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2022-03-31-accounts

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Charity
Kettering Vineyard No (if 1193954
any)
Annual accounts for the period
Period
start 01/04/ To Period 31/03/202
date 2021 end date 2
Section A Statement of financial activities
Restrict
Unrest ed Endowm
Recommended categories by ricted income ent Total Prior year
activity funds funds funds funds funds
£ £ £ £ £
Incoming resources
Income and endowments from:
23, 23,04
Donations and legacies
1 046 - - 6 -
3
Other trading activities
2 30 - - 0 -
23, 23,07
Total 3 076 - - 6 -
Resources expended
Expenditure on:
Raising funds
4 - - - - -
12, 12,69
Charitable activities
4 697 - - 7 -
12, 12,69
Total 4 697 - - 7 -
Notes
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1

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Net income/(expenditure) before 10, 10,37
investment gains/(losses) 378 - - 8 -
Net gains/(losses) on investments - - - - -
10, 10,37
Net income/(expenditure) 378 - - 8 -
Extraordinary items 5 - - - - -
5 - -
Transfers between funds 5,000 - - 5,000 -
Other recognised gains/(losses):
Gains and losses on revaluation of fixed
assets for the charity’s own use 5 - - - - -
Other gains/(losses) 5 - - - - -
5, 5,37
Net movement in funds 6 378 - - 8 -
Reconciliation of funds:
Total funds brought forward - - - - -
5, 5,37
Total funds carried forward 6 378 - - 8 -
7 7 8
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Section B Balance sheet

Section B Balance sheet Section B Balance sheet Section B Balance sheet Section B Balance sheet Section B Balance sheet Section B Balance sheet Section B Balance sheet
notes
Unrestricted
funds
Restric
ted
income
funds
Endowm
ent
funds
Total this
year
Total last
year
£
£
£
£
£
Fixed assets
Tangible assets
9
6,282 - - 6,282 2,21
3
Total fxed assets 6,282 - - 6,282 2,21
3
Current assets
Cash at bank and in hand
9
10,367 - - 10,367 -
Total current assets 10,367 - - 10,367 -
Creditors: amounts falling
due within one year
9
- - - - -
Net current assets/
(liabilities)
10,367 - - 10,367 -
Total assets less current
liabilities
16,649 - - 16,649 2,21
3

3

Creditors: amounts falling
due after one year
9
Creditors: amounts falling
due after one year
9
- - - - -
Provisions for liabilities
9
- - - - -
Total net assets or liabilities
9
16,649 - - 16,649 2,21
3
Funds of the Charity
Endowment funds (Note 27)
9
- - -
Restricted income funds
(Note 27)
9
- - -
Unrestricted funds
9
16,649 - 16,649 -
Revaluation reserve
9
-
Total funds
9
16,649 - - 16,649 -
Signed by one or two trustees
on behalf of all the trustees
Signature Print Name Date of
approval
dd/mm/yyy
y
David Roberts 12/10/2022
Russell Kaye 12/10/2022

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Section C Notes to the accounts

Basis of preparation

This section should be completed by all charities .

1.1 Basis of accounting

These accounts have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.

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The accounts have been prepared in accordance with:
the Statement of Recommended Practice: Accounting and Reporting by Charities preparing
• and
ü their accounts in accordance with the Financial Reporting Standard applicable in the UK and
with
Republic of Ireland (FRS 102) issued on 16 July 2014
• and the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland
ü
with
(FRS 102)
• and with the Charities Act 2011.
The charity constitutes a public benefit entity as defined by FRS 102. ü
-Tick as appropriate
1.2 Going concern
If there are material uncertainties related to events or conditions that cast significant doubt on the charity's ability to
continue as a going concern, please provide the following details or state "Not applicable", if appropriate:
An explanation as to those factors that support the conclusion that the charity is a going concern; Not
applicable
Disclosure of any uncertainties that make the going concern assumption doubtful; Not
applicable
Where accounts are not prepared on a going concern basis, please disclose this fact together with the basis on which the Not
trustees prepared the accounts and the reason why the charity is not regarded as a going concern. applicable
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1.3 Change of accounting policy

The accounts present a true and fair view and the accounting policies adopted are those outlined in note { }.

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Yes ü
-Tick as appropriate
No
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Please disclose:

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Not
(i) the nature of the change in accounting policy;
applicable
Not
(ii) the reasons why applying the new accounting policy provides more reliable and more relevant information; and
applicable
(iii) the amount of the adjustment for each line affected in the current period, each prior period presented and the Not
aggregate amount of the adjustment relating to periods before those presented, 3.44 FRS 102 SORP. applicable
1.4 Changes to accounting estimates
No changes to accounting estimates have occurred in the reporting period (3.46 FRS 102 SORP).
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No changes to accounting estimates have occurred in the reporting period (3.46 FRS 102 SORP).
Yes ü
-Tick as appropriate
No
Please disclose:
Not
(i) the nature of any changes;
applicable
Not
(ii) the effect of the change on income and expense or assets and liabilities for the current period; and
applicable
(iii) where practicable, the effect of the change in one or more future periods. Not
applicable
1.5 Material prior year errors
No material prior year error have been identified in the reporting period (3.47 FRS 102 SORP).
Yes
ü
-Tick as appropriate
No

Please disclose:
Not
(i) the nature of the prior period error;
applicable
(ii) for each prior period presented in the accounts, the amount of the correction for each account line item affected; Not
and applicable
(iii) the amount of the correction at the beginning of the earliest prior period presented in the accounts. Not
applicable
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Our Accounting Policies are available on request Our Accounting Policies are available on request Our Accounting Policies are available on request Our Accounting Policies are available on request Our Accounting Policies are available on request Our Accounting Policies are available on request Our Accounting Policies are available on request Our Accounting Policies are available on request
Our income and assets do not reach the level requiring independent audit
Note 1
Donatons and legacies to the church came from general giving

All income was unrestricted
There were no government grants
Note 2
Other Trading Actvites include moneys received for hospitality and T-shirt sales
Note 3
Total Income includes some seed funding from Central Vineyard (see detailed income)
Note 4
Charitable actvites are outlined in our consttuton: they include:
Organisaton and provision of Christan Worship
Provision of facilites and services appropriate for the church to fulfl its mission to members, visitors and the local community
Provision of facilites for Christan Training and service
Support and provision of Christan evangelism and outreach
Provision of assistance to the wider Christan Church in its ministries
We confrm that there was no expenditure on raising funds separate to provision of charitable actvites, and no other separate material or other expenses
Analysis of Expenditure
Donations £1,037.90
Equipment £4,316.52
Expenses £1,671.47
Hospitality £1,188.39
Outreach £353.91
Rental £396.00
Subscripton £1,202.61
Compliance £495.66
Marketng £943.71
Ofce £188.88
Training £680.00

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Training Resources Training Resources £212.56 £212.56

Charges
£9.56
Total 12,697.17
Note 5
Transfers between funds include movement to a savings account which exists to build resources for future charitable actvites that are planned

There were no extraordinary items
Note 6
Net Movement in Funds indicates the cash balance in the Church Current account at 31st March 2022
Note 7
There were no restricted or endowment funds during the current year
Note 8
As this was our frst year trading there are no fgures in the prior year funds column

Note 9
Assets:
Fixed Assets: A number of items donated to the Charity by Central Vineyard prior to the launch of the
charity
There were no intangible, heritage or Investment assets
Carried Forward £2,413
Additons over the year £4,352

Disposals/impairment
£0
Depreciaton (£483)
Current
Account
Savings
Current Assets (Bank Balances) £10,367
£5,367
£5,000
£16,649
There were no stocks held, debtors or investments at year end
There were no creditors at year end
There were no unrestricted or endowment funds during the year
Note 10
Employees & Volunteers
The Charity currently has no paid employees
The Charity relies on volunteers who provide services to enable the charity to functon

(see note 4 above)
The senior pastors provide unpaid support of approximately fve working days per week, plus evening
work
Other volunteers help the charity to meet its objectves

8

Reimbursement of receipted and reasonable expenses is made on an adhoc basis No Trustees are paid for their services, but reasonable expenses may be reimbursed

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