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2022-08-31-accounts

TRUSTEES REPORT AND ACCOUNTS FOR THE YEAR ENDED 31AUGUST 2022 (
REFERENCE AND ADMINISTRATIVE DETAILS (Continued)
Local Church Representatives:
Streatham
Carl Opare-Addo
Tina Rawlings
Jacob Arkaah
Pat Ashworth
Tulse Hill Christine
Armor
Kwadwo Asamoah-Boadu
Emmanuel
Bentsi-Abban
Agnes Baiden
Carmen Garnet Rose
Trevor Hyde
Brixton Hill Kathy Rennalls
Janet Oppong
Robert Smyth
Enley Taylor
Kofi Kyei
Eva Kyei
Nike Musa
Mestyn Road Franclsca Gaspar
Nana Hamoa Dormon
Akuba Forson
Railton Road Comfort Babawale
Temitope Tayo
Jennifer
Davis
Andy Kalamuso
Clapham Solomon Quaye
Dorothy Blincoe
Antonia
Buamah
Sharon Bryan
Regina Carrena
Ola Fadugba
Fiona Owusu
Stockwell
Rebecca Ekang
Leticia Quayson
Alice Aduku
Nathaniel
Beury
Lorna Simpson

STATEMENT OF FINANCIAL ACTIVITIES STATEMENT OF FINANCIAL ACTIVITIES STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR FOR THE YEAR FOR THE YEAR ENDED 31AUGUST ENDED 31AUGUST ENDED 31AUGUST 2022 2022
Note Unrestricted
Restricted
Total 2021
INCOIVIING RESOURCES f f
Charitable
Activities
3.1 289,080 0 289,080 291,863
Investment
income
105,342 22 105,364 100,776
Other Income 3.3 859 0 859 2 500100
~395281 22 395 303 2802 739
RESOURCES EXPENDED
Expenditure
on Raising Funds
4.1.4 116,202 4 116,206 25,274
Expenditure
on Charitable
Activities
4.2.3 504,363 504,372 1,637,013
Others 4.3 ~35 147 ~35 147 14358
TOTAL RESOURCES USED ~655712 13 655 725 1676645
NET {DEFICIT)/ INCOME FOR THE YEAR Before Recognised Gains
(260,431) 9 (260,422) 1,216,094
GAINS ON REVALUATION
OF FIXED
ASSETS FOR THE CIRCUIT'S USE
Revaluation
Gains on Properties
0 0 250,000
GAINS ON REVALUATION
OF FIXEDASSETS INVESTMENTS
Revaluation
Gains on Properties
0 0 220,017
PRIOR YEAR ADJUSTMENTS
Tangible
Fixed Assets
7.1 1,820,899
Fixed Assets Investments 7.2 0 0 -373,034
BALANCE BROUGHT FORWARD 11,173,788 7,139 11,180,927 8 046 951
BALANCE CARRIED FORWARD 10,913,357 7,148 10,020,505 11180927
All activities are derived from continuing operations
There are no further recognised (losses)/ gains other than the
(deficit)/income
for the above
financial years.
The notes to the financial statements form an integral part ofthese financial statements.
page 10

FIXEDASSETS unrestricted Restricted T0TA L 2021
Note
Tangible
Fixed Assets
8.1 5,550,000 0 5,550,000 5,550,000
Investments 8.2 3420.0DD 0 342D DDD 3.420 017
Total Fixed Assets 09?0,030 0 8,970,000 8,970,017
CURRENT ASSETS
Investments 1,496,112 0 1,496,112 2,000,980
Debtors 11 300,060 0 300,060 217,305
Bank and cash balances 12 ~48 ~4
421
129,261
22,031440 7,148 2,038,593 2,347,546
CREDITORS: Amounts falling
due within one year 13 08088 0 00008 13I3636
TOTAL NET CURRENT ASSETS 1 943357 7 148 1 950 505 2210910
TOTAL ASSETSLESS CURRENT
LIABILITIES 10 0'l3 367 '7 148 10920505 11 100,027
FUNDS 14
Restricted
Funds
14.1 7,148 7,148 7,139
Unrestricted
Funds
14.2 1D913357 1D313357 ~1117378
10913357 7 148 10920 505 11180927

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31,AUGUST 2022 ( Continued )
2 0 2 1
Unrestricted
Restricted
Total Unrestricted Restricted Total
Funds
Funds
2022 Funds Funds 2021
E E F. E E E
4.2EXPENDITURE ON CHARITABLE ACTIVITIES
4.2.1 DIRECT SPENDING
District Assessment 55,248 65,248 6S,248 55,248
Stipends, Pension and NIC 204,375 204,375 177,711 177,711
Salaries and NIC 26,091 26,091 25,984 25,984
Circuit Administration 8,369 8,369 8,153 8,153
Ministers'
travelling
expenses ~5 ZS 758
306586 ~306586 ~2778 4 277854
4,2.2 SUPPORT FOR CHARITABLE
ACTIVITIES
4.2.2.1 Premises Expenses
Repairs to Manses 3,269 3,259 13,328 13,328
Manses Utilites 12,918 12,918 19,216 19,216
Quinquinal
Report
2,340 2,340 0 0
Insurance 6692 6692 L544 ~854
25219 ~25 19 ~41 Oi% 41 088
4.2.2.2 Governance costs
Audit Fees 3,078 3,078 3,150 3150
Accountancy
Fees
1,759 1,759 1,800 1,800
Book-Keeping Charges 4,476 4,476 0 0
TMCP Charges 4,147 4,155 1,666 1,675
Bank Charges 177 177 0 0
Legal Fees 3,600 3,600 0 0
Other Professional Charges 9 0 437705 437705
~17237 ~17246 444 323 ~444
30
4.2.2.3 Others
DAF Contribution 138,077 138,077 54,667 54,657
TMCP Levy on sale ofproperty 0 0 804,916 804,916
Telephone 2,531 2,531 3,142 3,3.42
Post, Print and Stationery 3@50 3,750 2,955 2,956
Youth Expenses 4,260 4,260 8,060 8,060
Ascension Trust Project 5,520 5520 0 0
Apprenticeship
levy
~1183
~165321
~18
~155 21
I)
jt73 741
g
~841
SUMMARY OFEXPENDITURE ON GI1ARITABLE ACTIVITIES
Direct Spending 306,586 306,586 277,854 277,854
Support for charitble activites
Premises Expenses 25,219 25,219 41,088 41,088
Governance 17,237 17,246 444,323 444,330
Others ~155321 ~15321 jb73 741 873741
~04 372 1 637 QM 1 637013
4.3 OTHER
Sundry Expenses 8,452 8,452 8,358 8,358
Subscription 2,267 2,267 0 0
Payroll Costs 960 960 0 0
Staff Training 295 295 0 0
ITand Webslte Expenses
Bad Debts
1,173
~00
1,173
~0
0
~5000
6 0(L0
Total Other expenditure 5147 35147 14358 ~1435
page 17

LAMSETH CIRCUIT METHODIST CHURCH LAMSETH CIRCUIT METHODIST CHURCH LAMSETH CIRCUIT METHODIST CHURCH LAMSETH CIRCUIT METHODIST CHURCH
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31,AUGUST 2022 ( Continued )
5.GAINS ON REVALUATION
OF
FIXED ASSETS FOR THE CIRCUIT'5 OWN USE
2022 2021
Revaluation gains on properties 2~50 000
6, GAINS ON REVALUATION
OF
FIXED ASSETS INVESTMENTS
2022 2021
f F
Revaluation gains on properties 220000
7.PRIOR YEAR ADJUSTMFNT
2022 2021
Revaluation Gains (Deficit )on properties
7.1 Tangible Fixed Assets
7.2 Fixed Assets Investments ~373034
page 18

NOTES TO THE FINANCIAL STATEM ENT S FOR THE YE AR ENDED 31AUGUST 202 2 (con tinued
)
8.FIXEDASSETS
8.1TANGIBLE FIXEDASSETS Freehold
l.and &
Buildings
COST OR VAI.UATION f
As at 1September 2021and 31,August 2022 5,550,000
DEPRECIATION
As at 1September 2021and 31August 2022
NET BOOK VALUE
As at31August 2022 5,550,000
As at 31August 2021 5,550,000
8.2 FIXEDASSETSINVESTMENTS
COST OR VALUATION Freehold
Land &
Buildings
f
As at 1September 2021and 31,August 2022 3,420,000
NET BOOK VALUE
As at 31August 2022 3,420,000
As at 31August 2021 3,420,000
No depreciation
has been provided
in respect oftangible
fixed assets for the year
are ofthe opinion that the maintenance
programmes
to which these properties
ensures that the estimated
residual values are not less than the stated values,
asthe trustees
are subjected to
9, INVESTIVIENTS 2022 2021
The following funds are held by TMCP on behalf ofthe Circuit f
Sale ofProperty- Trust 15175 22III20 22,378
De-Bourcier Bequest - Trust 8976 4,322 4,322
De-Bourcier Bequests - 8976A 3,114 3,109
De-Bourcier Bequests - B976B 11,948 11,926
Bernard Searle Bequest - Trust 17694 1,559 1,556
Circuit Model Trust - Trust 22136 1,452,749 1997689
1,496,112 2,000,980
T M C P Investments
are held at cost less accumulated
impairment losses.

LAMBETH CIRCUIT METHODIST CHURCH LAMBETH CIRCUIT METHODIST CHURCH LAMBETH CIRCUIT METHODIST CHURCH
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31AUGUST 2022 (continued )
13.CREDITORS: Amounts
fallin
due within one ear 2022 2021
f
Local Churches Assessments
received
in advance 4,219 4,370
Amounts
due to other Methodist
Circuit 26,102
Due toother Methodist
Circuit
60,000 60,000
Sundry Creditors 13,402 23,984
Accruals and other Creditors 10,467 22,180
&8,088 136,636

14.1RESTRICTED FUNDS 2022 2021
f f
Balance Brought Forward 01/09/2021 7I139 7,132
Incoming Resources 22 16
Resources Expended -13
Balance Carried Forward 31/08/2022 ~7148 ~7139
14,1.2 DETAILED RESTRICTED FUNDS
2 0 2 1
Ministerial Benevolent TOTAL Ministerial Benevolent Total
Training Fund 2022 Training Fund 2021
f f f f
&al. Brought Forward 4,037 3,102 7,139 4,032 3,100 7132
Receipts 22 11 5 16
Payments 9 -4 -13 -6 -3
Bal.Carried Forward ~4043 ~3105 ~7148 ~4037 ~3102 ~7139

NOTES TO THE FINANC IAL STATEMENTS FOR THE YEA IAL STATEMENTS FOR THE YEA IAL STATEMENTS FOR THE YEA R ENDED 31AU G UST 2022 Ic ontinued )
17.APPORTIONMENT OF SUPPORT COSTS AMONGST ACTIVITIES.
2 0 2 1
Charitable Expenditure Total Charitable Expenditure Total
Activities to raise funds Activities to raise funds
GOVERNANCE
f f f
Audit 3,078 1,122 4,200 3,150 1,050 4,200
Accountancy 1,759 641 2,400 1,800 600 2,400
Book-keeping charges 4,476 1,632 6108
Bank charges 177 64 241
T M C P Charges 4,156 1,515 5,671 1,668 7 1,675
~13646 ~4974 ~18620 6~618 ~I65? ~8275
OTHERS
f f f f f
Telephone 2,531 922 3,453 3,142 1047 4,189
Post, Print and stationery 3,750 1,367 5,117 2,956 965 3,941
Sundry Expenses 8,452 3,080 11,532 8,358 2766 11,144
Subscription 2,267 826 3,093 0
Staff training 295 107 402 0
IT and Website costs ~1173 ~47 ~1600 0
L488 E 6729 25197 14456 48814 ~19274