REGISTERED COMPANY NUMBER: 08360755
REGISTERED CHARITY NUMBER: 1174200
OASIS CHURCH (BIRMINGHAM)
Report of the Trustees and
UnaudSted Flnanclal Statements for Ihe Y•ar Ended 31 Mar¢h 2025
*AEGZ9VMO•
0811212025
COMPANIES HOUSE
A12
#33

Oa$l$ chU￿h (Blrmlngham)
Contents of the Flnanclal Stalements
for the Year Ended 31 March 2025
Page
ReFlOrt of the Trustees
Ito3
Independent Exfjminer's Report
Ststement of Financial Activities
Balance Sheet
Notes to tho Financial Statements
71010
Detalled Stat8m8nl of Finonclal Actlvi11o$
11

Oasls ch￿￿h (Blrmlngham)
Report of the Twsteos
for the Year Ended 31 March 2025
The trustees present their ￿pOrt with the ffinancial statements of the charity for the year ended 31 March 2025. The
trustees have adopted the provisions of Accounllng and Reporting by Charities.. Statement of Recommended Practice
applicable to charities preparing their accounts in accordance with the Flnanclal Reporting Standard applicable in the UK
and Republic of Ireland IFRS 1021 leffactive 1 January 2015)-
STRUCTURE, GOVERNANCE AND MANAGEMENT
Oasis Church {Bimingham) is a ¢haritable company limited by guarantee and is governed by its Memorandum and
Articles of Association, adopled on 9 August 2017.
The trustèes are responsible for the overall governance of the charfly. New Iruslees are appolnled through consultallon
with the elders and the board of truslees. They nom)ally serve a temi of three years. after which they may be reappointed
for a further lenn if willing and wllh Ihe agreement of both the elders and the board.
The board of trustees meots al least four times a year to overs88 strategy, compliance, and the stewardship of
resources. Oay-to4ay management of the church's aclivits'es is delegatéd lo the staff team and voluntéers. who aro
rosponsible for tho delivery of ministry, Gommunily engagemenL and operallonal support
OBJECTIVES AND ACTIVITIES
Oa$ls Chur¢h (Birmlnghaml exists lo advance the Christlan faith and provide 5UPPOrt to those most in need wllhln our
local cornmunity. We gather a congr8galion of up lo 250 people weekly. with 8dditional households engaging online. In
planning our aclivities, trustees have had regard to the Charity Commission's guidance on public benefit.
Our ministry Includes Sunday worship, 188¢hlng, pr8yer, and pastoral care, alongside a wlde range of acllvllles designed
to seThe Ihe wider community. This is centred in our church building In Harborne, now owned by Ihe charity followin9 ils
purcha58 in September 2024.
During the year we hosled..
regular youth groups. Alpha groups, and prayer groups;
a weekly community ￿f0. a cfrworklng space. English eonversalion ¢lasses, a "Stay and Pla￿ group, and a now
8ensory space, 811 open lo Ihe public;
our annual carol So￿lCO, a Significanl point of connection wilh the local community; and
exlemal groups incSudlng an after-school dub, generating a modest rental income.
Beyond the buildlng, we fa¢ililat9 5rn811 mld-week groups across the Clty, and weekly'monday Nlght Football" sessions,
which provide opportunities for communily, wellbeing, and connectson.
ACHIEVEMENT AND PERFORMANCE
This year has been particularly significant for the life of the church.
Acquisition of Ihe building.. After leasing the Grade11 Ilsted Methodisl ¢hur¢h buildlng sin¢e 2017, wo Successfully
purchased the property in summer 2024. Thls was made possible through the g8n8rosity of our congreg8ts.on
(who together gave in th• region of £400.000 induding Gift Aid), a grant from Ihe Govemment'$ Community
Ownership Fund. and a small mortgage.
Establishment of the Soulh Street Community Hub.. The Community Ownership Fund grant also provided
resources to launch this new vènlure. We appoinled a Communlty Hub Manager, who has strengthened exlstlng
initiatives (community café. ctrworking hub, Slay and Play, and En91ish conversation classes) and started new
projects to ensure the building Is a welcoming place for all.
Suslaining core mlnislries.. Alongside these developments, we conllnued to deliver the full range of church and
community activities described above, maintaining strong levels of engagemonl across worship, discipleship, and
outreach.
Community engagement highlights.. Our carol service onc• again attradod significant alléndance from local
residents. while Monday Night F¢)otball and the National Christian Football Festival gave further opportunllies for
relationship building acros$ Birmingham.
The trustees are encouraged by the generosty, resilience, and growth demon$lraled in this year, and look lotward to
bulldlng on Ihls momentum.
Pag8 1

Oas18 Church (Blrnilngham)
Roport ol the Trustses
for the Year Ended 31 March 2025
HNANCIAL REVIEW
Incomè this year was significantly higher than in previous years, reflecting extraordinary congregational giving towards
Ihe bulldlng purchase lapprox. £400,000 across this year and the previous yearl and the grant awarded from tho
Communlly Ownorship Fund. Regular giving has also Increased, 6nabling the trustees to support the ongoing mortgage
payments.
A portion of funds has been sel aside for known essential repairs lo the roof and Structu￿ of the building. The tnJstees
recognise that fundralslng for these works. as well as for Iho long-t8rn.suslalnabllity of the South Street Communtty Hub
{including the salary of the Hub Manager). bwll be key prionlies going fop•vard. To SUPPDrt this, a Fundraising Cowordinator
has been appoinled lo oxplore external grant opportunitios.
The trustees confirm that the charity remains a golng concern and has sufficiont r¢sep￿S to Gontinue operating in the
foreseeable future.
PLANS FOR THE FUTURE
In tho coming yaar, Oasls Church (Birmlnghaml intends to:
compl818 essential roof and slruclural repairs to the building.,
onllnue lo d•volop and expand the South Street Community Hub, ensuring Ils 8UStalnablllty through
comblnalK)n of grants, donations, and incom&gener81ing a¢livilies-
make greater use of the building's rooms for exlernal bookings, conference$, and events, to provide further
income and cornmunity Conne￿10n. and
maintain and slrengthon Ih? core minislry of worship, disci￿aship. and pastoral care.
REFERENCE AND ADMINISTRATIVE DETAILS
Reg181ered charlty numbgr
1174200
R•gl$l•r•d *)ffl¢• and prln¢lpal •ddr•••
Oasis Church
South Sireel
Bimln9ham
West Mldlands
B17 OD8
Trusl••s
Kwort
D M Gooding
J D Newbold
JFOX
R Blab9r lapwnled In May 2024)
Accountsnts
Inform Accounting Limlled
Sl Jam8s House
65 Mere Green Road
Sutton Coldfield
West Midlands
875 58Y
Pago 2

Oasis Church IBlrmlngham)
Report of the Trustees
for the Year Ended 31 March 202S
STATEMENT OF TRUSTEES RESPONSIBILMES
The Iruslees are responsible for p￿paring the Report of the Truslees and the financial statements in accordance with
applicable law and United Kingdorn Accounting Standards {Uniled Kingdom Genèrally Accepted Accounting Practice).
including Financial Reporting Slandard 102 Yhe Financial Reporting Standard applicable in the UK and Repubh'¢ of
Iraland..
The law applicable to charitiès in England and Wales. the Charities Act 2011, Charity (Accounts and Reports)
Regulations 2008 and the provisions of the Irusl deed req¢Jire$ the trustees lo prepare financial slatemenls for each
financial year which give a true and fair vigw of the stste of affalrs of the Charity and of the incoming resources and
appli¢alion of resource$, including the income and expenditure, of the charity for that perlod. In preparing those financlal
statements the Iruslees are required io
seloct suitable a￿oUntIng policies and then apply them consislently:
obseNe the methods and principles in the Charity SORP.,
mak8 judg8m8nls and estimates that are reasonable and prudent:
slate whether applicable accounling slondards have been followed. subject to any material departures disclosed
and explained in the financial statements;
prepare the financial statements on the going concem ba818 unless11 Is inappropriale to presume thBt the charity
VAII contlnuè In buslnéss.
Thfr Iwstees are responsible for keeping prO￿r accounting records which disclose with reasonable accura¢y al any time
the financial poslllon of the charity and lo enabl8 them to ensure that th6 financial st8lemènts comply with the ChaTiti8s
Act 2011, th8 Charity {Accounts and Reports) Regulations 2008 8nd the provislons of the trust deed. They are also
responsible for safeguarding the assets of tho charity and hénce for taking raasonable slops for th8 prevenllon and
detection of Iraud and other irregularities.
Approved by order of the board of trustees on
2?
nd slgned on Ils behall by..
O M Goodlng - Trusleo
Pago 3

Indep?nd•nt ExamSnor's Report lo lh• Tru$t¢¢$ of
Oasls Church {8irn)ingham)
We report on the accounts for the year ended 31 March 2025 set out on pages 5 to 10.
Respoctiv• r•sponslbllllh$ of trustees and ¢xamln•r
The charity's trustees (who are also the director5 for the purposes of company law) are responsible ft)r the preparallon of
the accounts. The ¢haiity's trustees consider that an audit is not required for this year lundor Section 14412) of th8
Charftles Ad 2011 (the 2011 Act)) and that an Independent examlnation is requlied.
Having satisfied ourselves that the ¢harity is not subject lo audit under company law and is eligible for independ8nt
examination. it is our responsibility to..
examine the accounts under Section 145 of the 2011 Act
to follow the procedures laid down In the Genoral DiTectiDns gNen by the Charity Commisslon {under Se¢llon
14515)Ibl of the 2011 Acl)., and
lo state whethér particular matters have come to our attention.
B•sis of th• indopèndenl examin•r'8 report
Our examination was carried oul in accordance the General Dirnctions given by the Charity Commission.
An examination includes a review of the accounting records kepl by the charity and a ¢omparison of the accounts
presented with thosè Trcords. 11 also includes consideration of any unusual ilems or disclosures in Ihe a¢counls, and
Seeking explanations from you as trustees concerning any Such matters. The procedures undertaken do not provide all
the evidence that would be requlred in an audil, and con5equenlfy no opinlon is given as lo whether the ac￿Unts
present a 'true and lalr vlew. and the report Is Ilmiled lo those matters set out In Ihe statements below.
Independent examlner'g st•t•m•nt
In connedion with our examination, no matter has come lo our attention:
(1) which give8 U8 reasonable Cause to believe th81, in any materlal respect, the fequirements
lo keep accounting records in accordance with Section 386 and 387 of the Companles Act 2006,, and
lo prepare accounts which accord wilh Ihe accounllng records, comply wllh thè accountlng
requirements of Sectlons 394 and 395 01 the Compani8s Act 2006 and with the methods and princlple5
ol.th8 Stslement of Recomméndèd Practlce; A¢￿Un￿ng and Reporting by Chadtlos havè not been
12) lo which, in our opinion, attention should be drawn in order to enable a proper understanding of Ihe accounts to
be reachod.
I nk1-￿ AcCo￿aLl
Infom) A¢c(wnting Llmlled
Sl James House
65 Mere Green Road
Sutton Coldfield
West Midlands
875 5BY
S ￿ec￿r¥I￿)e{ 2025
Page 4

Oasls Church IBirnilngharn)
Statement of Flnan¢lal Actlvltles
for thè Year Ended 31 Mar¢h 2025
Yearto31
Yearlo31
March 2025 March 2024
Total fvnds
Total funds
Unrestricted
funds
Restricted
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
Incoming resources from charitabl8 activities
Investment income
307.315
17,879
50.989
358,304
17,879
421.187
16.046
Total
325,194
50,989
378,183
437,233
EXPENDITURE ON
Charltabla actlvltles
Direct charitablo Oxponditure
Donations
Other
23.118
13.200
246 036
23,118
13,200
270 561
11,630
14,450
239 053
Total
282,354
24,525
306,879
265.133
NET INCOMEI{EXPENDITURei
42,840
26,464
69,304
172,100
Tr•n8f•rJ bgtw••n fvnd•
N•t mov•m•nt In funds
42,840
26,464
69,304
170,100
RECONCILIATION OF FUNDS
Total funds brought forward
101.075
391,553
492,628
320.528
TOTAL FUNDS CARRIED FORWARD
143915
418017
561932
492 628
CONTINUING OPERATIONS
All income and exp6ndllure has arlsen from contlnulng acllvS1108.
Page 5

Oasls Church (Birmingham)
Balanc• She•1
Al 31 March 2025
Yearto 31
March 2025
Total fvnds
Year lo 31
March 2024
Totsl funds
Unrestricted
funds
Restrlcted
funds
Notès
FIXED ASSETS
Tangible assets
3,003
514.607
517,610
308
CURRENT ASSETS
Debtors
Cash at bank
13,368
1S1 336
249 995
152,380
98,659
251.039
498,652
CREDITORS
Amounts falling due wllhln one year
{11,468}
111,468)
(6.3321
NET CURRENT ASSETS
140 912
239 571
492 320
TOTAL ASSETS LESS CURRENT LIABiunES
143,915
613,266
757,181
492,628
CREDITORS
Amounts falling due after one year
10
195 249
195 249
NET ASSETS
143915
418017
561932
492 628
FUNOS
Unreslricled funds..
General fund
11
143.915
101.075
Reslrlcled funds..
8uildin9 Fund
418,017
391.553
TOTAL FUNDS
561932
492 628
For the financial year ending 31 March 2025 the chanty was entltled to ex8mpllon from audit under section 477 of the
Companies Act 2006 relaling to small companios.
TfU$t••s r•$pon•lbllltl•s
The members have not required th8 chaiity to obtaln an audit ol Ils accounts for the year In question In accordance wlth
$e¢lion 476., and
The trustees acknowledge IheiT responSib￿lty for Complying with the requirements of the Art with respect to ac¢ounting
re￿rdS and the preparalion of accounts.
These accounts have been prepared in accordance wlth Ihe provisions opplicable to companles Sublect to the small
companies regime.
The financial sialemenls
ere approved by the Board of Trustees on 21 2025 and were signed on its behalf by:
R A 81aber- Trustee
J D Newbold- Trustee
J Fox- Trustee
M K Wort- Twstee
Page 6

Oasls Church {81nnlnghaffl}
Notes to Ihe FSnancSal Statements
for th• Y•ar Endgd 31 March 2025
ACCOUNTING POLICIES
B¥sls of preparlng th• financlal statomants
The financial statements of the ¢harity, which is a public benefit entity under FRS 102, have been prepared
accordance with the Charities SORP IFRS 102) 'A¢¢ounling and Reporting by Charities: Siatemenl of
Recommendèd Practice applicable to charities preparing Iheir accounts in aw)rdance with the Financial
Reporling Standard applicable in the UK and Republic of Ireland IFRS 1021 leff¢ctive 1 January 2015}'. Finan¢io1
Reportlng Standard 102 'The Financial Reporting Standard applicabie in the UK and Republic ol Ireland. and the
Charities Act 2011. The financial stalements have been prepared under the historical cost convenlion, as
modifiéd by the revaluatlon of cartain assets.
Incomo
Income is brought into account when It Is more Ilkely than nol Ihal the economic benefit of the Income will accn
to the charity.
Exp•ndltur•
Thls Is recognised when a Ilabllity Is Incurred. or a ¢onstrucllve obligatlon arlses. that results In the payment bel
unavoidable. Liabilities are recognise¢J as soon as an outftow of economic benefrt is considered more likely than
not undér th8 legal or construclivo obligallon ￿mMItt￿n9 the ¢harity io pay out ra8ourc88.
Gov•man¢o CO8t8
These are the costs associated with the general runnlng of the charity and its slrategic management. rather than
the costs of ils charitable a¢livilies and day to day managemenl,
T•x¥llon
The charity Ts exempt from lax on rts Charitsble activities.
Fund •¢¢ountlng
Unreslrlcled funds be u8ed In accordance wllh the chJritable objeclive8 81 the dlgcretion ol the trustees.
Restricted funds Can only be used for particular restricted purposes vlithin the objects of the charity. Restrictions
arise when specified by Ihe donor or when funds are raised for particular restricted purposes.
Publlc b•n•fit entlty
The charity meets the definllion of a public benefil enlity under FRS 102. Assets and liabllllles are Inlllally
cognised at historical cost or trans8clion value unless otherwise staled in the relevant accounting policylnote.
Golng conc•m
Based on the rnon8tary assets and human resources available al 31 March 2025, the trustee$ b81ieve that the
charity Is a going concern.
VAT
Since the charity Is not VAT regislered, all Input VAT Is charged wSth the expense8 to whlch il ref•rs.
Page 7

Oasis Church IBlmilngham>
Notes to the Financial Statements - contlnued
for the Year Endèd 31 March 2025
DONATIONS AND LEGACIES
Yearto 31
Yearlo 31
March 2025 March 2024
Othèr donotion$
Building Fund
307,315
230.533
421 187
CHARrrABLE ACTIVITIES COSTS
2024
Totals
Fundlng of acllvllles
Oireel chèriloble expenditure
Donallons
Othor
23,118
13,200
270 561
11,630
14,450
239 053
306 879
265 133
SUPPORT COSTS
Govemancg
¢oslJ
Monagemenl
Totals
Other resources expended
268 569
270 561
Support costs, Included In the above, are as lollows:
Year lo 31
March 2025
Other
resources
expended Totsl activiti8S
Yeor to 31
March 2024
Salari8s and associaltd costs
Premlses running cost$
Premises 8CqUlSltion costs
Administration, telephone, travel etc
Other expenses
Professional fees
Depreciation
Mortgage interest
193,756
31,024
161.219
15,998
11,221
2,898
44.435
1.932
1.350
3,227
31.590
1,992
935
239 053
Pag8 8

Oasis Chur¢h {8lrmlngham
Notes lo Iho Flnancl¥l Stat•m•nts- contlnu•d
lor the Year Ended 31 March 2025
TRUSTEES, REMUNERATION AND BENEFIT8
During the period ended 31 March 2025 there were no trustee expenses.
STAFF COSTS
The 8ver8go monthly numbor of émployees during the period, ¢alcul8led in the basis of full lime equivalents.
was 5 (2024 '. 7).
TANGIBLE FIXED ASSETS
Flxturos &
Flttlngs
Bulldlnos
COST OF VALULATION
At 1 Apfll 2024
Addltions
11,073
Al 31 March 2025
DEPRECIATION
At 1 April 2024
Providing during the year
10,765
Al 31 March 2025
NET BOOK VALUE
At 31 Merch 2024
At 31 March 2025
DEBTORS: AMOUNTS FALLING DUE AFTER MORE THAN ONE YeAR
Year to 31
March 2025
Year to 31
March 2024
Other deblors
13,368
Page g

Oa$ls Church IBirmingham)
Notes to the Flnanclal Ststements - ¢ontlnuod
for the Year Ended 31 March 2025
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Yearto 31
March 2025
Year to 31
March 2024
Taxation and Social security
Other creditors
3,733
3.162
10.
CREDITORS: AMOUNTS FALUNG DUE AFfER MORE THAN ONE YEAR
This relates to the mortgage taken out on the purchase of the property.
11, MOVEMENT IN FUNDS
Net movement
Transferg
in funds belween funds
Al 1.4.24
At 31.3.25
Unre8lrfcl•d funds
General fund
101,075
42,840
143,91 S
R￿tri¢l9d funds..
Building lund
391,553
26,464
418,017
TOTAL FUNDS
492 628
561932
N81 movement In funds. included In Ihé above arg os follows:
Incoming
resou￿5
Resourceg
expended
Galns and Movemenl in
105ses
funds
Unrestrlctad funds
General fund
325,194
282,354
42,840
Restrict8d funds..
Building Fund
50,989
24,525
26.464
TOTAL FUNDS
376 183
306 879
12.
CONTINGENT LIABIUTIES
During the year a grant of £250,000 was received to facilitate the purchase of the building. The tem)s of the
grant are such 'lhat should the propety be sold svilhin the first seven years of advance.. a proportion of Ihe
proceeds on sale equivalent to the original proportion of the acquisition cost 1$ repayab18 {33 /•). The value ol
this cannot be dfrfinod as it relates to potential sales proceeds. Therè are no plans for sale of lh8 building wlthln
this timeframe.
There were no contingent liabilities during the year ended 31 March 2024.
Page 10

Oas1$ Church (Birmingham)
Dètalled Slatoment of Flnan¢lal Actlvltles
for tho Y•ar Ended 31 March 2025
Yearto 31
March 2025
Year lo 31
March 2024
INCOME ANO ENDOWMENTS
Donollon$ and legacie5
Other (lonation$
Buildlng Fund
307,315
230,533
358.304
421,187
Incoming resourcès from charitabl6 activities
17.879
16,048
Inv•slm•nt Incomo
Deposil account Interest
Total Incomlng r•gourc•$
376,183
437,233
EXPENDITURE
Charltabl• actlvltl•s
Direct eharit8blè exp8ndllure
23,118
11,630
Ral8lng funds
Donations
13,200
14,450
Support ¢o$ts
Salaries and assoclaled costs
Premises runnin9 costs
Building acquisllion cost8
Admlnislratson, telephone, travel elc
Other expenses
Depreciation
Mortgage interest
193,758
31,024
161,219
15,998
11,221
2,898
44,435
1,350
3,227
31,590
935
304,887
283,201
Governance costs
Accounlancy
1,992
1,932
Total r•sour¢•s •xp•nd•d
306.879
265,133
Nèt in¢om•
172 100
Page 11