REGISTERED COMPANY NUMBER: 08360755
REGISTERED CHARITY NUMBER.. 1174200
OASIS CHURCH (BIRMINGHAM)
Roport of Iho Tru•1￿$ and
Unaudw Flnan¢l•l Statornents lor th• Yoar End•d 31 March 2024

Oa$l$ Church18Srmln9ham)
Contents of tho Financial Ststemonts
for the Year Endod 31 March 2024
P48
R•wt of Ihg Truslees
1to2
Independent Examlw's ReFQrt
Stat•m•nt ol FIna￿lI Acllvthe
88lanc¢ Sh8•t
Nolo8 to thè Flnonclal Stal•m•nts
6109
Dgwled Statemanl ol Finawal Aclfvths
10

Oasls Church IBirmlnghaml
R•port of the Tru$t•o$
for the Year Eniled 31 MaY¢h 2024
The trustees present their report with the financial slatements of Ihe ¢hairty for the year ended 31 March 2024. The
tru5te8s have a(lopt8d the provisions of Atcounting and Reporting by Charithe5.' Statement of R8commended Practice
applicable to charities preparing their accounts in accordance ￿th Ihe Financial R8POrtiNJ Sl8nd8rd applicable in the UK
and Republic of Ireland IFRS 1021 lelleckn.ve 1 Janvary 2015).
OBJECTIVES ANO ACTIVITIES
Prlnclpol a¢tlvlty and ¢on$titutJon
08818 Church IBirmingham} 18 8 reglslered Charity whw aim is lo prornoto the t•fvant•rnent of the Chiistian religlon
and lo provid8 SUPkK*I to those in Ihe eommunity In most ￿e￿.
ACHIEVEMENT ANO PERFORMANce
Major a¢tlvltlo8 and •chl•vem•nts
Oasis Church (Birrninghaml has continued to und8rtake [￿JeCts and acllvll￿s to promote tho Christian roligion and lo
provide support to those In the C￿nmunIty Sn most need. Th8 cor#Jregalon cornes from 8 ¥aT￿tY of communttles across
the city gathering up to 250 people each a8 well as a nuntsrol I￿u58h01ds sJllJoinlng online.
The work ol the Church cgntres around our communty twlk1ing ¢n Harbome wh*h ha$ b8en open lor a wide variety of
vents. The Grad8 11 li81ed church building has been 18as•d by the Oasis Church lor tho last B year$ but thls ye8r we
have ¢ommene•d thg conslderable tssk of raising monèy ￿ purchasè thè buildiw explaining the ￿nSiderable Increase
In donations Ihis year 6e•n In the account5. In addilth, we have b6•n aw8rdgd a grant from th¢ Communlty Ownershlp
Fun(J, whth will enable u5 to pursu& purthasing buildiw In summgr 2024 alongsidè Increasing our sèrvice provisbn
lo both the church and local community.
Wo host ￿Ver&I meetings Including a r•guler youth grtrtjp. Atsha groups, prayer groups as well as varfou8 wld8r
Communty initiatives such as a weekly cornmun6ty calé, a COthworf(ing Space. English Conversation Cl8sse5, 8 Stay and
Play group and 8 brand ngw Sensory Space all open for 8nyone 10 8ttend. Our card 8eNc8 L8 always 8 highlight ol th¢
y68r with many VISI￿ Irom the k)cal community in 8tt8nd8nca. Addilionany. w8 havg the prfvilege of hosting a nurnber ol
èxt¢rn81 groups In tho buildlng induding an after-￿h0o1 dub whith al80 pThld*s a smal ran¢al Incorng.
OulsSd• of thg bulding our 8m811 groups pKovide an OPP￿tr￿11Y for rnhl-w¢ek g8lhetlng$ in people's ￿.￿8$ thally ocrosj
the city as a way lo ¢onnoct and anioy communty. We run 'MMday N￿h¢ Fooib411' each Wee￿ where bcals gather lo
pl8y together. *$ well 08 ￿lnhI9 Ihe onnu81 Chtsllgn F(￿lIbAll F•siival . vthlch alw8y8 woll 8ttèndgd and
enjoyed.

Oasls Church IBlmilngh8ml
Report of th• Trustees
for the Year Ended 31 March 2024
REFERENCE AND ADMINISTRATIVE DETAILS
Rogistergd charlty numbgr
1174200
Reol•t•T•d offi¢• addr•¥s
Oasls Church
Soulh Street
Birmin9ham
West M￿landS
B170DB
Tru*¢g•s
D M GoodlrvJ
J D Nèwbdd
MKWort
JFOX
Aeeountants
Inftsrrn Accounting Llmiléd
Sl Jam88 Hou
65 Mere Green Road
Sullon Coldfield
Wosl MSdlaTrJ$
B75 5BY
3TATEMeNT OF TRUSTEE8 RESPONSIBILMES
The trusteès a￿ responsibl$ lor preparing the Report ol Ihfi Trvsfrc-
- anv ihe bnanu¥t state￿nIS In o¢¢ordanc8 vAth
appllcable law and United Kingdom Atcounlino Stand8rd8 Iunited Klngdom G•n8rally Accepted Aecountlng Pr8etie¢l.
Includiny Flnanc181 Rgporting S18ndard 102 Tre Financial Reporting Slandard applicabl8 111 the UK and Rèpubllc of
Irel8nd'.
The law appli￿ble lo eharitles In England Wales. thè CharitK?s Act 2011. Charity (Aecounls and Reports)
R8gulatk)ns 2008 and Ihe provisi¢J)s of Ihe trust dged requwes Ihe tnJsl8•S to prgpare flnane1818talernents lor 8gch
n8n¢i81 year which gfve 8 true and tsir vi8w of Ihe stai8 of affaits of Ihe charity and of th• incorning resouregs and
application of resources. IndudiThJ the ineome 8nd ex￿n¢ji1UTe, ol the tharity for that P8ri0d. In prgparlng tts)¥¢ financial
8tstom•nt& the Iru8lees 8r• rtqutred lo
8ele¢l sullable 8ccoun#r4J policits and then appty them c)ywtenty.
obsetve tho mglhods and principles th tho Charty SORP.,
make judgements end estirnales Ihal reasonab￿ and pnJd8nt-
$lale whether applicabl? accounting standards ha¥e boon frkn*d. sut48et to any material dèpartuw dlscloled and
explained in the financial stslomenls.,
prepare the fin8n¢ial stalomenls th& goin9 concem lJa5L% il l¥ Inappropriate to pwurne that the charfty wll
continu8 in business.
The trustees 8r• le5￿81ble for keepir4J accountirg I￿OrdS di$c4ose ￿ rè8%)nable awjracy al any ￿me
tho financk81 poslth)n of the charlty aNI lo enable them io ensure th81 Ihe flnancial 51atements comply ￿th the CharitK8$
Act 2011, the Charity IAcc¢)unts and Reports) Regulations 2008 and ihè w0vis￿n$ ol the trust dead. They are also
responSI￿tr for saf8guardirrfJ th8 assels of Ihe tharity hence for t&￿ThJ reasonabla st8P5 for the pMv8nlion and
dete¢lion of Iraud and other irregulartbes.
Approved by ordor ofthg board of trustees on ￿ I ￿ I2021fr and *ned on its behaff by..
D M Gooding- Trusla8
P￿2

Indopendent Examlner'$ Report to the Trusts•8 of
Oasis Church (Blrminghaml
We report on Ihe 8rwunts for Ihe year ende<l 31 March 2024 sel out on pages 4 10 9.
Re8Pg¢tlvo responsrblll¢l•s of trust••$ and •xaffllnor
The charity's trustees (who ale also th8 dire¢tor5 l&r the PUWFtyJ58S of comp8Try lawl are responsible forthe preparatign ol
Ihe accounts. The chanty's tnJ$lees cOnS￿ler that an audit is not required for this year lunder Section 144121 of the
Charit18s Act 2011 Ilhe 2011 Actll and thal an ￿dependent examination is requirod.
H8ving $8tisfi¢d owsefves th8t Ihe chawTrty is nol wtyect io audil under company 18w aThJ 15 eliglblè for indopendent
examinalion. it is our responsibility to..
exarnin8 Ihe accounts under Seckn 145 01 the 2011 Ad
to follow th8 proceilur88 latd down tn Generd Dtredws gwen by Ihe Charity CornMiss￿n (under Stctign
14515Xbl of the 2011 A¢tl.' and
lo Btatts whethe¥ particular mgtteTs have to our atlentlon.
Ba81$ ofth• Ind•￿￿dent •x•mlnor'$ r•port
Our examination was carrSed out in aecordan¢o th Ihe G8n8ral Dk8dlon3 given by the Charlty Commlsskjn.
An èxamin8lion Includes 8 review of tho acccKJnting records kept by th• charity and a compartson of th• 8ccounls
presented with those records. It also includes consideration ol any uwsual items or disclosures In the accounts, and
s•eklng &xplanation$ Irom you as Irusteos concemlng 8ny such rnatters. Th8 prO￿dUreS undert8k8n do not provlde 811
the evidence that would be required In an a￿J1¢, and corwu8nty no opinK)n Is given as to wh8th•r the 8ecounts
present 8 Yrue and fair and the report is limlted lo those mallers set ou¢ in iho slBtements below.
Indopend•nt •xamln•r's st•l•m•nl
In connection with our exwninatSon. ￿ matt•r ha8 Cm ￿ rjjr allanti￿..
111 whkh glvej us ma80nable cause to b•lK8ve thal, in any material resp8¢ the r8qulf•ments
to k8•p a￿OuntIng records in w￿Anc* vthh sètt￿ 386 an<1 387 01 th8 Compan￿$ Act 2008., and
lo prepare 8ccounls which aceord thg accounting recths, comply with tha 8ccounling
roquiremonls of Sections 394 395 of thè Comp8ni•$ Act 2006 and thè mglhods 8nd prlntipl98
ol the St8ltrnent of Recommènded Pr#th¢g'. AcC￿Unting and Rgporting by CharMi$s have not been
121 to whkh, In oplnkn. allenkn $ho￿l b• drawn In ¢)ftlèr lo enable a u￿￿￿14ndIng ol tho 4ccounl8 to
b• reached.
P£co￿L
Inform A¢countlng Llm+tsd
St James Housè
65 Mere Green Road
Sullon Coldf181d
West Midlands
B75 5BY
Page 3

Oasls Church (Blmilnghaml
Statement of Flnanci81 Actlvities
for the Y•ar Ended 31 March 2024
Year lo 31
March 2024
Total funds
Year to 31
March 2023
Total funds
Unreslricted
lunds
R8$tricied
fund$
INCOME AND ENDOWMENTS FRO
Donatlons and Iogaeies
Incoming re50urce5 Irom eharit8trAe a￿t¥rf
Investmont income
230.533
16,046
190.6S4
421,187
16.046
437,335
14,129
Total
246.579
190.654
437.233
4S1,464
EXPENDITURe ON
Chorltable a¢tlvlll••
Direct eh8rilabl8 expenditure
Donations
Othèr
11,630
14.450
11,630
14,450
239 053
7.483
15,861
207 505
Total
253.912
11,221
265,133
230,849
NET INCOMEIIEXPENDITUREI
Tranaf•r• b•lwo•n fund•
17.3331
179.433
172,100
220,615
N•t mov•ment In fund•
17.3331
179.433
172,1(K)
220,815
RECONCILIATION OF FUNDS
Tot•1 funds brought fon¥•rd
108.408
212,120
320,528
99,913
TOTAL FUNDS CARRIED FORWARD
101075
492 628
320 528
CONTINUING OPERATIONS
l in¢om& and expenditu￿ ha8 arh8n from conbnuing Actith.
Page 4

Oa$ls Church (Blmlnghaml
Balance Sh•ot
At 31 March 2024
Yearto 31
Year to 31
M8rch 2024 Mareh 2023
Tgt* funds
Tolal funds
Unrestricted
funds
Restricted
fund5
Notes
FIXED ASSETS
Tangib18 8ssels
308
1,658
CURRENT ASSETS
08btors
Cash at bank
13,368
13,368
485 284
10.978
312932
391553
107,099
391,553
498.652
323,910
CREDITORS
Amounts fallin9 due w*thln one yow
16.332)
16.3321
15.0411
NET CURRENT ASSETS
318869
TOTAL ASSETS LESS CURREIIT UABIUTIES
101.075
391.S53
492,628
320,527
NET A88Ers
101075
391 553
492 628
320 527
FUNDS
Unreslrlcted lund8'.
G&n8r81 fvnd
10
101,075
108,407
Re3lrfcted funds..
8ulldlng Fund
391.553
212,120
TOTAL FUNDS
492 628
320 527
For the fmAnc181 year ending 31 M8r¢h 2024 lh8 tharlty was •ntitigd to &x•mptlon frorn audit urthr 80CtkJn 477 of the
Comp8ni88 Act 20(￿ ralatin9 lo small companigs.
Tru•t••• r•*pon8lbllltl••
The rnembtrs have not r•quir8d Ihe tharlty tts oblaln ￿ 8￿Jit of its ac(a)unts for Ihe year In quèstbn In acccKdanc• wrth
8eclion 476., and
Th8 trustees a¢krthrf￿dge Iheir ¥•spon5ibilty for comthrvJ wilh th• requirerrthts of the A¢t vAth fespèet to aC￿untIng
records and tha preparats'on of awjunts.
Th$s8 accounts havè been prepar•d in acciwdancfr the provisths *kable to companles sub￿Cl to the small
eompanies i*girnè.
Th• financlal statem8nts were approved by the Board ofTrust88s on 23140 koL*
nd wèr8 signed on its b8hèlf ty..
J D Nowbold- Trustee
J Fox. Trust88
M K Wort- Trusteè
Page 5

00$1$ Church (Birnlnghaml
Notes to th• Finan¢lal Statements
for the Ytar Ended 31 Ma￿h 2024
ACCOUNnNG POLICIES
Ba•ls of preparfng the financlal •t•ten¥•nta
The financial slatemenls of th8 charity, which is 8 publ￿ benefft entity under FRS 102. hBV8 been prepared Sn
accordance with the Charii*s SORP IFRS 1021 'Accounting and R8Forbng by chan￿e$., Statement of
Recornmenéed Practice applicab18 to charitse5 preparing Iheir accounts in accordarKg with th8 Financial
Reporting Standard applica￿0 in the UK and RgpublK ol Irgland IFRS 1021 leffeC￿'ve 1 January 20151,. Fln8ncial
Reporting Standard 102 Th¢ Financial ReF￿1n9 Standard appJicabk8 in the UK and Republic of Ireland, 8nd the
Charitigs Act 2011. The financial stat8menls l)een prspwed undèr Ihe hlstorfcal cost conventbn, as
modified by th8 r8valvatk)n of certain assets.
Incom•
Incorne is brought Into accounl Ot Ig more Ilkety Ihan N)t that ts econornlc bgn8fft of Iha incom• wlll accrue
lo the charfly.
Exp•ndbtur•
This is recogni$od whgn a Iwbilty is inuJrr•d. or a ton5tructive oNlgation ari8•S, Ihat results In thg paym•nt belng
unavoidable. Liabilit￿$ arè r8cognis8d as soon as an outhow of econornk benefit Is ¢XffiShlgred mor8 likely than
not under Ih•18981 ￿ con8tnKty've obligatK)n tommrtting th• chanty lo pay out resoureo5.
Gov•rnan¢• colts
These are the cos1$ 8SSWalgd ￿th the general running ol th8 thgrity and ￿ $tralegk mano9ement. r¥ther than
t￿ co81s ol Its Charitab￿ ac11wt￿ and day to dty m8nagem•nl.
T•x•lJon
Thfr charity Is •xempt fr(m tax on Its cknarltèble aclfvth¥.
Fund ¥c¢ountlng
Unreslricled fund8 Can ￿ UBed In 8¢cwdonce th8 Charitable obW98 at th• dls¢rgtlon ol th• Iru8lee8.
Rostrltled fijnds ton ¢￿Y ￿ used for parti￿181 r•$trK¢ed purposes wlthin the ¢)blo¢ts of Ihe charfty. Rg$tflcllon8
arise when sp￿rf*d by the donof or when hJThJs 4re r8iS8d fgr partlojlar rgstrfcttsd purpoBes.
Publle bon•fft •ntity
The eharity m••t$ the definiticffl of a public benofft entty under FRS 102. Assets 8nd liabilit￿$ ar8 inStlalty
r6cognlsed al hislorkal Cost or Iransactvjn Val￿ unless oih*vAse slatod in the relav4nl accounting Oicylnole.
Oolng ¢¢)nMrn
88sed on the monètary asMt$ •nd human reBouru8 aVal￿tI6 •t 31 Mard) 2024, th• tru#tèe$ beI￿v+ that the
charity Is & goin9 conc•m.
VAT
Slnc8 the charbty li Th)I VAT Mgrolered. 81 inwt VAT b c*orwJ wlh Ihe eyn80s to whth it refer6.
Page 6

Oa$ls Church IBlrniingham)
Notss to thè Flnanclal Statements- ¢Mtlnued
for the Year Ended 31 March 2024
DONATIONS AND LEGACIES
Ygar to 31
Year to 31
Marth 2024 March 2023
Other <tonath?n$
8ulkling Fund
230,533
225.215
212 120
421187
437 335
CHARITABLE ACTMTIES COSTS
2023
Totals
Fu[￿Ing of *tfviti
Dltscl ch8rilabla èxpendilwo
tlon8ts)ns
Olh•r
11,630
14,450
239 053
7,483
15,861
SUPPORT COSTS
Governaneè
ctssts
Managgment
Totals
Oth•r r•8ourc•8 •yndgd
239 053
Supwrt CO8ls, Induded In thè #tove. are 8$ foW¢y*s'.
Ye8rto 31
PAarth 2024
Other
rgsources
expended Total 8ctbvlt￿&
Year to 31
March 2023
Solaries and asswated costs
Premises running costs
Prèmises Wulsit￿n costs
Admini$lraUon, t0￿phone, tr8vd 8t¢
Other expenses
Profession81 fees
Depreciation
161.219
15,998
11.221
2.898
44,435
1,932
148,557
12,783
2,360
39.362
1,891

Oasls Chur¢h (Bimlnghaml
Notes to the Flnan¢lal Stat•m•nts- ¢ontlnu•d
for the Year End•d 31 March 2024
TRUSTEES. REMUNERATION AND BENEFITS
During th? period ended 31 March 2024 there were trustee e1pn￿.
STAFF COSTS
The average monthty nLrmber of ￿p￿yO0¥ during the peth. ￿k￿lated on the b85ts 01 full tim? equfvalents,
W8s 7 12023.. 4.21.
TANGIBLE FIXED ASSETS
Flxtureg &
Flttlngs
COST OR VALUATIOM
Al l April 2023
litbns
11,073
At 31 March 2024
DEPRECIATION
Al 1 AprS12023
Pro¥id•il during th y•ar
9,415
At 31 Mar¢h 2024
NET BOOK VALVE
Al 31 March 2023
Al 31 Ma￿h 2024
308
DEBTORS: AMOUNTS FALUNG DUE AFTER MORE ThAN ONE YEAR
Year tg 31
March 2024
Year to 31
Mareh 2023
Oth•r dgbtors
P4ge 8

Oasls Church {Blrmlnghaml
Note$ to the Flnanci81 Stat•m¢nts . contlnued
for th• Year Endèd 31 March 2024
CREDITORS.. AMOUNTS FALUNG OUE ThlTHIN ONE YEAR
Yearto 31
Marth 2024
Yèar to 31
March 2023
Taxation and social stcurity
0th8r ¢red6tors
3.162
2,658
10.
MOVEMENT IN FUNDS
Ngt
Transfèrs
in fundB betsveen fvnd$
At 1.4.23
At 31.3.24
Unr•strl¢¢•d lund8
General fund
108,408
17.3331
101,075
Raslricted funds..
8uildlng luThY
212.120
179,433
391,553
TOTAL FUNDS
17
N•t movem•nl In fundi. hKhJded in lh• abov• arn aB folm..
In￿n￿ R•8tyJrc•$
r¢sovrc•s •xpgnd8d
Galn8 8n(l Mtsvgment In
1088es
fund8
Unr¢•trl¢t•d fur*d•
Ggneral lund
246.579
253.912
17.3331
Restrlct•d funds..
Bullding Fund
I￿.854
179,433
TOTAL FUNOS
11.
CONTINGENT LIABILMES
AS 8t 31 March 2024 thère ￿re r)0 conlirmjent liabilibes12023.. NII.
P￿&9

Oasls Chur¢h {Bimiln9harnl
D•talled Stattment tsf Financlal A¢tivitl96
for the Y¢ar End•d 31 March 2024
Year to 31
Mwch 2024
Y88r to 31
M8r¢h 2023
INCOME AND ENDOWMEMrs
Don•￿￿￿8 ond l•ga¢l•8
Othèr donati¢)n5
Bulldlng Fund
230.533
225,215
212 120
421.187
437,335
Incomlng resources from ¢harbtablo acti¥rbe8
Investmont In¢om•
Deposit actounl inlero8t
16,048
14.129
Tot•1 In¢omlno rwurc•s
437.233
4S1,464
EXPENDITURE
Charlt•bl• •¢tJvltl••
Dlroct chprflablt e¥pendfture
11.630
7,483
Ralsln9 fund•
Donations
14,450
15,861
Support co•t•
Salaries and a5soclated cos18
Promistrs runnlng c¢)8ts
Bulldlng acqulsltbn costs
Administralioft, telephw. tr8v•I etc
Other 8x￿nSt￿
D•preclatlon
161,219
15,998
11.221
2.898
44,435
148,557
12,783
2,380
39,362
Gov•man¢• ¢ost•
Accountancy
263,201
228,958
1.891
Tot•1 r••oyr¢•* •xp•nd•d
265.133
230.849
N•t In¢om•
Ptye 10