## 



## 

## 

## 

|CONTENTS||PAGE|
|---|---|---|
|Trustees AnnualReport|||
|Indeperident<br>examiner's|report t'o the trustees||
|Receipts and payments|accounts||
|Statement ofassets and|liabilities||
|Notes tothe financial statements|||





## 

## 

## 

## 

## 

## 

## 



## 

## 

## 

## 

## 

## 



## 

## 

## 

## 

## 

## 

## 



## 

# 



## 

# 

## 



## 

## 

|||||2021||
|---|---|---|---|---|---|
|||||E||
|Reoaipts:||||||
||Weekkly offering||||9,108|
||Monthly offering||||1,018|
||Standing Orders|||35,510|28,605|
||Away Weekend||||315|
||Gifts|||2,000||
||Gift Aid Refunds|||17,484||
||Miscellaneous|||360||
||Interest|||74||
|Total Receipts||||||
|Payments:||||||
||youth, Children and Adults Work|||||
||Food, Drinks and|Kitchen|||186|
||Church Weekend||||?305|
||Church Outreach|Events||1262|1,004|
||Utilities|||1293|1 386|
||Building Maintenance|||3,707|4,403|
||Insurance|||1,053|911|
||Gifts|||4,500|5,730|
||Salaries and Expenses|||13,388|26,232|
||Speakers|||lRS|60|
||Publidty, Stationery,||Biles and Website|||
||Professional<br>Fees|||||
|Total Payments|||||4a.570|
|SletReceipts/(Payments)|||||(4,435)|
|Transfers|Between Funds|||||
|Cash Funds last Year||||||
|Cash Funds this Year||||||





## 

## 

## 




## 

## 

## 

## 

## 

