From 01/01/2020 Period start date To 31/12/2020 Period end date
Charity name: All Believers Church
Charity registration number: 1182214
Objectives and Activities
The objectives of the church are to advance Christian faith and develop the spiritual needs of members of the community. These objectives are achieved by holding church services on Fridays and Sundays and holding revivals and special programmes. We also undertake evangelistic activities including distributing evangelistic materials and going on radios to preach the gospel. benefit.
Achievements and Performance
During the year, we were able to welcome 6 families in our church. The church also rented a stall to display evangelistic materials in the local market. We also continued our radio evangelism and donated some cash to the needy
Financial Review
Total receipts on unrestricted funds were £2,658.
The net result for the year was an excess of payments over receipts of £3,885. The cash balances carried forward at 31[st] Dec 2019 totalled £6,378.
The church does not have a policy on holding reserves.
Structure, Governance and Management
The governing document of the church is a constitution dated 26/02/2019. The church is an association and trustees are appointed at
Reference and Administrative details Chari name Registered charty number Charity's principal address All Believers Church 1182214 84 Dodmoor Grange Randlay, Telford TF3 2AS 84 Dodmoor Grange Randlay. Telford TF3 2A Correspondence Address Names of the charity trustees who manage the charity Name of person (or body) entitled to appoint trustee (if an Trustee name Office (rf any) Dates acted if not for whole year Emmanuel Afram Samuel Ano Trustee Church members Trustee Church mernbers Declarations The trustees declare that they have approved the trustees, report above. Signed on behalf of the charity's trustees Signature(s) Full name(s) Position (eg Secretary. Chair. etc) Emmanuel Afram Trustee Samuel Ano Trustee Date 2811212021
All Believers Church Receipts and payrnents accounts 1182214 CC16a For the period from 0110112020 3111212020 Section A Receipts and payments Unrestricted funds tothe nearest Restricted funds to the nearest Endowment funds Total funds Last year to the nearest £ to the nearest to the nearest £ A1 Recei Planned Givin Collection al services 2,919 7.087 2,658 2,658 Sub total (Gross income for AR) 2,658 2.658 10.007 A2 Asset and investment sales Sub total A3Pa Trainin Insurance Motor vehicle ex ment re airs Welafre Donation Trravel and Subsistence Rent ments 1,060 561 680 363 850 265 2,016 5,795 637 978 470 3,620 637 978 470 3,620 nses 838 ,543 838 6,543 Sub total A4 Asset and investment urchases, sge tsblo Sub total 6,543 6,543 5.795 Net of recelpts/(payments) A5 Transfers between funds A6 Cash funds last year end Cash fiinds this year end 10,263 6.378 10,263 6.378 6,052 10.263 CCXX R1 accounts Issi 2811212021
Section B Statement of assets and liabilitiès at the end of the period Unrestricted nds to nth7rest £ 6.378 Restricted funds to nearest £ Endowmènt funds to nearest £ Categories Details B1 Cashfunds Gash in HaTh1 Total cash iagree Daw]5 re1$ payTnents ac(x>unt(sl) 6.378 Unrestricted fvnds Restricted funds Endowment fund5 to nèarèst £ to nearest £ B2 Other monetsry assets Fund to whlch Current value onal onal B3 Investment assets Fund to whlch asset belon UnrestTSCted Current value tional tional 3,500 3,000 B4 A55ets retained foT the charitys own use Motor veCleS MusFcal Instruments Unrestricted Fund to which relates Amount due tional When due optional 85 Liabilities Signed by one or trustees on behalf of all Ihe trustees Signatyre Print Name Date of approval Emmanuel Afram 2811212021 Sam1 Ano 2811W2021 28112r2021