tharliyTeglstrtlon number118167J
YAPTON FREE CHURCH
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024

YAPTON FREE CHURCH
LEGALANDADMINisfRATIVE INFORMATION
G Sercombe
N Hodson
polntsd JIJU￿2923)
Charity number
1184673
IndEwidentexBmlne¥
OllverAe&d FCCAACA
Jamesyodd & Co Limited
DTryton House
ttrayton l?ne
Chiche#er
We5tSussex
En8land
P020 2EW

YAPTON FREE CHURCH
CONTENT5
Independentexarnlnerfs report
Statement offlnancial a¢tivities
Balance sheet
14otestothefiMwial statemqnts

YAPTON FREE CHURCH
TRU5TEES' REPORT
FOR fHE YEAR ENDED 31 MARCH2024
The tru5tee5 pre5entthelrannual ￿pOrta￿d finar¢lal S￿eMents￿1heyeareftded 31 Marth 2024
The fiMKb•l si*em*its hove l)eeTr prepared 8¢cord•nce wlth the accOun￿Tr% poll¢tes $et In nots i to ihe flnènclal
ststements ond cornply with the thar[￿$ governing d¢¢ument, the Charltles Act 2011 and °A(rountln8 and Reportin8 by
Charlties.. Ststement of Recommended Practlce appllcable to tharftles preparfnR ihelr aceounts accordance wlth the
Flnanclal Reportlns Strndard applicable Inthe UK and Republlc of Ireland IFRS lff21' leffectlve lJanvary20191.
Obletll¥esand artl¥ltle5
Y8Pton FreÈCIMfrrch Is con#ituted byTr¥st Deed dated 27 Novernber 1999 and Its oblects arètr.
. advan￿ the Clwistiaftfaith Inyaptonand lftalj wortd:
liÈve pErs¢)n5 In condltions of need orhardshlpithe3Aedand tlw s¥tferlt)8from slckne55,andthe dtstress Uustd
therebyp and
prom¢ytEand fulftl svth Dthertharitsble putP05e5 b*ef4dal to the communityofywn. and worldwlde.
Pub￿¢ lJ4n*fit
ThetnJstÈes have pald d￿e regard to wjldante IssuÈd bythe tharity Commlsslon In dechlln8 what advltlesthe charlty should
undertake.
ReAew ofpubllcbenefit
The TNstee5 have had due re￿￿￿ to ihe Charlty Cwnmisslon'$ oenernl widame on publlc be￿fft when révlewlnk the
charltys0blect￿es.
The trustees strongly believè that the holdlnB of servlw of worshlp of God and thtr lord Jtsus Chrusty preathrng and
2¥PDundinB the Word of God, the Blble. holdln8 classes for the instrurtlon of aduhs and thlldren In the Word of God, and
r￿￿41n8 othèr arti￿￿￿* whleh w511 prothota th• Word of God and laad p*opl* to faiih Irt Lord JÈsu* Christ Ag thÈlr
5a¥iourl$foT publkbener
These convlrtlons lead people to an increased love and con￿rn forthe welfare of other5, both In thE I￿al ccommunlty and
beyond,whlch 15 demonstsated byourwlde ranpof acthfltles and Clubs. ènd wehre pm8rammes.
Athlevèments and p*fomian
Sunday MÈÉ*ih8S
Thls year aBaln our Sunday me￿￿8$ have beÈfi wèll attended either in Yapton ￿lts8e Hall tt a marquee at the
Rswervffjod irt WalbErton. ￿brant y￿rShIp￿ ¥reat p￿0th1n¥ from YFC members or visitin8 speaker5 contribute to a
l¥ely. friendlychurth ètrw5phere.
Each Sunday* the￿ is *tds club for the thlldren and every second week a speclal meerfng for the teenagers. followlng our
lolnedworshlp tim
4ofthyaub
The last week of July the bl8 tent arrlvtd at the VIlla￿ Green In Yapton for hollday club. It was the 30th year. Fyn. pmes,
mltslc. Bible storie4 8un8e tanksi qulzzes etc. for ¢7Yer 120 ch11d￿n everyday. Tee#agers and adults worked together o ¢reats
an unforgettable time for the chlldrert. A senlor dtlzens teal youth actlvltles, famlly-frlendy f41m evenln8 and Sunday serv1￿5
We￿ alsopartthl$ amual ev*nL

YAPTON FREE CHURCH
TRUSTEE5' REPORT ICONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
Alpha
Atthe be8lrnlng ofAprll, we began oursecond ￿Pha￿0￿￿ ofthe calend•ryear*whlth untiljuty. E)¢h Irorwe rytnthree
Alpha courses,. oneln Sp￿￿& one In 5￿mmera￿d inAutLm
Atthe end of Movemberwe hosted ourword and Splril confe￿n¢t With $evernl guest speakers Indudln8 Ken Goty Svètoslav
Petr(WO￿ hls frdrnily. The confereThowas well attended •nd 8reaUy enmr884nito the ¢hvr¢h #nd visrtorsalike.
In September Hu80 and H•nneke Driel returned to Mongo51a wlth o ￿911 team. Hanneke IW there for ovw ￿e1ve
8$ ¥ misslormry. Itwas 8reat to see thework continue underthe leadeFshlp of malnly MW1Far￿ Wewere able to Yeconnect
wlth thedifferentprujects ift Ulan Batorand Khentl and speak In several ¢hur¢h meetin8S-
In October, sever•1 members ofthe YFC leadershlpteam travelled to Bansko In 8ul82rfafora Icatthihe Flrel ¢onfeM¢& ft
was beneflclal for our leadetshlp team to meet other senlor leadeTS frarn CTF. Sorne of our team then attended a lar8e
Bul8arian tharisMati¢conferen￿7ffi Plo¥dkV. All really8oDd new connecitOn5.
Sthools and1￿h ￿11**￿
Stnce 1991 we've been leadlng INely assemblle5 In primary schools In the 8re8. It began wlth Yapton COE wlm•ry s¢hty)I In
1991. We nowvisit 151othl sthtyJ15 on a monrhly basls.
The YFC youth dL** tontlnues to be very popu18r among the teenagets In the ￿lIage. Every Friday e4*nlng from 7.30pm tiii
9.30pm the OC8 Is a hub of ath￿ty, wtth pool t#ble$. Cra￿ tsble tenn15, bakin%, board 8ames etc. Durtng the eveninz the
youth con8re83tefor IOmiTrute$to li5tento a bFieftalk byonÈof the leadeTsor a visitin8speakeL Atlmeto reflect
W•dn*isday 4ft4mLWn. YFC r¥ns ? football ¢n the VillaF GreEn. ThcTe are g rcsylor8 10 bo￿ ond sometlme$8irls,
whotornetoenloy a good run4Youndwith50meadultsupeNislDn.
Parentsandtodthers
Every Wednesday momln8the OCB 15 of mums land some dadsl theirtoddlerhrthe parent and toddler8roup.
Ereat meeting place for new parents. There 15 toddjer crafL there are tOy5, snack5 aNI muslc and a happy, friendly team ol
hplpers from YFCthatcreate a hometyenvlronm•nt.
Prayerrneelln￿aDd home8mups
We hwe prayer me￿nIS on Tuesdty. Wednesday and Th￿r￿8V mornini afid a P￿Yer and Pralse evening Èvery second
Tuesday evenin8. Church membw¥ are also able to loln h¢>me Kroup5 where they partlclpots In Blble study* fellowshlp and
'W0￿h5P end retel¥epastoTrl care.
In 2023 we started Coffee-ConnecL a group for over 655. th•t meets every Tuesday morrtltw from 10- 11 Church rftefftbers
and lotsl pèople from thÈ wlla8e attend* pl￿Ing board games, cornpletln8 puzzIE5 and @nloylng a 8ood that over a tea or
finandal revl8W
ReseNespollty
It15 the polity Df the Yapton FreeChur¢hto malntaln unre5trfcted furth, whlch )refree ￿selveS ofthe charty at a level which
provides sufficient funds to tover three mottths management. admiftiStrallon and support ctssts, and whith also enable thè
Church to prDvlde SUPPDrt to those in need, Includinz missioftary socletles 8nd or8anisatk)n5 as and whers such need arises.
The redu¢tlon of income, refleC￿￿e of the current ewnomlc ¢llmats, has rneant that the level of reseNes are belowwhat the
Tmstees would prefer at present and the sltL*ation is being kept under re8ufar rev4ew. The budget for 2024ns Includes 4
contrlbLrtlon to a general reservefund of £1,000 eath ¢#ltndarmonth.

YAPTON FREE CHURai
TRusfEES' REPORT (CONTINUED)
FOR THE YEAR ENDEO 31 MARCH2024
Rlsk mana¥em￿t
The Trustees have examined the ntsjor sttsteei¢. buslness and operntionèl r+sks whlch the faces and co>)firm that
Sy5tem5 have been estab1I5hed to enable regular reports to be produced. and 155ues iaised at our ￿￿atr meetinE5. 50 that
¢e55arysiep5 can betsken on atlmelybasl$tote5senthese rf5ks.
ThetruAee5whoseryed durln8the yearand upto the date of si8nature ofthefinanclal statements were:
H Van Drfjel
IRe518ned 31Juty20231
6 Sertomb#
N Hodson
R Hawk5
(ApOnted 31July20231
Appolntme4rt of Trustee5 is governed by the Trust Deed of the ¢hartty. The Board of Trn5tees 15 authorlsed to appO￿t new
Trustees to flll vacanclesarlsln8durlngtheyeoras a resultof resl8natloTh ordeath of an exlstyi)8twsre&
The trL45tees' reportwasapwo¥*d bythÈ Board of TnJstee*
6 5er¢o

YAPTON FREE CHURCH
INDEPENDENT EXAMINER'S REPORT
I ni i r4iiai EÉS vr T•4ri
r4 FREE CHURCH
I report tothe tru51ee5 on my examtnatlon of the flnandal statsmerts of Y3pton Free Churth Ithe ¢harityl forthe ￿ended
31 Manh 2￿24.
Respohslbllltle$ 4nd basls 01 report
As the twstees of the charlty you are responslble for the preparntlon of the flnandal ststements In acWrdan￿ wlth the
requlrements of the Charltles Act 2011 (the 2011 Act).
1 ￿tsort In respett of my examlftaiion of the thartV5 finandal 5tatemÈnts tarrled out ￿￿er se¢11on 145 of the X)11 ACL
rarryin8 Out my exaMIna￿on I have followed all the appllcable Dlrectlon5 8fven by the Charlty Commls5ion undtr sethon
145lSllb}of th* 2011 A¢t.
Your attsnyon Is drawn to the fact that the tharlty ha5 prepartd llnaficlal statements In accordance wlth A¢¢ountln8 and
Reportlni by Charftles preparln8thelr *counts in accardante wtth the finarttial Reportln8 stsnda￿ appllcable In the UK and
Repub15¢0f lielond (FI￿102> in Preferen￿￿¥theA(counIIn8 ènd Reportir>8 by Charities- 5tatementof Recommended Practi
Issued on l Aprfl 20tLSwhlch Is referredto In the ￿an1 ￿￿latIOnS ha$ now been wfthdTrwn.
l urnlerstlnd that thls h?5 been done in ordeT for fiTranctsl statements to provide a true and froir ￿eW kn ac(Drda￿￿ wlth
GenerallyAtcepted Aceow*lrtg Prntti￿¢ffetbVefQrtÈport1Th8 periods tsegimingon oraftet lJaNuary 2015.
I ha¥e wmpleted myexamlnatlon. I confirm that no matters have come to atten￿On In connertlon wth the examinatio
ing mecauseto believe that Inany mal£rial rt%pÈtt:
accaunttng ¥ecordswetÈ notknpt In TrSPErtof the (haTitya5 ¥equired by 5ertion 130 of the 2011AL*: or
the ftnanclal 5tstements donot accord wlth thos* records.. or
the 14naai¥al ststeniqnts do not compty wlth the applltable requlrements concemlng the fomi and content of accounts
set out in the Ch4ritie5 (Accounts and Reports) Regulatlons 2W8 other than any requlrement that the accounts Blve a
true and falrvl*¥whlch Is nota matter ¢ornsidered a5 Part of an Independertex4rnln•tion.
I ha￿ no concern5 anrl have come across no other mattets in wnne¢tlon the ￿mInatI0Th to whl¢h attention shoukl bt
drawn iThthls report In ordeYto8ththle a proper under5tsrhJlnKofthefhRnclal statements to be rpathed.
Aèad FCCAA
James Todd & Co knmitea
Dwton House
tlrayton L￿e
Chithester
WestSu55&1
P020 2EW
En8land

YAPTON FREE CHURCH
STATEMENT OF FINANCIAL AcnviTIES
INCLUDING INCOME AND EXPENDITURE ACCOAJPIT
FOR THE YEAR ENDED 31 MARCH2024
Totsl Unre51rfcted
ds
nds
nds
2021
Intomèfrth:
Donatons and IEpcies
Inve5tmer>ts
121,448
14
14A71
135.919
23
111.774
130.668
Total inUATr
A21A62
14180
135,94Z
111,782
130,677
f¥pendi￿re￿.
Chèritsble actlwtle5
13340
5185
I18.￿82
20ALS
138*57
Thtsl expendsture
112.54S
13.340
125A8S
Its,032
20,825
138,857
8317
L140
10,057
16.2501
IL9301
18.18Ql
TTrnsfers bettveenfunds
(9011
901
Ilet mo¥ernt Infunds
8.016
10,057
16,2501
11,930)
Fund balat)w at IApril 2023
16
9.113
26￿57
23,194
IL043
34,217
Fund bdlant•s4t31 fvlarth 2024
24.960
36.114
16,944
9,113
26.OS7
smement of fiTranclal actlvmes Indwles all ylns and losw ￿&?￿lsed in the year. All Inwme and eXpendItu￿ defive
fmm contlnLEln8acNvltle

YAPTON FREE CHURCH
BALANCE SHE
ASAT31 MARCH 2024
T8wbleasge
Ix
7.51W
7,127
12
22.789
&833
17.541
Cash at bank and In hand
4L798
26.374
17,4441
fJedttovs: amounts fallI￿d￿6w1th1n oMy*ar
Net￿￿ent055ets
28.614
18,930
Total a5setsless￿rmt Vabllltles
36.114
26.057
Not assatsth4udlngpen51on IlabllSty
3Q114
26,057
Thefuhlds oftheth•iity
Restrleted Incomefisnd$
Unre5tr1ctedfuThls
15
liJ54
243fKI
9,113
16344
36,114
26,057
Tl* flr￿r￿1ll statements weye apiwved bythetN5tees on.......... .......... .
G krcombe

YAPTON FREE CHURCH
NOTES TO THE FINANCIAL sfATEMENT5
FOR THE YEAR ENOED 31 MARCAzoz4
Att•un￿mI poikies
I￿O￿wITh1OMiaIi0n
Y•pton Free Church is J tharity reglstered with the Chjrfty C¢mMisslon of En8land and Wales, number 1184673. ThE
Chortty1$8ovemed bya Trust Iked dated 27 November 1999 asdetslled knthe Twustèts, Repott
Ll Accountlngionhwrtlon
The flnan(581 $￿teMents have beeft p[epar￿ ITr actordante wlth the charfty's Trust Deed. the Ch3rftlts Att 2011, FRS
102 Flnon¢l)l AeportlD8 5tsndard 4pplicable inthe UK ?nd Republic of Irelan(r i°FRS iori and the Charltlps SORP
'Accourtln8 and RepothnB by Charttles: Statement of Recommeniled Pract5￿ appliubk to chartties prepaYin8 thetr
accounts In accordance with the Flnanoal Reporting stsndard appllcable In the VK and Republic ef Ireland (FBS IQ21"
leffectwe Ij￿Uary2ol9j. Thè ¢harltyisa Publk Berth En￿tya5 deflned by FIIS IQ2.
Thetharfty h¥stsken advantage of the prov151ons In the SORP for¢haffti¢s notto prepare g Statementolcash Flow
The finandal stslements have dep*ed from the tha￿￿eS (Accounts and Reports) Regulations 2008 ortly to the extent
ouired to provlde a true and falr vkw. Thts departure ha5 Irwolved followlns the 5t¥tement of Recommended Pra¢tl¢e
fDrtharftles applyln8 FRS 102 rat￿rth8￿ the verslon of the StstemÈnt of Recommended Practlce whlth15 Trferred to In
the Re8ulatlon5 butvthlch ha55intr been wthdTrvK
Ihe ftn#nd¥l statsm¢nts are prepared In StertIr￿ wNch Is the fvrKtloTral ¢fftn¢y of tht ¢harlty. Monetsry amounts In
theseflnanclal statementsare rounded totho nearestL
The flnanclal st*rnents hove been p￿pared urnlerthe hlsiorlcal ¢osr con¥enVon and the prlndp41 accountln8 pK4l¢les
adotyed aT• setout below.
At the tlme of approving the fin*n¢lal statements the trustees have a relsonable expectation th¥t the charity has
adequate resOU￿est0 contlnue In oper4tlono1 exlsten¢eforthe foreseeoblefuture.Thusthetrustee5 contlnue to adopt
the 80in8 Concern b¥sisof accountln8 In prylnithe ftnanda15ratements.
1.3 Chawlt3ble hmds
UfiiesÉrictd funds are avallablefor use atthe dlscretlonof fhetrustees in fvrther4n￿ ofthelrthalltable oblectlve
Re$trf¢￿d funds are sutyettto speclflc condlttons by donors or grantors as to howthey Thy be used. The purposes and
uses of the restrlctedfunds¥ro *tout in th8note5 finandal statements.
IA Incorne
Income 55 reco￿￿ whw the ¢harlty 15 legally ent{￿ed to It after any perforrna￿e condltlons have been me¢ the
artw)unts be measured rèllablyj and Itls probable that Income wlll be recelved.
114rLIv￿s Ère account￿ foy on an as recetved basls. All the ¥oluTrtary If￿0me 15 reCe￿d fmm the members of the
ch¥Jr*h othar well-wishers and 15 frjr the Kenerol work of the charfty. The related tsx credlt OTr donatlons
re¢el¥ed is actounted foron an accruals ba51s once the donatlon h05 been rece4ved. In¥estment income 15 retQBnised on
a r¢Ce￿dble basls.
Le8acles a￿ reco8n15ed recelpt or othetrwlse If the Charfty has been notlfted tsf an Impendthg dlstrlbutlon, the
amountls *nown. and recelpt Is expe£ted. If the arnouftt Is known, the levty is treated as a conUTrgenta5set.

YAPTOfv FREE CHURCH
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENOED 31 MARCH2024
Icontlnued)
Ch3titsble e¥penil*ture comprlses all ¢¥penditurd d*rottiy relating to the or)jects ol thè charlty, and Is Induded when
Inr.iJrrpA. frngt% all￿At￿rt *rrn%s r.hiritAblp arttvltlp.* 3rrrnlln£ tn thp r•lgvAnt itfp nf f5n#nrlHI Hnrl 4tHff
resources. Dlrettly attrfbutable costs are allo￿tsd dlreclly to the thathèble a¢tl¥ity headrftg wherea5 stsff costs,
dEpreriation and supportcosts ar¢ •llorat*don ? basis ￿latIn￿tothe useof resources.
Glfts are indultsa when approvèd bytheTrustees.
The charity 1$ not reglstered for VAT and a$ 5uth Irrecoverable VAT ts tharged agalnst the category of rewur
expEnded foTwhkh Itwa5 Incurred.
L6 ran￿ble￿￿ed assets
Tantyble fixed as*ts a￿ Inltlally measured at cost and subseqUefi￿V me•sured at t05t orValua￿r￿, net of deprecl*knn
and any Imp01mierrt1055e5.
Depredalon Is rÈuJgnlsed $0 as to wrlte off the cost QT Val￿tIOn of assets les5 thelr resldual values ¢wer their useful
I1￿ on thefollovAng bases..
Fumlture and equlptr￿nt
Prtyerty
25% balance
Ioyears straltht Trne
The aaln or1055 arlsln8 ort dIspo￿l of aft a55et Is determined a$ the dIffe￿rKe betsween the Sale proceeds ar¥1 the
tarryh78valueof thE a55pL anEF1s reco8nlsed In theAat¥ment of financlal actlvltles.
It Is the Charlty's pollcy not to cap1ts115e expeThllture under£lOO h)value thls Is Instead recoinl$ed knthe51atemert
offinanclal activltie5durfn8theyear.
1.7 lrnpalmientt)ffi*da55ets
At each reportlng end date. the th•rity reVIe￿ the carryin¥ amounts of Itstsnlble assets to determlne whetherthere
Is any Indlcation that those assets have suffered aTr 5mpalm)ent 1055. If any such indicatlon exlsts, the re¢¢ver•ble
amount ofthe asset Iseslmated In orderts determST*theextentof the Impalmientloss Il*aryl.
1.8 Cash and cash eq￿Qrtts
C2sh ènd I￿￿lL+d* tash Ip. ￿l￿d. depeslt5 held at (all banks. other short-term liyuld Investments
w￿h 0￿gI￿al maturltles of th￿e months or less. and bank overdralts. Bank overdrafts are shown w￿h1n borrowin8s in
turrtrt Ilabllltle
1.9 Nnandallnstrumehts
The tharlty has elected to apply the provl$ions of Sectlon 11 'Baslc Flnonclal InstNments' and Sedion 12 fjther
nanclal Instrnments Issues. of FRS 102 to all of Its financlal instrurneTrts.
Finan¢lal Inttrnrnertts are Tecognrsed in the charity's balance sneet when the tharfty becom pafty to the contractual
provlslonsof the Instrument.
Flnanclal assets and Mobilttles are offse¢ %¥tth the net presented the financlal statementy when there Is a
legally enforceable rightt05et off the rEtQ8lli5ed amounls and thore Is an Irtsntlon to serle on a net ba515 orto realk*
the assetand settiethe Ilabilltyslrnultsneously.

YAPTQN FREE CHURCH
NOTES TO THE FINANaAL STATEMENTS ICONTINUED)
FOR ThE YEAR ENDED 31 MARCH 2024
AttOLvthwpolldÉs
ICvntlRued)
Basic *nandal assets. which ittdud¢ debtors and cash and bank tsalathce¥ are inliially meawred at tran5aLtioTr prt
Indudlng trdns)ttlon costs and are subsequently carrled at amorti5ed uslng the effectlve interest method unless
the arrangement con5tfjtutes a financlng tran￿rtIon, where the iransaction Is Measu￿ at the present value d the
firture ￿e6pt$ dlscounted at a market rate of knterest Flnartial assets classlfled as rece￿¥1)Ie within one year are not
amortised.
Baslc financial IlabilitiE5. irfludin¥ ¢reditoYs and bank loans are Fn)tia1￿ reLx4nlsed at transacdon prlce unless tht
ngement constitLrtes a financlnE transactlon, whÈr@ the dtbt lortrijmgnt Is me35ured at thE present value of thÈ
fu￿re paymeTrts di$counted ata market rate of Interest. Flnanclal Ilabllltlès Classrf￿rt as payable wthln one yearare not
amortlsed.
Debt instrumentsare 5￿qU￿(arrIed atamort¢5ed co5L usin8the eflectivé itstsrettrntemethod.
iradeuedltars are obll8ationst<) pay for800dsorse￿I￿that have bEen a￿ulled Inthe ordlnarycourse of opeTatlon5
frorn suppller5. Amounts payable ore ¢I￿the￿ as turrent Ilabllltles 6f payrnent is duewlthift oneyearor less. Wnot. they
a¥e p￿sented ￿ noTrcurre¢rt li4biltties. Trade treditors are reCo￿lsed Initially at trdnsactiort Pri￿ and subsequently
mwured at amortlsed costusln8theeffectfve Intere5tmethod.
Flnanclal 1labl1l￿e5 ère dÈre¢ognisèd whenthe tht*lV$ ¢orth¢tu81 obl*atlonsexpire oraTe d15thar8ed oroncelkd.
Thecharltyls exemptfrom taxon ttscharllable acdvltle5.
Lll Employee
Thecostof anyuThJsed holldryentwernentls reco8nlsed Inthe perlod Inwhi¢hthe employeds5eTh1￿s are recefved.
Temiinatitsn benÈfits are reco8nised immediately as an expense when the charity ￿ demon#rably commltt*J to
terminatethe errtploymertof an effjployee orto provldetsrmination beneffts.
1.12 Re11rem￿l benefits
Paymertsto defined contrlbuknon retlremert be￿￿SCheMeSaTe tharged as ane%pet)seastyfalldue.
Crltkal acc￿￿tIngestIrn&6S andlud8ements
In the appllcalon of the tharlty's accountlng pollcles. the tW5tees are requlred to make judgements. estlmates and
assump￿0￿5 aboirt the rarrylnE am¢Jimt ¢)f 4nrf Ilahllrfle5 that ate not readll¥ apparent from other s￿lY(e5. The
tfjrna*s and assodated assumptlons are based on historfcal experien￿ and other factors that are wnsidered to be
relev8nLActual rÈsults may differfrom the5È P￿￿Ete$.
The estlmate£ and unrtertyine aqwmntlonE arp rpvlewd on an onF.olne bosls. Revl$ion$ to 4ccountlnE esfimates 8
reco8nlsed In the petlod whfjth the estlmate is rÈwsed where the r￿1510￿ affects onlythat peTlod, or In the perfed of
Yevlsh)ft¥ndfuturE p*¥lodswhErethe Tev151on affELts bDth all￿rta￿d firtu¥e period&

YAPTON FREE CHURCH
NOTES TO THE FINANCIALsfATEMENTS ICONTINUED
FOR THE YEAR EIVOED 31 MARCH2024
Incomq Irom doTh&tro￿ and le8ade5
Toi•l Unresrrfcred Rellrfcted
fvr
21)23
nds
2024
nds
2024
DDnatlons and 8fft5
nthpr
100,838
?n.61n
1?,608
113,446
%.096
15,678
16,207
1687
112,303
18,365
121,448
14,471
135.919
111,T14
18,894
130.668
Includestotsl 6SftAfjd redatmed of £22,05512023-£18.3651.
In¥eomeh
Unre51rf¢wd Restrlcted
funds
firnds
Total UntPStsYcted
funds
Restricted
nds
Total
2028
2023
2023
Interest retelvable
14
ffift5
Salarles and nat.onal Insuran
Youth and chlldrens, work
MlsceUaF*L¥USC05ts
18.435
32,620
52T2
140
34,268
4WI
530
56,4ffl
68201
Share of support costs Isee note 61
Share of governan￿ costs Isee note 61
64,243
5,175
68,254
2,399
US.885
138.857
An*sisbytsnd
unre￿￿CtedfllTrds
Rettrfcted ￿rtdS
112,545
13,340
118,032
20,825
125,885
138,857
10-

YAPTON FREE CHURCH
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR ThE YEAR ENDED 31 MARCH 2024
Supp￿¢0￿ fjfAevnan
staff costs
Depreciatio
Spea*ers'£lfts
39.736
1,818
39,736
L818
45,397
1.328
2,115
3.271
L172
189
2,599
3.179
3,20S
862
2,306
L631
45,397
1,328
2,IlS
3,271
L172
3320
617
1376
5.796
3320
617
1,376
5,796
2￿80
2,215
Telephone ar￿ officecost5
In5ufdnce
2,599
3,179
3,205
862
Repairs and malntenance
U¢en¢es and subscriptions
Trdln5n8
Travel and subslstence
Mlscellanoyscost5
Independent examinat*)n
Le801 ¥nd professionHI
Aank
2.215
1200
1.685
12C
L631
1.680
1.6È0
?08
413
642
5.175
69,418
6&254
ANlysed between
Charitable activities
64,243
5,175
69.418
68,254
2,399
70,653
P4rt moM)wrrt Infunds
2Q23
The net movemÈntlnfvnds isswd after ¢h¥rgln￿I¢rtd1Ii￿8l.'
Feé5 payablefoy the IndePen￿teXamtnatitsn oylhe cha￿￿S statements
Depreclatlonof owned tsnglble fixed assets
Loss on dlso05o1 of trn￿blet1Xed assets
1,680
1,127
201
1,818
t￿ling the year the ex-trustee H Van Drlel received a salary for hls role as Pastorforthe 4 T￿nthS he was a trustee of
EIO,IKKII2023-£29,000 fof a ￿1112 rnonths sa13ry1.
The trustee fj Sei¢ombe gave a of £3.C4)Oto the cornpanywlth an intste5t lote low4rth?n the fflarket irteI¢5t rnte
of a *m¢lar103nthatcould be attalned from the chartty.
Threetrustee$8ave donalwnsdurlngtho yeartotheam¢>urtof ElQ18712023-£7.7491.
Th¥*was noothertru5tee remunerath)n OF e¥pEndTrture paldduTinB theyearorthe prevlousyear.

YAPTON FREE CHURCH
NOTES TO THE FINANCIAL STATEMENTS Icop¥llNUED)
FOR THE YEAR ENDED 31 MARCH2024
The average mow number olemphveesd￿nlthÈwr￿1S.'
Z02>
14umbet
Numb
Empl￿￿7¢￿(0$ts
1024
2023
Wa8es and salaries-rnlfilstry
Wages and salat1es-adminlstrat40n
other penslon costs
19,615
17?39
20,371
22,947
2.079
39.736
45.397
Therèwere Memployeeswhose annual ￿m￿nEralIDnW￿5 morethan £60m.
Thetharltyls exempt from ts￿a￿on on its¥thiti+sbetausè all Incomè Is appllld for£harStable purposes.
11 TanBlblelly*d assets
At l April 2023
Addhtons
18M75
18.07$
1191
2.L91
At 31 March 2024
1&075
2,191
20,266
Depredatifm) and Imparmwt
At l Aprll 2023
Depreclatlon ¢harged In the year
10,948
1,782
10,948
1,818
36
At31 Mar¢h 2024
11730
36
11766
r¢ykn¥amourt
At31 M*rth 2024
2.155
7,500
At31 Mar¢h 2023
7.127
7,127
12-

YAPTON FREE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2024
2024
Amwntslalllryduewlthln <M7eyw:
Otherdebtors
PTepayments and accrued income
21473
316
22.789
8￿83
Cfedtt(rt' am¢uRtstslllnidu¢wlthln year
2023
othErtaKa￿l¥Iand 5odal 5ecurtty
Other creditors
Accruals ènd deferred I￿orne
3.251
7,395
2,538
3.082
13.184
7,444
14 Retrmmert knefft sth•Mes
Char8eio profit or loss In respett of defined tonmbtstion sthemes
2182
2.079
The thèrity opÈrates a def￿￿ tontrlbutlon pensknn xhÈme br all quallfylng employees. The 355ets of the stheme are
held separatetyfromth05eof thecharityln an Independentlyadmin15tered fijml.
Resb4¢ted fimds
The restrIc￿d funds ofthe charfty comprfse the unexpended balanc85 ofdon*iun$ and wdnts held tm trurt subiert
specfflcconditions by donotsas to hLJWthÈymay bp used.
AtIAprt12023
In¢oml
Resour￿ Transfers At31 Mavth
2024
Voke'sfund
Nepalfund
SFHAffic• fvnd
MoD8olla fund
1.746
9.639
L679
18,2901
L2LKI
4.295
7,359
14A651
15851
12991
4,980
T17
9.113
14,480
113,3401
901
11,154
f3-

YAPTON FREE CHURCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2024
RestAded
ICon¥nuedl
AtIAprll 2021
IncoThlfi8
Ile5ryJrce5 Tmisfws At JI M•r¢h
expended
Voke'sfund
Epal fvnd
SFH Afrtca fund
2J18
9A19
19,9901
13.5051
(7A301
L747
6.242
8A46
7.358
IL043
18.895
120,8251
9.113
'sfun
Speclfic glvingtowords the w*)rkln Fran￿ of 5Voke and Cvoke.
specl1lc81v￿ towards ￿￿rse¥S Chrlstlan mlsslon WOFkln Nepal.
SFH Afri
Specllk8ivln8tDwafd$ overseas Chrf&￿an mlsslon vmrkln South Afrtca.
SpÈctfic glvlngtOWaTd5 (￿[sea￿Ch115tl￿n rnls51DTrWDtk kn Morwlla.
16 Unr•strtrtqdfunds
The unrestrlrtedfunds of the ¢htrlty comprlse the unexpended balances of donatlortsand grants whith are not suble
to speclfkcondhlons by donor5and 8rantorsastohowthey maybe used. These ¢n¢lu(Je desigmotedfundswhlch have
been set aslde out of unrestrlctedlunds bythetrusteesforspedfic purposes.
Atl Aprm 2DZ3
Incomln
resourt4s
Resources Than5fers At31 Mar¢h
exp¥ded
Youth club
General fund5
17571
1111,7881
290
12L062
24960
16,944
121,462
1112,5451
19011
24,9fAI
AtiAprfl 2022
At >IM8rch
resour￿5
expended
Youth dub
General fvnds
17791
23,973
1,225
110.557
(3791
1117,6531
16,877
23,194
11¥782
IIW0321
11944
14-

YAPTON FREE CHURCH
NOTES TO THE FINANaAL sfATEMENTS (CONTINUED)
FOR 7HE YEAR ENOED 31 MARCH2024
17 Analy￿5 olnetassets be￿￿TrfundS
Unrestricted Re5trf¢ted
funds
2024
2024
At31 Marth 2QX.
T¥ngibleas5ets
CurrentaMetsllllablitlesl
17.460
IL154
2&614
24,960
IL154
3&114
Unrestrkted Re5trl(*ed
funds
fuTrds
At31 Mafth 2023:
Tanglble assets
Cyrftnt assetsllllabllitlesl
7,127
9￿17
7,127
W30
9,113
16,944
9.113
26.057
Rdlted ptytransartlons
There were nts dlsclosable related partytransactlon5 durtw the year12023- nC￿e), asldefvom that mentloned In [￿le8
concemingremurteratson of Trustees.
15-