CHARITABLE INCORPORATED NUMBER: 1194815
TOGEfHER FOR MISSION
REPORT OF THE TRUSTEES AND FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 ￿RCH 2024
COIfftNTS OF THE FINANaAL STATEMEP4TS
Report of the Trustees
2to4
Report of the Independent Examiner
Statement of Flnantial ActNities
Balance Sheet
Cash Flow Statement
Notes to the Financial Statements
9t014
REFERENCE AND ADMINISTrATIVE DETAILS
Re8lstered Charlty number
1194815
Prln¢lpal addres5
Enfield Town Community Church
79 Cecil Road
Enfield EN2 6TJ
Bankers
Lloyds Bank

TOGEfHER FOR MISSION
REPORT OF THE TRusfEES
for the Year Ended 31 Ma h
24
The Trustees present their report wrth financial ststements of the Chority for the
year from l April to 31 Marth 2024. The Trustees have adopted the provisions of
Accounting and Reporti￿8 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 IFRS 1021 leffettNe I
January 20191.
CONSTITLMON
Together for Mlssk)n (the Charity) was established a5 a charity by a partnership of
local churches includlng Enfield Town Community Church IETCCI, Bush Hill Park
Community Church. Causeway Free Church. Silver Street Community Church and Bury
Street Community Church, and was subsequentty joined by High Bamet Baptist
Church. It was re8lStered with the Charity Commission in June 2021.
The Charlty Is governed ￿ a constitution established In 2021.
PRINCIPAL AcfiviTY
The prlncipal actrvity of the Chaiity is the adVan￿rnent of the Chrlstlan faith In
accordano with the Basis of FaFth primarily but not exclusrrfety within the London
Borough of Enfield and the surrounding neighbourhood: and such other charltable
purposes as shall. in the opinion of the Trustees of the Charity. Put into prartice the
Christian faith in accordance with the Basis of Faith, including but not Ilmited to.. the
prevention and rellef of need. hardship and sickness and the advancement of
education. The Charlty supports the provlslon of facilities for the local community.
APPOINTMENT OF OFFiaA
The Trustees of the Charity include representatfves from the Partnership Churches
Including some of the Pastors and one extemal trustee.
The Trustees are responslble for the indurtM)n of any new colleague which inVo￿e$ an
awareness of the ￿spOnsibl11t￿5 of the position, the governin8 document, and the
Charitvs poliry and procedure5.
21Page

TOGEtHER FOR MISSION
REPORT OF THE TrUSTEES
for the
ar ended 31 March 2
24
REVIEW OF THE YEAR
The major activity was planning for the development of a new community church
the Turkey Street area of Enfield. Premises have been leased in the area and a group
started meeting in September 2024 as Turkey Street Community Church.
The Charity also organises events for its partner community Churches includin8 a
Women's Day and a Festiwal Day.
FUTURE AcllviTIES
The Charity intends to estsblish the new Church in the Turkey Street area and
continue its pro8ramme of events for partner Churches including a ￿sIdential youth
event in the summer
RELATED PARTY TRANSAcn(ws
Detslls of related party transartions are included in note 9.
FINANCIAL POSIT1014
Income from donations and interest less the Charivs running costs and the costs of
developing the Turkey Street Communlty Church resulied in a small deficit of £446
12023- surplus £252,225). At 31 March 2024 the charity had unrestricted reseNe5 of
£29,8(XJ12023 - £1.9761 and restricted reserwes of £221.97912023 - £250,249). The
restricted reseNes are for the development of the TU￿eY Street Community Church.
RESERVES POUCY
The objective is that the reserves of the Charity will be sufficient to fund the aCt￿ltIeS
for twefve months. The charity is tu￿ntIV assessin8 the Cost of the planned Church
development in Turkey Street in Enfield but estimates that it has sufficlent funds to
develop the new p￿miseS and operate for the next year.
RISK MANAGEMENr
The Trustees have Conducted a revlew of the rnajor rlsks to which the Charity would
be exposed and 5yStems are being implernented to mlti8ate those rlsks whe
possible. The risks and systems will be regularly revlewed.
LEADEIISHIP
The Trustees who served during the period from l April 2023 to 9 De￿rnber 2024
were as follows:_
Luke Crowter
Nathan Howard
Stuart Chaplin
Douglas Affleck (resigned March 2024)
Spencer Critoph
Martin Hull lapwinted February 20241
31Page

David Burrowes {èppointed June 20241
Tim Lock lappointed September 20241
Jake Tasker lapp)inted De￿rnber 20241
VOLUNTEERS
The Charivs activities are supported by w)lunteers from the partner Churches.
TRUSTEES RE5PONSIBILmES
Chartty law requires the Trustees to prepare financial statements for each financk?I
year, which gNe a true and falr view of the state of affalrs of the Charity and of its
financial activities for that period. In preparing those financial statements the
Trustees are required to-
lal select Suitable accounting rM)licies and then apply them conslstentty.
Ibl make judgements and estimates that are reasonable and prudent:
Icl state whether the policles adopted are In accordan￿ with SORP 2(M)5 and with
applicable accountlng stsndards, subjert to any material departures disclosed and
explained in the financial ststements;
Idl prepare the financial statements on the 80in8 concern basis unless it is
inappropriate to assume that the Charity will continue.
The Trustees are ￿SPOnSible for keepin8 accounting ￿cOrdS which disclose with
reasonable accuracy the financial position of the Charity and to enable them to
ascertain that the financial statements comply with the Charities Art 1993. They are
also responsible for safeguarding the assets of the Charity and hen￿ for tsking
reasonable Steps for the prevention and detertion of fraud or other irregularltles.
Signed on behalf of the Trustees
Nathan Howard:
23 December2024
41Page

REPORT OF7HE INDEPENDEKf EXAMINER TO THE TRUSTEES OF
TOGEtHER FOR M15510N
I report on the accounts of the Charity for the year ended 31 March 2024. which are set out on
pages 6 to 14.
Respective responsibilities of tru5tee5 and examiner
The Charitys Trustees are responsible for the preparat￿n of the accounts. The Charitys Trustees
conslder that an audit 15 not required for this year (under section 43121 of the Charities Act 1993
{the 1993 Actll and that an independent examination ￿ needed.
It Is my responsibility to:
examine the accounts {under section 4313lla} of the 1993 Act);
to follow the procedures laid down in the General Directions given by the Charlty
Commissioners lundef section 4317)Ibl of the 1993 Artl.. and
to state whether particular matters have come to my attentlon.
Basls of Independent examlnerfs report
My examination was carried out in accordance with the General Direciions 8iven by the Charity
Commissioners. 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
ary unusual Items or disclosures in the accounts and seeking explanations from you as Trustees
concernln8 any such matters. The proceduTe5 undertaken do not provide all the evidence that
would be required in an audit. and consequentty I do not express an audlt opinlon on the vlew8lven
by the accounts.
Independent examlnerfs slatement
In connertK>n with my examination. no matter has come to my attention:
111 which gives me reasonable cause to belie4e that in any material respect the requirements
to keep accountln8 records in accordante with sertion 41 of the 1993 Act: and
to prepare attounts which accord with the accounting records and comply with the
accounting requirements of the 1993 Act have not been met,. or
121 to which, in my opinion, attention should be drawn in order to enable a proper understandin8
of the accounts to be reached.
J Rietkerk
London SE3
23 December 2024

TOGEfHER FOR MISSION
STATEMEMY OF FINANaAL ACllVtnES
forthe
r ended 31 March 2
24
Totsl
2024
Restrfrted
lund5
Total
2023
fvnds
fun¢ts
funds
Income
Donations and le
acies
Income from charitable
activities
Income from investing
artTVities
Total
25,155
1,158
I7￿53
42.208
1,158
2,116
250,353
252,469
5,862
5.862
32.175
I7￿53
49,228
2.116
250,3S3
251469
ExpendSture
Charitable activrties
Total
14,3511
14.351
145.3231
45J23
149,6741
(49,674
1401
140
11041
104
12441
244
Net Inmme
I7￿24
(28.270
1?76
250,249
252.225
Transfets between funds
Net movement In fvnds
(28.2701
I￿76
250.249
252,225
Total funds brou8hi
forward
Total funds cafrf
lonwaffd
1,976
25222S
I21￿9
251,719
1?76
250,249
252,225
CONTINUING OPERAnoNS
All the charities operations are continuing.
The notes on pages 9-14 fonn part of these financial ststements.
61Page

TOGEfHER FOR MISSION
BALANCE SHEEr
At 31 Marth 2024
2(r24
2023
Flxed assets
Tan
ible assets
Current assets
Debtors
Cash at bank and in hand
3.022
238,525
241y7
252,225
252,225
Credltors= Amounts fallin
due wtthin one year
{4,7681
Net current assets
236,779
252,225
Debtors due in more thon one
ear
15,LXTh)
Totsl net assets
251,779
252225
The fund5 of the cha
Restrlrted
221J79
250,249
Unre5trlrtedfvnds
General fund
Total unrestrkted funds
29,8
29,8(X)
1,976
1,976
Totsl funds
251.779
252225
The financial statements V￿re approved by the Board of Trustees on 23 De￿mber and were
signed on its behalf by:
N Howard -Trustee
23 December 2024
The notes on pages 9-14 fomi part of these financial statements.

TOGETHER FOR MISSION
CASH FLOW sfATEMENT
for the Year Ended
l March 2024
2024
2023
Cash Ilows from operatl
artivilies
Cash generated from operations
119.562)
252,225
Cash flt)ws frorn Investing artl¥ftles
Interest received
5,862
Change In cash and cash e4ul¥alents In the rep￿t1Th
od
113.700)
252,225
Cash and equl¥alents at the beglnnlng of the reportlng perlod
252.225
Cash and cash
Ivalents at the end of the reporting perlod
238525
252,225
RECONCIUAnoN OF NEf INCOME TO NEf CASH FLOW FROM OPERATING
AcfiviTIES
Net (deficit)Ilncome for the reportlnz perlod from the Ststement of Flnanclal
Actlvltles
Adjustmentsfvr.
Increase in debtors
Increase in creditors
Investment income
14461
252.225
{18.0221
4,768
15,8621
Net cash from operatlng actlvltles
{19,5621
252225
The notes on pages 9-14 fomi part of these financial statements.
81Page

TOGEfHER FOR MISSION
Notes to the Flnandal SLitements
ACCOUNTING POUCIES
Basls of preparlng the financial statements and as5essn*nt of goifig concem
The flnanclal statements ofthe charlty, whlch Is a publlc benefft entity under FRS 102. have L*en
prepared in accordan￿ with the CharitiesSORP IFRS 1021'Accounting and Reporting by Charlties:
Statement of Recommended Prdrtice, applicable to charities preparing their accounts in
accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland
IFRS 1021 leffective October 2019) and the Charities Act 2011. The financial statements have
been prepared under the historical cost convention.
The Trustees consider that there a￿ no material uncertaintles al)out the Charity's abllity to
contlnue as a golng concem.
Incomlna resources
Voluntary income Is received by wèy of donations and 8ifts and is included in full in the Statement
of Finantial Activities when it is ￿¢eNable.
No value of ser¥lces by volunteers has been induded in these accounts.
ExPendI￿re
Llablllties are recognised as expenditure as soon as the￿ is a legal or constructive obli8ation
committing the charity to that expenditure. it 15 probable that a transfer of economic benefits
will be required in settlement and the amount of the obligation can be measured reliably.
Expenditure 15 accounted for on an accruals basis and has been classified under headin85 that
a8gre8ate all cost related to the category
Debtors
Trade and other debtors a￿ recognised at the settlement amount. P￿payments are valued at
the amount prepaid.
Cash at bank and In hand
Cash at bank and in hand includes.. cash. bank current accounts and bank deposit accounts with
no withdrawal limitation5.
Creditors
Creditors are recognlsed where the charlty a present oblbgation resultlng from a past event
that will result in the transfer of fund5 to a third party and the amount due to settle the obligation
can be measured or estimoted relbabfy- Creditors are recognised at their settlement amount.
91 Page

OGEfHER FOR MISSION
Notes to the Financial Ststsments
ACCOUNTING pouaES (Continued)
Tan8lble flxed assets
The Charity has no fixed assets.
Taxatlon
The Charlty is exempt from tax on its charitsble artivities.
Fund ¥countlng
Restrirtedfunds
The Charlty has restrirted funds which represent donations forthe development of a new Church
in the Turkey Street a￿a of Enfield.
Unrestrlrtedfvnds
The general funds are donations and other income received or generated for the objects of the
Charity wlthout further specific purpose.
Flnandal Instruments
The Charity ha5 financial assets and financial liabilities of a kind that quallfy as bask financial
instruments. Baslc financlal lftstruments are initially measured at transaction value and
subsequentty measured at their settlement value.
101 Page

TOGETHER FOR MISSION
Notes to the Flnandal Statements
Donatlons and le8ades
2￿4
Unrestricied
funds
2024
Restrirted
fvnds
2tr14
Total
fvnd5
21r23
Unrestricted
furKIs
2023
Restrfcted
fvnds
20Z3
Total
funds
Donations
Giftaid
Totsl
22.133
3.022
25.155
17.053
39,186
3,022
42208
2,116
250,353
252.469
17.053
116
250,353
251469
Durin8 the year the charity recebved donation5 of £16,304 from US charities12023 - £220,847).
Investments
2024
Unrestrirted
funds
2024
2024
Totsl
fvnds
2023
Unrestrfcted
nds
2023
Restrirted
funds
2023
Total
funds
fvnds
Bank interest
Total
5.862
5.862
5.862
5A62
Charltable actlvltles
2024
Unrestrlcted
funds
2024
RestTlcted
funds
2024
Totsl
funds
2023
Unrestrlcted
fund5
2023
Restrlcted
fund$
2023
Totsl
funds
Income
Event income
1,158
1.158
Expendlture
Development of
Community Church
Governance and
administration
Total
45.323
45.323
4,351
4.351
140
104
244
4351
45323
49.674
140
104
244
Stall c(•sts and Tntstees remuneratlon and be￿fits
2024
Unrestricted
funds
2024
2024
Total
funds
2023
Unrestricted
fvnds
2023
Restricted
funds
2023
Total
nds
funds
Wages and salaries
Pension costs
Ti>tal
3.311
28.518
1,782
30300
31,829
1,782
33,611
3311
During the year the Charity paid the pastorfs relocation costs whith totalled £6,943 and provided an
interest-free loan to enable the Pastor to Secure living accommodation details of which are included in
IIIPage

note 8. In December 2023 the charity received a donotions forthe famity ofthe Pastor from a US donor.
The donations were paid in De￿mber 2023 to the Pastor- one of £250 and another of £225.
The avera8e number of employees during the year was as follows;
2023
No.
No.
Pastor
Administrator
Totsl
None of the Trustees received any remuneration or reimbursement of expenses. In December
2023 the charty retsived a donation for the farnily of Trustee Nathan Howard from a US donor.
The donation was paid in December2023 to the Howard family-one payment of£250 and another
of £383.
Debtors: Amounts falllng due wlthln one year
2024
2023
Gift aid debtor
Total
3,022
T. Credltors: Amounts f¥Hlng due wlthln one year
2024
2023
Deferred income
Total
4,768
4.768
The deferred income ￿p￿sents income in respect of events to be run by the Charity in the next
flnanclal year.
Debtors due after more than one year
2023
Housing loan
Total
15,C(X)
Is,￿1)
During the year the Charity prowded a loan to the Pastor to purchase livln8 accommodation. The
average amount outstanding was £Is.L￿). The loan was provided in September 2023 and is for three
vears at a fixed rate of 1% perannum.
9. Related Partles
The Charty regard5 the following Churche5 as related parties due to the involvement of common
Trustees:
Enfiekl Town Community Church
Bush Hill Park Communty Church
121Page

Silver Street Community Church
Bury Street Community Church
Causeway Free Church
High 8amet Baptist Church
From August 2023 the charityemployed the wife of Tll￿ee Nathan Howard as Administrator. following
an open recruitment process. The employment is for one day per week.
The Partner Churches paid donations to the Chartty as follows:
Enfield Town Community Church £6,075-12023 - £5LK)I
Bush Hlll Park Community Church £2,4(KI-12023 - £4001
Bury Street Community Church £I.s￿-(2023- £Nill
io.
Net assets by funds
Bank and
Other net
Balance at 31
December
2024
Unrestrfrtedfvnds
General fund
Totsl unrestrlrted funds
16.546
16546
13.254
13,254
29.800
Restrlrtedfvnds
Turkey Street Development Fund
Total restrfcted funds
221,979
221,979
221,979
ZU.979
Totsl fvnds
238525
13254
251,779
2023
nds
General fund
Total ufftrestrlcted funds
1,976
I￿76
1,976
1,976
Restrlctedfvnds
Turke
Street Development Fund
Total restrlcted funds
250.249
250.249
250,249
Total funds
The Turkeystreet Development Fund is to establish a new Community Church in the Turkey Street
of Enfield.
' 11. Movement by fvnd
131Page

Balance at
l April
Expenditure
Transfers
Balance
at31
March
2024
Unrestrirtedfvnds
General fund
Totsl unreslrkted funds
1,976
1.976
32,175
32.175
{4,3511
(4351)
29,8CX)
I9￿00
Restslrtedfvnds
Turkey Street Oevelopment
Fund
Totsl restrlcted funds
250.249
17.053
145.3231
221,979
250249
17A153
145,323)
2ll379
Total funds
252225
49228
149,674)
251,779
2023
Unrestrlrtedfvnd5
General fund
Total unrestrlded fvnds
2.116
2.116
11401
11401
1.976
1,976
Restrlrtedfvnds
Turkey Street Development
Fund
Total restrlrted fitnds
250353
11041
250.249
250353
11041
250,249
Totsl funds
252.225
141Page