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2020-12-31-accounts

Longcroft Church

Legal and Administrative Information

Charity Registration Number 1174221

Trustees Mr Lee Cheung Mr Derrick Harrison Mr David Meeten (chairman) Dr David Vine Mr Andrew White Mr Richard Worsley

The existing trustees appoint any new trustees following the provisions laid out in the organisation's governing Trust deed

Legal Status Charitable Incorporated Organisation Governing Document Trust Deed dated 10th August 2017 Objects To advance the Christian Faith for the benefit of the public in accordance with the Statement of Faith set out in the Schedule hereto including Christian worship, the preaching of the gospel and all the functions associated with these ends

Correspondence The Longcroft Address Storeton Lane Barnston Wirral CH61 1BU Bankers Barclays Bank 26 Pensby Road Heswall Wirral CH60 7RR Solicitor Pearcelegal 2 The Square Solihull West Midlands B91 3RB Independent Examiner Ian Afflick FCA 336a Wellington Road North, Heaton Chapel Stockport Cheshire SK4 5DA Members Mr Bryan Dowley Mr Peter Elks Mr Roger Jacobs Mr Mark Jones Mr David Meeten Dr David Vine Wider Leadership Team Mr Paul Bach Mr Lee Cheung Mrs Lynda Cheung Mr Tim Coates Mr Bryan Dowley Mr Peter Elks Mr Roger Jacobs Mrs Helen Jacobs Mr Mark Jones Mr Christopher Knight Mr David Meeten Mr Morris Rowlands Dr David Vine Mr Andrew White Mr Richard Worsley

LONGCROFT CHURCH

TRUSTEES' REPORT YEAR ENDED 31ST DECEMBER 2020

The Trustees present their annual report and the independently examined accounts for the Year ended 31 12 20

Administrative Information

Fulfillment of the Aims

The Trustees work closely with the members of the CIO to deliver the purposes of the charity as described above. In view of its purposes, it is difficult to assess or measure the success of such work but there are many indications of progress, including increased numbers attending, and contributing, as well as healthy finances

Organisation

It is the duty of the members of the CIO to exercise their powers to further the purposes of the CIO in accordance with the statement of faith. The charity trustees manage the affairs of the CIO and delegate to the Wider Leadership Team in all practical day to day matters of the CIO. A large number of volunteers contribute to the work of the CIO.

Public Benefit

As a small charity, below the Charities Act’s audit threshold, the report focuses on the main activities undertaken by the charity to further its charitable purposes for the public benefit. The trustees have had regard to the Charity Commissioners guidance on public benefit, in particular the guidance on charities for the advancement of religion, when planning their activities. This year's income is excpetional, exceptional to the transsfer transfer assets from Longcroft Trust; normally we are a small charity.

Objectives and Activities

Regular public meetings are held for worship and preaching of the gospel, both on Sundays and midweek in both daytimes and evenings. A full programme is provided for children and young people.

Risk Assessment

Trustees review controls of key financial systems and other operational and business risks that the CIO faces and confirm that there are established systems in place to mitigate the significant risks. Further Covid-specific risk assessments have taken place over the past year in order for face-to-face gatherings, as and when appropriate, to be deemed Covid secure, in keeping with Government guidelines. All members working with children, young people and vulnerable adults have been registered with The Disclosure and Barring Service (DBS).

Policies

The CIO has the following policies in place: Safeguarding, Vulnerable adults, Health and safety, Investments, Conflict of interests, Social media, Complaints procedure, and Data protection.

Activities

There has been an extensive range of activities carried out by the CIO during the year, including meetings, children's and youth work, hospitality, support of home and overseas mission, all supported by a large team of volunteers. Many of these activities have had to take place by virtual means at times due to the Covid pandemic and if face to face activities have at times been permitted, they have been carried out in a Covid secure manner.

Building and Maintenance

Ongoing general maintenance of the house and grounds has continued throughout the year. The sound system in the main meeting room has been upgraded. There has been a structural survey of the church building and of the drainage system.

Transactions with Trustees and Rental Agreements

Transactions with Trustees and Connected Persons are set out in the notes to the Accounts.

Financial Policy

The financial position of the Charity is clearly set out in the accounts that follow this report. A large proportion of the income has been by voluntary donation. It is the CIO's policy not to engage in fundraising activities. There is some rental income. It has been the policy of the CIO to give away as much as is possible from our income after all the necessary expenses have been met. A large proportion of the donations has been to work abroad. Gifts are made to like-minded individuals and organisations on the basis of perceived need

...................................... David Meeten

10 th May 2021

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LONGCROFT CHURCH

STATEMENT OF FINANCIAL ACTIVITIES YEAR ENDED 31ST DECEMBER 2020

31 12 20

INCOME & EXPENDITURE Notes Unrestricted Restricted Total Total
INCOMING RESOURCES Funds Funds
£ £ £ £
Offerings & Donations Received 1 95,781 64,657 160,438 141,464
Activities in furtherance of the charity's objects
Bookstall CD & DVD Sales 256 256 663
Other Trading 357 357 2,605
Investment Income & Interest
Contributions from Residents 7,807 7,807 9,163
Interest Received 1 1 -
Other Income 2 1,526 - 1,526 1,238
TOTAL INCOMING RESOURCES 105,728 64,657 170,385 155,133
Less: RESOURCES EXPENDED
Charitable Expenditure
Costs of activities in furtherance of the objects of the charity
Mission 18,022 26,210 44,232 44,366
Ministry 11,433 4,573 16,006 16,627
Children & Young People 392 60 452 889
Residential Property Costs 1 48,629 - 48,629 37,068
Poor Relief & Foreign Aid 1,883 33,469 35,352 7,253
Bookstall CD & DVD Cost of Sales 154 154 684
Other Trading Expenses 390 390 2,461
80,903 64,312 145,215 109,348
Support costs 1 4,861 4,861 4,596
Governance 1 970 970 1,541
TOTAL RESOURCES EXPENDED 86,734 64,312 151,046 115,485
NET INCOMING RESOURCES
Before Transfers 18,994 345 19,339 39,648
Inter Fund Transfer 45 (45 )
NET INCOMING RESOURCES
For the Year 19,039 300 19,339 39,648
FUND BALANCES as at 1st January 2020 1,728,927 - 1,728,927 1,219,279
Surplus on Revaluation Reserve for the Year - - 470,000
as at 31st December 2020 1,747,966 300 1,748,266 1,728,927

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LONGCROFT CHURCH

BALANCE SHEET AS AT 31ST DECEMBER 2020

31 12 31 12 20 20 31 12 19 31 12 19 31 12 19
**Notes ** £ £ £ £
FIXED ASSETS 3
Freehold Land & Buildings 1,648,620 1,648,620
Equipment 11,386 9,156
Furniture & Fittings 17,219 13,852
Worship & Library Books 662 756
1,677,887 1,672,384
Current Assets
Bookstall CD & DVD Stocks 615 379
Debtors & Prepayments 18,527 9,466
Cash at Bank and in Hand 56,414 49,881
75,556 59,726
Less: Current Liabilities payable within one year
Creditors & Accruals (5,177 ) (3,183 )
NET CURRENT ASSETS 70,379 56,543
NET ASSETS £ 1,748,266 £ 1,728,927
Represented By:
FUNDS
Unrestricted
General 1,277,966 1,258,927
Revaluation Reserve 470,000 470,000
Restricted 4 300 -
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£ 1,748,266 £ 1,728,927

Approved by Trustees 10th May 2021

................................... Richard Worsley Trustee

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LONGCROFT CHURCH

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF LONGCROFT CHURCH YEAR ENDED 31ST DECEMBER 2020

I report on the accounts of the CIO for the Year ended 31st December 2020, which are set out on pages 1 to 7

Respective responsibilities of Trustees and Examiner

As Trustees of the Charity, you are responsible for the preparation of the Accounts; you consider that the Audit requirement of Section 144(2) of the Charities Act 2011 (the Act) does not apply. It is my responsibility to state, on the basis of procedures specified in the General Directions given by the Charity Commissioners under Section 145 (5)(b) of the Act, whether particular matters have come to my attention.

Basis of Independent Examiner's Report

My examination was carried out in accordance with the General Directions given by the Charity Commissioners, instead of an audit under Regulation 31(f), according to a dispensation granted 8th June 2019. An examination includes a review of the accounting records kept by the Trust 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 explanations from you as Trustees concerning such matters.

The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts.

Independent Examiner's Statement

In connection with my examination, no matter has come to my attention:

(1) which gives me reasonable cause to believe that in any material respect the requirements

have not been met: or

(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

I Afflick FCA Chartered Accountant 336a Wellington Road North Heaton Chapel STOCKPORT Cheshire SK4 5DA

20th May 2021

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LONGCROFT CHURCH NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 31ST DECEMBER 2020

1. ACCOUNTING POLICIES

The Financial Statements are prepared on a historical accounts basis, taking into account accruals and depreciation where relevant, in order to ensure consistency. Gifts to Restricted Funds are accounted for upon receipt, though Restricted Tax Refunds are included when net donations are received.

Gifts in kind are only recorded and included if material, and then are included as income in the year given.

Gifts from Residents and Grants are recorded as income only when received. Income Tax recoverable from Gift Aid donations is included at the date net donations are received, and where appropriate included as a debtor at the Balance Sheet date.

Only reimbursements of expenditure are netted off against such and not counted as income.

Unrestricted Funds are incoming resources, which can be used in accordance with the charitable objects at the discretion of the trustees.

Designated Funds are unrestricted funds set aside by the trustees for particular purposes.

Restricted Funds are to be used for specific purposes. Restrictions arise when specified by the donor or when funds are raised for particular restricted purposes.

Centre expenses are not wholly directly charitable in nature; properties held are partly of an investment nature, since donations are received from residents and certain administrative functions are performed there. However, accommodation provided for Christian workers and their families as well as to short and medium-term guests is considered to be both an integral part of the Direct Charitable activity of the Church to its members and the local community and the major use of the buildings.

All Fixed Assets were valued at 01 01 18, when they were transferred from the charitable trust and are depreciated at appropriate rates thereafter. Freehold properties were revalued during the year.

Assets are Capitalised, irrespective of finance sources and methods, provided such are permanently intended to be used by the Trust. Only acquisitions of £200 and over are capitalised.

Properties are not annually revalued unless, in the opinion of the Trustees, previous valuations are misleading. No depreciation is provided for the same reason.

Current Assets are shown at the lower of cost and net realisable value.

Current Liabilities are shown at settlement value.

2. DEPRECIATION & REVALUATION OF FIXED ASSETS

Depreciation is provided, other than on Properties, on the reducing balance method (unless otherwise shown), based on expected useful lives, at the following rates:-

Equipment 20% Furniture & Fittings 10% Worship & Library Books 10% (Straight line)

It is not thought that there is any merit in depreciating Freehold Property, especially with a recent revaluation, though this policy will be reviewed if and when the prevailing circumstances alter.

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LONGCROFT CHURCH NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 31ST DECEMBER 2020

3. FIXED ASSET MOVEMENTS Freehold Furniture Furniture Worship
**Properties & ** Equipment & & Library Total
Improvements Fittings Books
Cost or Valuation £ £ £ £
Valuation as at 1st January 2020 1,175,000 6,911 2,529 944 1,185,384
Cost as at 1st January 2020 3,620 6,324 14,572 24,516
Additions in Year - 5,077 5,280 - 10,357
1,178,620 18,312 22,381 944 1,220,257
Add: Revaluation at 29 05 19 470,000 470,000
Depreciation
As at 1st January 2020 4,079 3,249 188 7,516
Charge for the Year 2,847 1,913 94 4,854
6,926 5,162 282 12,370
Net Book Value at 31st December 2020 1,648,620 11,386 17,219 662 1,677,887
Net Book Value at 1st January 2020 1,648,620 9,156 13,852 756 1,672,384

4. FUNDS & FUND TRANSFERS

There are a variety of Restricted Funds for specific individuals, other Christian Works and specific purposes.

5. ANALYSIS OF NET ASSETS BY FUND Unrestricted Unrestricted Restricted
General Purposes (Note 4) Total
£ £ £
Fixed Assets 1,677,887 1,677,887
Current Assets 75,256 300 75,556
Current Liabilities (5,177 ) (5,177 )
Fund Balance 1,747,966 300 1,748,266

6. TRUSTEES EXPENSES

During the Year to 31 12 19 only, two Trustees received gifts totalling £250 for Travelling and speaking expenses and two ( Year to 31 12 19 - one) Trustees received gifts of £1,300 ( Year to 31 12 19 - £2,232) in recognition of their Christian ministry.

Also in the Year, four (Year to 31 12 19 -six) persons related totwo (Year to 31 12 19 - five) Trustees received £6,000 (Year to 31 12 19 - £ 9,936) to support them as Ministers and Missionaries.

Three (Year to 31 12 19 - four) charities which have a Trustee in common with Longcroft Church received £4.388 (Year to 31 12 19 - £1,831) in the Year.

Other than reimbursement of expenses, there were no other payments to, or contracts with Trustees or Connected persons.

7. INDEPENDENT EXAMINER'S FEE

The Independent Examiner received £ 645 (Year to 31 12 19 - £ 635) for the Independent Examination and preparation of the accounts.

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