statemen
for tb¢ Year Ended 31
2023
AccouTrrrINC POLICIES
Basis of preparfillg the financial statements
The financial ststements of the charitable Company, wbich is a Pllblie b¢nefit entity under FRS 102, bavc beeo
prepaTed in accordance with thc Clwities SORP (FRS 102) 'Ae¢oullting and Reporting by Cbatities: Ststement
of Reco1￿mended Practice applicable to chaTities preparing their accounts in accordance with the FÉllancial
Reporting StaDdard applicable ill the UK alld Republic of Irelamd (FRS 102) (effective l January 2019),,
Finaticial Reporting Standard 102 'The Financial Reporting Stand&rd applicable In the UK and Republic of
Ireland, and the Compallies Act 2006. The finallciol ststements have been prepared under the bistorical cost
conventioo as modified by the revaluation of ¢¢rtain assets.
Income
All income is recogtiised in tbe Statement of Financial Activities onee the cbarity bas entitlement to the fiuth, it
is probable tbttt the incojne be received and the amount can be measured reliably.
Expenditure
Liabilities ar¢ recogt]ised &$ expenditure as soon &$ there as a lega] or CODStructive ob]igation com]lli¢tyJg the
¢harity to that expenditure. it is probable that & transfer of econotnic benefits will be required in settlement and
the amoullt of the obligatioll can be measured reliably. Expenditure is accountsd for on an accnTrls basis alld has
been ¢lassified under headings that a￿egate all cost related to tbe category. ￿￿There costs catjnot be directly
attributed to panicular beadings they bave been allocated to activities on t basis coLsistent with the use of
resources.
Tangible fryed Assets
Depreciation is provided at the following aunual rates in order to write off each asset over its estimated usefijl
life.
Freebold property
Fixtutes aDd fittings
20/0 on cost
I￿/0 on reducing balance
T￿tIon
The charity is exempt frorn corporation ￿ on its charitable activities.
Fund accounting
Unrestricted fi￿d6 Can be used in accordance the ¢haritsble objeGtives at the di￿retIOn of the trustees.
Restricted funds ¢aD Only be ￿Sed for particujat iestsicted Purposes witi)ill the objects of the ¢hpTity. Restrictions
aTise when specified by the donor or whell fjJTMLs are raised for particular restricted puryoses.
Furtber cxplanation of the Dature and purpose of each fjJnd is included ill the notes to the financial statements.
PensioD costs and other post-rettrell￿bt benefits
The cbaritsble compally op¢rates a defined contriblltiott pellsion sch¢rne. Contnbutiotss payable to the ch￿itable
compally's P¢Dsion scherne are charged to tbt Ststement of Financial Activities in the period to Ythich they relate.
Pag¢ 8
continued...

Sunbrid e Road Mission
Notes to tbe Fillancial Statements-
for the Year ETJded 31 Ma
023
tNVESTMETrrr INCOME
31.3.23
31.3.22
Rents received
8,360
11.570
OTHER INCOME
31.3.23
31.3.22
RooTD hire
Weddillgs and fiillera15
Trips and evellts
Books alld publicatio]LS
Sundry receipts
Courses and confeE¢n¢es
Bank loyalty reward
1.560
934
2.436
4,320
162
24
60
70
52
189
iii
87
5,317
4,688
OTHER
31.3.23
31.3.22
Water rates and w&ste Temoval
Courses 2nd training
Groups. clubs and events
Brazil trip refi]nd
Website and IT
Care team resources
Brazil trip expenses
Depreciation
1.610
1,984
3,421
6,425
1.928
546
4,180
2.876
923
1.301
2,429
1,390
1,632
364
1.434
22.970
19,473
NET INCOmEtIEXPENDf￿RE)
Net income/(expendi*Jre) is stated after chargingl(¢reditillg)'.
31.3.23
31.3.22
Depreciation- owued assets
2,876
11.434
Page 9

Sunbri
e Road Mission
Notes
for the Year En
Statcments. continued
31 m￿Ch 2023
TRUSTEESI RETrtur4ERATION Af4D BE￿FITs
No tr￿ee re¢eived remuneration or expenses in respect of their role as tn]st¢es, however. tknree of the trustees
were employed by the clwity.
TnLStee
Sakny Expen
L Esteeves Coe]ho
B R Pearson
M D Pilkington
30,000
4,550
30,000
L Esteeves Coe]bo received a bouse loan of £25,000 during the year ended 30 Jwie 2020. The loan is interest
free and is payable in 10 years.The ren]ailling balance due on the loall at 31 March 2023 is £24,800.
Tr￿ste¢S, expenses
There were no additional ttustees, expenses paid for durillg the puiod ended 31 March 2023.
STAFF COSTS
The average m¢)nthly number of employees during the year was as follows..
31.3.23
31.3.22
Pagtor41
IDner City
No employees received emoluttWAts in exce￿ of £60.000.
COMPARATIVES FOR THE STATEMENT OF FLYANCtAL ACTIVITIES
UDrestrict¢d Restricted
fund
Totst
fi￿dS
INCOL￿E AND ENDOWMETrrrs FROM
DonatioDS and legacies
172.193
91,114
263.307
Investment iDcotlle
Other incorne
11,570
1.320
11570
4,688
3,368
Total
175,561
104.004
279.565
EXPENDITURE ON
Charitable actKTrTrties
ChaTitable activitie8
Building Project
122,408
57,890
143,237
180,298
143,237
E3,853
5,620
19,473
Total
136.261
206,747
343,008
NET INCONIKI(EXPENDrruRE)
Transfers b¢tw¢en fuDds
39,31M)
(18,166)
(102,743)
18,166
(63,443)
Net movement Rn funds
21,134
(84,577)
(63.443)
Page 10
continued...

Sullbrid e R
ssion
to the F7n8n¢ial Statcmcnts- ¢o]ktinued
f r the Year Ended 31 March 2023
COMPARATIVES FOR THE STATEMENf OF FJI4ANCL4L ACTIVTfIES- eontinued
Unrestricted
Restsicted
fimd
fijnds
Totsl
Jnds
RECONCILIATXON OF Fuf4DS
Totsl fimds brought fotward
436,050
120S.796
1,641.846
TOTAL FUNDS CARRtKD FORWARD
457.184
1,121,219
1,578,403
TANGIBIE FIXED ASSETS
Fixture&
and
fittings
Freehold
proptty
Totsls
COST OR VALUATION
At l April 2022
Additions
R¢va]uations
884,385
15,894
70,888
62.542
946,927
15.894
70.888
At 31 March 2023
971.167
62,542
1,033,709
DEPRECIATION
At l Aprtl 2022
Charg¢ for year
Revaluation adjustrnents
51,853
42,613
1876
94.466
2,876
(51,853)
(51,853)
At 31 March 2023
45,489
45,489
NET BOOK VALUE
Ai 31 Mareh 2023
971,167
17.053
988,220
At 31 March 2022
832.532
19,929
852.461
tncluded in cost or valuation of land amd buildings is freehold land of £458,503 (2022 - £458,503) which is not
depreciate(t
Cost or V￿UatIon at 31 March 2023 ts represented by.
Fixtures
Freehold
propety
fittings
Totals
Valuation in 2023
Cost
70,888
900,279
70,888
962,821
62.542
971.167
62,542
1,033.709
Pagell
¢ontiJue<L..

Sunbrid e Road Mission
Notes to tbe F"
Cial Statements-
for the Y ar Ended 31 March 2
tinued
TANGIBLE FIXED ASSETS- CODtAllued
If freehold lattd and buildings bad not been revalued they would have been inelud¢d at tbe follosving bistoricai
cosi:
31.3.23
31.3.22
Cost
900,279
Awegdte d¢preciation
59,535
Value of laud in freehold land and buildings
840.744
Freehold land aud buildings were vah￿d on an open market basis on 31 March 2023 by Stsrkeys Cb2rter¢d
Swveyots.
io.
DEBTORS
31.3.23
31.3.22
Alnounts falling due wsthin One year.
Cornerstones loall
Rents Teceivable
Gift aid
Brazil trip
13,333
13,333
1,790
5,219
13,670
5.342
18,675
34,012
Page 12

Sullbrid e Road Mi&sio
Notes to the Finaucial Statcnwnts- continucd
for tbe Year Eod¢d 31 March 2023
DEBTORS- ¢ODtinued
31.323
31.3.22
Amounts falling due after ll￿re than olle year..
L Coe]ho- House103n
CorrL¢rstones loall
24,800
7,778
25,000
21,111
Awegatc amounts
51,253
80.123
ii.
31.3.23
31.3.22
Other loans (see note 12)
Builthng Fulld Tithe Creditor
BTazil trip
FatDily Support
A¢¢n￿lS and defeTTed income
Acctued ¢XP¢Dses
4,800
28,500
2,840
8,992
568
3,764
5,000
26,000
12,725
10,422
396
49,464
54.543
12.
LOANS
An analysis of the matiwity of Ii>aD5 is ￿Ven below.
31.3.23
31.3.22
Amounts falliTrg due witbin one year on dewlld:
Other loalls
4,800
5,000
13.
Net
Transfers
At
31.3.23
At 1.4.22
fijnds
Unrestricted funds
General fi￿d
457,184
175,132
{58.361)
573.955
Restrieted fund5
Building Fund
Hope House
Inner City
Gcnerdl ful
865,186
201,823
15.760
4,938
33.512
196J76
(46,338)
(749)
{7,098}
{10,739)
207,388
(155.485)
(15,011)
2.160
19,309
1,269,150
42,082
1,121,219
131,652
58,361
1,311,232
TOTAL FUNDS
1,578,403
306,784
1,885,187
Page 13
continue(L..

Sunbrid e Road Miksion
Notes to the Fillancial Statemen
- continued
for tb¢ Year Ended 31
023
13.
MOVEMENT IN FUT4DS- eontiDued
N¢t movement in fijndg, inch￿ed in tbe above are as follows:
Inwming
r¢sources
Resources
expended
Gains and
losses
Movcment
ill funds
Unrestri¢ted fuDds
Gen¢ral fund
184,862
(161,730)
152,000
175.132
Restricted funds
Building Fulld
Hope House
Inner City
General fi￿d
222,324
3,059
2,878
25,757
449
{25,748)
(20,138)
(3,627)
(32,855)
(I 1,188)
196,576
{46,338)
(749)
(7,098)
(10.739)
(29,259)
254,467
(93,556)
(29259)
131,652
TOTAL FUf4DS
439,329
(255,286)
122.741
306.784
CozDpar4¢ives for ￿￿¥eMent in fvnds
Net
TraTJsfers
between
fimds
At
31.3.22
At 1.4.21
iti fi]nds
UJJrestricted funds
Getteral fund
436,050
39,3(X
(l8,166)
457,184
Restiicted funds
Building Fulld
Hope House
Inner City
General futtd
Missionary
944,362
216.695
19.707
(79,176)
(14,872)
(3.947)
4,938
{9.686)
865,186
201,823
15,760
4,938
33,512
25.032
18,166
1,205,796
(102,743)
18,166
1,121,219
TOTAL FUI4DS
1,641,846
(63,443)
1.578,403
Page 14
continued..

Sunbrid
Notes to the Finallci￿ Ststement
- continued
for the Year Ellded 31 M
2023
13.
MOVEMENT IN Fuf4DS. eontiDued
Colljpardtivc net movemeKLt in fuuds, included ill tbe above are as follows:
Incoming
resources
Resouwes
expended
Movement
ill full(
Unrestrfeted funds
General fill
175.561
(136,261)
39,3
Regtrleted ￿lld8
Building Fund
Hope House
Inner City
General fuud
Missionary
71,594
3,429
5,456
15.611
7.914
(150,770)
(18,301)
(9,403)
(10,673)
(17,600)
(79.176)
{14,872)
{3,94D
4,938
(9,686)
104.(M)4
(206.747)
(102.743)
TOTAL Fuf4DS
279565
{343,008)
(63.443)
A current year 12 months and prior year 12 months Combined position is as follows:
Net
movement
in fimds
Trdnsfers
between
funds
At 1.4.21
31.3.23
Unrestrieted fuDd$
Genera] fund
436,050
2l4,432
(76,527)
573,955
Restricted fllnds
Building Fi￿d
Hope Hou
tnner City
General fund
Mi&8ioDary
944,362
216.695
19.707
117.400
(61,210)
(4,696)
(2.160)
(20,425)
207,388
(155,485)
(15,011)
2,160
37.475
1269,150
25.032
42,082
1205,796
28,909
76.527
1,311.232
TOTAL FUNDS
1,641.846
243,341
1,885,187
Ptsg¢ 15
contitiued...

Sun￿ld e Road Mission
Notes to the Finan
tem¢llts- continued
forthey
ud¢d 31 Marcb 2023
13.
MOVEMENT IN FifNDS. conthilled
A C￿￿ellt year 12 montks alld prior yeaT 12 mollths combined uet movement in fi]nds. inelwied in the above are
as follows:
Incon]ing
resourccs
Ga￿$ ATLd Movement
losses
in fimds
expended
Unrestricted funds
Genernl fin
360,423
(297.991)
152,000
214,432
Restricted funds
Building Fulld
Hope House
Inner City
Getteral fijlld
Missionary
293,918
6,488
8,334
41,368
8,363
(176,518)
(38,439)
(13,030)
{43,528)
{28,788)
117,400
(61,210)
{4,696)
(2,160)
(20,425)
(29259)
358,471
(300,303)
(29,259}
28,909
718,894
(598294)
122,741
243,34E
14.
RELATED PARTY DISCLOSURES
The￿ weTe no further related paty trat]sactton8 for the period ended 31 Mareh 2023 other than those mentioned
in note 5.
Page 16

Suttbrid e R
ssion
Detailed State]nent
for the YeaT End
FiDan¢ial Activities
l March 2023
31.3.23
31.3.22
Donations and legacies
Dollations
Gift aid
Grants received
Offtritigs
350,652
196,619
41.382
168
25,138
75,000
425,652
263J07
Investment income
Rents received
8J60
11,570
Otber incotne
Room hEre
Weddings and fLmerals
Trips events
Books and publications
Sundry receipts
Courses and conferences
BaDk loyalty reward
1.560
934
2,436
4,320
162
24
60
70
52
189
87
5,317
4,688
TO￿ ineomtDg resources
439,329
279,565
EXPENDITURE
Charitable aCti￿tieS
Wage5 and expenses
Social secutity
Pensions
Insurance
Lighi and heat
Telepbone
Caterillg and cleaDing
RepaiTS and equipment
Printing alld stationery
116,716
2,963
4,129
4,733
10,286
1,969
10,244
10,768
2,479
1,640
11,188
738
1.250
719
16231
3,913
11,5(K)
11,040
849
2,806
226.161
109.769
2,527
4.183
4,665
7,493
1,741
1,985
8.481
1,790
2,020
17.600
MissioDary support
Stsff expenses
Bank chargcs
Wedditigs alld fillterals
Donatio￿1
Substtiptions alld publications
Building tithe allocatio
Professional fees
Cosnputer equipm¢nt
Trips and events
Carried fotwaTd
813
178
9,578
875
6.500
100
180.298
This page does not fonn part of the stAtutoryfinancial Ststen￿nts
Page17

Detailed Statement f
clai Acti￿ticS
for the Year
ded 31 March 2023
31.3.23
31.3.22
Cbaritable activities
Brought fonvard
Asylum Support
tmpainnwt losses for tangible fixed assets
226,161
6,155
180298
143,237
232,316
323.535
Other
Water rates aod waste removal
Courses and training
Groups. clubs and events
Brazil trip refi]nd
Website and IT
Care team resourc&g
Brdzil trip expellses
FTeehold propety
FIxtt￿l and fittings
Motor vehicles
1,610
1,984
3,421
6,425
1,928
546
4.180
923
1,301
2,429
1.390
1,632
364
7,682
3,524
228
1876
22.970
19.473
Total resources expend&l
255,286
343,008
Net itieomel(exp¢nditsTe}
184,043
(63,443)
This page does llot fonn part of the statlttory financial sfatements
Page 18