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2024-12-31-accounts

REGISTERED CHARITY NUMBER: 1175835 New Covenant Church, Chafford Hundred CIO

Registered Office

International House, 24 Holborn Viaduct, London, EC1A 2BN

Contents of the Financial Statements

For Year Ended 31 December 2024

Report of Trustees 2 - 12 Statement of Financial Activities (Attached Separately) 1 - 11

NEW COVENANT CHURCH, CHAFFORD HUNDRED CIO

Report of the Trustees For the year ended 31 December 2024

The trustees present their report with the financial statements of the charity for the year ended 31 December 2024. The trustees have adopted the provisions of the Statement of Recommended Practice (SORP) 'Accounting and Reporting by Charities' issued in March 2005.

REFERENCE AND ADMINISTRATIVE DETAILS

The charity is registered in England & Wales with the Charity Commission in England & Wales (CCEW) Number 1175835

Registered Office

46 Cumberland Road Chafford Hundred Grays Essex RM16 6DS

Trustees

Mr Dele Oyewale Mrs Elizabeth Ekanem Mrs Olayinka Shorinmade-Junaid Miss Shola Adejonwo

Bankers

Natwest Bank

Independent Examiner

Kingsviews Associates 48 Beaumont Road, Purley CR8 2EG

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing Document

New Covenant Church CIO (the "Church") is a Charitable Incorporated Organisation (CIO) in England & Wales and constitutes a corporate body with limited liability. It is registered with the Charity Commission under number 1175835.

The Church was incorporated on 21[st] November 2017 and is controlled by its governing document, a constitution as approved by the Charity Commission in England & Wales (CCEW), and is governed by its trustees in accordance with its constitution.

There are no restrictions in the governing documents on the operation of the Charity or on its investment powers other than those imposed by Charity Law.

Governance Code

The trustees are aware of the Charity Governance Code and are considering how the relevant matters can be applied to and implemented by the Church.

Policy Documents

We have the following policies -

  1. Risk Management

  2. Conflict of Interest

  3. Volunteer Management

  4. Complaints Handling

  5. Paying Staff

  6. Investment

  7. Reserves

  8. Gifts To Ministers

  9. Grant Making

  10. Anti Money Laundering, Terrorist Financing and Bribery

  11. Safeguarding

Organisational Structure

The Board of Trustees appointed a Council of Management and other advisers who promote the objectives of the charity. The Board of Trustees hold meetings throughout the year and Council of Management are directed to promote the policies, strategies and processes of implementation for the various programmes and projects. These are subjected to constant reviews to assess outcomes.

Risk Management

The Trustees have a duty to identify and review the risks to which the Charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against fraud and error. Safeguarding training, reviews and planning have been undertaking to ensure adequate protection of children and adults at risk in accordance with the government legislation on safeguarding.

Training

At set up a number of Trustee Training Sessions were held jointly with a number of other churches, covering Charity Commission Registration, CIO & Set Up, Transfer of Asset, Trustees, Committees and Legal Duties, Accounting, Charities Commission Website, Public Benefit & Related Activities, Policy Documents Required, Finance, etc.

Our trustees attend a yearly trustees training programme and are encouraged to review and update themselves on their responsibilities as trustees by reviewing the Charities Commissions website at https://www.gov.uk/guidance/charity-trusteewhats-involved

Our treasurer attends yearly updates on financial probity and legal requirements of their role.

All Volunteers are encouraged to attend a yearly half day training session that focuses on legal and community expectations – encouraging integration, unity in diversity and cohesion.

Wider Network

The Church is a member of The New Covenant Church and is applying to join the Evangelical Alliance.

Commencement of Activities

During 2018, New Covenant Church Chafford Hundred transferred its assets and activities to New Covenant Church Chafford Hundred CIO. The Charity Account held by Natwest became operational on 01 April 2018.

OBJECTIVES AND ACTIVITIES

Constitution, Objectives and aims and Organisation of our Work

The Objectives of the Church New Covenant Church Chafford Hundred (the “Church”)

  1. The advancement of Christian Faith in the United Kingdom.

  2. The relief of persons who are in conditions of need, hardship or distress or who are sick or aged in the United Kingdom.

  3. The relief of poverty.

In fulfilling its purpose, the Church will engage in a range of activities either on its own or with others, that will vary from time to time with activities being initiated, expanded, or closed, as appropriate.

Principal Activities

The Principal Activities of the charity are Christian worship and involvement of various ministries and ministers of religion in propagating the Tenets of faith to members (and non-members), who seek to learn and develop an understanding of the Gospel through the various meetings provided by the Church. There is also an extension of the Christian Faith through other direct community outreach programmes provided by the churches.

Charitable Activities

The Boards of Trustees are pleased to report as follows:

The Church's activities include, but are not restricted to

Volunteers

A significant proportion of the Church's activities are run by and with the assistance of volunteers, who freely give of their time and skills to support the Church in the furtherance of its aims.

PUBLIC BENEFIT

The Advancement of Christian Faith

The Trustees of the charity having due regard for reporting the Public Benefit provided by the charity in line with the Charities Act 2011 the specific guidance on charities for the advancement of religion are pleased to report that the church has continued its

involvement with a number of community focus outreach programmes and projects providing direct benefits for the public in the United Kingdom.

COMMUNITY OUTREACH:

RELIEF OF POVERTY AND HARDSHIP:

Our fruitful partnership with Thurrock Food bank – continued in 2024. Support of the Thurrock Homeless Unit Charles Street Grays, and the Young mothers unit remained in place.

In addition to these, the church made adequate arrangement for Palliative care for vulnerable members of the community- who required financial support during crisis – A vulnerable single mother of three children and a family that experienced catastrophic / near fatal health challenges.

HELPING THE SICK AND AGED:- Healing Rooms - Members attend and support the Healing School.

In 2024 the Church purchased a new- second hand Transport Vehicle. This was to continue supporting vulnerable members in need of a Sunday transport service for our Sunday Services. Transport of the elderly to various church events and programmes continued with the example of attending the Franklin Graham Evangelistic Outreach at the Excel Arena London.

CARE AND COUNSELLING:-

We remain firm Supporters of Transformation Thurrock, an inter-Church Initiative. We further collaborate with the local Gray’s Baptist Church to provide a New Year’s Eve service, this bringing hope and a sense of unity to our local community.

PLACE OF WORSHIP

In 2024 the church held its services at the William Edwards School in Grays between 11 am and 12:30pm.

The expenses will be included in the financial report. Mid-week Bible Studies and monthly prayer meetings remain remote meetings via zoom. Attendance ranges between 35-60 (40 on average).

Youth Ministry

The Youth Ministry runs vibrant youth programmes, some alongside other churches. Additionally, youth & young people socials are held from time to time. In 2024 –The Covenant Culture initiative continued to encourage Christian living and being responsible members of the community among young people aged 18 to 35. This ministry provided advice on social issues, mental health, career and support during and after exams.

The youth are also mentored into leadership roles by having the opportunity to participate in various departmental activities.

Children and Youth Ministry

The Children Ministry caters for the spiritual needs of children every Sunday. In 2024, the Sunday School Ministry focused on teaching the basic tenets of faith, building selfconfidence and raising self-esteem in each child.

All volunteers working with Youth and Children had their DBS checks reviewed in 2024.

The Church conducted a Half Day Safeguarding Training for all volunteers on the 21[st] of September 2024.

Bible Study

Bible Study was during the twice monthly mid week service, in pursuance of our commitment to Spiritual growth and advancement of Christian Faith.

Leadership and management:

The CIO has Four Trustees, Three ordained Ministers, a Seven membered Pastoral team and a Thirteen membered Leadership team and heads of departments. The pastoral team meets monthly for prayers and business discussions. The Leadership team meeting holds quarterly with minutes distributed.

FINANCIAL REVIEW

Financial Position

The financial position of the charity is set out in the Statement of Financial Activities and Balance Sheet and the related notes and have been prepared in accordance with statutory requirements of the Charities Act 2011 and SORP (FRS 102).

Principal Funding Sources

The principal funding sources of the Church are the voluntary donations and giving by members of the Church's congregation and proposed allied income tax rebates under the Gift Aid Scheme.

Reserves Policy

The Church aims to hold reserves that would cover three months revenue expenditure, legal commitments under contracts of employment and a reserve to meet essential immediate expenditure to the Church's rent costs, necessary to allow the Church to continue to function. The Church had reserves considered sufficient to meet its premises cost and reserves against its revenue expenditure at year end.

Financial Note

The Church commenced its activities after being carved out from New Covenant Church Charity Registration 1004343, in April 2018.

Going Concern

The financial statements have been prepared on the going concern basis as in the opinion of the trustees, there are no material uncertainties about the charity's ability to continue in operational existence.

FUTURE PLAN

Mindful of our objectives -

  1. The advancement of Christian Faith in the United Kingdom.

  2. The relief of persons who are in conditions of need, hardship or distress or who are sick or aged in the United Kingdom.

  3. The relief of poverty.

The Church plans to continue with its current and expand its programme of activities. Community Outreach, Sunday Services, Midweek Meetings, Bible Study, Holy Communion, Children, Youth, Men and Women Ministries, Sunday School, Leadership Prayer and Strategic Meetings, Seminars, Conferences, etc.

The Church, being mindful of less privilege communities, would seek to prayerfully and financially support targeted areas and projects. Our commitment to working in partnership would remain, particularly within the New Covenant Church, other faith and also none faith based organisations.

Date of Submission 31/07/2025………

………………. Submitted by Elizabeth Ekanem (Chairman Board of Trustees)

Chafford 100 CIO Financial Activities by Location January - December, 2024

Total Unrestricted Restricted

Total

Income
Billable Expenditure Income
Charitable activites
Donations and legacies
INCOMING RESOURCES
Incoming Resources from Generated
Funds
Programme Sales
Discounts given
Product Sales
Sale of Audio and Visual Materials
Stand Sales
Store Rental
Ticket Sales
Total Programme Sales
Voluntary Income
Deposit Account Interest
Building Fund
College Fees
Donations Received
Gift Aid Reclaimed
Members' Activities
Mission Contribution Received
Other Income
Tithes and Offerings
Unpaid / Returned Cheques - Other
Total Voluntary Income
Total Incoming Resources from
Generated Funds
Total INCOMING RESOURCES
Sales of Product Income
Services
Uncategorised Income
Total Income
Cost of Sales
Cost of sales
Total Cost of Sales
Total
Expenditures
Advertising/Promotional
Computer Costs
Employers NI
Interest Payable
National Contributions
Other Professional Services
Phone Costs
Printing, Postage and Stationery
Purchases
Raising funds
RESOURCES EXPENDED
Unrestricted
Restricted
2,454.38
2,454.38
0.00
9,015.90
9,015.90
48,402.12
48,402.12
-
59,872.40 £ 59,872.40 £ 0.00
59,872.40 £ 59,872.40
-
59,872.40 £ 59,872.40
-
-
-
-
59,872.40 £ 59,872.40
-
-
-
- £ 0.00
-
59,872.40 £ 59,872.40
-
-
-
-
-
-
-
-
-
-
6,177.73
6,177.73
-
-
-
-
-
-
0.00
-
-
0.00
-
-
0.00
-
0.00
-
CHARITABLE ACTIVITIES
FINANCE CHARGES
Mortgage Payment - Church
Mortgage Payment - Vicarage
Total FINANCE CHARGES
GOVERNANCE COSTS
Consultancy
Fees
Gift Aid Fees
Professional Charges
Professional Fees
Resources Expended to Other Charitable
Activities
Awards
Gifts
Meetings
Mission Contributions
Outreach
Recreation
Satellite Branches
Sponsorship
Telephone Bills
Training
Transportation
Travel and Accommodation
TV Airtime
TV Recording
Wages / Salary
Welfare
Total Resources Expended to Other
Charitable Activities
Total GOVERNANCE COSTS
Resources Expended to Charitable
Activities
SUPPORT
Accessories for Equipment
Accommodation
Audio and Visual Ministries
Bank Charges
Building Equipment
Computer maintenance & Accessories
Computer Software
Decoration
Donations Given
Education Materials
Equipment
Furnishing
Groceries
Hiring
Honorarium / Love Offering
Insurance Payments
Insurances - Van/Vehicles
Internet Charges
Leasing
Mobile Phones
0.00
-
0.00
-
0.00
-
0.00
-
6,177.73 6,177.73
-
-
-
-
-
-
-
-
-
0.00
-
980.00
980.00
-
-
-
-
-
366.37
366.37
-
-
0.00
-
-
-
1,288.82
1,288.82
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
1,842.00
1,842.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
4,477.19 4,477.19
-
4,477.19 4,477.19
-
-
-
-
-
-
-
-
-
-
0.00
-
-
0.00
-
260.40
260.40
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
750.00
750.00
-
1,516.62
1,516.62
-
-
0.00
-
87.60
87.60
-
-
0.00
-
-
0.00
-
Musical Accessories
Office/General Administrative Expenditures
Welfare
Postage
Premises Maintenance
Printing
Projects
Publicity
Rates
Refreshments
Rent / Lease
Repairs
Security
Service Charges
Stationery
Subscriptions
Support - Appreciation
Support - Birthday
Support - Funeral
Support - Wedding
Utility Bills
Vehicle Maintenance
Water Bills
Total SUPPORT
Total CHARITABLE ACTIVITIES
Total RESOURCES EXPENDED
Uncategorised Expenditure
Uncategorised Expenditure ( 29 )
Uncategorised Expense
Total Expenditures
Net Operating Income
Other Expenditures
Reconciliation Discrepancies
Total Other Expenditures
Net Other Income
Net Income/(Expenditure)
81.94
81.94
-
224.48
224.48
-
2,922.34
2,922.34
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
7,211.50
7,211.50
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
367.87
367.87
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
-
0.00
-
1,205.27
1,205.27
-
0.00
-
14,628.02 £ 14,628.02
-
25,282.94 £ 25,282.94
-
25,282.94 £ 25,282.94
-
-
-
-
25,282.94 25,282.94
-
34,589.46 £ 34,589.46
-
-
-
0.00
-
- £ 0.00
-
- £ 0.00
-
34,589.46 £ 34,589.46
-
-

Bermondsey Conference - Chafford Hundred Balance Sheet

As of December 31, 2024

Total

Fixed Asset
Tangible assets
Motor Vehicles Cost (deleted)
Total Tangible assets
Total Fixed Asset
Cash at bank and in hand
Business Bank Account (deleted)
Chafford Current Account
Chafford Savings
Covenant Men
Covenant Women
Total Cash at bank and in hand
Current Assets
Total Current Assets
Net current assets
Net current assets (liabilities)
Total assets less current liabilities
Total net assets (liabilities)
Charity funds
Opening Balance Equity
Retained Earnings
Surplus/(Deficit)
Total Charity funds
6,298.00
£ 6,298.00
£ 6,298.00
2,964.34
189,317.98
1,015.00
1,995.97
£ 195,293.29
£ 195,293.29
£ 195,293.29
£ 195,293.29
£ 201,591.29
£ 201,591.29
167,001.83
34,589.46
£ 201,591.29
-
£

New Covenant Church – Chafford Hundred CIO 1175835

Report of the Independent Accountant to the Trustees of the charity on the accounts for the period ended 31 December 2024

Our responsibility as an independent examiner is to look at the charity’s records for the period being examined and to give an informed opinion, based on the records, about whether we have found any evidence to suggest that the accounts have not been kept properly, or that the figures being presented by the Treasurer do not tally with the records that have been kept.

Our responsibility is to prepare accounts upon the basis of the information supplied to us, without conducting any formal scrutiny. We have therefore reported on the financial statements of New Covenant Church, Chafford Hundred CIO for the period ended 31 December 2024 as set out on pages 1-11 on the Financial report of the charity, which comprise the Statement of Financial Activities, the Income and Expenditure Account, the Balance Sheet, the Cash Flow Statement and the related notes to the financial statements, including a summary of significant accounting policies.

In our opinion, the accompanying financial statements of the charity are prepared, in all material respects, in accordance with charity law applicable within the jurisdiction of England & Wales and the accounts have been prepared in accordance with FRS 102 SORP (Statement of Recommended Practice for Accounting and Reporting by Charities) 2015, (as amended by the Bulletin issued in February 2016), (The SORP), published by the Charity Commission in England & Wales (CCEW), effective January 2016, under the historical cost convention, and in accordance with the accounting policies set out in section 3 of the SORP, which framework constitutes the applicable United Kingdom Generally Accepted Accounting Practice.

Respective responsibilities of the directors and the accountant.

As described in section 1.7 of the SORP, you, the charity's Trustees are responsible for the preparation of the accounts. The Trustees consider that the audit requirement of Section 144(1) of the Charities Act 2011 (the Act) does not apply, and that there is no requirement in the Governing Document for the conducting of an audit. The Trustees also consider the charity to be exempt from the requirement to be subject to Independent Examination.

Our responsibility is to prepare accounts upon the basis of the information supplied to us, without conducting any formal scrutiny.

Therefore on the basis of the information supplied to us we only carried out the following:

• Establish the opening and closing balances of the relevant bank accounts and established that the records that make up the accounts tally with bank records of all outgoings and transactions coming into the accounts.

• We did not check the paperwork supporting income. However, the charity’s main incomes come from tithes and offering collected on their service or meeting days. We spoke to the treasurer and the explanations were satisfactory to conclude the examinations.

• We did not check paperwork supporting expenditure. However we established that at least 2 signatures that are required by their internal control systems showed have been complied with respect to drawing cheques, to make internet payments, and to authorise larger payments by cash. The signatories are currently authorised officers of the charity.

The Trustees consider that the audit requirement of Section 144(1) of the Charities Act 2011 (the Act) does not apply, and that there is no requirement in the Governing Document for the conducting of an audit. The Trustees also consider the charity to be exempt from the requirement to be subject to Independent Examination. No statement of opinion.

No Statement of Opinion

We have not carried out any audit procedures and have relied upon information supplied to us by the Trustees, and the information supplied by the Trustees in the course of the examination is not subjected to audit tests or enquiries, and consequently we do not express an audit or other assurance opinion on the view given by the accounts.

Signed

Tunde Aikomo – ACMA/AGMA Independent Examiner Kingsviews Associates Ltd 48 Beaumont Road Purley Surrey CR8 2EG