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2023-03-31-accounts

REFERENCE AND ADMINISTRATIVE INFORMATION

Registered Address

Windsor Baptist Church, Victoria Street, Windsor, SL4 1EH

Charity Registration Number: 1192861

Website http://windsorbaptistchurch.org.uk

Diaconate

With the start of the new CIO, the Deacons were all newly re-elected, some for a one year term, others on a two-year term and others on a three-year term, as follows:

Revd Kat Bracewell Minister Mrs Gwyn Doncaster Secretary – one year term (elected June 2022) Mr Andrew Foakes Treasurer (resigned December 2022) Ms Juliana Bonilha Treasurer (coopted from December 2022) Mr Richard Saunders (Term of office ended June 2022) Mrs Hilary Troote Deacon – one-year term from July 2022 Mrs Janna Fletcher Deacon – one-year term from July 2022 Mrs Sally Wright Deacon – two-year term from July 2022 Mrs Jane Deakin Deacon – two-year term from July 2022 Mrs Lindsey Livingstone Deacon – three-year term from July 2022 Mrs Sue Goode Deacon – three-year term from July 2022

Property Trustee

The Baptist Union Corporation Limited, Baptist House, 129 Broadway, Didcot, Oxfordshire, OX11 8RT

Principal Bankers

Independent Examiner

Richardson Jones (Chartered Accountants) Mercury House, 19-21 Chapel Street, Marlow, SL7 3HN

Memberships

The Church is in membership with the Baptist Union of Great Britain and the Southern Counties Baptist Association

ANNUAL REPORT 1 APRIL 2022 – 31 MARCH 2023

Structure, Governance and Management

The Trustees are pleased to present their Annual Report and Financial Statements from 1 April 2022 to 31 March 2023. The financial statements have been prepared in accordance with the provisions of Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102) published in October 2019.

The name of the church is Windsor Baptist Church. As of 1 April 2022 the church became a Charitable Incorporated Organisation.

The Church Meeting is the ultimate decision-making body guiding the affairs of the church. Church Meetings normally take place four times per year. Members of the congregation and other invited guests are welcome to attend and participate, but only Members can vote.

The church’s membership is established by inviting people to reaffirm their membership at, or around, the time of the Covenant Membership Service. This year the Covenant Membership service was held on 25 September. On that day (or shortly after) 41 people began or reaffirmed their membership. Therefore the church’s membership stands at 41.

Church Members appoint the Charity Trustees. This comprises Deacons, the Minister, Church Secretaries, Treasurer and any other Officers. The Trustees, collectively known as the Diaconate, are responsible for the dayto-day running of the church’s work and witness, and for the financial and legal aspects of the charity.

The Church occupies premises that are held in trust by the Baptist Union Corporation Ltd.

This year’s AGM took place on Sunday 17 July 2022 comprising the election of deacons and offers, and the receiving of annual accounts.

Objects and Activities

The charitable purpose of the Church is the advancement of the Christian faith according to the principles of the Baptist denomination. The Church may also advance education and carry out other charitable purposes in the United Kingdom and/or other parts of the world.

In fulfilling its purpose, the Church engages in a range of activities, both on its own and with others, aimed at showing the love of Jesus Christ in word and deed and at bringing people into a closer relationship with him as living Lord. These activities include:

A few years ago the church members agreed upon four core values that should remain at the heart of the vision of the church and all its activities – Community, Inclusive, Creative, Family. These values are displayed on four large banners in the church, and provide ongoing inspiration to the members of the church community.

Public beneft

In deciding what activities the charity should undertake the Trustees have paid due regard to the Charity Commission’s guidance on public benefit. The Church's worship services are open to all, now both in person and on Zoom concurrently. The church premises are generally widely used by organisations seeking to serve Windsor and the surrounding area in different ways.

Overview of the year

grant to fund the post). In April the Community Manager gracious offered to reduce her hours by 50% (15 hours to 7.5 hours) in order to release money to hire an Assistant Manager for the café, to cope with increased demand. To help maintain the church building, the church employs a part-time cleaner.

Achievements and performance

Among significant activities and developments:

the lead. The second weekly group takes place on a Friday afternoon, and is an informal drop-in for adults, whilst children are at school, with occasional craft activities. The church hosted a very popular Ukrainian Independence Day event in August, and an Ukrainian Christmas Fayre in November, both of which attracted large numbers of people. For a few months, the church was able to host English lessons for Ukrainians, but eventually moved on from this, as the local college was providing them very well. The minister, Kat, became a UK host and welcomed a Ukrainian refugee into the Manse loft, which has proved a wonderful experience for all the family.

Kat reviewed and updated the Safeguarding Procedures soon after Lindsey’s appointment.

The Church does not measure the success of its programmes only in numbers and finances, but also in less tangible areas like fellowship, encouragement and spiritual growth and how, individually and collectively, members show the love of Jesus Christ in daily life.

Future Plans

With the success of First Sunday Brunch, In 2023/24 the church is planning to continue to experiment with the pattern of Sunday worship, with a different emphasis on each Sunday of the month.

The church will continue to support the Ukrainian community and will be pressing on with community kitchen endeavours.

The Deacons will be continuing to maximise the wonderful opportunities available to us in the short-term, whilst keeping alert to the changing nature of church life, generally, in this post Covid era, and developing the necessary flexibility to adapt to new and creative ways of being church in the medium-long term.

Financial Review

Please see Appendix 1 for the church’s financial overview and audited report.

Risk management

The Deacons have assessed the major risks facing the church and put plans in place to mitigate these risks. These plans are kept under regular review.

This report was approved by the Church Meeting at its church meeting on 24 September 2023,

and signed on its behalf by

Revd Kat Bracewell Ms Juliana Bonilha Minister Church Treasurer

Appendix 1: Financial report

The final report of the accounts was prepared by Richardson Jones Chartered Accountants and is given below.

REGisfERED QIARfrY NUMBEIL" 1192861 TRusfEES REpoKf AND UNAUDITED FINANCIAL ￿ATENEV￿r$ FOR THE YEAR ENDED 315r MARCH 2023 ltichard9)n Jones thartw8J Accimjntsnts Mercury House 19-21 cha￿ Street Mark)w Buthnghamshi SL7 3HN

CONTENTS OF THE FINANCIAL ￿ATEME1￿[S FOR THE YEAR ENDED 31ST MARCH 2023 Page L b) 2 8Jlant* Sh•Èt 6 ts 10 11 to 12

TRusfEES' REPORT FOR THE YEAR ENI)ED MARCH 2023 The trustees preseJit their re￿rt with tl finan(ial stat￿ts of the tharlty for the yEar endej 31st Morth 2023. The trustee5 have adopted the provtwns of A[￿Ounting FiqyJting ty Chartbes.. Ststernent of Recommendd Prd(ti applicable to Charit￿ preth3ring thwr accounts in accordarKe with the Reportlng standa￿ aOicable in the UK a￿1 Republic of trdand {FPS 102) {dfthe l January 2019). Please refer to the annexed ful rwt of Trus STRucfuR4 GOVERNANCE AND MANAGEMENr Governing document The charity ￿ controlbj ty its W￿l￿g aThl CL￿>JbjteS a c￿tat4e irKorrmtsJ orgaxisation (ao). REFERENCE AND ADMINIsfRATniE D￿AILs Reglstered Charity number 1192861 Prlnclpal address 71 Vlciorla Street w1nd￿r SL4 IEH The Rev R K Brate¥dl R Saunders Mrs S Wnght Mrs J Fleicher (appoknt8I 1.7.221 Mr5 J Deacon A Foake5 I￿gned 1.12.221 Mrs G Doncaster (apF(Jinted 1.6.22) Ms J P)nilha Mrs H Trwte (ap￿int￿l 1.7.22) Mrs L Livingstsne laptM)int411.7.22) Nrs S G)ode {appvinted 1.7.22) IndepÈnd¢nt Examln David Porter chardson Jones Chartered Accouniants Mercury Hou 19-21 ChaFel Strttt Mark)w Bucknnghamshi SL7 3HN PrnpÈrty Trustee The Bapti UnK)n CorwrdtK)n ￿mited Baptist House, 129 Broathvay, [￿dc￿L Oxfordthir< OXII 8RT Principle Bank¢rs HSBC 128 H￿h Stree¢ Slough. SLI LIF Santsnder 48 The ObS￿tory1 H￿h Stree¢ s￿h. SU I Metro Bank 24 Farnham Road, Sh)ugh. SLI 3TA

TrusreES' REPORT Appmved by order of the lJ)ard of Iwstee5 On .............. IO/.111.23 .. and 99n￿ on its ty: Ms nilha- Trustee

INDEPENDEKf EXAMINER'S REPORT TO THE TRusfEES OF WINDSOR BAPT￿ CHURCH Independent exaMi￿e￿$ Teportts the trustees ofwindsor Baptist Churth I rep)rt to the Charlty twstees on my e¥Amlnab)n of the ￿CoUnts of Wind9x Bapti Cthurth (the Tru#) for the year ended 31st March 2023. Responsibilities and bosis of report As the charty trustees of the Trust you are re￿n￿ble for the wepaTrii)n of the Kcounts in a1x0td￿ wth the ulrements of the a￿rIbeS Att 2011 {IheAcV). I report in resFett of my examinath)n of the Tnrfs accourts caThi8J out undw Section 145 of the N£t and In carylng o my oYamlnatw)n I have folb)wgJ all awat4e ￿[￿1)S g6ven ty the thatty Commlsaon undw Saon 145151(bl of the Andependentexaminerfs statemert I have compknj Nty exaMInat￿)n. I confimi that Th) material matters hai&E come b) my alten￿n ￿ c0nntK￿ with the examination gmng rne Giuse to tl4it in any rna￿al rv4Ut accoundng records bNEYe not W in re5W of the TnJ as ra]uir￿1 ty Sthn 130 of the Mt. or the accounts do not ￿COrd wlth kn records. or the accounts do not COrnp￿ with the awAi(xlie wuirements 0)￿eMing the fomi and content of accounts set out in the Char5be5 (Accounts and Rep)rts) RegulatKns 2008 olher than any wulr￿t that the accounts glve true and fair vieN whth ￿ not a matter Ce￿ as partof an ExaminatNJn. I have no con￿M5 have (Dtne Mjss othw rnattw5 in (x)nllrfix)n with the eXamIna￿C￿ to whkh a￿tion thuld te drawn in this rwrt in to ￿at￿e a propw undeAaTrJry of the Kcounts to ￿ r&Kh￿. QLL7 Davld Porter F￿Chard￿n Jones Chartered Accountsnts Mercury House 19-21 Chat*l Street Marbw Buckinghamshire SL7 3HN

STATEMENT OF FIPIANCIAL ACTIVITIES FOR THE YEAR ENDED 31sr MARCH 2023 PeThJd 1.1.21 Ys3r End 31.3.23 Total fvnds 31.3.22 Total funds fvnd fund INCOME AND ENDOWMEIITS FROM rx)nation5 and kgacies 6,217 71,263 103,427 Charltable actlvlties Stsff ￿sts LL940 Other trading acts.v￿es Investment Income 25.911 100 4,240 30,151 15,650 Total 91.057 10.457 101,514 131,024 EXPENDMJRE ON Staff costs 86,276 6.862 93,138 99,661 Worship exrEn Community and gJPP)rt co&s 1.619 1,619 1,097 1.097 11,187 11,187 21,421 Total 7.959 107,041 121,082 NEf INCOMEI(EXPENDmJRE) Transfers between fund5 (8,025) (1,2501 498 1.250 (5,527) 9,942 16 Nèt movemènt In funds (9,275) 3,748 (5,5271 9,942 RECONCILIATION OF FUNDS Totsl fvnds brought forwan 79,725 (I,Bll) 77,914 67.972 TOTAL FUNDS CARIUED FORWARD 70.450 1.937 72,387 77,914 The ￿5 fom clthese finandal statements Pa￿4

VnNDSOR BAPTisf trlVRQI BALANCE SHE 3W MARCH 2023 31.3.23 Trtal funds 31.3.22 Totol fvnds fund fvnd FIXED ASSErs Tangib￿ assets li CVRRENT ASSETS Debtors Casth at bank and In hand 12 6,659 5,631 76,984 65,559 3,447 72.218 3.447 75,665 82,615 CRED￿oRs Amounts falling within one year (1.768) (1,250) (3,018) (4,441) 70,450 2.197 72,647 78,174 70,450 2,197 72,647 78,174 CREDrroRS Amounts falhng due after more than one 14 (260) (260} {260) NEf ASSErs 70.450 1.937 72,387 Tl,914 FUNDS Llnrestricted funds Restricted funds 16 70,450 1,937 79,725 (L,8111 TOTAL FUNDS 72,387 77,9l4 The financLIl statements w¥e a[vov￿ ty the Board of arKI athori￿1 for Is9Je IOjll123 .. and were sgnal on its LhalF trry: nllha- Ttustee The fDrn ￿)rt rA the finan(3al Page 5

NOTES TO THE FIMANCIAL STATEMENTS ACCOUNTING POLICIES Basis of prepariry the finan¢ial statèmtnts These accounts have b￿n prep3rd on a'wirrt5 and ba in with the Charits kt 2011, S&lx)n 133. Taxation The charity Is exernpt from tax on115 tharta14e knib Fund accounting Unresbict&1 fvnds (an be ￿￿1 in with ￿ chaw6tst cWes at the ofthe tru&ees. funds 12n onty te ud for partKvkr re¥ithJ wrF¢)se5 whin the Obj￿ of the tharlty. Restricbons arise when try the (k)ntsr or wha) funds are nOs8J fc* partkukr restTKted pur￿￿. rthts exr4anatiJll of the nature ￿ purp)5e of fund i5 in the notÈ% to the flnanckil statrnts. DONATIONS AND LEGACZES Period 1.1.21 Y￿r Ermled 31.3.23 31.3.22 36,093 7,198 6,707 21.265 67,234 4,020 13,326 18,847 rxjnations Gft aid Legaaes 71,263 103.427 OTHER TRADING ACTlVfn Period 1.1.21 Year Entsj 31.3.23 31.3.22 Shop income Other income 27,434 2,717 14,666 30,151 L5,650 INVEsfMENT INCOME 1.1.21 Year Endo 31.3.23 31.3.22 Delx)S￿ ac(x)unt knterest 100

NOTES TO THE FIMANCIAL sfATEMENTS. continued FOR THE YEAR ENDED MARCH 2023 INCOI4IE FROM CHAR￿ABLE AcfivrnES Period 1.1.21 Year E 31.3.23 31.3.22 Grants Staff costs 11,940 Grants r￿eNed, induded in the abm. are as foknys: Peri( 1.1.21 Year En￿ 31.3.23 31.3.22 HMRC grdnt tncome 11,940 Ralslng donatlons and legades Perbd 1.1.21 Year End￿1 31.3.23 31.3.22 Trust* rernuTrernt￿)n etc Staff costs Supwjrt co#s 29,246 33,025 30,867 34,404 39,645 25,612 93,138 99,661 Direct Worship expens85 Communty and 9JPPNt Costs 1,619 I,(Y47 1716 SUPPORT cosrs Human Tots Raigng donolims and bJa¢ie5 Other resour￿ expend8J 14.931 15.936 30,867 2,897 2,897 14.931 15,936 897 33,764 oJntinu8J...

NOTES TO THE FINANCIAL ￿ATEmE1{f5. o)ntlnued FOR THE YEAR ENDED 31ST MARCH 2023 TRusfEEY REMVNERATION AND BENEFrrs Perw)d 1.1.21 Y63r End? 31.3.23 31.3.22 Trusteg salarfes Trusteg Contn"￿thjns io n￿eY wrd)ase ￿heMeS 25,955 3,291 30,650 3,754 29,246 34,404 There were no trusteeg for the year ended 31& March 2023 nor for the FerM)d endlxl 31st March 2022. 10. srAFF cosrs 1.1.21 Year End& 31.3.23 31.3.22 wa￿ and la 53,830 8,441 59,438 14,SIL 62.271 74,049 The a%erage monthty numter of empbw during the year was as fthws.. PerJd 1.1.21 Y&ir End 31.3.23 31.3.22 11. TANGIBLE FIXED ASSErs The churth is the iwefxyal ownel Isuw to the tnL5) of the fLknNig assets, the l&Jal the to whlch is he￿ by the churth's cust(Klian tryStee lthe Baw unl￿ CortKJratK)n Ltd). Th cost of the assets are thown wlthin The BaPJ"st Un¥)n Cotpx3tKJn Ltd chanty financol statements. Church werniys at 71 Victoria Slrt Windxy i5 valud at £1,201,862. thurth manse at 19 Col CreThL Windg)r is valued at £363,n4 and fixtures. furniture and 8]u1prn￿t 15 valuej at £76,440. The are ba1 on the hnsurd values and are not refirftive of the a(knal co& of the assL*& continu￿...

NOTES TO THE FINANCIAL sfATEMENTS- o)ntinued FOR THE YEAR ENDED MARCH 2023 12. DEBTORS: AMoup¥fs FALUNG DUE WIThJN ONE YEAR 31.3.23 31.3.22 Othts debto 6,659 5.631 13. CREDrroRS: Amoupifs FALLING DUE wmiiN ONE YEAR 31.3.23 31.3.22 Trade cr8Jitors Taxa￿On and stth?I ￿rity Other Cr￿l￿or5 816 354 357 3,095 3.018 4,44l 14. CREDrroRS: AMOUMTS FALLING DUE AFTER MORE THAN ONE YEAR 31.3.23 31.3.22 Othw crgjitors 2E 260 15. LOANS An anatysas of the mabjrlty crf knans Is g6ven tth¥: 31.3.23 31.3.22 Ajmunts falllng due wlthln one on demar¥J: Other kjans 2,5Tr) ounts fallng one and two years.. Other k)ans more than one year 260 260 16. MOVEMEIIT IN FUNDS rouyht Incomlng Resources Fund fonvard resources expended Trnnsfer Carried fvnyard MOVEMENT IN FUNDS General Fund 31.03.2022 Rethcted Fund 31.03.2022 70,4 (2,508) 119.269 11.754 1104,970) {5,054) 116,1111 5,054 79,725 11,811) MOVEMENT IN FUNDS General Fund 31.03.2023 Re*rKted Fund 31.03.2023 79,725 {1.811) 91.057 10.457 (99,082) (1,250) (7,959) 1,250 70,450 1,937 contin￿￿1...

NOTES TO THE FINANCIAL STATEMENTS- eibntinu FOR THE YEAR ENDED 31ST MARCH 2023 17. EMPLOYEE BENEF￿ OBLIGATIONS The Church is a parknopating empknyer in the 8arti5t PeTr5ion Scherne fthe Sthemej. whith is a separate l&Jal entity admlnistered by the Pengon Trust￿ (Ba￿].5t Pen90n TnJ ￿mIt￿lI. The assets of the are held parath from those ofthe Emphw arKI the other partriKhiting emFkn& The Schemei previou knovm as the &3F4i5t M￿l￿e[g PensoTh Fund, Star￿ in 1925, lyjt was ()sed to future accrual of defined beneffts on 31 tÈcember 2011. Prtor to thls date the mahi teneffc provKI￿1 through the Defined Benefft (DB) Plan was a Fthsion of one eighbth of final minimum Fths0nab￿ incorne for each year OF pensionable Servi￿ together with a(klitK)n31 p￿￿On in rew of premiums paid on p￿S1onable Income in e<cess of Minimum Pensionat4e Income. ￿n￿ l January 2012, iEneffts have tEen provKl&l thmugh a Defined ContrfbJlk)n (t£} Flan. A forrnal valuation of the DB Pkn wos uTrdert3￿ as at 31 2016 iv a prof&onaty qualffi&J Actuary u%rrtJ the Project8J Unf( Method. At the valuali)Th date the rnarket vahje of the DB Aan awts was £219 rnillbn, whilst the levd of assets ne&lal to pay was £312m, gmng a deficfc of £93m (equivalent to a past mi fvnding level of 70%). The thurth arKI the oth& parts'opating empbps In the E8 Plan are cdknbvdy re5pon%ble for funding this defiat. The Baty"st UnK•n athse that as at 31 Marth 2023, the is £78m. Un(kr the khedule of contributic￿s, the churth make% a nxjnthty payThent hi resW of the DB xherne defic which will increase in line with increase5 in Minimum ￿SK)nal￿e IrL<xwr. The Sch8Jule of Contn"trthions foreseEs these contribjlions continuing until tknnter 2028. The Churth has aLg) be￿ that the &Hnatal co# for the thurth to W thdr.Ftnsion Stheme liabilitRs at 31 Marth 2023 was £7,400 The BU a￿se the Cthurth's penthn I￿￿1th5 unts the LY3 xheme at15e from the f￿kn¥￿g FOSt Mlhiste¥ andlor their {le￿ndents 18. RELATED PARTY DISaOSURES There were no rdated party trdnwlK)ns fDr the 31st Mard) 2023. 19. RESERVE FUNDS The rK)lty of w1nd￿r Bawst Chur(th Is to hokl three months of all expenditure (basey on avernge annual spend over 5 year51 to all)w the church to to any chang85 in the income or exwdfcure of the church. The Trustees cUtT￿ty tel￿ amr¥Jnt to te E23,(XY) have round￿ this up ts) £25,000, thls compares to £72,3(K) in free cath reseNes hehj at the year- end. will te revw&Y annual￿. P4* 10

D￿AllLED ￿ATEME1￿ OF FINANCEAL ACTIVITIES FOR THE YEAR ENDED 31sr MARCH 2023 1.1.21 Y&ir ErKI 31.3.23 31.3.22 INCOME AND ENI)OWMEPIts . Donatlons and legades G￿ts Donats'ons Grft aKI Legades 36,093 7,198 6,707 21,265 67,234 4,02D 13,326 18,847 71,263 103,427 Other trndlng aLtivities Shop intt)me Other income 27,434 2,717 14,666 30,151 15,650 Investmert income De￿"t account interest Charitable athitsas Grdrts 11,940 Totsl Ineomlng resources 101,514 131,024 EXPENDrnIRE Raising donations and ltyxi Trustee5' *laries TNstees' pen￿on conlributKJns to purchase ￿heMeS Wage5 Pensms 25.955 30,650 3,291 27,875 5,150 3,754 28,788 10.857 62,271 74,049 Charitsbk actbvities Community events 2.716 WorshSp expenses Manse (x)sts Grfts 2,549 5,741 1,995 13,791 1,980 17,766 Support costs Management Insuran ght and heat offi￿ and general e¥wbses Carried ft)rwar(I 1,168 5,510 1,550 1,145 6.533 Thls not fom) part of the slabjtory financial siatemts Page li

DEfAILED sfATEMEiif OF FINANCIAL AcfivrTIES FOR THE YEAR ENDED 31ST MARCH 2023 1.1.21 Year Ethj 31.3.23 31.3.22 Management Brought forward censes & membership Repair5 & rnaintenance aeaning 6,533 3,737 2.703 1,958 8,228 5,228 1,752 1.271 L4,931 16,479 Human resourc¢s Café 9￿71 costs 15,936 9.434 Govemanc* C(￿S Accountancy and legd fee 2,897 3,354 Total r￿Ur￿ expend& 107,041 121,082 Net {expenditure)lincryne (5,527) 9,942 This pjge notfom tkirt Ll the Sta1￿ financkl gatem￿ts Page 12

REGisfERED QIARfrY NUMBEIL" 1192861 TRusfEES REpoKf AND UNAUDITED FINANCIAL ￿ATENEV￿r$ FOR THE YEAR ENDED 315r MARCH 2023 ltichard9)n Jones thartw8J Accimjntsnts Mercury House 19-21 cha￿ Street Mark)w Buthnghamshi SL7 3HN

CONTENTS OF THE FINANCIAL ￿ATEME1￿[S FOR THE YEAR ENDED 31ST MARCH 2023 Page L b) 2 8Jlant* Sh•Èt 6 ts 10 11 to 12

TRusfEES' REPORT FOR THE YEAR ENI)ED MARCH 2023 The trustees preseJit their re￿rt with tl finan(ial stat￿ts of the tharlty for the yEar endej 31st Morth 2023. The trustee5 have adopted the provtwns of A[￿Ounting FiqyJting ty Chartbes.. Ststernent of Recommendd Prd(ti applicable to Charit￿ preth3ring thwr accounts in accordarKe with the Reportlng standa￿ aOicable in the UK a￿1 Republic of trdand {FPS 102) {dfthe l January 2019). Please refer to the annexed ful rwt of Trus STRucfuR4 GOVERNANCE AND MANAGEMENr Governing document The charity ￿ controlbj ty its W￿l￿g aThl CL￿>JbjteS a c￿tat4e irKorrmtsJ orgaxisation (ao). REFERENCE AND ADMINIsfRATniE D￿AILs Reglstered Charity number 1192861 Prlnclpal address 71 Vlciorla Street w1nd￿r SL4 IEH The Rev R K Brate¥dl R Saunders Mrs S Wnght Mrs J Fleicher (appoknt8I 1.7.221 Mr5 J Deacon A Foake5 I￿gned 1.12.221 Mrs G Doncaster (apF(Jinted 1.6.22) Ms J P)nilha Mrs H Trwte (ap￿int￿l 1.7.22) Mrs L Livingstsne laptM)int411.7.22) Nrs S G)ode {appvinted 1.7.22) IndepÈnd¢nt Examln David Porter chardson Jones Chartered Accouniants Mercury Hou 19-21 ChaFel Strttt Mark)w Bucknnghamshi SL7 3HN PrnpÈrty Trustee The Bapti UnK)n CorwrdtK)n ￿mited Baptist House, 129 Broathvay, [￿dc￿L Oxfordthir< OXII 8RT Principle Bank¢rs HSBC 128 H￿h Stree¢ Slough. SLI LIF Santsnder 48 The ObS￿tory1 H￿h Stree¢ s￿h. SU I Metro Bank 24 Farnham Road, Sh)ugh. SLI 3TA

TrusreES' REPORT Appmved by order of the lJ)ard of Iwstee5 On .............. IO/.111.23 .. and 99n￿ on its ty: Ms nilha- Trustee

INDEPENDEKf EXAMINER'S REPORT TO THE TRusfEES OF WINDSOR BAPT￿ CHURCH Independent exaMi￿e￿$ Teportts the trustees ofwindsor Baptist Churth I rep)rt to the Charlty twstees on my e¥Amlnab)n of the ￿CoUnts of Wind9x Bapti Cthurth (the Tru#) for the year ended 31st March 2023. Responsibilities and bosis of report As the charty trustees of the Trust you are re￿n￿ble for the wepaTrii)n of the Kcounts in a1x0td￿ wth the ulrements of the a￿rIbeS Att 2011 {IheAcV). I report in resFett of my examinath)n of the Tnrfs accourts caThi8J out undw Section 145 of the N£t and In carylng o my oYamlnatw)n I have folb)wgJ all awat4e ￿[￿1)S g6ven ty the thatty Commlsaon undw Saon 145151(bl of the Andependentexaminerfs statemert I have compknj Nty exaMInat￿)n. I confimi that Th) material matters hai&E come b) my alten￿n ￿ c0nntK￿ with the examination gmng rne Giuse to tl4it in any rna￿al rv4Ut accoundng records bNEYe not W in re5W of the TnJ as ra]uir￿1 ty Sthn 130 of the Mt. or the accounts do not ￿COrd wlth kn records. or the accounts do not COrnp￿ with the awAi(xlie wuirements 0)￿eMing the fomi and content of accounts set out in the Char5be5 (Accounts and Rep)rts) RegulatKns 2008 olher than any wulr￿t that the accounts glve true and fair vieN whth ￿ not a matter Ce￿ as partof an ExaminatNJn. I have no con￿M5 have (Dtne Mjss othw rnattw5 in (x)nllrfix)n with the eXamIna￿C￿ to whkh a￿tion thuld te drawn in this rwrt in to ￿at￿e a propw undeAaTrJry of the Kcounts to ￿ r&Kh￿. QLL7 Davld Porter F￿Chard￿n Jones Chartered Accountsnts Mercury House 19-21 Chat*l Street Marbw Buckinghamshire SL7 3HN

STATEMENT OF FIPIANCIAL ACTIVITIES FOR THE YEAR ENDED 31sr MARCH 2023 PeThJd 1.1.21 Ys3r End 31.3.23 Total fvnds 31.3.22 Total funds fvnd fund INCOME AND ENDOWMEIITS FROM rx)nation5 and kgacies 6,217 71,263 103,427 Charltable actlvlties Stsff ￿sts LL940 Other trading acts.v￿es Investment Income 25.911 100 4,240 30,151 15,650 Total 91.057 10.457 101,514 131,024 EXPENDMJRE ON Staff costs 86,276 6.862 93,138 99,661 Worship exrEn Community and gJPP)rt co&s 1.619 1,619 1,097 1.097 11,187 11,187 21,421 Total 7.959 107,041 121,082 NEf INCOMEI(EXPENDmJRE) Transfers between fund5 (8,025) (1,2501 498 1.250 (5,527) 9,942 16 Nèt movemènt In funds (9,275) 3,748 (5,5271 9,942 RECONCILIATION OF FUNDS Totsl fvnds brought forwan 79,725 (I,Bll) 77,914 67.972 TOTAL FUNDS CARIUED FORWARD 70.450 1.937 72,387 77,914 The ￿5 fom clthese finandal statements Pa￿4

VnNDSOR BAPTisf trlVRQI BALANCE SHE 3W MARCH 2023 31.3.23 Trtal funds 31.3.22 Totol fvnds fund fvnd FIXED ASSErs Tangib￿ assets li CVRRENT ASSETS Debtors Casth at bank and In hand 12 6,659 5,631 76,984 65,559 3,447 72.218 3.447 75,665 82,615 CRED￿oRs Amounts falling within one year (1.768) (1,250) (3,018) (4,441) 70,450 2.197 72,647 78,174 70,450 2,197 72,647 78,174 CREDrroRS Amounts falhng due after more than one 14 (260) (260} {260) NEf ASSErs 70.450 1.937 72,387 Tl,914 FUNDS Llnrestricted funds Restricted funds 16 70,450 1,937 79,725 (L,8111 TOTAL FUNDS 72,387 77,9l4 The financLIl statements w¥e a[vov￿ ty the Board of arKI athori￿1 for Is9Je IOjll123 .. and were sgnal on its LhalF trry: nllha- Ttustee The fDrn ￿)rt rA the finan(3al Page 5

NOTES TO THE FIMANCIAL STATEMENTS ACCOUNTING POLICIES Basis of prepariry the finan¢ial statèmtnts These accounts have b￿n prep3rd on a'wirrt5 and ba in with the Charits kt 2011, S&lx)n 133. Taxation The charity Is exernpt from tax on115 tharta14e knib Fund accounting Unresbict&1 fvnds (an be ￿￿1 in with ￿ chaw6tst cWes at the ofthe tru&ees. funds 12n onty te ud for partKvkr re¥ithJ wrF¢)se5 whin the Obj￿ of the tharlty. Restricbons arise when try the (k)ntsr or wha) funds are nOs8J fc* partkukr restTKted pur￿￿. rthts exr4anatiJll of the nature ￿ purp)5e of fund i5 in the notÈ% to the flnanckil statrnts. DONATIONS AND LEGACZES Period 1.1.21 Y￿r Ermled 31.3.23 31.3.22 36,093 7,198 6,707 21.265 67,234 4,020 13,326 18,847 rxjnations Gft aid Legaaes 71,263 103.427 OTHER TRADING ACTlVfn Period 1.1.21 Year Entsj 31.3.23 31.3.22 Shop income Other income 27,434 2,717 14,666 30,151 L5,650 INVEsfMENT INCOME 1.1.21 Year Endo 31.3.23 31.3.22 Delx)S￿ ac(x)unt knterest 100

NOTES TO THE FIMANCIAL sfATEMENTS. continued FOR THE YEAR ENDED MARCH 2023 INCOI4IE FROM CHAR￿ABLE AcfivrnES Period 1.1.21 Year E 31.3.23 31.3.22 Grants Staff costs 11,940 Grants r￿eNed, induded in the abm. are as foknys: Peri( 1.1.21 Year En￿ 31.3.23 31.3.22 HMRC grdnt tncome 11,940 Ralslng donatlons and legades Perbd 1.1.21 Year End￿1 31.3.23 31.3.22 Trust* rernuTrernt￿)n etc Staff costs Supwjrt co#s 29,246 33,025 30,867 34,404 39,645 25,612 93,138 99,661 Direct Worship expens85 Communty and 9JPPNt Costs 1,619 I,(Y47 1716 SUPPORT cosrs Human Tots Raigng donolims and bJa¢ie5 Other resour￿ expend8J 14.931 15.936 30,867 2,897 2,897 14.931 15,936 897 33,764 oJntinu8J...

NOTES TO THE FINANCIAL ￿ATEmE1{f5. o)ntlnued FOR THE YEAR ENDED 31ST MARCH 2023 TRusfEEY REMVNERATION AND BENEFrrs Perw)d 1.1.21 Y63r End? 31.3.23 31.3.22 Trusteg salarfes Trusteg Contn"￿thjns io n￿eY wrd)ase ￿heMeS 25,955 3,291 30,650 3,754 29,246 34,404 There were no trusteeg for the year ended 31& March 2023 nor for the FerM)d endlxl 31st March 2022. 10. srAFF cosrs 1.1.21 Year End& 31.3.23 31.3.22 wa￿ and la 53,830 8,441 59,438 14,SIL 62.271 74,049 The a%erage monthty numter of empbw during the year was as fthws.. PerJd 1.1.21 Y&ir End 31.3.23 31.3.22 11. TANGIBLE FIXED ASSErs The churth is the iwefxyal ownel Isuw to the tnL5) of the fLknNig assets, the l&Jal the to whlch is he￿ by the churth's cust(Klian tryStee lthe Baw unl￿ CortKJratK)n Ltd). Th cost of the assets are thown wlthin The BaPJ"st Un¥)n Cotpx3tKJn Ltd chanty financol statements. Church werniys at 71 Victoria Slrt Windxy i5 valud at £1,201,862. thurth manse at 19 Col CreThL Windg)r is valued at £363,n4 and fixtures. furniture and 8]u1prn￿t 15 valuej at £76,440. The are ba1 on the hnsurd values and are not refirftive of the a(knal co& of the assL*& continu￿...

NOTES TO THE FINANCIAL sfATEMENTS- o)ntinued FOR THE YEAR ENDED MARCH 2023 12. DEBTORS: AMoup¥fs FALUNG DUE WIThJN ONE YEAR 31.3.23 31.3.22 Othts debto 6,659 5.631 13. CREDrroRS: Amoupifs FALLING DUE wmiiN ONE YEAR 31.3.23 31.3.22 Trade cr8Jitors Taxa￿On and stth?I ￿rity Other Cr￿l￿or5 816 354 357 3,095 3.018 4,44l 14. CREDrroRS: AMOUMTS FALLING DUE AFTER MORE THAN ONE YEAR 31.3.23 31.3.22 Othw crgjitors 2E 260 15. LOANS An anatysas of the mabjrlty crf knans Is g6ven tth¥: 31.3.23 31.3.22 Ajmunts falllng due wlthln one on demar¥J: Other kjans 2,5Tr) ounts fallng one and two years.. Other k)ans more than one year 260 260 16. MOVEMEIIT IN FUNDS rouyht Incomlng Resources Fund fonvard resources expended Trnnsfer Carried fvnyard MOVEMENT IN FUNDS General Fund 31.03.2022 Rethcted Fund 31.03.2022 70,4 (2,508) 119.269 11.754 1104,970) {5,054) 116,1111 5,054 79,725 11,811) MOVEMENT IN FUNDS General Fund 31.03.2023 Re*rKted Fund 31.03.2023 79,725 {1.811) 91.057 10.457 (99,082) (1,250) (7,959) 1,250 70,450 1,937 contin￿￿1...

NOTES TO THE FINANCIAL STATEMENTS- eibntinu FOR THE YEAR ENDED 31ST MARCH 2023 17. EMPLOYEE BENEF￿ OBLIGATIONS The Church is a parknopating empknyer in the 8arti5t PeTr5ion Scherne fthe Sthemej. whith is a separate l&Jal entity admlnistered by the Pengon Trust￿ (Ba￿].5t Pen90n TnJ ￿mIt￿lI. The assets of the are held parath from those ofthe Emphw arKI the other partriKhiting emFkn& The Schemei previou knovm as the &3F4i5t M￿l￿e[g PensoTh Fund, Star￿ in 1925, lyjt was ()sed to future accrual of defined beneffts on 31 tÈcember 2011. Prtor to thls date the mahi teneffc provKI￿1 through the Defined Benefft (DB) Plan was a Fthsion of one eighbth of final minimum Fths0nab￿ incorne for each year OF pensionable Servi￿ together with a(klitK)n31 p￿￿On in rew of premiums paid on p￿S1onable Income in e<cess of Minimum Pensionat4e Income. ￿n￿ l January 2012, iEneffts have tEen provKl&l thmugh a Defined ContrfbJlk)n (t£} Flan. A forrnal valuation of the DB Pkn wos uTrdert3￿ as at 31 2016 iv a prof&onaty qualffi&J Actuary u%rrtJ the Project8J Unf( Method. At the valuali)Th date the rnarket vahje of the DB Aan awts was £219 rnillbn, whilst the levd of assets ne&lal to pay was £312m, gmng a deficfc of £93m (equivalent to a past mi fvnding level of 70%). The thurth arKI the oth& parts'opating empbps In the E8 Plan are cdknbvdy re5pon%ble for funding this defiat. The Baty"st UnK•n athse that as at 31 Marth 2023, the is £78m. Un(kr the khedule of contributic￿s, the churth make% a nxjnthty payThent hi resW of the DB xherne defic which will increase in line with increase5 in Minimum ￿SK)nal￿e IrL<xwr. The Sch8Jule of Contn"trthions foreseEs these contribjlions continuing until tknnter 2028. The Churth has aLg) be￿ that the &Hnatal co# for the thurth to W thdr.Ftnsion Stheme liabilitRs at 31 Marth 2023 was £7,400 The BU a￿se the Cthurth's penthn I￿￿1th5 unts the LY3 xheme at15e from the f￿kn¥￿g FOSt Mlhiste¥ andlor their {le￿ndents 18. RELATED PARTY DISaOSURES There were no rdated party trdnwlK)ns fDr the 31st Mard) 2023. 19. RESERVE FUNDS The rK)lty of w1nd￿r Bawst Chur(th Is to hokl three months of all expenditure (basey on avernge annual spend over 5 year51 to all)w the church to to any chang85 in the income or exwdfcure of the church. The Trustees cUtT￿ty tel￿ amr¥Jnt to te E23,(XY) have round￿ this up ts) £25,000, thls compares to £72,3(K) in free cath reseNes hehj at the year- end. will te revw&Y annual￿. P4* 10

D￿AllLED ￿ATEME1￿ OF FINANCEAL ACTIVITIES FOR THE YEAR ENDED 31sr MARCH 2023 1.1.21 Y&ir ErKI 31.3.23 31.3.22 INCOME AND ENI)OWMEPIts . Donatlons and legades G￿ts Donats'ons Grft aKI Legades 36,093 7,198 6,707 21,265 67,234 4,02D 13,326 18,847 71,263 103,427 Other trndlng aLtivities Shop intt)me Other income 27,434 2,717 14,666 30,151 15,650 Investmert income De￿"t account interest Charitable athitsas Grdrts 11,940 Totsl Ineomlng resources 101,514 131,024 EXPENDrnIRE Raising donations and ltyxi Trustee5' *laries TNstees' pen￿on conlributKJns to purchase ￿heMeS Wage5 Pensms 25.955 30,650 3,291 27,875 5,150 3,754 28,788 10.857 62,271 74,049 Charitsbk actbvities Community events 2.716 WorshSp expenses Manse (x)sts Grfts 2,549 5,741 1,995 13,791 1,980 17,766 Support costs Management Insuran ght and heat offi￿ and general e¥wbses Carried ft)rwar(I 1,168 5,510 1,550 1,145 6.533 Thls not fom) part of the slabjtory financial siatemts Page li

DEfAILED sfATEMEiif OF FINANCIAL AcfivrTIES FOR THE YEAR ENDED 31ST MARCH 2023 1.1.21 Year Ethj 31.3.23 31.3.22 Management Brought forward censes & membership Repair5 & rnaintenance aeaning 6,533 3,737 2.703 1,958 8,228 5,228 1,752 1.271 L4,931 16,479 Human resourc¢s Café 9￿71 costs 15,936 9.434 Govemanc* C(￿S Accountancy and legd fee 2,897 3,354 Total r￿Ur￿ expend& 107,041 121,082 Net {expenditure)lincryne (5,527) 9,942 This pjge notfom tkirt Ll the Sta1￿ financkl gatem￿ts Page 12