Trusts•s' Annual Rèport for the Year to 30 June 2022
Charity nam•.' Shiplèy Christians Together
Charity registration numb•r: 1190091
Obj¢¢tlv•$ and A¢tivities
Th8 purp08e5 of thg charrty. as set out In rts goveming document, are..
1.To advan￿ the Christian relIg￿n and educatDn in Shipley and the surrounding area for
the ￿nefft of the puNic by
- the provison of regular opportunit￿9 lorth¢ discuswn ol matters of and ￿lon on
e¢um&nul COn￿M
- the planning and impkmentalion of ecumenical aL15 of publK worship and fdlowship
- organising and promthng ecumenica opportunrties for rn￿$10n
- taking any fUrt￿r 8olion5 which may encourage the devdopment of the e¢umenrAI
agenda.
2. To facil*tat8 the provision 8nd p8rtnpa*"on of servi￿$ to meet ldentrf￿d need$ of the
comtnunrty of Shipley and the surrounding area, induding the relief of poverty and other
al and heahh needs. erthei by rtSe￿ or In £troperat￿n with olhor VLluntary or Statutory
agencie5.
The main activrties in ￿lat￿)n to those purFQ5es forthe pU￿1C ben8frt. in particular, the
actsvrties. projpth or services Identrfied In the ac(x)unts, We￿."
running a Chri5tian5 Against Poverty Debt Centr&
running a sch￿ Holiday Food Project
running 8 8ible Stall in Shipley mark
- supwrting ￿fUgeeS frorn Ukraine
The Trustegs cfjnfimi that they have compl￿￿ wth their duty to have due ward to the
Charty cornm15￿On's guthnc* on puÈl'c beneft.
Achievèments and Perforniance
1. The drfference the charit*5 work has rnade to the urcurnstances of its benefioaries ar8..
- Debt Centre di8nt$ have re(tived g)lutions lor their debt $rtuation$ and have exper*n(td
con58quenl irnprovemenl in their mental heafth 33 households received 5UPPOrt wrth their
debts and assouated Issues. 4 households became flee of debt and another 4 are expected
to be debt free by the end of the year.
- 96 htyjsehokds on kyw incomes have received fool during school holk48yS.
- The Bib￿ St811 has handed 22 free b'b￿8 and 11 porth)ns of 8CriPture.
- To September 2022. 3 thal farnilE5 have wdcom*S and sponsored Ukranian refugees
and an extended is f*ing sponsored and gNen $upport to rent a htyjse.

A¢hievomonts and P•rfomiance (continued)
2. Wder be￿rrtS to xtiety 8$ a whcle are..
- A &gnp)5ting stall has helped the memf*rs olthe C￿mmunrtY lo access support seNtes
- The c4u* of Fairtrade has teen promoted
. Support has been given to the bcal foodbank
. A rx)mmunty rafé has been $UPPKJrted
Financial Review
1. R•vb•w ofthe eharity's finon¢lo1 poslllon atthg end of the ￿￿100
The Chanty's receipts for the yearended 30 June 2022 amounted to £34.611 12021
£25,3901 and payments on rts actmlies amounted lo £25.74712021 £22,430). Receipts and
payment5 ha¥e been allccsted lo one of four funds. three of which are con$iderg1 restrKted
and one unrestriLxed. These are the General Fund lunrestrictedl. the Hdiday Food Fund
I￿stn￿e#l. the ukra￿ne Refugee Fund I￿$t￿LIed) and the CAP Oebt Centre Fund
Irestrictedl. The balances at 30 June 2022 were £790 for the GeneTrl Fund12021 £9261,
£505 foi the HolKlay Fool Fund12021 £5591.. £5.127 for the Ukraine Refugee Fund12021
£01 an¢ £6.952 lorthe CAP Debt cent￿ Fund12021 £3.0251. Onty after 30 June 2022 did
the Ukraine Refugee start makn'ng ¢Jisbufsemenis whth explains Ihe rdativdy high
dosng baLance at year end The CAP Debt Centre Fund is manty funded In Novern￿r
which ￿Unts for rts relatively high d05ing balance at year end. Further infomation is
$hwi in the Finan081 Statsments.
2. StatgThnt•xplolnlr4 the pollcy for holdln9 r•s•r4t•s st4tlng why th•y aro hold
The Chafity has not yet cited a P￿￿Y on r8serves The budget lor next y&ar. to te pre88nt8(1
at the Annual General Meeting, %*ill seek to retain rese￿e5 in the Genera Fund at three
months of annual recurrent expendrture.
3. Amount of r•Jorv•s hold
The General Fund ha5 c4sh wuivalenl lo approximately SM month5 of annual recurrent
expendrtU￿. This Is due to the balance of funds brought lorwafd. tt Is ant￿Pated to bring this
down to three months, and M￿n￿'n this level going forward.
4. Reasons for hohllng zero rgs•r¥es
NIA
6. Dets41$ of fund matèrialty In doficii
No fund 55 materialty in de[￿rt
. Explanation of any unc•rtainti•s about th• charfty contlnulng as a golng concern
The Charity is prudent about the xbvitk88 rt und8rt8k8s aTrJ recc*3nises that rt$ income flow
is necessanly uncertain. Commrtted expendrture is managed appropriately." for example the
Debt cent￿ Pfoftd has been In￿￿llY funtjed for a thretryear period and the empbyrnent
contr¥t of the manager is therefore for an equivaent ts'me-frame. This flexibility together
with budgetary control should enable 10 Charty to expand or contr* rt$ a¢tivrtes wthout
questK)ning rts going concem stalus.

Structure. Governance and Management
The chaiity's goveming do￿rnent is an assorAation CIO eonstitution
The chanty is a CIO
The Thmb8r8 of the CIO are ¢hurche$ in the Shiley area
TN8tee$ are nominated by rnember churches and dected to posi at the AGM
Reference and Administrativo details
Cha
name.. Shi
Chrlstlans T eth•r
Other name the charit uses. None
i5tered ithaiit
urnber.. 1190091
Chanty 5 principal address..
6 Spring5wood RoAd
Shiplty
, 8018 30G
Nam￿ ofthg ¢horSty tru•t•es who manay the charlty
rkn aGt•d rfnrtfor ¥tho
IG• I114nyl
Narn• of yrnon {or body) •ntitknd
Int truSt•è
an
Rev'd Cardine
Andrews
0110712021 to
3111212021
Mary Margaret
Carroll
Adam J8ThS
CaNer
Hugh Firman
Cardine Rebecca
Davi50n Firth
Chwr
Andrew BNce
Gray
Geofvy Pollard
Rev'd John Rainer
Tre85ur8r
Se¢￿tary
Euan Davhy
chair
trustees- names of the director5 at the date Ihe re
rector n•me
rtwa$a
None

Narne of Irust¢e$ Mding trtK8 to property tA)nging to tho charity
TnAt•H Nrr•
None
Funds held as custodian trustsos on behalf of othern
OescnptKJn of the 85sets
None
held in thi$ ¢ap*ty
Name objects ofthe
tharity on whose behawthe
assets are and how this
falls within the custodk?n
charity's objects
WA
Details of arrangements for
fe custody and
r¥Jthon of such 8ss8ts
frorn the chartty's own asset5
NIA
Declarations
Tho trust•8s declare thatth•y hav• approved the trustom, r•port above.
Signed on behalfof tho chailty's trustso8
Full names
Adam James CaTher
Geoffrey Pdla
PosKfjon 109 S•crotsry.
Chalr, •tcl
Chair
Se¢ret8ry

Shipley Christians Together (Charity ReB. No. 119(X)911
Financial Statements as at 30 JLFne 2022

Shipley Christians Together Icharity Re8. No. 11gCXWII
Re￿Ipts and Payments Account for the Year ending 30 June 2022
Restrfcted Furtds
Note
Holiday
F&)d
Fund
Uktaine
Refugee
CAP
Debt
Centre
fund £
Total 30
June
2022
Holidoy
ToM130
June
2021
Debt
Centre
Fund £
Fun
Annual
Sub5eriptions
Grants
Church Ftsndln8
6,497
6,497
16.970
6,032
10,528
10,528
12,770
665
16,970
905
12.710
665
5,127
i Donations
C*her
iio
3.640
83
283
TotolAecelpts
6,￿7
5,127
21,405
33,139
10,611
13,635
24,246
Payments
Admin15tration
Fund athwtie5
Employment
osts
Other
16,5411
17,2001
19,0651
113,7411 110.0371
19,0651
14,8(M)I
15,7741
114,8371
15,7741
11201
11,2131
11,3331
1361
TomlPryyments
16.6611
117.4781
124,1391
110,0521
110,6101
120,6621
5,127
3,927
559
3,025
RecelptsllP8w
entsl
Fund balances
brought
IGrward
Fund balances
Carr￿ forward
559
3.025
5Q5
5,127
6.952
559
3,025

Shipley Chri5tian5 Together Icharity Reg. No. 1191X)911
Receipts and Payments Account for the Year ending 30 June 2022 Icontd.I
UnrestrlrtedFynds
Note
General
Fund
Tot8130June
2012
Gefterul
Fund
Trto130Jw
2021
RttÈlpts
Annual Subs¢ription$
Grants
Churth Funding
Individual Donations
Oiher
I,Igo
1.190
250
250
'. 154
128
154
128
894
894
TottsiRecelpts
1,472
L472
1,144
1.144
Payments
Adrninistration
Fund activities
Ernployment Costs
Other
152n
19851
17421
ii.oioi
17421
11,oioi
19851
1161
Tothipayments
11,fA)81
11.6081
11,7681
IL7681
P4Èt ReolptsllPaymentsi
11361
16241
16241
Fund balances brought forward
Fund balances catyled lorward
926
1,550
926
1,550
926
790
790

Shlpley Christians Together Icharity Re& No. 11g(MJ911
Statetnent of Assets and Liabilitie5 35 at 30 June 2022
RestrlrtedFund$
Note
Holidav
Feod Fund
Ukraine
RefugeE
CAP Debt
Centre
Fund
Total
ao
June
Holiduy
Food fund
CAPDebr
Centre
Fund
Toiul
30J¢me
Cash at
bank
Total
505
5.127
7,438
13.070
3,025
6.446
505
5,127
7,438
13.070
3.421
3.025
Lbabllltles
Payables
Total
Llablllljes
12.8621
12,8621
12,B621
I2￿61)
14861
14861
Net
Assets
505
5,127
6,952
12.584
559
3,025
Note a. The payable of £2.862 was settled on 15 luty 2021 and was a re-imbursementfor lood
puKhased In respert¢f the Holiday Food Project.
Ncte b. The payable of £486 was paid on 13 July 2022 and relates to other expenses incurred bythe
CAP Debtcentre manager.
Unrertrirted Funds
Note
General Fund
Total 30
June 2022
Generol Fund
Totry130
Jvrt2021
Cash at bank
790
790
926
926
Totsi Assets
790
790
926
Ilabllltles
Payables
Totsi Llablllllts
NetAssets
790
790
926

Shipley Christian5 Together Icharity Reg. No. 119(K5911
Notes to the Accounts Year endin8 30 June 2022
6energ1 Shipley Chfistvdns Together is a Chartsble Incorporated (kganisation ICIOI and a registered
charity no. 119(X191. It wa5 incorporated on 24June 2020. Prior tocharitablt In¢orporation It was a
less-fmalised a550ciatign of churches In shipley, PTomotin8 ecumenical arti¥ities, outreach and
communrty Se￿ICe5 within the town, goin8 back seweral decades. The de¢15ion to incorporate as
registered charity was tsken tofurrher enablethe V￿rk of Shipley Christièns TLyether tocontinue
and growon a firmerfoundational footing.
Note IAtt0uthtl￿ Pollde5
N￿e 1.1 Fund des18M￿On$ The General Fund i5an unrestricted fund for use at the discretion of the
trusttt5 in furtherance of thegeneral objectwes of the charity. Financially. the GeDera1 Fund meets
the administrative needs of the charity. The Holiday Food Fynd, CAP Oebt Centre Fund and the
Ukraine Refugee Fund are restrirted funds subject to resrrictions on the u5eof receipts from donor5
or granting a8encies. More detsils of these lunds and actiwties can befound in theTru5teEs Annual
Report.
Note 1.2 Bas1$ of 8tcwfiOn¥Thetrustees have rnade use ol section 133of the CharitiesArt2011
and have prepared the attounts on a recèipts and payments basis.
Note2 Amnual substslpYah$The5e comprise annual voluntsrycontributionsfrom the rnernber
chvrche5, Wlth a minimurn of £50 per annum requested.
Note3 Grants Conslstof amount5 provided by Bradford Council to fund a 5chaol holidayfood
p￿raMMe in Shipley.
Note4 (Thurth FurK4ni Cons￿1$ of amounts provided by member churches for supporting the CAP
Debt Centre Project. M05t churches have8iven a 3 year comrnitment to the project, whith will enter
its 3 year in November 2022. The charity expects that the projectwill coTrtinue beyand the initial 3
vears.
N￿e 5Admln1str811on payrnents include insuRnce, publicity and other adrnin15trative costs incurred
by Shiplty Christians T¢¥ether.
Note6 ￿nd Actmts are payments irtfurtheranceoftheobjettives of thefunds.
Thus the cost of food deliwered under the Holiday Food Fund vjas £6.54112021.' £IO.0371 and f7,200
12021.. £4,81X)I paid to CAP Bradford to support the operation of the CAP Debt Centre.
Included within theGenerol Fund 15 É237 used to pay for'Meanin8ful Chocol*e' Advent C&lendar5
distributed along with Christmas Iloliday Food12021'.£0I and £66 to pay for'meaningful Chocolate.
Easter Eggs distributed at the Good Fridaywalkof witness through Shipley town centre12021.' £01.
(ln 2021 Easter e￿$werE delNered a￿n¥￿th Holiday Food at Easter costini £27012022.. £01. The
rÈmaininR amouNtof £682 relates to 8ible purchas￿ and stsii rentsl ai Shipley Market12021-. £7401.

Plote 7 Ernployment Costs relate to the salary ènd pension costs arising from the part-time
employmentof the CAP Debt Centre man38er116 hours per weekl. The average number of full time
equivalent employees overtheyear is 11212021.. 1141.
Gross salary
£8,98312021.. £5.7611
Social Security
£0 12021.. £01
Pension costs
£8212021.. £131
Note8Trnstee expenses, remLmer*lan and beneflts. No trustee reteTved anyexpense$.
remuneration or benef￿ duringtheyear.
Note9 ￿￿￿n800 bthalfo1theTiu￿ee5
Adam james Carver I Chalrl
Date
16
zz
Geoffrry Pollard ISe£retsryl
Date
1&- 10 22

Shipley Christians Together (Cbarity Reg No 1190091)
Independent Examinerfs Rew>rt ¢0 ihe Tru#tee4 of the CIO
On the accounts in respect of the year ended 30 June 2022.
Th¢ charity's trustees are responsible for the preparation of the accounts. The charity's trustecs
consider that an audit is not reqktira for this year un(kr section 144 of the Chariti¢5 Act 2011
and that an independent examination is needed.
It is my responsibility to..
examine the accounts under section 145 of the Charities Act.
to follow the procedures laid down in the general directions given by the Charity
Commtssion (under s¢¢tion 145(5Xb) of th¢ Charities Act. and
to stat¢ whether parti¢ular matters have come to my attention.
My examination was wried out in a¢ci)rdance with 8¢neral Directions given by th¢ Charity
Commission. An examination includes a review of the accouniing ￿COrdS kept by the charity
and a comparison of the accounts presented with those records. It also includes consideration of
any unusual items or disclosurcs in the accounls. and seeking explanations from the trustees
concerning any such matters. The procedure5 undertaken do nol provide all the evidence that
would be required in an audit, and consequently no opinion is 8iv¢n as to wheth¢r th¢ a￿ountS
pre￿nt a 'tru¢ and fair. view and the rewrt 1$ limited to thos¢ matters set out in the stslement
below.
In connection with my cxamin8tion. no matter has ¢ome to my attcntion
which 8ives me reasonable cause to belicve that in, any material r¢spccL the requir¢ments'.
lo ke¢p accounting re￿rdS in accordance with section 130 of the Charities Act; gnd
to prepare 8c¢ounts whtch a¢cord with the accounting rewrds and comply with
the accounting requiremenls of the Charities Act have nol been met- or
2. to which. in my opinion, attention should be drnwn in order to enable a proper
understanding of the aocounts to be reached.
David O'Loan FCA
Inslilute of Chartered Accountants in Ireland (1979) 0006932.
8 Thackley Old Road, Shipley BD18 IDD
la(5
16-O¢t-22