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2025-04-05-accounts

Trustees Report & Unaudited Financial Statements

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

Contents

21 Jan 2026 Page 2 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Legal and Administrative Information Chelmhall Gospel Hall Trust For the year ended 5 April 2025

Charity Name:

Chelmhall Gospel Hall Trust

Registered Charity Number:

1170779

Trustees:

Edward Diffey (Chair)

Wyatt Steedman

Luke Mitchell

Miles Liesching

Neville Barry

Treasurer:

Wyatt Steedman

Principle Address:

Friarwood Rectory Road Alderbury Salisbury SP5 3AD

Independent Examiner:

Laverne Eames Oldfield Advisory LLP 1120 Elliott Court Herald Avenue Coventry CV5 6UB

Accountant:

Oldfield Advisory LLP 1120 Elliott Court Herald Avenue Coventry CV5 6UB

Bankers:

Unity Trust Bank Four Brindley Place Birmingham B1 2JB

21 Jan 2026 Page 3 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Report of the Trustees

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

The trustees present their report along with the financial statements of the Charity for the year ended 5 April 2025. The financial statements have been prepared in accordance with the accounting policies set out on page 11 and comply with the Trust Deed and applicable law.

Structure, Governance and Management

Governing Document

The Charity is an unincorporated trust constituted by a Deed of Trust dated 20th November 1982, most recently amended by Deed of Variation dated 12th August 2014. The trust was registered with the Charity Commission for England and Wales on 15th December 2016 under Charity Registration Number: 1170779

Recruitment and appointment of new Trustees

The Trustees who have served during the year and since the year end are set out on page 3. None of the Trustees, nor any person connected with them, received any remuneration or expenses from the Charity in the year ended 5 April 2025.

The Trust operates six Gospel halls and Trustees are chosen from among the regular congregation of the halls. New Trustees are nominated by the existing Trustees or by the congregation and must be appointed by unanimous resolution of the congregation. They are selected according to their skills and experience and are expected to use both in furthering the objects of the Charity. Checks are made to ensure the Trustees’ eligibility to act and incoming Trustees are made aware of their responsibilities by the existing Trustees, who ensure that new Trustees read the Trust Deed and relevant Charity Commission guidance.

Wider Network

The Trustees maintain informal links with similar charities with a view to pooling experience considered useful in pursuing the objects of the Charity. The Charity also maintains particular links with Salisbury Gospel Hall Trust with which it shares members of its congregation.

Risk Management

The Trustees have identified and reviewed the major risks to which the charity is exposed and confirm that they have established systems to manage and mitigate those risks.

Objectives and Activities

Objectives and Aims

The charitable purposes of the Charity are the advancement of the Christian religion for the public benefit, including by the carrying on of the service of God in accordance with the Old and New Testaments of the Holy Bible as followed by those Christians forming part of the world-wide fellowship known as the Plymouth Brethren Christian Church (the “Brethren”) and any other charitable purposes connected with Brethren. The core doctrine of the Brethren and proper practices in furtherance of certain aspects of doctrine are summarised in two schedules to the Trust Deed.

Public Benefit

The Trustees confirm that they have complied with their duty under section 4 of the Charities Act 2011 to have due regard to the Charity Commission’s general guidance to charities on public benefit. As well as the programme of street preaching and Gospel tract distribution, members of the congregation engage in the public benefit activities described in the report of the Salisbury Gospel Hall Trust (Charity Number 1063215) with which it shares the congregation.

21 Jan 2026 Page 4 of 20

Trustees Report & Unaudited Financial Statements

Chelmhall Gospel Hall Trust

Report of the Trustees

Main activities and achievements

The Trust provides and maintains six Gospel halls where religious meetings are held by the local Brethren community. Details of 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.

This year, the Trust's main activities have been focused on the refurbishment of a redundant Baptist Church at Pennings Drove, Coombe Bissett, Salisbury, for use as a local hall.

Plans for future periods

The Trust has agreed the purchase of a redundant chapel at Porton, and further refurbishment will be required in the future period to bring the building into a suitable condition for use by the congregation. It is intended that the expenditure on this site will be partially offset by the sale of Lower Street Gospel Hall - a hall which is now in a less suitable geographical location for the local congregation.

Meetings

Meetings held at the Gospel halls include the Lord's Supper (Communion), Gospel preachings, Bible readings and Bible addresses. There is a structured weekly schedule of meetings and, depending on the particular meeting, between 30 to 50 people normally attend these occasions.

The meetings are attended by the regular congregation and most are open to other properly disposed visitors. The notice board outside the Hall welcomes visitors and displays the times of Gospel preachings, along with a telephone number for those seeking further information or help. Gospel tracts, which are distributed by street preachers, also display this information.

Bibles and an extensive range of other Christian reading material are on display at the halls and visitors are free to help themselves.

Spreading the Gospel message and the life of a Christian

The Gospel halls are a base from which the regular congregation and others who attend the meetings are encouraged to spread the Christian Gospel, in word and deed.

Members of the congregation participate in a programme of street preaching and Gospel tracts are provided free of charge by the Charity to such preachers to be handed out to interested members of the public.

In carrying out this work, the congregation considers itself to be living out its faith in practice, as particularly exemplified in the following extract from the schedule to the Trust Deed on living a Christian life:

21 Jan 2026 Page 5 of 20

Trustees Report & Unaudited Financial Statements

Chelmhall Gospel Hall Trust

Report of the Trustees

Funding

Funding is sought through gifts from the congregation and Gift Aid is claimed on eligible donations. Funding is sometimes received from other charitable trusts with complementary objectives.

Financial Review

In the year ended 5 April 2025 the Trust had a surplus of incoming resources over resources expended.

Total voluntary income received this year was £34,038 compared to £492,982 in the previous year.

All funds held were unrestricted funds.

Reserves Policy

The Trustees have considered the level of reserves they wish to retain, 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 Trustees have decided to adopt a policy of maintaining no significant reserves. The congregation is kept regularly informed as to particular needs for funds, and other relevant matters and the Trustees aim to ensure that the Charity will be able to continue to fulfil its charitable objectives even if there is a temporary shortfall in income or unexpected expenditure, by raising a funds appeal to the congregation.

Free Reserves at the year end were £2,689 ( 2024: £Nil)

21 Jan 2026 Page 6 of 20

Trustees Report & Unaudited Financial Statements

Chelmhall Gospel Hall Trust

Report of the Trustees

Statement of Trustees Responsibilities

The trustees are responsible for preparing the Report of the Trustees 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 and Wales, the Charities Act 2011, Charity (Accounts and Reports) 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, of the Charity for that period. In preparing those financial statements, the Trustees are required to:

The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities Act 2011, the Charity (Accounts and Reports) Regulations and the provisions of the Trust Deed. 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. All transactions have been reviewed and approved by two trustees.

On Behalf of the board:

..................................................................................

Wyatt Steedman (Trustee)

..............................................................

Date

21 Jan 2026 Page 7 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Report of the Independent Examiner

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

I report to the trustees on my examination of the accounts of the Chelmhall Gospel Hall Trust for the year ended 5 April 2025.

Respective responsibilities of Trustees and Examiner

The charity's trustees are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Basis of Independent Examiner's Report

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking of explanations from you as Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a 'true and fair view' and the report is limited to those matters set out in the statements below.

Independent Examiner's Statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

  1. Accounting records were not kept in respect of the Trust as required by section 130 of the Act; or

  2. The accounts do not accord with those records; or

  3. The accounts do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair view’ which is not a matter considered as part of an independent examination.

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

...................................................................................................

Laverne Eames Oldfield Advisory LLP 1120 Elliott Court Herald Avenue Coventry CV5 6UB

21 January 2026

21 Jan 2026 Page 8 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Statement of Financial Activities

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

Statement of Financial Activities
Chelmhall Gospel Hall Trust
For the year ended 5 April 2025
Statement of Financial Activities
Chelmhall Gospel Hall Trust
For the year ended 5 April 2025
UNRESTRICTED
FUNDS
DESIGNATED
FUNDS
RESTRICTED
FUNDS
TOTAL FUNDS
2025
TOTAL FUNDS
2024
Income and endowments:
Donations and Legacies:
Grants Received (note 5)
-
-
-
-
20,000
Donated Services (note 4)
34,038
-
-
34,038
472,982
Investments
Interest Received
55
-
-
55
136
Total Income and endowments:
34,093
-
-
34,093
493,118
Expenditure:
Running Meeting Rooms (note 9)
33,966
-
-
33,966
27,784
Total Expenditure:
33,966
-
-
33,966
27,784
Net Income/(Expenditure)
126
-
-
126
465,334
Other Movements
Transfers between funds
472,798
-
(472,798)
-
-
Net Movement In Funds
(472,672)
-
472,798
126
465,334
UNRESTRICTED
FUNDS
DESIGNATED
FUNDS
RESTRICTED
FUNDS
TOTAL FUNDS
2025
TOTAL FUNDS
2024
Reconciliation of funds (note 11)
Total Funds bought forward
547,336
-
472,798
1,020,134
554,800
Net movement in funds
472,924
-
(472,798)
126
465,334
Total Funds carried forward
1,020,260
-
-
1,020,260
1,020,134

The notes on page 11 - 20 form part of these financial statements.

21 Jan 2026 Page 9 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Balance Sheet

Chelmhall Gospel Hall Trust As at 5 April 2025

Balance Sheet
Chelmhall Gospel Hall Trust
As at 5 April 2025
2025 2024
Fixed Assets
Tangible assets (note 6) 1,267,551 1,236,492
Total Fixed Assets 1,267,551 1,236,492
Current assets
Prepayments and accrued income - 10,513
Cash at bank and in hand 2,689 23,109
Total Current assets 2,689 33,622
Creditors: amounts falling due withinone year
Loans - 249,980
Total Creditors: amounts falling due within one year - 249,980
Net current assets/(liabilities) 2,689 (216,358)
Total assets less current liabilities 1,270,240 1,020,134
Creditors: amounts falling due after more than one year
Loans 249,980 -
Net Assets 1,020,260 1,020,134
Funds (note 10)
Restricted Funds - 472,798
Unrestricted funds 1,020,260 547,336
Total Funds 1,020,260 1,020,134

The unaudited financial statements were approved and authorised for issue by the Trustees of Chelmhall Gospel Hall Trust on .........................................and were signed on its behalf by:

.............................................................................................

Wyatt Steedman (Trustee)

The notes on pages 11 - 20 form part of these financial statements.

21 Jan 2026 Page 10 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Notes forming part of the Financial Statements

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

1. ACCOUNTING POLICIES

1.1 Basis of financial statements

The financial statements have been prepared in accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014, and incorporating update bulletins 1 and 2, and the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102) and UK Generally Accepted Accounting Practice.

The functional currency of the charity is sterling (£).

The Trust meets the definition of a public benefit entity under FRS 102. Assets and liabilities are initially recognised at historical cost or transaction value unless otherwise stated in the relevant accounting policy note(s).

1.2 Income

Donations are recognised in the year in which there is entitlement and probability of receipt and the amount can be measured 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 a 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 Chelmhall Gospel Hall Trust is considered to be equal to market value which would be paid were the service formally procured. This includes services paid for by other trusts.

Investment income is accounted for on a receivable basis.

1.3 Expenditure

Expenditure is included on an accruals basis. Liabilities are recognised as soon as there is a legal or constructive obligation committing the charity to pay out resources.

Charitable activities comprise those costs directly attributable to the fulfilment of the charitable objects.

1.4 Governance and support costs

Support costs have been allocated between governance costs and other support costs. Governance costs comprise all costs involving the public accountability of the charity and costs related to statutory requirements. Governance and support costs are allocated to charitable activities on the basis of capacity used.

1.5 Tangible fixed assets and depreciation

Tangible fixed assets (costing more than £100) are stated at cost less depreciation. Freehold land is not depreciated. Depreciation is provided at rates calculated to write off the cost, less estimated residual value, of each asset over its expected useful life as follows:

useful life as follows:
Freehold Buildings 2% straight line
Fixtures and Fittings 10% straight line

1.6 Taxation

The Trust is a registered charity and is not liable to United Kingdom income or corporation tax on charitable activities, provided income falls within the charitable exemptions and is spent on charitable purposes.

21 Jan 2026 Page 11 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Notes forming part of the Financial Statements

1.7 Funds

The general unrestricted fund is free for the Trustees to use for any purposes in furtherance of the trust’s charitable objects.

Restricted funds arise from donations to the trust, which are made for a specific purpose. Restricted funds can only be used for the purpose for which funds were given.

1.8 Preparation of consolidated financial statements

The Charity does not have a trading subsidiary.

1.9 Going Concern

The Trustees consider that there are no material uncertainties about the charity’s ability to continue as a going concern.

1.10 Significant estimates and judgements

The trustees do not consider that there are any sources of estimation uncertainty at the reporting date that have a significant risk of causing a 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 employment with the charity and no Trustees were reimbursed for expenses (2024: none).

3. WAGES AND SALARIES

There are no employees (2024: none)

4. Donated Services

2025
2024
2025
2024
Donated Services
Received From:
Salisbury Gospel Hall Trust
34,038
15,819
Total Received:
34,038
15,819

5. Grants

2025
2024
2025
2024
Grants:
Grants Received from:
Grants from Salisbury Gospel Hall Trust
-
457,163
The Congregation
-
20,000
Total Grants Received from:
-
477,163

21 Jan 2026 Page 12 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Notes forming part of the Financial Statements

6. Tangible Fixed Assets

Cost Freehold Property and
Refurbishments - Ashley
Road
Freehold Property and
Refurbishments - Ashley
Road
Freehold Property and
Refurbishments -
Church Road
Freehold Property and
Refurbishments -
Church Road
Freehold Property and
Refurbishments -
Coombe Bisset
Freehold Property and
Refurbishments -
Longhedge
Freehold Property and
Refurbishments -
Longhedge
At 5 April 2024 130,000 175,000 228,567 465,090
Additions 451 - 46,098 496
Disposals - - - -
At 5 April 2025 130,451 175,00 274,665 465,586
Depreciation
At 5 April 2024 5,077 6,893 - 4,365
Current Year
Depreciation
1,733 2,333 3,367 5,019
Eliminated on
disposals
- - - -
At 5 April 2025 6,810 9,226 3,367 9,384
Net Book Value
At 5 April 2025 123,640 165,774 271,298 456,202
At 5 April 2024 124,923 168,107 228,567 460,725
Cost Freehold Property and Refurbishments
- Lower Street
Freehold Property and Refurbishments -
Netherhampton
Totals
At 5 April 2024 80,000 185,000 1,263,657
Additions - - 47,045
Disposals - - -
At 5 April 2025 80,000 185,000 1,310,701
Depreciation
At 5 April 2024 3,347 7,483 27,165
Current Year
Depreciation
1,067 2,467 15,985
Eliminated on disposals - - -
At 5 April 2025 4,414 9,950 43,150
Net Book Value
At 5 April 2025 75,586 175,050 1,267,551
At 5 April 2024 76,653 177,517 1,236,492

Land registry titles of the above property held are WT227728, WT305020, WT276536, WT455311, WT446092, and WT217957.

21 Jan 2026 Page 13 of 20

Trustees Report & Unaudited Financial Statements

Chelmhall Gospel Hall Trust

Notes forming part of the Financial Statements

7. TRANSACTIONS WITH RELATED PARTIES

Aggregated donations from related parties during the period totaled £Nil (2024: £Nil). No Trustees received any remuneration or other benefits from an employment with the charity and no Trustees were reimbursed for expenses (2024: none). At the balance sheet date, there were loans payable to trustees totaling £49,980 (2024: £50,000).

8. VOLUNTEERS

Chelmhall Gospel Hall Trust relies entirely on volunteers to carry out the management, administration and general maintenance work. The Trust has no paid staff or paid Trustees.

21 Jan 2026 Page 14 of 20

Trustees Report & Unaudited Financial Statements

Chelmhall Gospel Hall Trust

Resources Expended

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

9. Resources Expended

MEETING ROOMS OTHER
CHARITABLE
ACTIVITIES
TOTAL COSTS
2025
TOTAL COSTS
2024
Direct Costs
Premises costs - repairs and maintenance 2,831 - 2,831 4,738
Premises costs - heat, light and power 8,112 - 8,112 5,359
Telephone 1,508 - 1,508 1,442
Health and Safety - - - 157
Legal and professional 1,539 - 1,539 1,812
Depreciation 15,985 - 15,985 11,965
Insurance 2,478 - 2,478 868
Bank charges 104 - 104 115
Other disbursements 218 - 218 368
Governance 1,190 - 1,190 960
Total Direct Costs 33,966 - 33,966 27,784

Governance costs include £180 (prior year: £960) in respect of independent examiners fees.

21 Jan 2026 Page 15 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Analysis of Net Assets - Current year

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

10. ANALYSIS OF NET ASSETS BETWEEN FUNDS

10. ANALYSIS OF NET ASSETS BETWEEN FUNDS
10.1 Current Year
UNRESTRICTED DESIGNATED RESTRICTED TOTAL FUNDS
FUNDS FUNDS FUNDS 2025
Funds
Tangible Fixed Assets 1,267,551 - - 1,267,551
Current Assets 2,689 - - 2,689
Non Current Liabilities (249,980) - - (249,980)
Total Funds 1,020,260 - - 1,020,260

21 Jan 2026 Page 16 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Analysis of Net Assets - Prior Year

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

10.2 Prior Year

UNRESTRICTED DESIGNATED RESTRICTED TOTAL FUNDS
FUNDS FUNDS FUNDS 2024
Funds
Tangible Fixed Assets 547,200 - 689,292 1,236,492
Current Assets - - 33,623 33,622
Current Liabilities - - (249,980) (249,980)
Total Funds 547,200 - 472,934 1,020,134

21 Jan 2026 Page 17 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Movement in Funds - Current Year

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

11. Movement in Funds

11.1 Movement in funds - current year

UNRESTRICTED DESIGNATED RESTRICTED TOTAL FUNDS
FUNDS FUNDS FUNDS 2025
Movement in Funds
Total funds bought forward 547,336 - 472,798 1,020,134
Incoming resources 34,093 - - 34,093
Resources expended (33,966) - - (33,966)
Transfers between funds 472,798 - (472,798) -
Total funds carried forward 1,020,260 - - 1,020,260

21 Jan 2026 Page 18 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Movement in Funds - Prior Year

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

11. Movement in Funds

11.2 Movement in funds - Prior year

UNRESTRICTED DESIGNATED RESTRICTED TOTAL FUNDS
FUNDS FUNDS FUNDS 2024
Movement in Funds
Total funds bought forward 554,800 - - 554,800
Incoming resources 15,955 - 477,163 493,118
Resources expended (23,419) - (4,365) (27,784)
Total funds carried forward 547,336 - 472,798 1,020,134

21 Jan 2026 Page 19 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust

Comparative Statement of Financial Activities

Chelmhall Gospel Hall Trust For the year ended 5 April 2025

Comparative Statement of Financial Activities
Chelmhall Gospel Hall Trust
For the year ended 5 April 2025
Comparative Statement of Financial Activities
Chelmhall Gospel Hall Trust
For the year ended 5 April 2025
UNRESTRICTED
FUNDS
DESIGNATED
FUNDS
RESTRICTED
FUNDS
TOTAL FUNDS
2024
Income and endowments:
Donations and Legacies:
Grants Received (note 5)
-
-
477,163
477,163
Donated Services (note 4)
15,819
-
-
15,819
Investments
Interest Received
136
-
-
136
Total Income and endowments:
15,955
-
477,163
493,118
Expenditure:
Running Meeting Rooms (note 9)
23,419
-
4,365
27,784
Total Expenditure:
23,419
-
4,365
27,784
Net Income/(Expenditure)
(7,464)
-
472,798
465,334
Net Movement In Funds
(7,464)
-
472,798
465,334
UNRESTRICTED
FUNDS
DESIGNATED
FUNDS
RESTRICTED
FUNDS
TOTAL FUNDS
2024
Reconciliation of funds (note 11)
Total Funds bought forward
554,800
-
-
554,800
Net movement in funds
(7,464)
-
472,798
465,334
Total Funds carried forward
547,336
-
472,798
1,020,134

21 Jan 2026 Page 20 of 20

Trustees Report & Unaudited Financial Statements Chelmhall Gospel Hall Trust