ANNUAL REPORT AND STATEM￿ OF ACCOUNrs
FOR THE YEAR ENDED 31st MARCH 2013
CHARrrY REGISTIL4TION NUMBEIL. 1173192
SIMPLY SOLirtlONS ACCOUWTANCY SERvI￿s LTD
TR166AS

Page 3
Pag&84 to 5
Page 6
Page 7
Stathent of FIna￿la1 Activilios
Page 8
Page$9 kn 11
Notes to the Accounts
Pages 12

LEGAL AND ADMINISTRATIVE INFORMATION
IIT31g2
ao NUMBER
CEOI(VJ18 (England and Wales)
START OF FINANCIAL YEAR
1st April 21T22
31sl March 2￿
TRUSTEES AT 31￿ MARCH ￿23
Colin Dullin- L￿1rnIaft
SEDutr
The existing trustees app)int any trustees followin8 the provism laid out in Ch￿ity'S
goveming E￿truMent.
GOVERNED BY
CoThstiiuiion
Objects
The ￿rther&nee of the Chrlstian religlon by the follow:.
a) To give. finance or help to p￿1]e a￿ordIng kn their rfftxl and to tr*ch others to have a %ivin% nature.
bl To arrange holidays (or those othenyise, for varied reasons. LM)uId noi tske guc.h timos of refreshme.nL'
r.) To hold c.onfprences to teach a EEtter way to liye.
d) To Irain Feople in Biblical economic5 pr#y￿. healnw fal￿ worship and to further the Christian
way of lrfe.
CORRESPONDENCE ADDRESS
19121 Fore st￿￿t
Cornwall
TR12 8AY
Mrs. T. D. RobiA8on
Penvenion Mill
T￿￿keY
Comwall
TR16 6AS

FOR THE YEAR ENDED 31ST MARCH 2013
Tr￿tee5 Annual R
- ear endin 3151 March 2023.
'erttves & Activities
The oP4'ectives of the CIO for publiL are to adv￿. the Christsan faith in accordarte with our stattment of
beliefs within Camborne, Cornwall and in such otheT parts of the UK and the world the charity truslees may seem h't
from tinie to ttme.
cant Activiiie5
The church continues lo thrive. knth numerfcdlly and spxritual]y. We now have reguIar ￿t[VitieS each W£￿ serying
members of the iongregation and outreac'h acts'vits'es for the I<x41 r(unmunity.
We continue to live-StTeam the Sunday mornin8 worslu"p Service via enabkng Ms io rwh ￿.yond the. four walls of
our buildins. Th]$ also meaJL8 that membÈrs of the congre8ation can continue io enjoy the 8erYice when they are. away
from hume or when they are unwell and unable lo attend xn pèrrn Our c￿￿$tyle mteTartiveSunday evening services
continue ts) thrive with A core of attendees actively enga8m8 with the BIble studies and"GriU+Pastor" sessions.
There continues trj a huy within the conlrnunity kn hear about the 8ood news ofthe ChrI￿lan Gogpel and throughout
thi5 period we have continued to distrlbu* thous￿ ofcopies of theGwd News rwspapeT alon8 with Bibles, Gospel
tracts, leafle.ts and litera￿re.
We conducted three funerthL4 for memi*Jy of the congregation or their family memkn, iwo of them condui-ted in the
chuT¢h and one conducted at the lttal LYernatorl￿ We also had two Idievers, baptISn￿ duTin8 the perlod, onè young
dull and one of more sonior years and tr)wards the end of the period we had the Joy ofa baby kn8 knrn to one of the
families in the con8res4tiorL
The ehurch congregation contimies to grow. and ttt the end of ppriod, we hod 76 adults and 29 children and youth in
re￿I￿r attendaft￿ on a SundAy. Whi]st this number ofch￿aTen and y(Truth for our size of con8Tesats"on is a huse blesgin
It doo8 present U8 with a challense. esp￿lalIY In ￿1Th8 suffioent helper¥ And Ph￿al for Sunday *hool.
In July 2022, of our Elders and TTUStees. B(A> McFarlan& from these roles, but remalns an active rnem￿r of
the con8resation. The current P￿tor and Trus1￿ vajue and app￿i&le mole than forty ye&TS of faithful service within thts
hurch, many of them WTthin thÈv two roles of EJder and Trus￿. In fa¢ it is worth notsng thal it was McFarland'8
obwliencè to God's challenge that our current P&gtor w&8 called to thechurch r￿rIY 10 years aso, which started a Fertod of
renewal and growth.
This Tesignation left the Pastor as the only furKtiotiing Etder, however hecontinued to retsive support and hdp from Rerfd
Rodney Orr as"CorL%ulting Elderf (Pas￿ at H(ye Comrnunity Churth St IV￿). From 2021 the Elders worked
with knir men in the church with a view ￿ them pc8sAbly b￿rnIng Elders and in March 2ff£3, Matthew Bailey te5F¥)nded
to the call of God and siepF*d up as an Elder, whilst continuingto serve TnL¥￿e and Treaguror. The t£ddership Team
are actively working towards adding new EldeT5. tknons and Trustees to the kn withtn the fiTrt half o( the npw
finanrial year.
Page 4

FOR THE YEAR ENDED 31ST MARCH 201
The Trustees are very aware that In recentyears. the church has iwi sutviving off thTeelarge one-off legacy donationg and
therefore exFrLges have. i￿1 exceeding income each montlL As re[￿rtsd in the last Trustees Annual Repor( the Trugtees
have been lookts]8 at grant fundins to SUPFK)rt the work of this I￿￿1 church and will continue ￿ do so In the coming
month5.
However, in *tember 2022. due to the monthly shortfall and reducnig reserve fund5, the TTUgttw made the a￿lS1on to
make the part.lime Evan￿list and the part-tinw Clern redundanL This dÈu8lon w&$ made with heavy hearts. but
trusting that God will provide for the indiviauab CCOKern￿ and the needs of this chuT¢h con8regation going forward.
Our financi￿ reserves wllry ts to ￿￿intsIft guffiaent C4th reservej to meet our e&qentlal bllls lor a period of three months
tr> 8lve ttme to address any ￿]￿1 crisis which L-ould arise As a re5uiL we have revi9ed thi8 w)Ilcy to £IO.(XK) and it will
be reviewed annuolly accordin8 to the needg of the churth
Pa%e 5

Mrs. T.D. Robinson F.M.A.A.T. C.P.A.
Certified Licensed and Re8ulated
Certxfied Public Actou1￿nts Awociation
to provide gÈrvi<es Ina¢cordaMe with
dlsplayed at the address below.
s£
Simply Solutions
Independent Examinerfs report to the T￿￿tte$ of..
Camborne Conrnunity Church- Re8iStered Clwity Number- 13030052
I reFort OD the accounts of the Trust for the year er¥Jed 31*t March 2￿. whth are set out on the
attached pa8es.
ctive res
ibilitie8 of trustees and examiner
The Charity's trustees are tesFonsible for the weparation of the account5. Tk awity's trtsstees
consider that an audit i8 not required for this year under &rtion 144 of the awities Act 2011 (tt
ChaTlties Act) and that an Independent Exarnination is T￿eded.
It is my resFx)nsibikn'ty to..
Examine the actounts under ￿lOn 145 of the Charitieg Art.
To follow the procedwes laid down in the general DiIections 8iven by the ￿lty
Commission {WKler &ction 145 (5)(b) of the Llwities Act), and
To state whether wtiCLdar matters have to my attentioJL
Ba8ls of Inde
ndent Examinerf$ Tt
My examination was carried out in accordarKe with geMal DiT￿tionS given by the Charity
Commission. An examination includes a review of the actounting records kept bythe charity ajxl
a compari50n of the aLrounts presented with those recDrds. It also irdudes considerationof any
unusual itenL8 or d￿lOSUre5 in the accounts and seekin8 explanations froTn the truBt&s
concernin8 any such matters. The procedures undertaken do not provide all the eVIder￿ that
wou]d be required In an audit, and CorL$eq￿ntIY no opinion is 8tven as to whether the accounts
present a "tn￿ and fair~ view and the reFx)rt is lunited to those matters set out in the ststemert
below.
Inde
endent Examinerfs Statement
In LX)nnertion with my eXamI￿tio￿ no Matter has come to my attention.
l. Which gives re￿nable cause to believe that in. any material re8Fert. the req￿re￿entS..
To keep actountjng records in alr0rda￿￿ with &ction of Charities Act,. and
To prepare accounts whxch accord with the aLxounh'ns records and comply with t
accountms require￿￿nts of the Charities Act have rnt been met; or
2. To whith in my OPmTon. attention should be drawn inorder to enable a proFr underslanth
of the accounts to be Tead*d.
T D RObIrL9)￿ F.M.A.A.T. C.P.P.A
Dated 29th November 2013
Simpty Solutlons Accountsnty SerFkeB Ltd
Re￿"Stered (Kfitr.. Penventon Mill. Trevtskey, [An￿r
221=

FOR THE YEAR
DED 31ST MAKCH XI13
RECEIFr&.
Tolal
Tol*l
INCOME AND
ENDOWMENTS TrROM
Donations and iegades
57.1
s7.￿1
%706
TOTAL RECBIP15
45.ni
EXPENDrruREON
CHARITABLE ACTMTIES
ChaTitable Activlth8
Jjsn .
*4
-iOXMI
-a186
RECONCILIATION OF FUNDS
Total fvnd8 brought foTward
U9
)262
&4,141
115JZ7
To￿1 fill￿$￿Tr￿d forW￿d
The noteg ¢m pa8¢• 10. 12 forni portrA th*x(txm

FOR THE YEAR ENDED 31ST MARCH
Nol
futtdB
Tolal
Total
Tanglble Assets
J262 5¢n2
CURRENf ASSErs
Debtors
Cash at bank Ind in hand
161
19J9
161
i(r2
29,547
29*19
CRBD11tIRS
Aznounts £al]in8 due withkn cffle year
1631
17A9
27JJ7
TOTAL ASSETS LESS
CURRETrn UABILmL8
4141
ASSETS
FUNDS
Unrestricted funds
Re&trictttl Funds
Endowment Fund¥
J29
129
. ￿262
9)262
TOTAL FUNDS
0.4 (Ll /__.-..-...
The financi818tateTnents were aEpmved by the Botrd ￿Tn￿eeS￿...._ ... ...
217LI and ¥18ned on its behajfby..
Pa8e8

NOTES TO THE FINANCIAL STATEMEN75
FOR THE YEAR ENDED 31ST MARCH 20LI
I. ACCOUNfiNG POLICIES
Basis of prtparlng the fjnancial st*ements
The fin￿￿la1 statements of the Charitable IncoEEmted Cksanisatiory which is a pubjie kenefit entity undeT Fks
101 have been Prepared in accordance wtth the (harita￿ ￿RP {FRS 1021 Aecountin8 and ReFX)rtins by
CTharitt'es'. Statement of RecoMmer￿ Practice apph'cable to charities preparing theiraccounts in accorda[￿e
with the Final￿la1 Reryjrting Standard applicable in the UK and Republic of Ireland (FFS I(ll) (effective I
January 2015), Financial ReFW Stantsd 102 The Fin￿la1 Re￿￿￿ttn8 Standard applicable in the UK and
Republic of Ire]and. The fina￿al ststernents have been PreP￿Ted under the historial cc6ts convention.
Incon
AU income ts reco8nised in thestaternent of FAna1￿la1 Adivities oKe the charity ha$ entitlement to the fund& it
is probable that the income will ￿ rtteived and the amount can nwstsred reltably.
Expendlture
LiabditieB are reCO￿ls¢d as expenditure as scm as tlw is a or cDn8tructive obli8ation COn￿nIt￿8
charity to that expenditure, it i4 proEoble that a trarsfer of eC(K￿nIC E*nefits will ￿ required in settlen*nt and
the amount of the obh"gation can be measuTed ￿kn.ablY. ExFnth"ture is accounted for on an ¥cruals Emsis and h
been cla&8ified under headin￿ that a88resate all crot rel&ted to the cate80ry. w￿re cannot Ee directly
attributed to particular hthdin88 ￿YhaVe all￿ted kn activitits (ffl • hsis consistent with the u8e of
resour￿.
Tan8lble flxed a88et8
Depreciatlon 18 provided at the followin8 annual rates in order to wrfte off eAch •*et over its e9tlmated useful
life.
Land & Buildings. not provided as fair value of the property As deell*d to eX￿d c(* shown in the aecounts.
Fixfvres & Fittings- 20%
Computer Equipment- 20%
Taxatlon
The charity 18 exempt from corporation tAX on its charitable a£tivities.
Fund accountlng
Unrestricted fundscan E* used in a¢LxYda￿e with theclwitabie ObJ￿￿Ve8 at the dixretion of the tn￿tse￿
Restricted funds can only ￿ u￿d for parhcular restricted PllrF￿ Within the ows of the charity. Re8trirtions
there is no power for the Trustees to convert the capltal irtto irnY)me. ExpMthbJe a¥joWn￿t funds are used
when the Tn￿ have the power to convert the capitsl mto IT￿Ome.

N(YfES TO THE FINANCIAL STATEMENfs- continued
FOR THE YEAR ENDED 31ST MARCH 2013
DeFThit AcLvunt interest
3. NET INCOMFI(EXPENDrruREI
Net Im)￿/(eXF£ndItu[e) is stated after Char￿n8/(crediti[￿.
1,112
5,561
There were no trustees, reullu*ration or othw Eer*fits fw the year el￿ed 31 March 3)23 nor for the yearended
31 March 2022.
There were rw) tru8tee8' VAFnses paid for the y￿r ended 31 Maffh 21Y23 (X121. £NtL)
5. STAFF COSIS
The averÈ8e monthly numEer of employees durin8 the ythr was a8 follo￿..
22
urch stsff
Pase 10

CAMBORNE COMMUNITY CHURCH
NOTES TO THE FINANCtAL STATEMENTS- continued
FOR THE YEAR ENDED 31ST MARCH 2023
6. TANGIBLE FIXED ASSErs
Freeknld Fixtures &
Fittin8S
Comput
EquIpw￿t
COST
At l Apr]12022
Additions
50262
14x60
16JC
80,620
At 31 March 2011
50262
14050
16
80,620
DEPRECIATION
At l April 2022
(harse for year
13,719
ii.oTr
24,796
1,112
Al 31 MaTch 2023
13.785
12.123
NEf BOOK VALUE
At 31 March 2023
50262
265
4.185
54,712
At 31 March 2022
50262
5231
55,824
7. DEBTORS AMOUNfs FALLING DUE wmiiN ONE Y
Prepayments
162
102
9. CREDTfoRS: AMouNfs FALLINC DUE WM1￿ ONE YEAR
Trade Creditor6
al security and other taxes
Other credito
Accrnals and defer￿d imxne
139
190
1142
1332
2,631
Page 11

DETAILED STATEMETrrr OF HNANCIAL ACITvrriES
FOR THE YEAR ENDED 31ST MARCH 2023
2022
Collertions and Stsndingor
Ctft Aid
Donations for Building Fund
Grants
47
&781
232
36,104
8.102
57,151
45,71
Depc6it account interest
57204
45.ni
Charltabk artlvltle
Wages
Missi(m Donation8
Gifts
Youth. Children & other events
Mens Ministry
Sparks
3218
6hOI
47m6
447
IrJ
I￿75
I￿10
Outreach
61,184
Support c￿1￿. Mana8ement
tnsurar
IT & Websi
Utilities
Postage & Statior
Consumables
Sundries
Copyri8ht & Lace
Training
Substtiptiong
153
3￿22
1.135
i.ioi
127
zi
315
122
1.112
9%15
Accounta)
Iwl & Prok&sional Fees
2A
4A93
Total resources expthded
T7￿97
Net ÈKpetkliture/ I￿￿8
-31186
Page 12