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2024-03-31-accounts

Registered Charity Number: 1179377

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND REPORT

FOR FINANCIAL YEAR ENDING

31[st] MARCH 2024

Page 2

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

INDEX Page
Legal and Administrative Information 3
Trustees Report 4-11
Statement of Financial Activities 12
Statement of Financial Position 13
Principal Accounting Policies 14-15
Notes to the Accounts 16-20

Page 3

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31st March 2024

Legal & Administrative Information

Registered CIO Number: 1179377

Address: c/o 51 Finedon Road Irthlingborough Wellingborough Northamptonshire NN9 5TY

Trustees: Rhoderick David Dingwall David Persaud Robert Alexander Beckley Daniel Joel Collict

Bankers: Charities Aid Foundation (CAF) Bank Ltd 25 Kings Hill Avenue King’s Hill West Malling Kent ME19 4JQ

NENE RIVER CHURCH

Page 4

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Structure, Governance & Management

The charity is controlled by its governing Constitution dated 17[th] May 2018 and subsequently amended in 2020, 2021 and 2024. The charity is a Charitable Incorporated Organisation whose only Members are its Trustees. The CIO was formed on 30[th] July 2018.

The Constitution was revised in 2024 to simplify the third aim of the CIO to include personal counselling as well as education and training.

The Objectives & Aims of the CIO are for the public benefit and are:

NENE RIVER CHURCH

Page 5

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

The Trustees believe that these objectives and aims were advanced during the year. There were no reportable incidents during this period.

Public Benefit Statement

All of the church activities are open to any member of the public and none are exclusively for church members. They are all free of charge although a few of the Youth Activities are by voluntary subscription. Of particular public benefit are the friendship and youth groups and the initiatives to alleviate poverty and hardship, advance education and to support nature conservation, both at home and overseas. The NRC CIO also regularly supports education, training and personal counselling services.

Page 6

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Potential Conflicts of Interest

A potential conflict of interest arises from the (unconnected) Trustees decision to support Mission Aviation Fellowship (MAF Charity Number 1064598) because Rhoderick Dingwall is the NRC CIO Chairman of Trustees and his younger son, Timothy Dingwall, has volunteered to train as an aircraft maintenance engineer with a view to maintaining the light aircraft operated by MAF. This has been resolved by an agreement whereby Rhoderick Dingwall absents himself from any discussions involving MAF and takes no part in any decisions made by the CIO with regards to the partnership with MAF.

A second potential conflict of interest arises from the Trustees decision to support HFF ( Hope For Families ) Charity 1194541 because Mrs T Jane Dingwall, the wife of Rhoderick Dingwall, was appointed as a Trustee for HFF in March 2023. This has also been resolved by an agreement whereby Rhoderick Dingwall absents himself from any discussions involving HFF. Mr & Mrs Dingwall take no part in any decisions involving HFF and have never received any of the personal counselling and education services offered by HFF.

NENE RIVER CHURCH

Page 7

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Financial Review

Nene River Church CIO received £20,446 from a small number of individual UK based donors and total income was £21,399 which was just under 15% less than the previous year. Projects were budgeted and a number of one-off disbursements were made during the year.

Operating costs fell by more than 60% year on year to £3,741 as a result of hiring a collection of rooms in the building owned by The Irthlingborough Old People’s Welfare Association in College Street instead of renting premises in The Old Chapel Business Centre, High Street, Irthlingborough. These premises also allow disabled access.

The church CIO has a policy of not having offerings at meetings or events which are open to the general public. It does not trade or raise funds and is staffed entirely by (unremunerated) volunteers. All payments to overseas beneficiaries are made in GBP (British Pounds) to UK based charities or representatives with well-established overseas connections.

Reserves Policy

The CIO maintains a rolling reserve which is calculated each year (£3,532 in 2023-2024). Details of this can be found in the Reserves section under Principal Accounting Policies .

Page 8

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Achievements and Performance

During the period covered by this report, the following activities and actions were undertaken:

Page 9

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Page 10

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Future Plans

Despite progress in several projects, a few continue to have been disrupted. Future plans include the following:

NENE RIVER CHURCH FINANCIAL STATEMENTS AND ANNUAL REPORT FOR THE YEAR ENDING 31[st] MARCH 2024

Page 11

This report was reviewed by the Trustees of Nene River Church CIO during January 2025 and has been signed on their behalf by:

Rhoderick Dingwall (Chairman of Trustees, Nene River Church CIO)

Page 12

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDING 31st March 2024

Description
Notes
Income
Donations
Youth Collection
Youth Group Receipts
Interest
Expenditure
Raising Funds
1
Charitable Activities
2,3
Governance
Total Expenditure
Net Movement in Funds
Total Funds Brought Forward
Total Funds Carried Forward
Unrestricted Restricted
TotalUnrestricted Restricted
2024
2024
2024
2023
2023
£
£
£
£
£
20,426
20
20,446
22,931
200
0
0
0
0
142
0
412
412
0
230
541
0
541
210
0
20,967
432
21,399
23,141
572
0
0
0
0
0
30,317
412
30,729
27,017
605
20
0
20
0
0
30,337
412
30,749
27,017
605
(9,350)
0
(9,350)
(3,875)
(33)
33,442
94
33,536
37,317
127
24,092
94
24,186
33,442
94

All income and expenditure derive from continuing activities.

The statement of financial activities is incorporating the income and expenditure accounts and includes all gains and losses recognised during the year.

Page 13

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT

STATEMENT OF FINANCIAL POSITION AS AT 31st March 2024

Notes
Assets
Fixed Assets
4
Debtors
5
CAF Bank Accounts
Cash In Hand
Stewardship Account
Youth Cash Float
Total Assets
Liabilities
Sundry Creditors
6
Total Liabilities
Net Assets
Notes
Funds
Value of Equipment
Designated
7
Unrestricted
7
Restricted
8
Total Funds
Unrestricted
Restricted
Total
Total
2024
2024
2024
2023
£
£
£
£
158
0
158
42
0
0
0
0
23,724
94 23,818
33,219
0
0
0
0
290
0
290
370
102
0
102
2
24,274
94 24,368
33,633
£
£
£
£
(182)
0
(182)
(97)
(182)
0
(182)
(97)
24,092
94 24,186
33,536
Unrestricted
Restricted
Total
Total
2024
2024
2024
2023
£
£
£
£
158
0
158
42
3,532
0
3,532
2,873
20,402
0 20,402
30,527
0
94
94
94
24,092
94 24,186
33,536

Page 14

NENE RIVER CHURCH

FINANCIAL STATEMENTS AND ANNUAL REPORT

PRINCIPAL ACCOUNTING POLICIES FOR THE YEAR ENDING 31st March 2024

The financial statements have been prepared under the historical cost convention and in accordance with the Statement of Recommended Practice (SORP) 102 , Accounting and Reporting by Charities issued in January 2015, applicable UK Accounting Standards and The Charities Act 2011 . The principal accounting policies of the charity are set out below:

Control: The CIO is under the ultimate control of its Trustees whose names appear at the beginning of this report.

Council Tax: The CIO does not pay Council Tax, since it no longer leases premises.

Fixed Assets: The value of equipment is written off over five years using the method known as Straight Line Depreciation .

Funds:

Incoming Resources: Income is brought into the accounts on a receivable basis.

Investment Income: Interest is brought into the accounts on a receivable basis.

NENE RIVER CHURCH

Page 15

PRINCIPAL ACCOUNTING POLICIES FOR THE YEAR ENDING 31st March 2024

Gifts in kind, donated facilities and services including voluntary help: These are not included in this financial statement, since they are not considered practical to quantify.

Resources Expended: Expenditure is stated inclusive of VAT and brought into the accounts in the year in which it is due.

Reserves: The CIO spending rules mean that disbursements can only be made from surplus revenue received during the previous financial year, and that 20% of this surplus must be held for one year as an additional Rolling Reserve. This excludes Restricted Funds and was £3,532 as at 31[st] March 2024. These are now shown in the accounts as Designated Funds .

The current reserve policy is to maintain a sufficient cash reserve to cover six months of running costs. Under the operation of the current Rental Agreement, payments of £715 are made quarterly in advance. This means that six months running costs are no more than £1,500 which is completely covered by the Rolling Reserve . The CIO is only required to give two weeks’ notice of the intention to terminate the Rental Agreement.

Risks: The Trustees do not believe the organisation is subject to any substantial risks not disclosed in the Annual Report and Accounts.

The CIO renewed its insurance in September 2023 to protect it against risks arising from the resumption of public events.

Value Added Tax: The CIO is not registered for VAT.

Page 16

NENE RIVER CHURCH NOTES TO THE ACCOUNTS

Note
1 Expenditure - Charitable Activities
Rent/Hire Fee
Service Charge
Bank Charges
Food & Drink
Youth & Children’s Work
Stationery
Visitors Expenses
Electricity
Gas
Insurance
Miscellaneous Expenses
Travel & Subsistence
Memberships & Licenses
2 Expenditure – Disbursements
Gifts for Education, Training etc.
Gifts for Irthlingborough Library
Gifts to Alleviate Poverty & Hardship
Gifts for Persecuted Christians
Gifts to Promote Christianity
Gifts to Demonstrate God’s Love
Gifts for Nature Conservation
3 Expenditure – Governance
Professional Services
Unrestricted
Restricted
2024
2024
£
£
1,810
0
0
0
62
0
132
0
680
432
5
0
20
0
(10)
0
0
0
197
0
286
0
0
0
93
0
Total
Total
2024
2023
£
£
1,810
7,030
0
900
62
74
132
19
1,112
532
5
0
20
20
(10)
258
0
103
197
191
286
114
0
40
93
87
3,275
432
3,707
9,368
£
£
7,956
0
482
0
6,200
0
700
0
2,700
0
220
0
8,750
0
£
£
7,956
3,100
482
0
6,200
9,847
700
0
2,700
2,773
220
0
8,750
2,520
27,008
0
27,008 18,240
£
£
20
0
£
£
20
0
20
0
20
0

Page 17

NENE RIVER CHURCH NOTES TO THE ACCOUNTS

Note
Unrestricted
Restricted
2024
2024
4 Asset Depreciation
£
£
14
0
Total Expenditure
30,317
432
Governance – Personnel
Trustees
Employees
Volunteers
Governance – Remuneration & Expenses
Employment Costs
Trustees Remuneration
Trustees Reimbursed Expenses (See Note 9)
Unrestricted
Restricted
2024
2024
5 Debtors
£
£
Pre-Paid Debtors
0
0
Rental Deposit
0
0
0
0
Unrestricted
Restricted
2024
2024
6 Creditors
£
£
Trustees Expenses Due
(182)
0
(182)
0
Unrestricted
Restricted
2024
2024
£
£
14
0
Total
Total
2024
2023
£
£
14
14
30,317
432
30,749 27,622
2024
2023
4
4
0
0
12
12
£
£
0
0
0
0
2,526
889
Total Total
2024
2023
£
£
0
0
0 1,500
0 1,500
Total Total
2024
2023
£
£
(182)
(96)
(182)
(96)
0
0
Unrestricted
Restricted
2024
2024
£
£
(182)
0
(182)
0

Page 18

NENE RIVER CHURCH NOTES TO THE ACCOUNTS

Note
7Unrestricted Funds
General Fund
Reserves
Equipment
Comparative
Unrestricted Funds
General Fund
Reserves
Rental Deposit
Equipment
8
Restricted Funds
Youth & Children’s Work
Council Grant Re Youth
Comparative
Restricted Funds
Gift for Persecuted Christians
Gifts to Alleviate Hardship
Youth & Children’s Work
Gifts For Education & Training
Council Grant Re Youth
Opening
Balance
01-Apr-23
Movement
In
Movement
Out
Transfer
Between
Funds
Closing
Balance
31-Mar-24
£
£
£
£
£
30,527
20,837
(30,303)
(659)
20,402
2,873
0
0
659
3,532
42
130
(14)
0
158
33,442
20,967
(30,317)
0
24,092
Opening
Balance
01-Apr-22
Movement
In
Movement
Out
Transfer
Between
Funds
Closing
Balance
31-Mar-23
£
£
£
£
£
25,761
23,142
(27,003)
8,627
30,527
10,000
0
0
(7,127)
2,873
1,500
0
0
(1,500)
0
56
0
(14)
0
42
37,317
23,142
(27,017)
0
33,442
Opening
Balance
01-Apr-23
Movement
In
Movement
Out
Transfer
Between
Funds
Closing
Balance
31-Mar-24
£
£
£
£
£
0
432
(432)
0
0
94
0
0
0
94
94
432
(432)
0
94
Opening
Balance
01-Apr-22
Movement
In
Movement
Out
Transfer
Between
Funds
Closing
Balance
31-Mar-23
£
£
£
£
£
0
175
0
(175)
0
0
0
(175)
175
0
0
230
(230)
0
0
0
200
(200)
0
0
94
0
0
0
94
94
605
(605)
0
94

Page 19

NENE RIVER CHURCH

NOTES TO THE ACCOUNTS

Note Detailed List of Trustees Expenses For Reimbursement 2023-2024 (2023)

9
Date
Description of Expense for Reimbursement
01-Apr-2023
Cash for Youth Cash Float
03-Apr-2023
Supplies for Children’s Event
11-Jun-2023
Cash for Visiting Speaker Expenses
15-Jun-2023
Father’s Day / Man’s Day Presents 2024
19-Jun-2023
Boost Trampoline Parks Hire Deposit (Youth Weekend)
26-Jun-2023
Cash For Irthlingborough Library
26-Jun-2023
Youth Bibles
30-Jun-2023
Cash for Youth Cash Float
07-Jul-2023
Vue Cinemas re Ruby Gillman – Teenage Kraken (Youth Weekend)
07-Jul-2023
Tesco Food for Youth Weekend
07-Jul-2023
Vue Cinemas re Spiderman – Across The Spiderverse (Youth Weekend) 1 of 2
07-Jul-2023
Vue Cinemas re Spiderman – Across The Spiderverse (Youth Weekend) 2 of 2
08-Jul-2023
Boost Trampoline Parks Hire Balance (Youth Weekend)
08-Jul-2023
McDonalds Restaurants (Youth Weekend)
08-Jul-2023
Nationwide Building Society Cash Withdrawal Fee (Youth Weekend)
08-Jul-2023
Benham Sports Arena Northampton Hire Fee/Water (Youth Weekend)
29-Aug-2023
Church Sign (Advent Signs)
05-Sep-2023
Church Stationery
26-Sep-2023
Irthlingborough Library Storage Unit
21-Oct-2023
£200 Gift & chocolates for local resident returning to Hungary
21-Nov-2023
Cash for Youth Float
16-Dec-2023
Christmas Supplies & Gifts
24-Dec-2023
Food for Free Christmas Day Breakfast 2023
Subtotal
Amount Trustee
£100.00 Rhoderick Dingwall
£9.40 David Persaud~
£20.00 David Persaud~
£6.50 Rhoderick Dingwall
£176.66 Rhoderick Dingwall

£200.00 Rhoderick Dingwall
£32.34 Rhoderick Dingwall
£100.00 Rhoderick Dingwall

£47.92 Rhoderick Dingwall
£173.18 Rhoderick Dingwall

£59.90 Rhoderick Dingwall
£35.94 Rhoderick Dingwall

£44.17 Rhoderick Dingwall
£159.09 Rhoderick Dingwall

£3.00 Rhoderick Dingwall
£90.00 Rhoderick Dingwall

£204.00 Rhoderick Dingwall
£5.25 Rhoderick Dingwall

£281.99 Rhoderick Dingwall
£207.00 Rhoderick Dingwall
£100.00 Rhoderick Dingwall
£53.80 Rhoderick Dingwall
£77.92 David Persaud~
£2,188.06*

Page 20

NENE RIVER CHURCH

NOTES TO THE ACCOUNTS

Note Detailed List of Trustees Expenses For Reimbursement 2023-2024 (2024)

9
Date
Description of Expense for Reimbursement
15-Jan-2024
DBS Check for Volunteer AL
07-Feb-2024
DBS Check for Volunteer JK
19-Feb-2024
Outside Storage Unit
03-Mar-2024
Mothers Day / Ladies Day Presents 1 of 2
03-Mar-2024
Mothers Day / Ladies Day Presents 2 of 2
25-Mar-2024
Cash for Youth Cash Float
23-Mar-2024
Flowers for Library Manager’s Funeral
Subtotal
Total
Amount Trustee
£10.00 Rhoderick Dingwall
£10.00 Rhoderick Dingwall
£130.00 Rhoderick Dingwall
£41.93 Rhoderick Dingwall
£33.27 Rhoderick Dingwall

£100.00 Rhoderick Dingwall
£12.87 David Persaud~
£338.07
£2,526.13

~ Purchase made by Hannah Persaud, wife of David Persaud