OpenCharities

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2021-03-31-accounts

Principal address: 33 North Road
Cardiff
CF103DX
Bankers Lloyds Bank Barry
140B
Holton Road
Barry
Cardiff
CF634TZ
Independent Examiners Modest 8 Co Financial Services Ltd
189Greenhill Avenue
Sheffield
S87TJ

statement of Financial Activities
Notes Unrestricted Total Total
Fund Fund Fund
31 March 31 March 31 March
2022 2022 2021
6 6 6
IINCOMMING
RESOURCES
20,935 20,935 21,515
RESOURCES EXPENDED
Expenditure
on charitable
activities
11,175 11,175 8,804
TOTAL RESOURCES EXPENDED 11,175 11,175 8,804
NET INCOMMING
RESOURCES
9,760 9,760 12,811
RECONCILLIATION
OF FUNDS
Total funds
brought
forward
163,840 163,840 151,029
TOTAL FUNDS CARRIED FORWARD 173,600 173,600 163,840

Balance Sheet as at 31 Balance Sheet as at 31 lllarch 2022
31March 31March 31March
2022 2022 2021
Notes
Fixed Assets
Freehold
property/
105,000 105,000
Building
Improvements
Equipment,
Furniture
8 6,141 7,989
Fittings
Computer
Hardware
95 143
Total Fixed Assets 111,236 113,132
Current Assets
Cash at Bank and in hand 62,764 51,108
Total Current Assets 51,108
Liabilities
Creditors
falling due within
(400) (400)
one year
Net Current assets 62,364 50,708
Total Assets less 163,840
Current Liabilities
Creditors:
falling due
aRer
more than 1year
Total Net assets 173,000 163,040
Funds ofthe charity
Restricted
and
Unrestricted
173,600 163,840
Funds

31Marcb 2022 31March 2022 31March 2021
Unrestricted Total Funds Total Funds
Funds
5
Donations & 20,935 20,935 21,615
Offering
Total 20,935 20,935 21,615

Analysis ofexpenditure
on charita
ble activi ties
31March 31March
2022 2021
Administration 55 2
Depreciation on tangible assets: Owned by the 1,sas 1,sas
Charity
Legal Fees 320
Insurance 588 570
Utilities 1,510 867
Professional Fees 400 400
Marketing
&Advertising
199 144
Transportation
&Travel
Ecclesiastical Support cost
Mission & Ministry
Cost
770
2,090
200
1,140
1,064
Property
Expenses
Trustees Expenses
Supplies
&Services
780
2,400
115
600
1,601
Miscellaneous Expenses 372
Total 11,175 8,804

Tangible Fixed Assets
Freehold Fixtures, Audio/ Computer Total
Property/Building fittings & Heating Hardware
Improvements Equipment System/
Kitchen
Equipment
E E E
Cost
1 April
2021
105000 2681 10852 239 118,772
Additions
Surplus
on
revaluation
Disposal
At 31 March 2022 105,000 2681 10852 239 118772
Depreciation
At 1 April 2021 1,608 3,936 96 5,640
Charge for the year 536 1,312 48 1,896
On disposals
At 31 March 2022
2,144 5,248 144 7,536
Net book value
At 31 March 2022 105,000 537 5,604 05 111,236
6.
Creditors
31March 2022 31 March 2021
Creditors: amounts falling due within one 400 400
year(Accountants Invoice)
Total 400