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2024-03-31-accounts

Charity No: CIO 1184099

Connection Church Centre (KEC Church Centre)

Financial Statements

for the year ending 31 March 2024

1

CONTENTS PAGE
GENERAL INFORMATION 3
TRUSTEES REPORT 4
FINANCIAL REPORT 7
INDEPENDENT EXAMINERS REPORT ON THE ACCOUNTS 8
STATEMENT OF FINANCIAL ACTIVITIES 9
BALANCE SHEETS 10
NOTES TO THE FINANCIAL STATEMENTS 11-13

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Connection Church Centre (KEC Church Centre)

GENERAL INFORMATION
CHARITY NUMBER: CIO 1184099
TRUSTEES: Mr O Nicholds
Mr A Mabiala
Dr E V H Kerekes
PASTOR: DR E V H Kerekes
SECRETARY: Mr O Nicholds
TREASURER: Mr O Nicholds
CHURCH ADDRESS: Cooks Lane
Kingshurst
Birmingham
B37 6NP
BANK: HSBC Bank plc
67 The Parade
Sutton Coldfield
B72 1PL
ACCOUNTS INDEPENDENT EXAMINER: Mr N James
109 Heathway
Castle Bromwich
Birmingham
B34 6LG

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TRUSTEES ANNUAL REPORT

Organizational Structure

The governing document of the charity is a Trust Deed. There are Three trustees who meet at least 3 times per year and are responsible for the strategic direction and policy of the charity.

A scheme of delegation is in place and the day-to-day responsibility for the provision of the services rests with the 'Oversight', which consists of the Pastor, Elders and Leadership Team who meet monthly and are responsible for ensuring that the charity delivers the services specified and that key performance indicators are met.

Trustees are appointed after receiving unanimous approval by other trustees.

Staff

The Trustees take this opportunity to thank the Pastor, Elders and Ministry Leaders for their hard work during the past year. Their continuing efforts and commitment to the church are very much appreciated. The only salaried member of the ‘Oversight’ team is the Pastor. The Pastor’s salary is agreed by the Elders, and during the financial year, an increase was sanctioned in line with inflation.

Sherry Egginton continues as the Community Pastor and has settled in extremely well building up relationships within the community including local councilors. Allowing the fellowship opportunities to share the love of God in many practical ways.

3 further part time staff are employed one as a cleaner, one working in the café and one as the cook for the lunch club.

Volunteers

During 2023/24 the church continued with its ministries, senior lunch club, mother and toddlers (now called Little Gems), ladies craft group, Saturday morning Café. The ministries would not be able to function effectively without the assistance of up to 50 volunteers who serve in many capacities and whose time involvement ranges from a few hours per month to 2 -3 days a week.

The Trustees' and Elders would like to take this opportunity to express their grateful appreciation for all they do.

Objectives and Activities

The charities objectives and principle activities are to:

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Achievements and Performance

Summary of the main achievements of the charity during the year:

Although the government relaxed the laws on Covet 19 we have continued to hold the services on livelink on Youtube but gradually many have returned to personally join in the services and ministries.,

Risk Management

The charity is committed to ongoing assessment of the major risks to which the church is exposed and are confident that the system of reporting which currently exists will advise them on a regular basis of potential difficulties and enable them to take steps to lesson these risks.

Plans for Future Periods

The charity continues to look to enhance the standard of living for the people in the local community, by showing the love of God, in Word and action. Future plans are to employee a Family Pastor for both the church fellowship and the community.

Public Benefit Statement

Worship and Prayer

CCC offers a range of services during the week and over the course of the year that our community find beneficial and spiritually fulfilling.

One service is held on a Sunday morning is more aimed at Family worship and includes a specific section for children.

Our services are available and open to all.

During the week, discipleship/growth courses (known as Connect Groups) are held for people wishing to deepen their Christian beliefs, and regular times of prayer are also held.

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During the course of the year:

The Community Care Centre

CCC also offers a range of services that benefit and involve members of the community. During the course of 2022/23 the Care Centre has conducted:

Food Fund

With the cost-of-living crisis we have sought to help those in the community who are struggling. We don’t have the room in the building for a Food Bank, so we purchase items of food that a person is in need of and the church pays for the items, with the money being provided through grants from SMBC.

Pastoral Care

The Pastor and the leadership team offer pastoral care to both the members of the church and members of the community who attend the activities of the Care Centre.

This has often involved visiting those who are unable to attend due to sickness and has included a number of hospital visitations. In addition, the Pastor and the leadership team are available to pray or offer spiritual guidance to individuals or small groups when requested.

Declaration

The trustees declare that they have approved the above report.

Signed on behalf of the charity's trustees.

Signature(s): ………………………… Date: 23/01/2024 Full Name: Owen G Nicholds Position Secretary

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FINANCIAL REVIEW 2023/2024

The overall position for the year ended 31 March 2024 showed total income of £144,165, and a deficit of (£16,608).

Principal Funding Sources

The main source of funding are donations, gifts and funds generated by charitable activities.

Investment Policy

The charity has only a small amount of reserves and these are likely to be called upon in the short to medium term, and consequently, investment has been restricted to easily accessible accounts. The church does not have any specific investment powers.

Checks are made to see that the return is comparable within the banking sector.

There have not been any party-related transactions during the year.

Reserves Policy

It remains the goal of the Trustees to maintain freely available reserves at a minimum level which would enable the General Fund/Building Fund of the church to operate for approximately 3 months at £12,000. Freely available reserves are funds which are unrestricted/restricted and not invested in fixed assets. The church has sufficient reserves in its General Fund and Building Fund to meet this requirement, but the situation will continue to be monitored with a view to increasing the amount of reserves.

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Independent Examiners Report to the Trustees of Connection Church Centre I report on the accounts of the Church for the year ended 31 March 2024 which are set out on Pages 9 to 13.

Respective responsibilities of trustees and examiner

The charity's trustees are responsible for the preparation of the accounts. The charity's trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

Basis of independent examiner's statement

My examination was carried out in accordance with general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a ''true and fair view'' and the report is limited to those matters set out in the statement below.

Independent examiner's statement

In connection with my examination, no matter has come to my attention:

2 to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Mr N James 109 Heathway Castle Bromwich Birmingham B34 6LG Date: 24 January 2024

Connection Church Centre

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Statement of Financial Activities for the year ended 31 March 2024

Incoming Resources
Donations and Gift Aids
Note 7
Grants
Hire of Premises
Total incoming resources
Resources expended
Cost of generating funds:
Cost of funding
Note 8
Charitable activities
Note 6
Total resources expended
Net incoming resources/(resources expended)
Fund balances brought forward
Surplus/(Deficit) for the year
Prior year adjustment
Gain/(loss) on revaluation of assets
Fund balances carried forward
2024 2023
RestrictedUnrestricted
Total
Total
Funds
Funds
Funds
Funds
£
£
100,943
100,943
115,273
17,390
0
17,390
13.370
25,832
25,832
43.222
100,943
144,165
128,943
19,191
0
19,191
12,524
19,191
0
19,191
12,524
0
160,773
160,773
144,308
0
160,773
160,773
144,308
17,390
(33,998)
(16,608)
(15,365)
0
0
594,027
609,392
0
0
(16,608)
(15,365)
0 0 0 0

0 0 577,419 594,027

Connection Church Centre

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Balance Sheet as at 31 March 2024

Fixed assets
Note 2
Current assets
Bank
Debtors
Note 3
Current liabilities
PAYE & NIC and wages
Accruals
Note 4
Net current assets
Total assets less current
liabilities
Long-term liabilities
Loans on properties_Note 5_
Total assets less total liabilities
Funds
Unrestricted
£
31,452
2,867
£
790,636
33,719
34,319
0
600
600
824,355
247,633
576,722
576,722
576,722

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Notes to the Financial Statements - Year ended March 2024

1. ACCOUNTING POLICIES

Basis of accounting

The financial statements are prepared under the historical cost convention in accordance with the requirements of the financial reporting standard applicable in the UK and Republic of Ireland (FR102) (effective 1 January 2015) - (Charities SORP FRS102 and the financial accounting reporting standard applicable in the UK and Republic of Ireland (FRS102).

Tangible Fixed Assets

Fixed Assets are shown at cost. Depreciation is provided at the rate calculated to write off the cost, less estimated residual value, of each asset on a straight-line basis over its expected useful life as follows:

Equipment and fittings 20% per annum Freehold property 2% per annum Land is not depreciated.

Fund Accounting

Unrestricted funds are available for use at the discretion of the Trustees in furtherance of general objectives of the Church. These are funds that have not been designated for any other purposes.

General funds are those funds which are not designated or restricted for any purpose.

Restricted funds are funds which are to be used in accordance with specific restrictions imposed by donors or which have been raised by the Church for particular purposes.

Resources Expended

All expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category. All expenditure is recognised once there is a legal or constructive obligation to make a payment to a third party.

Costs of Charitable Activities comprise all expenditure identified as incurred in the pursuit of the charitable objects of the charity.

Apportionment of Costs

Costs which cannot be directly attributed to activities represented by restricted funds are charged against unrestricted income.

Support costs are apportioned between the charity's activities on the basis of salary costs.

2. Tangible Fixed Assets

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Equipment Freehold & Fittings Premises Total £ £ £ Cost 1 April 2023 Balance b/d 5,619 1,009,387 1,015,006 Additions 0 0 Disposals 0 0 0 31 March 2024 Balance c/d 5,619 1,009,387 1,015,006 Depreciation 1 April 2023 Balance b/d 1,618 201,392 203,010 Charge for the year 1,172 20,188 21,360 Disposal 0 0 0 31 March 2024 Balance c/d 2,790 221,580 224,370 Net Book Value 31 March 2024 2,829 787,807 790.636 Net Book Value 31 March 2023 4,001 807,995 811,996

3. Debtors and Prepayments £ HMRC gift aid refunds 2,867 4. Accruals £ Professional Charges 600 PAYE 0 600

5. Loans on properties £ Church and Manse 247,633

6. Expenditure on charitable activities

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2024 2023 £ £ Salaries, Pension & Employer’s NIC 50,041 46,746 Hire of equipment 41 602 Rent, rates and insurance 3,801 1,860 Lighting and heating 5,749 3,756 Stationery, postage & advertising 2,577 1,586 Repairs and maintenance 13,931 14,774 Telephone 1,646 1,678 Travelling expenses 1,761 9,644 General expenses 39,265 28,244 Depreciation 21,473 21,312 Professional charges 1,476 1,582 Loan interest and bank charges 19,19 1 12,524 160,952 144,308

7. Analysis of Incoming resources

£ General fund (Unrestricted) 55,892 Building fund (Restricted) 25,800 Cafe fund (Restricted) 19,300 Lunch Club fund (Restricted) 22,862 Mission fund (Restricted) 4,500 Support fund (Restricted) 1,100 HMRC tax relief on donations (Restricted) 12,311 Little Gems fund (Restricted) 2,400 Total 144,165

8. Cost of funding in General expenses £

Bank charges 207 Loan interest 18,984

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