CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trustees
LHuftcH CROOKI-￿1￿ BAP I IS v
On accounts for the year
endad
Chartty no
{rf any)
Set out on pages
I report to the trustees on my examination of the accounts of the above
charrty (Ihe Trusf) for the year ended
Résponsibilities and
basis of report
As the charitys trustees, you are responsible for the preparation of the
accounts in accordance wilh the requirements of the charit￿ Act 2011 (tthe
I report in resped of my examinab.on of the Trust's accounts Carried out
under secb'on 145 of the 2011 Act and in carrying out my examination, I
have followed all the appli(xble Directions given by the Charity Commission
under section 145(5){b) of the ACL
Independent rrhe charity's gross income ex¢*Jed £250,000 and l am qualified to
examinerfs statement undertake the examination by being a qualtfied member of [insert name of
applicatAe listed bodyll. Delete [ ] rfnot applicable.
I have completed my examinatron. I confinn that no material matters have
come to my attention in connection with the examination (other than that
disclosed below ") whith gives me cause to believe that in, any material
respect:
the accounting records were not kept in accordan￿ with section 130
of the CharIt￿S Act" or
the accounts did not accord with the accounting records,. or
the a¢¢ounts did not comply with the applicable requirements
conceming the fonn and content of accounts set out in the Charities
(Accounts and Reports) Regulations 2CQ8 other than any requirement
that the accounts give a 'true and fairf view which is not a matter
considered as part of an indeFendent examination.
I have no cOn￿mS arml have come across no other matters in connedion
with the examination to which attention should be drawn in this ￿pOrt in
order to enable a proper understanding of the accounts to be reached.
. Please delete the I*￿￿1s in the brackets rfthey do not 8ppty.
Srgned:
OH
COQ
R&levant prof￿1onal
qualfficationls) or body
{If any):
ACCA
IER
Oct 2018

Address:
chi hJE14hH LLOSC
FLEgr
J 18£
Section B
Disclosure
Only comFAete If the examiner needs to highlight material matters of Gon¢ern
(see CC32, Independent examination of Charty accounts.. directions and
guidan￿ for examiners).
Give hern brief details of
any items that the
examiner wishes to
disclo￿.
IER
Oct 2018

CHURCH CROOKHAM BAPTIST CHURCH
ACCRUALS & PREPAYMEwfs as at 31 DECEMBER 2025
We Owe
Credltors
O•nernl Fund
Ewicty
300.Tr) Paid £313.36
in Jan 26
L Dicks- Manse Tenants (Deposit)
1.673.08
1,973.08
Total CTedit(XS
1,973.08
G•n•r•l Fund
Gift Aid
Grft Aid- Small Donations Scheme
Hall Donations- U3A
Government Tenancy Depogt Schen
3.342.39 Rec'd Jan 26
1.63
1.673.08
5.517.10
5,517.10

CHURCH CROOKHAM BAPTIST CHURCH
•Mira
General Giving
Cash
Cheques
Slanding Orders
4.245.00
4,110
1,250
61,437
66,797
55.932.38
60,177.38
Gift AKJ Tax Refunds
14,156.48
15,104
Outread)
Missions
Interest Received
Hall Donations
Manse Rentsl
Other (Incl Legacy P Fbsh8r}
6,389.51
10.054.25
20,325.1)0
7.293.78
4,356
9,150
19,325
2,160
34,990
44,062.54
Genernl Fmd Total
114396AO 116.892
T•xldlor fjn>up
P•storal Support
Followshlp
195.00
455
Tuesday F•llow¥hlp
705
8tud•nt support
Total Chureh In¢om•

2025 . Report Ex[endi￿re
CHURCH CROOKHAM BAPTIST CHURCH
2025 Exp•ndrtur•
2025
2024
General Fund
Stsff
Pastor
Asgstant Pastor
Lrtue Lambs Manager
5.649.28
2.814.60
5,352
8.463.88
5,352
Manse
Ga5. E* Tax, W*, Ins
Repairs & Maintenance
Agenys Management (x)sts
S29.61
23,154.78
783
2,789
23,784.39
3.571
Church
Elec. Water, Phone, Ins
Repairs & Maintentance
Payroll Admin.Fees
Equipment
Office Supplies
iotcherVBathrts)m Supplies
Subs & LI￿nceS
Preaching Fees
Outreach
7.6C6.59
17,048.33
217.80
345.45
739.46
1,034.77
1.057.02
1,590.00
1.279.09
2,556.25
1.368.00
8.254
11,234
210
37
101
69
1,224
2,617
1,246
4.042
Cthning
.842.7
Missions
3.42
25,500
Bank Charges
.22
G•nornl Fund Total
Toddl•r Group
Pastornl Suppwt
F•llgwship Fund
Tuesday Followship
Stud•nt Support
161.81
0.00
85
600
748
347.68
Page 1

2025- Report Funds
ummary
Tr•n•hr•
In
Out
014•n-23
Incom•
Ixp•ndfturn
31-D•¢-2B
O•n•ral
286,995,16
118,398.40
100,680.26
304,811.30
Bulldlng
Bulldlng Fund Lo•n c￿ts a Int•r••t
373,508,45
132.844 271
0.00
0.00
.00
0.00
0.00
373,508.45
132,844 271
Toddl•r Gn>up
PaAtoral support
F•llow•hlp
Tu••day F•llow•hlp
8tud•nt Support
1,653.18
391.41
858.12
108.31
0.00
430.60
0.00
195.00
343,27
161.81
0.00
500.00
347.68
0.00
.49
1.921.95
391.41
353.12
103.90
0.00
Total
630,470.33
119,365.27
101,589.74
P.00 848,245.88
Page I

SOFA
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 2025
unrestric￿ Deslgnated
Mot• funds
Total 2025
Trtal 2024
INCOME
Donations and Legacies
Income from Invesbnents
Income from Charitsble Ac*vrti
Other
TOTAL INCOME
84,388.11
6,389.51
84,388.11
6.389.51
.87
91,051
4,356
1,798
21,485
118.689
.87
27.618_78
118.3*.40
27.618.78
968.87 119.365.27
EXPENDITURE
Expenditure on Charitable Activities
Other
TOTAL EXPENDITURE
77,744.13
23,845.61
101.589.74
1.IM.49
77.744.13
23.845.61
101.589.74
61,319
3,663
64,982
NET INCOME
16006.66
968A7 17.n5.53
53,707
TrANSFERS BETWEEN FUNDS
NET INCOME BEFORE OTHER
GAINSIILOSSES)
16.806.66
968￿7 17.775.53
53,707
OTHER GAINSI(LOSSES}
NET MOVEMEKf IN FUNDS
16PJ6.66
968m 17.775.$3
53.707
RECONCILIATION OF FUNDS:
TOTAL FUNDS BROUGHT FORWARD
285.561.84 344.908.49 630,470.33 t 576.763
TOTAL FUNDS CARRIED
FORWARD
302.368.50 345￿7￿6 648.245.86
630870
Page 1

Balan￿ Sheet
CHURCH CROOKHAM BAIryIST CHURCH
Flxed Assots
Freehold Land & Buildings
457,912.82 457.913
Current Assets
PrepayTrenl￿tC￿s
Bank Current Account
Green Pastures
Saffron Building &oety
Cambridge & Ccmjnties B.&x
13
5.517.10
15,319.87
10.000.00
85,205.86
76.263.29
192.30&12
5,636
33.816
62,467
72,612
174531
Current Li•billlles
Sundry Creditors
14
1,973.08
1,973
1.973.08
1,973
Nèt Current Assets
190 333A14 172 558
Long Tem) Liabilitios
Loans - an￿Unts falling due
after nKJre one year
Total Net A880ts
648 245.86 630 470
Represented by".
Unroslricted Income Funds
General
Designated - Buikjing Fund
DesvJnated- Other
304.811.30
286,995
340,664.18
340,664
2.770.38
2.811
648 245.86 630 470
Page 1

Notes
CHURCH CROOKHAM BAPTIST CHURCH
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2025
1 Accountlng pollcl
B••l• of Proparatlon
The finaneial slat8rn8nts have been prepared under the historical cost convention and In accordance
wlth the Charflles Statement of Recommended Practice (Financlal ReportSng Standard 102) issued by
the Charity Commission in July 2014.
Inv••tm•nt Incom•
Inve8tment Incoma18 Induded In the accounts in the year in which it 18 r8celved.
Fund ral•lng and publlclty ¢o•t•
The Church does not make formal appea18 for funds, and expendlture on Ihe8è Item818
therefore not material.
Grants l Donatlon8 payablo
The Church makes grants to other organisations whose Charltable objects ￿mplement Its work. They
are accounted for in the y8ar In whlch Ihay are approved.
Gov•rnanco co8ts
Most of the management of the Church 18 carried out wllhout chargo by volunteers. Thls intangible cost
is not included in the Statement of Flnanclal Actlvllles sln¢e there 18 no measurable cost to the
volunl8ers for their service.
Flxod A••ets
The legal tille to ownership of the Church premises and the Manse premises is held by the Church's
custodian tNsl88, Th8 Bapti$l Union Corporation Ltd. These assets therefore do not appear in these
accounts. However, the major extension constructed In 200812009 was paid for by Church funds and
therefore induded in the Balanc8 Sheet al cost. In addition,during 202012021, total expenditure
of some £49,500 was incurred on a new office extension 8nd this has also be8n capitali5ed. As at 31
December 2025 the insured values of the Church and Manse premises were as follows..
Church premises
£1,293,268
Manse premises
£535,044
Pag8 1

Notes
D•prnclatlon
Depre¢Satlon has not tseen chargèd on the Chur¢h extension and new offieé because in the opinion of
the Trustees the r&sldual values of these assets arè not less than the totsl original cost price.
All expendllure, except for major exp8ndilure on propety, is charged a8 dlract charitable expenditure
In the year in which it is incu¥r&d, and is not capitalised.
2 Ro••rvo•
The Church'8 genèral rèservès at the end of 2025 totallad 80m8 £298,000, with its net current assets
amounting to almost £164,000.The policy is lo alm lo hold ￿serveS equivalent to at least SIX mnlh8'
revenue expenditure, which in 2025 equated lo some £50,000. Relying on and subject lo God's
ongoing bl868lng on the Church, the Trustee8 bellove that CCBC will be able'to contlnu& a8 8 golng
concem..
3 Donatlon• and Loga¢l
Unrg•trlcted
Fund•
Do•lgnat•d
Fund•
Total 2028
2024
General Givlng
Glft Aid Tax rèfund8
Outreach
Hall Oonatlon8
60,177.38
14,158.48
80,177.38
14,168.48
66,797
15,104
10,054.25
10,054.25
9,150
4 Income from Inv•8tm•nts
Unre8trlctsd
Funds
Dmlgnatsd
Fund•
Total 2026
2024
Interest received
6,389.51
6,389.51
4,356
Page 2

Notes
Income from Charltsble A¢tSvltlo8
Unrestrlctod
Fund•
Do8lgnated
Fundo
Total 2025
2024
Mission8
Toddl8r Group
Fellowship
Tuesday F8IIow8hlp
430.60
195.00
343.27
430.60
195.00
343.27
638
455
705
6 Oth•r Ineom•
Unr••trlct•d
Fund•
Do•lgnated
Fund•
Total 2025
2024
Other
Manse Rental
7,293.78
20,325.00
27,618.78
7,293.78
20,325.00
27,818.78
2,180
19,325
21,485
The Manse18 held ft)r th8 u88 of the Church's Minister and Family, bul may
be rented out as decided by the Church during persods when the Minlster
does not require use of the property or in a period of interregnum.
Throughout the year the Manse was rented to a third paty with the tenancy
beSn9 renewed on a ￿0-year fixed term ba8is from February 2022.
Page 3

Notes
7 Expèndltur• on Charltablo Actlvltlo•
Unro8trlctsd
Fund8
De8lgnatsd
Fund8
Total 2026
2024
Stsff - see Note 9
Church- see Note 10
Mlssions - seg Note 11
Toddler Group
Fellowship
Tuesday Fellowship
student Support
Pastoral Support
8,463.88
34,842.76
33,428.00
8,483.88
34,842.78
33,428.00
161.81
500.00
347.68
5,352
29.034
25,500
85
600
748
161.81
500.00
347.68
,744.
8 Other Expendltur•
Unmtrlct•d
Fund8
De8lgnat•d
Fund•
Total 2026
2024
Manse
Bank charg88
23,7e4.39
61.22
23,784,39
61.22
3,571
91
23,845.
Slaff Co•t8
Unre8trlct•d
Fund•
D081gnat•d
Fund•
Totsl 2025
2024
Salaries
Soclal Secunty
Pension
Mobile Phone
Conlraclor
5,649.28
5,649.28
5,352
2,814.60
2.814.60
Page 4

Notes
8,483.88
8,463.
Headcount
91 R•latsd Party Tran8acllons
There were no re18ted paty trarssaction8 undertaken in the year.
10 Chur¢h ¢o•ts
Unroltrlctod
Fund•
De8lgnatod
Fund•
Total 2026
2024
El8ctricity, W8tsr, Phone. In8uranca
Repairs & Mainlentsn¢8
Payroll Admin.Fe&s
Equlpment
Offlce Supplies
Kltch8nlBathroom Supplle8
Sub$criplions & Licences
Preaching Fees
Outreach
Other
Cleaning
7,606.59
17.048.33
217.80
345.45
739.48
1,034.77
1,057.02
1,590.00
1,279.09
2,556.25
1,3e8.00
34.842.78
7,8C6.59
17,048.33
217.80
345.45
739.46
1,034.77
1,057.02
1,590.00
1.279.09
2,556.25
1,368,00
34,842.76
8,254
11,234
210
37
101
69
1,224
2,617
1,246
4,042
29,034
Page 5

Notes
11 Ml88lons - Expendlluro
unre81rl￿Od
Funds
Dosl9natsd
Fund8
Total 2025
2024
BMS
BU Home Mission
Misslon Aviation Fellowshlp
Tearfund
Fleet Town Centr8 ProjKt
FACCTS
Compassion
Levl Booth
Other
Special Appeals
5.400.00
5,400.00
800.00
800.00
400.00
6,600.00
3,428.00
2,200.00
7,900.00
500.00
5,400.00
5,400.00
800.00
800.00
400.00
8,800.00
3,428.00
2,200.00
7,900.00
500.00
4,250
4,250
1.000
1,000
5,000
2,000
1,500
5,500
1,000
Page 6

Notes
12 Froehold Land and Bulldlng8
2025
2024
The Church Is the beneficlal owner of the ft>llowing tangible fixed assets, the
legal tille to which 1$ held by The Baplist Unlon Corporation Ltd,, the
Church's custodian trustee. The use of the proceeds from any hjlure sale of
these assets is restricted lo a¢quiring slmilar assets and would requlre the
con88nl and agre8ment of the holding tru$te8s.
In the event that the chU￿h is pemanently ¢losed the proceeds of sale
would ba transferred lo the Baptist Union Corporation Building Fund. The88
8$sets therefo￿ do not apyar In these accounts.
However, the major extension constructed in 200812009 and thè récently
completed new offi¢e extension were paid for by Church fvnds and
borrowlngs and therefore Included in the Balance Sheet at cost.
The Church Manse, 25 Cutzon Drive, Church Crookham,
Fleet, Hanls., GU52 6JL,
The Church and Hall, 64 Baslngbourne Road, Church
Crookham, Fleet, Hant8, GU52 6TH,
Extenslon and refurbishmènt lo the Church and Hall carrled
out in 2008109, at cost
408,387.37
408,367
New office extension
completed Sn 2020 al ￿$1,
including release of ￿tentIon
of £1,138.68 in 2021
49,545.45
457,9
.82
49,545
457,
13
13 D•btorn
2025
2024
Gift Aid Receivable
Hall Donabons
Govemment Deposit Scheme
3,844.02
3,963
1,673.08
5,517.10
1,673
5,636
Page 7

-h1

Church Crookham Ba
i5t Churth
TTUSteeg Annual Re
rt for 2025
Intn)durtion
l. This annual report ha5 been prepared in accordance with the Charities Statement of
Recommended prartI￿ IFRS 1021 issued by the Charity Commission in July 2014. Church
Crookham Baptist Church ICCBCI is a chartty (Registered Charity Number 11821411, as well as
a member of the Baptist Union of Great Britain. This report covers the church's financial year
2025- i.e. ljanuary to 31 December 2025.
Ob'ettives and Activities
2. The principal purpose of CCBC 15 the advancement of the Christian faith according to the
principle5 of the Baptist denomination. The Church Constitution also provides that CCBC may
advance education and carry out other charitable purposes in the UK and l or other parts of
the world.
3. In the light of the above. CCBC'S overall VE￿On is "Seekin8 to know Jesus Christ and to make
Him known to other5".
4. To fulfil this purpose and vision CCBC engages in a range of actNities including:
regular public worship. prayer. Bible study. p￿achIng and teaching,.
the welcome, inclusion, encouragement. and teaching of all ages:
evangelism and mission. ranging from local to intemational.,
the nurture and growth of Christian disciples:
giving pastoral care Iboth to Church members and in the local ¢ommunityl,' and
5UPPOrtinB and encourdBing charitable social action locally, nationally, and
internationally
Church Crookham Baptist Church. Charity Number.. l18?141

Review of 2025
5. The Church is led by the Trustee team. encompassing Elders and Deacons. Two Elders hold the
spiritual leadership of the Church, supported by the Deacons who lead on practical matters.
The trustees are assisted and encouraged by the membership and regular attendees
6. Throughout 2025 we have advertised for the role of Pastor. Severdl interviews have been
held including a visit of a potential candidate. However. the right person has not been found
a5 of yet.
7. We are earnestly praying for God's clear guidance in our search and are very grateful for the
assistance of our Moderdtor, as well as the regional minister of our local Baptist association
ISEBAI. We give thanks for the prayerful unity that exists within CCBC and look forward with
humble confidence to all the hjture that God has planned for the church.
8. The highlights of the year include-
• worship and biblical teaching each Sunday morning-
regular teaching of Sunday School Ipre-school, key stages l & 21 and Young People's Bible
Studies (key stages 3 & 41- Young people serve and assist in the work of the Church.
regular meetings of Re=Fuel Iyouth Broup for secondary age children).
four new members and many more deepening their faith-
running throughout the year the very popular Little Lambs Toddler Group meeting three
times a week during term time led by our employed leader-
ongoin8 meetings of homegroups and our Tuesday Fellowship-
the free distribution of the evangelistic Good News newspaper in the local area,.
holding a well-attended Christmas Sunday Fun afternoon and an Easter brunch for
primary age children-
providing preachers for local churches linked to CCBC-
prayer team who offer5 to pray wrth, and for, anyone. They also pray for the Church,
local community and for current affairs.
the gifting of Bibles and other litetature to anyone WIK) ￿qUests.
visiting those who are suffering ill health or are in need:
practical support for the local community including the distribution of Christmas food
hampers and a Christmas cafe-
In 2025 we started two new monthly hospitaltty ministries, ladies, tea and a men's
breakfrdsts, to provide a place for fellowship, support and discussion,.
Our premises are hired to local community organisations and chartties,.
leading the Chri51mas carol seNice at the local park-
prartical and financial sUPPOrt for Hot Chocolate Mondays. serving refreshments to local
sthool students-
significant financial support to locAI, national, and intemational charitsble organisations-
and
Church Crookham Baptist ChurclL Charit! Number: l18?141

IESI
• many of our members Iwing out their faith in prdctical service to local, national, and
international charities.
9. We must record our sadness at the great loss during the year of some long-serving members
of the church. although we rejoice that they are now 1￿me with the Lord.
10. We are, therefore, 50 grdteful to God for all that has been achieved, grown, and maintained
during 2025.
Church Cr(KJkham Boptist Church. Charits, Number: l18?141

Flnancial Review
11. We continue to be thankful to God fvr his generous and faithful provision.
12. The church's annual net revenue income and yearend financial position were again very
encouraging. Total income amounted to £119,365 {p￿vIOuS year£118.6891, with expenditure
totalling £101.589 (previous year £64,982) giving a surplus of £17.776.
13. During 2025 the church was able to finance fully all tts activities in support of its purpose and
vision. including making contributions totslling £33,428 to other charities. The acttvitie5 of
these local, national, and intemational organisations include Christion evangelism. social
action, humanitarian aid, and emergency support.
14. The church'5 net current asset5 at the year*nd amounted to £190,333. Cash assets are held
in various current and saving accounts regulated by the FCA wrth some investment in a
Community Benefrt Society.
15. The surplus fr)r the year. and thus the grovrth in cash assets, was significantly influenced by
not employing a salaried pastor. Our financial projections indicate that if a salaried pastor is
employed, we will be operating on a budgetary deficit. This is not only due to an increase in
employee costs, but the expectation that the pastor will use our manse for housing which we
currently receive rentsl income fr)r.
16. Therefore, the Trustees have purposefully exceeded the normal reserves policy Ito hold
reserves equivalent to at least six months. ￿venue expenditure). instead building up cash
asset5 in readines5 for predicted deficits in future years and thus ensuring we can continue to
support a salaried pastor once employed.
17. At the end of 2025. the Trustees. in consultation wwth the members, decided that the level of
cash reserves We￿ 8reater than required and thus one-off gifts will be given to charities we
SUPPOrt to reduce cash assets to a more suitsble level.
18. Relyin8 on and subject to God's ongoing blessing on the church. the Trustees believe that CCBC
will be able "to continue as a going concem".
Church Crookhatn Baptist Church. Charitv Number: l18?141

Strurture Governance and Man
ment
19. The overall leadership of the church is exercised through its Charity Trustees - the Elders.
Deacons. Secretary and Treasurer. The Trustees meet formally at least six a year. Such Trustee5
are, however, accountsble to the Church Meeting Inormally held four time5 each year). As of
31 December 2025, the Charity Trustees were=
Terry Bateman (Elderl
Nigel Stevenson {Elderl
Simon Hawes (sec￿tary and Deacon)
Frances Walton {Treasurer and Deacon)
Helen Butler (Deacon}
John Walker IDeacon}
During the financial year the following trustee a150 Se￿ed
Carotyn Parsons- resigned on I September 2025
20. The Church maintsins a set of policies which can be seen on the Church's web51te.
21. Safeguarding of children and vulnerable adults is a vital part of our ethos and this is upheld
by our members. led by the Trustees and sUPPOrted by a Designated Person for Safeguarding.
22. The Charity employs one person to lead the Toddler Group and engages contractors and
companses for required services as necessary.
23. The Charity's legal governing document is the Church Constitution.
Refe￿nce and Administrati¥e Details
24. The church is known as Church Crookham Baptist Church- see a150 paragraph l above.
25. The legal titles to the ownership of the church premises in Basingbourne Road IGU52 6TH) and
manse premises in CurLon Drive {GU52 6JL) are held by the church's custodian trustee, The
Baptist Union Corporation Ltd. and these assets do not appear in the church's accounts.
Other Details
26. The church does not need to declare the omission of any address / trustee detsi15 nor does it
or its Trustee5 act in any capacity as custodian trustees.
Conclusion
27. The Trustees rejoice and grve thanks to God for His grdce and blessing on the church
throu8hout 2025_ To God alone be all the 810ry.
Chwch Crookham Baptist Church. Chariti." Number: l18?141

Signed and dated on behalf of the Trustees
Simon Hawes, Church Secretary
Date: 5 (h .
Church CrookhaJn Baptist ChuTcRL Charits, Number: 118?141