NEW BEGINNING MINISTRIES TRUSTEE ANNUAL REPORT ST ST 1 APRIL 2023- 31 MARCH 2024
Trustees at this tinie Mr5 Monica Solomon Raj - Chair of Trustccs Mr Anton Sncer Toussainl - Trustee Mt5 Kelly Leigh Tou55ainl - Trusiee Mr Solomon Amal Raj - TNstee Structure New Bcginning Ministries is an independent non4l¢nominational church. Truslces are members of our church community thal have becn prayerfully considcred and show a long commitmcnt to the eihos of our church. They show good leadership and come into agreement with our charities mission and plans for the fUre. Within our church we also have a ministy team which supports the church in the mission we have to support our local communities and over seas mission. Our Tru51ees meet throughout the year to discuss issues thal may arise and to make financial decisions to better our church. New Beginning Ministries operates mainly via volunteers which is overseen by our serving team leader who checks in Tegularly with the team and deals with issues accordingly. Objectives and Activities New Beginnings main objective is. Each One. Reach One, Teach One. Each individual we come across at New Beginning we are dedicated to share the transformative message of Christ. we believe that everyone has been created for a purpose and that God desires a relationship with u5 all. We are passionate about reaching the lost with the good news of the Gospel we believe in the great commission "Go and make disciples of all nations. baptising them in the name of the Father and of the Son and of the Holy Spirit" We also believe that the Bible is the true word of God, and we're committed to teaching It. Are Church aims to support all of our attendees not only in their walk of life but also their spiritual walk at the moment we have roughly 35 consistent attendees, but we reach more in the community with our various minislries. Our Sunday services usually consist of Worship, Teaching. Prayer and fellowship we also take communion together and celebrate events throughout the year.
We have many activities that wc put together ihroughout the year that benefits the public and the wider community. Some of the activities we put on lo develop our community's faith are.. T¢aching from the bible Worship Prayer Bible sludi Prayer nights Worship nights Pastoral Care Outreach in our local communitios and internationally, sharing testimonies of the good news of Christ. Prayer, Homele&s outreach. food parcels, clothing, housing items and practical help in other countries. New Beginning Ministries currently does that have the funds to enable us to have access to our own building so at the moment we rent rooms from community centres and other churches to allow us to have a place to worship so the money that comes inlo our charity is spent on building rent over this year we have a150 boughl new sound equipment that is ours so we can freely use it in our services or external events we put on. Achievements Bible studies Every Wednesday we hold bible studies in our Pastors home church attendees gather we begin with a time of worship that is spirit led this then follow5 by a short time of prayer and then we have a session that is led by sonKiMyJy from our ministy fram or a church att¢nde¢ they often choose a topic with verses from the bible and brin8 questions to start a discussion this grows our church attendees faith and gives them a deeper underst2ndtng over time we then close our bible studies by ending in pray and a time of fellowship with refreshments served. Worship New beginnings encourage worship in most of our gatherings. on a Sunday morning we meet as a whole church, and we spend some time in worship this is also a time for people to spend time having individual prdyer and if they're led to share something we encournge this. After our time of worship we move on to our service. the first Sunday of the month we tske communion together where are moving inlo our seTmon the people who share our trusled people who are on our ministy team or people, we have invited to share the word of God usually after the sernion we offer a time of ministy this is for peopl¢ to corne and receive some prayer and to share with trusted people from ministry wheD our services finish we go to a time of fellowship were we can build closer relationships with our church attendtts.
Outreach Outreach activities include sharing testimonies. prayer supporL hornele55 oulreach, distribution of food paelS and clothing. and prnclical suptx)rt both locally and internationally. These activilies aim lo meet both spiritual and practical nceds. This is something that as a ChUh we do fortnighily. Financial Review New Beginning Ministries doas not currently own its own pr¢mis¢s and therefore rents room5 from community centres and other churches for worship and events. The majority of the charity's income is used to cover venue hire and essential running costs. During the year, the charity also invested in sound equipment which is owned by the charity and used for services and outreach events. Trustees ensure that expendilure remains aligned with the charity's objectives and available funds. Plans for Future Periods The trustees plan to: Continue regular worship services. Bible studies. and prdyer meetxngs Expand outreach activities within the local community Explore opEx)rtLmities for more stsble or long-terni premises, subject to fimding Continue responsible financial stewardship Trustees. Responsibilities Statement The tntstees are responsible for preparing the annual rep)rt and financial statements in accordance with applicable law and regulations. TTUStees confTh that they have complied with their duties under the Charities ACL This report w&$ approv by the Board of Trustees and signed on their behalf: Name: Solomon Raj Position: Chai of Trustees Date:
udile in ial Stalemenls for March 2024 h Y ar Ended For New Be innin Ministries
ewBe innin Ministrie nlent inancial Statements F the Year Ende 1 March 2024 Page Contents Accountants. Report and Treasurer's Approval Certificate Income and Expenditure Account Balance Sheet
inancial Statem For the Year Ended 1Mar 2024 Accountant 'Re e Membe of New innin Minlstries I have wepared fcr your approval the financi81 knfom181ion of Ihe New Beglnning Ministri88 for the ye8r ended 3111 March 2024 which cvmwises the Incon* ond Expendiiure knount and th8 Balance Sheet derived from 1nfcatlcrfl and eyplanations you have given me. You have appyowj the finan(aal Infoation for the yoar and acknowledged your responsibility for it 8nd for proding all infomalion and explanatn5 necessary for ils c(xnpletion. I have verified the aUraCY or )mpletene53 of the accountiThJ records or InfomialK)n and explanations you have gNen to me and I do not therefore. express any opinion on th8 finanaal f0Mation. PT0Nrysn A¢¢ounting Ltd 3ry1 Fthr, 86- 90 Paul Street LCdOn EC2A 4NE Dat8: 14th February 2026 Treasurer's A roval Certificate approve the financial infonnation and confimi that I have made available all the levant records aTrJ lnforrrI1( to Pros1on Accounting Ltd, necessary for ils completion. Solomcrf Raj -i.s-. New Be nnin Ministries
New Be innin Ministries ndLo For the Year Ended 1 Marth 2024 Y•4r Y•ar •nd•d 31.03.23 Nole• 31.08.24 In¢om• Offering OfferSn8Cash Bags of Ho Feed The Needy- Intemational Rentworshlp Ni8fi1 Events {chstMas, Easter. MoiheT'$ Day. Fathers Dayl F8mllyC8mplYouth HMRC Office Mise Support Mlsslons Other 22.997.82 0.00 320.00 215.00 0.00 0.00 8.460.00 5.538.99 £16,019.50 2,423.08 115.00 1,200.00 150.00 3,900.00 3,822.61 5.00 1,900.00 760.00 3.120.00 2.065.00 127.80 1.846.37 DBS &JmUp 965.61 45.4SO.98 30,500.80 Deposit &eow)t intere 45,450.98 30.500.80 Expendltur• Ptheflisinwieafletsltractslnewsletters etc Bags of Hope BankChaTg25 Children's Church DBS Events Ichrislmas. Easter. Motherfs Day. Faiherfs Dayl etcl FamllyCamp& Youth Feed The Neety- Inlefnitlonal (est Speaker HMRC Insurance Mlsslon$Other OffeTing Office Costs & Stationery PastoralC¥elfvel Rent SundryExp Support Wages Worshlp Team-Tech Equipment 1,091.26 1645.00 82.63 85.28 SO.40 909.99 1.500.00 773.00 1,380.65 lo,2.12 8,190.46 3A06.14 3,231.80 i.000.00 85.72 667.00 4.681.00 4.407.60 1.140.30 220.00 5.474.00 151.39 2,090.00 4.197.64 466.51 629.24 125.00 4,912.84 420.93 50.00 3,.00 1.122.00 2.632.48 2,134.57 3S.946.SI 38,267.16 NET IDEFicifi SURPLUS 9.504 (7.886.361
New Be innin Ministrie Balance Shee 1 March 20 3L0324 3L0323 CURREIIT ASSEIS Sound Equipfflent Bank Curlentkeourt 2,601.08 11.442.27 2.134.57 1.916.02 14.043.35 4.050.S9 CURRENT UABILMES crua15 and DeferTrd Income 14.043.35 4,050.59 NET ASSETS 14.043.35 4.050.59 RNANCEO 8Y ACCUMULATED FUIID Brought FoThvard 1.916.02 9.782. just deficit15urplus 7a3 15.731.791 .043.35 4,051.00 14.043.35 4,051.00
udile in ial Stalemenls for March 2024 h Y ar Ended For New Be innin Ministries
ewBe innin Ministrie nlent inancial Statements F the Year Ende 1 March 2024 Page Contents Accountants. Report and Treasurer's Approval Certificate Income and Expenditure Account Balance Sheet
inancial Statem For the Year Ended 1Mar 2024 Accountant 'Re e Membe of New innin Minlstries I have wepared fcr your approval the financi81 knfom181ion of Ihe New Beglnning Ministri88 for the ye8r ended 3111 March 2024 which cvmwises the Incon* ond Expendiiure knount and th8 Balance Sheet derived from 1nfcatlcrfl and eyplanations you have given me. You have appyowj the finan(aal Infoation for the yoar and acknowledged your responsibility for it 8nd for proding all infomalion and explanatn5 necessary for ils c(xnpletion. I have verified the aUraCY or )mpletene53 of the accountiThJ records or InfomialK)n and explanations you have gNen to me and I do not therefore. express any opinion on th8 finanaal f0Mation. PT0Nrysn A¢¢ounting Ltd 3ry1 Fthr, 86- 90 Paul Street LCdOn EC2A 4NE Dat8: 14th February 2026 Treasurer's A roval Certificate approve the financial infonnation and confimi that I have made available all the levant records aTrJ lnforrrI1( to Pros1on Accounting Ltd, necessary for ils completion. Solomcrf Raj -i.s-. New Be nnin Ministries
New Be innin Ministries ndLo For the Year Ended 1 Marth 2024 Y•4r Y•ar •nd•d 31.03.23 Nole• 31.08.24 In¢om• Offering OfferSn8Cash Bags of Ho Feed The Needy- Intemational Rentworshlp Ni8fi1 Events {chstMas, Easter. MoiheT'$ Day. Fathers Dayl F8mllyC8mplYouth HMRC Office Mise Support Mlsslons Other 22.997.82 0.00 320.00 215.00 0.00 0.00 8.460.00 5.538.99 £16,019.50 2,423.08 115.00 1,200.00 150.00 3,900.00 3,822.61 5.00 1,900.00 760.00 3.120.00 2.065.00 127.80 1.846.37 DBS &JmUp 965.61 45.4SO.98 30,500.80 Deposit &eow)t intere 45,450.98 30.500.80 Expendltur• Ptheflisinwieafletsltractslnewsletters etc Bags of Hope BankChaTg25 Children's Church DBS Events Ichrislmas. Easter. Motherfs Day. Faiherfs Dayl etcl FamllyCamp& Youth Feed The Neety- Inlefnitlonal (est Speaker HMRC Insurance Mlsslon$Other OffeTing Office Costs & Stationery PastoralC¥elfvel Rent SundryExp Support Wages Worshlp Team-Tech Equipment 1,091.26 1645.00 82.63 85.28 SO.40 909.99 1.500.00 773.00 1,380.65 lo,2.12 8,190.46 3A06.14 3,231.80 i.000.00 85.72 667.00 4.681.00 4.407.60 1.140.30 220.00 5.474.00 151.39 2,090.00 4.197.64 466.51 629.24 125.00 4,912.84 420.93 50.00 3,.00 1.122.00 2.632.48 2,134.57 3S.946.SI 38,267.16 NET IDEFicifi SURPLUS 9.504 (7.886.361
New Be innin Ministrie Balance Shee 1 March 20 3L0324 3L0323 CURREIIT ASSEIS Sound Equipfflent Bank Curlentkeourt 2,601.08 11.442.27 2.134.57 1.916.02 14.043.35 4.050.S9 CURRENT UABILMES crua15 and DeferTrd Income 14.043.35 4,050.59 NET ASSETS 14.043.35 4.050.59 RNANCEO 8Y ACCUMULATED FUIID Brought FoThvard 1.916.02 9.782. just deficit15urplus 7a3 15.731.791 .043.35 4,051.00 14.043.35 4,051.00