# 



FOUNTAIN GATE CHAPEL (CROYDO
Reportsand Accounts
Contents
Trustees Annua] Report
IndependentExamlner's report
Statement of Flnanclal Actlvltles
Ba)an¢esh￿t
Notes to the Attounts
li

## 

## 

## 

## 



## 



FOUNTAIN GATE CHAPEL (CROYDON)
For The Year EDded 31 December 2024
I reportto the charlty Imistees on my examlnatlon ofthe accounts ofFountain Gate cha￿l-crOYdOA
(the Trust) forthe year ended 31 December 2024.
Responsibllltles and basi5 of report
As the charitytrustees of the Trust you are responslble forthe preparation ofthe accounts In accordance
with the requlrements ofthe Charltles Art 2011 Cthe Artj.
I report In respert ofmy examlnadon of the Trusvs accounts carried outunder section 145 of theArt
and In canying outmyexamlnation I have followed all app]Icable Dlrertions ￿en by the Charity
Commission under secdon 145[5)(b) of the Art
IndepeDd•Dt¢xsmlnerfs statement
I have completed my examlnatlon. I conflnn thatno materlal matter5 have come to myattendon In
connertion wlth the WAamlnatlon which gives me cause to belleve that any materlal respecL'
l. accountlng records were not kept In accordance wlth secdon 130 ofthe A¢ or
11. the accounts do notaccord wlth the accountln8 records
I have no concerns and have come across no other mattcr5 In connertfjon wlth the examfnation to whlch
attentEon should be drawn In this report In Orderto enable 3 proper understandlng of the accounts to be
reached.
op/o?/bs
S[￿ed. Seth Acheampong
Trlnlty Ace Ltd
319 Welbeck Road
ndon
SM5 ILN

FOUNTAIN GATE CHAPEL
CROYDO
STATEMENT OF FINANCIALAcllvrnES
(INCOME AND EXPENDITURE ACCOUNTS)
FOR THE YEAR ENDED 31 Derernknr 2024
FUNDS FUNDS FUNDS
2024
2024
2024
2023
NOTE
INCOMING RKSOURCES
Tlthes, Offerfngs and Donadons
Investmentlncome
46.753
753
38300
GIftAld Clalm
9.186
9,186
6933.89
TOTAL INCOMING RESOUCLS
55,939
SS.939 45233.9
RESOURCKS EXPENDED
Charftable acdvltEe5
52.961
S2,961
39B33
TOTAL RLWURCES LKPENDED
52.961
52,961
39833
Nrt Movement ID Fund*
2,978
978 541)0.89
Total Funds Brought Forward
5,401
shoi
12069
TOTAL FUNDSCARRIED FORWARD
8379
8J79
17470

FOUNTAIN GATE CHAPEL
CROYDO
ASAT 31 DECEMBER 2024
2024
2024
Tangible Flxed Asset- No Flxed Assets Held
CURRE￿ ASSETS
Prepayment
Cash at Bank & In Hand
Glft Ald ClalTn-Recelvable
14822
9,186
LIABILITIFS
Credltors.. Amounts fall1])8 due ￿thIn oneyear
(3.560)
Net currentassets
20
TOTAL ASSEfs LESS CURREwf LIABILITILS
20fv48
Credltops.. Amounts falllngdue aftermore than one year
TOTAL Ass￿ LESS TOTAL LIABILMFS
20h48
CHAM FUNDS
Unres￿rted funds
20h48
TOTAL FUNDS/(DEFICITS)
20A48
The flnan¢la] statements were approved bythe Board oftrustees and on its behalfby.
OFI()F/A)Ir
OselAsante
Dated

FOUNTAIN GATE CHAPEL (CROYDON)
Notrs to the A¢couDts
forthe yeareDded 31 Decejnber 2024
l AccoupmNG POUCILS
The flnat)cla] sratetsments are p￿pared in aLxordancewith Appllc4ble accountlngstandards
usthg the H15tort¢ai Cost ConYentiOIL
The financlal ststeternents reflertthe reqlllremenLS of th¢ revbsed Srat¢meDtof Recornmended
Practice'Ac¢ountlng forcharities" (SORP). The Chllrfty complied with bÈst practrce atthe time
ofpreparin8 these account&
Foumtaln Gate has no IIKed assets remrded as at 31st December2024
GÉNERAL
88 knnts ha¥e b•en wepored In wlth I￿￿ntIng St•nd8rds •nd th•
Charll•lAo SORP. (Statemont ofR•comm•ndod PraL*ka on ACC￿n￿ng by Chaiits￿).
Income ts accounted foron acwls basls. except for donatlons, whlch are LTedlted when recelved
Th￿ r¢FMa•nts glft•, donattono, Illhe•, offwkny. p*8 ond b•nk hrtore•t to the Cha
durkng th• yow.
2.1 GIftAld
GIftAld Clalm
a￿TI￿N* Don•dons & Gifts to Mlg810
These repre￿ntamOurtts 8lYen to varlous Indlvldual4 oryantsatlons and otherc￿￿tAbletru$ts.
Honorarlurn to vlsiting $￿kor58nd remlttarftces formtsslonarywork
Ltpendllure
All expendlturè Is accounted for on accruals basls.
Resources expended on charftable #rtivltles comprhse all the resourrys applled bythe charlty In
und¢¢rkattft81ts work to meet Its charftsbleoblerttves. These LWLS lttdude thedJrertcostsof
the chaTltable acdvltle5wIth those supportcosts Imwred thatenabltrthese artlvltle5tobe
undertake
F4enditure on governance costs are thec05ts In¢urred bythe charltyto operate and to generate
the Informatlon requlred for PLSblic accountablllty.
The charlws funds are unrestrLLted and are avatlable for atthe dlscredon of the Board of

Fountaln Gate Cl￿pe1 (Croydon)
ProfltAnd Loss Account
For theyEar ended 31 December 2024
2024
Income
Tlthes. offerings & Donatlons
GiftAid aaim
46,753
9.186
S5.939
Totsl Income
Expenses
BaDkcharyes
Travelllng & Motor Expenses
Rent (Includln8 Storage cost)
Honorarium & Glfts
Mwslc Mlnlstry. Medla, Radio.TelevisIo￿ Publicity and advert
Postage. Statlonery and prlntin8
Donations to charfdes
Misslons & Evan8elism
Accountancy fees
Admlnlstradve expenses
Subscrlptlons
Legal & Professlonal fees
Sundry expenses
Telephonc, Internec IT consumable5 and fjx
welfare,ma￿la8eS,fUllerals, conference expenses & soclal acdvldes
6,177
8,950
4.830
4.903
Z,990
1,640
1,300
300
1,300
3,440
971
2.540
13,616
52,961
TotAI expeodlture
Surplusl(defidt)
2,978
Fund balan￿ b/fwd
Fund balan¢e clfwd
10

FOUNTAIN GATE
Notes to the flnandal statements
fortheye•r ended 31 De￿mber 20Z4
2024
CASH AT BANKAND HAND
Cash at Bank & in Hand
5.1 GIftAld Clafim-Receivable
t4￿22
CREDITORS:
Amounts fallin8 due wlthln oneyear
3,650
Amounts falling due aftermore than oneyear
srATEMEPll OF FUNDS
BROUGHT INCOMING
FORWARD RESOURCES
RESOURCES
EXPENDITURED
CARRIED
FORWARD
Unrestrlrted funds
Restrirted Fund
17470
55.939
(52.961)
20h48
17470
55.939
52.961
20,448
li