CHARITABLE INCORPORATED NUMBER: 1194815
TOGEfHER FOR MISSION
REPORT OFTHE TR
31 MARai 2025
STEES AND FIIIAN
THE YEAR ENDED
CONTEKfs OF THE RNANaAL ST
TEMENTS
Report of the Trustees
2to5
Report ofthe Independent Examlner
Statement of FSnanaal Activities
Balan￿ Sheet
Cash Flow Statement
Notes to the Financial Statements
IOto16
REFERENCE AND ADMINisfRATIVE DEfAILS
Registered Charlty number
1194815
Prlnclpal address
Enfield Town Communlty Church
79 Cecil Road
Enr￿k1 EN2 6TJ
Bankets
Uoyds Bank

TOGETHER FOR MISSION
REPORT OF THE TRUSTEES
for the Year Ended 31 Marth
The Trustees present their report vfith the financFal ststements of the Together for
Mission (the °ChariVI for the year from l April 2024 to 31 March 2025. The Trustees
have adopted the provision5 of Accounting and Reportln8 by Charities: Ststement of
Recommended Practice applicable to charities p￿pa￿n8 their accounts In accordance
with the Financial Reportin8 Standard appllcable inthe UK and Republic of Ireland IFRS
1021 (effective l January 2019).
CONSTITUTION
The Charity was established as a charity by a partnership of local churches includlng
Enfield Town Community Church Itrcci, Bush Hill Park Community Church, Causeway
F￿ Church. Silver Street Communty Church and Bury Street Communty Church,
and was subsequently jolned by High Barnet Baptist Church. It was registered wlth
the Charity Commission in June 2021.
The Charity is governed by a constitution estsblished in 2021.
APP0114TMEKf OF OFFiaALS
The Trustees of the Charfty include ￿presen￿tiveS from the Partnership Churches
including some of the Pastors and one external trustee.
The Trustees are ￿sponSible for the Induction of any new colleague which Involves an
awareness of the responsibilities of the position. the govemlng document, and the
ChariVs policy and prlxedures.
MISSION
The misslon of the Charlty is the advan￿ment of the Christlan faith in accordance
wlth the Basis of Faith primarily but not exclusively withln the London Borough of
Enfield and the surroundin8 neighbourhood; and such other charitsble purposes as
shall. in the opinion of the Trustees of the Charity, Put into practice the Christian faith
in accordance with the Basis of Faith. including but not limited to: the Pfeventlon and
Telief of need, hardship and sickne55 and the advancement of education. The Charity
supports the provision of facilitles for the local community.
PRINapAL AcnvThY
The Charty manage5 the artivities of a partnership of lotal Churches in the Enfield
area. This includes joint events, youth actfvitles and outreach work.
The Charty is also in new church development.
REVIEW OF THE YEAR
The Charity organised events for its partner community Churches including Men's and
Women's Days, youth activitses induding a residerrtial camp in the summer and a
FestiV31 Day.
21Page

TOGEfHER FOR MISSION
REPORT OFTHE TRUSTEES
r Ended 31 March 2025
During the year the Charity raised funds to support a Youth Pastor at High 8arnet
Baptist Church. James Crktpoh was appointed Assistant Pastor in September 2025.
The Charity Is also undertaking the devebpment of a new Church in the Turkey Street
area. The Chality has leased a building in Elsinge Road for an initialtemi of three
years which commenced in August 2024.
With 5UPPOrt and funding from partner churches and other donors the Charity has
stsrted a new Church meeting in the leased bullding. The first meeting was in August
2023 and there are now around 40 people meeting regularty. The Church at Turkey
Street Is led by Ga￿th Skynne, an experienced Church planter.
The Charity has an option to acquire the freehold of the land and building at Elsinge
Road at any time up until August 2027. The option prSce to purchase the site is
£1,050.(M)O. l)evelopment of the site would requ1￿ furthertsndin& Afterthe year
end the Charity undertook an options study for the future development of the site
whlch may involve opportunities to recover some of the development costs.
The Charity does not currently have sufficient resources to meet the option cost and
the future development of the site. In Jufy 2025 the Chartty launched a fundroising
campaign to raise the funds required to exercise the option and develop the Site.
The fundrdlsln8 target represents a significant sum. butthe Trustees are confident
that the fundin8 can be raised.

TOGEfHER FOR MISSION
REPORT OF THE TR
forthe
ar ended 31 Mar¢h 2025
FiffURE AcnviTIES
The Charitys future activitles indude;
Continue working with the partnershlp churches
Continue to estsblish the new church in Turkey Street
Raise the funds for the purchase and development of the site at Elsin8e Road.
REiATED PAKfY TRANSACTIONS
Detalls of relatsd party transactions are included In note 10.
FINANCIAL POSITION
The Charit￿$ work with the partner churches is included In the unrestricted funds
which generated a surplus in the year of £32.64512024 5urplus- £27,824).
The restricted funds are prlmarily for the development of the Turkey Street Church.
The Charity received £51,101 forTurkey Street Community Church. Total expendtture
on weekfy meetings and church actrvthes was V85.563, Biwng a defictt of £35.IY19. The
trustees expect that thls deficit will reduce as the church 8rows.
In addltion. the Charity received £21,422 of donations towards the development of
the building at Elsinge Road for use bythe Turkey Street Community Church. Atotsl
of £4,579 was spent on items prepèrfng the church for meetings and activtties. The
balance of£16.742 has been used to pay forthe development of tFE building for
Turkey Street Community Church.
A further amount of £16,26512024- £nill was received In donations towards the
funding for the Assistant Pastor at High Barnet Baptist Church. This has been Ca￿led
foThvard wlthln restricted funds.
RESERVES POUCY
The objective is that the reserves of the Charlty will be sufficient to fund the activities
for twelve months. The charity is currently assessing the cost of the planned Church
devel(ypment in Turkey5treet in Enfield but estimatesthat Tt has sufficlentfundsto
continue to operate for at least the twelve months.
RISK MANAGEMENT
The Trustees have conducted a review of the major risks to which the Charity would
be exposed. and systems are being implemented to mitlgate those rlsksvthere
POS5ible. The risks and systems will be regularly reviewed.
LEADERSHIP
The Twstees who seNed durlng the period from l Aprll 2024 to 31 March 2025 were
as follows:_
Luke Crowter

Nathan Howard
Stuart Chaplln (resigned 31 January 2025)
Spencer Critoph
Martin Hull {appointed 2 December 20241
David 8urrowes (appointed l June 20241
rim Lock {appolnted I September 20241
Jake Tasker {appointed 2 December 20241
VOWNTEERS
The ChariVs actlvltles are supported by volunteers from the partner Churches.
TRusfEES RESPONSIBILITIES
Charity law requires the Trustees to prepare financial statements for each financial
ve7Jr, which give a true and fair view of the state of affairs of the Charity and of its
financial artivities for that periixl. In preparin8 those financial statements the
Trustees are required to:
(a) select sultsbte accounting policies and then apply them con51Stently;
Ib) make judgements and estimates that are reaSona￿e and wudent:
Ic) state vthether the policies adopted are in accordan￿ with SORP 2CM)5 and with
applicable accounting standards. subjert to any material departu￿$ disclosed and
explained in the financial statements;
Id) prepa￿ the flnancial statements on the going concern basis unless It Is
inappropriate to assume that the Charity will continue.
The Trustees are responsible for keeplng accounting ￿CordS which disdose with
reasonable accuracy the financial p051tion of the Charity and to enable them to
ascertain that the financial statements comply with the Charities Act 1993. They are
also responsible for safeguarding the assets of the Charity and heno fortsking
reasonable steps for the prevention and detection of fraud or other Irregularitle&
Signed on behalf of the Trustees
Na
an Howard:
l De￿rn￿r 2025

TOThE
I rel￿ on tr ac¢ounts ofthe Chty forthe ended 31 March 2015,•thich Set ort L
pages 7*0 16.
ChariWsTThths are responsible forthe preparation ofthe accounts. The (tharws Twstees
conslderthat an audit is not required forthtsyear lumler section 43121 0ftheclw1ll￿ Act 1993
lthe-IYJ3 Acffl and thatan Independent examlnat¥m 15 needed.
It Is myres[￿￿lItytO.
examinethe Kcounts (Under￿tiOn43(3jlaIOfthe 1993 Act);
to foHowthe procedures lard down in the Genernl Directtcmsgiven Iwthe Charlty
Commlssloner5 (under section 4317Kb) otthe 1993 Adl. and
Commissi￿ll￿￿ An examinathm Indudes a revlew ofthe account1￿ reo)rds kèpt by the Charlty
and a compaTtson of thE 4cu>utlts presented withthose retord5. ft also in¢I￿leS cffflsKleYadDn ¢JF
any unusual items or di%k)sm in the accounts and Seeki￿ explanatlon5 from you 45 Tri￿tee5
¢On￿MIng any such m41tsrs. The Pro￿dureS undertaken do not PfOVKle all the eviden￿ that
yKwtdte￿uIrtd1tiana￿and(￿nSequentyldo notexFve&%an audltopinitinonthev*wgiven
bythe account
In a>nnectlon with myexamlftatlon. no matter has come to my •ttentk7n".
(l)whtch gPR5n￿ reasonabk caweto belSe¥e tt*t Sn ary w•terial resp¥tthe reqvxwrrts
to keepa¢Wwrt1￿ re¢ord5in ar￿rdan￿ with sectkn 41 tsf the 1993 Actr. and
to prepare accountswhith acco￿ the accountin8 rttords and compty with the
accounllng requlremelltsofthe 1993 Act have been meL' or
{2} to whkh. In ry oplnloT¥ attontk*n thotsld be drnwn in orderto e￿ble a proper understsnthn8
of th¢ accountstD be reac1￿￿.
J Irretkerk
LondonSE3
l Decemlw2025

TOGEFHER FOR MISSION
TATEMENT OF FINANaAL AcfMTI
forthe
ar ended 31 March 20
Unrestrl¢ted
funds
Rertrfcted
funds
Unrestrfrted
funds
Re5trlcted
funds
JJ24
Income
Doriations and legacles
Income from charitable
artivities
Income from Investin8
activitles
Totsl
37,957
34.196
88.788
126,745
34.196
25.155
171153
42,208
1.158
4,599
4599
5,862
5,862
76.752
165
34175
17.053
49.228
Expendfture
Charitable artivities
Totsl
{44.1071
(44.￿)
190.8291
(90A291
1134,9361
1134.936
{4,3511
4.351)
145.3231
145.323)
149.6741
49.674)
Net income
31645
{2,041
27￿4
128,270)
Transfers betvmn fund5
65,229
165,229)
Plet movement in funds
97￿4
167.2701
ao.604
27.824
128.270
1446)
Total funds brought
forward
Total funds ￿rrIed
forwanl
29.81MJ
221.979
251.779
&976
250.249
252225
127,674
154,709
281383
221.979
251.T
CONTINUING OPERATIONS
All the charities operations are contlnuing.
The notes on pages 11>16 fonn part of these finandal ststements.

TOGEfH
R FOR MISSION
8AiANCE SHEEr
At 31 Mar¢h 2025
Notes
2025
Y￿ed assets
65229
Current a55ets
Debtors
Cash at bankand in hand
1,200
207,465
208.665
3,022
238,525
241y7
Creditors: Amounts falling due within one
ear
(6.5111
(4.7681
Net current assets
202,154
236.779
Debtors due in more than one year
15,000
15,000
Total net assets
251.779
The fund5 of the charity
Restrirtedfvnds
High Barnet Baptlst Church
Turkey Street Community Church
Total restrlcted funds
li
16.265
138,444
154709
221.979
221.979
Unre5trirtedfvnds
General fund
Fixed asset fund
Totsl unreStrIc￿ funds
62,445
65.229
I27￿74
29.8CK)
29,800
Total fund5
282383
251.779
The financial statements We￿ approved bythe Board of Tntstees on l December 2025 and were
signed on it5 behalf by:
Howard-Trustee
The notes on pages l(k16 fomi part of these financial statements.

TOGETHER FOR ME5SION
H FLOW STATEMENT
for the Year Ended 31 Marth 2025
2025
2024
Cash tlows from operating activitie5
Cash generated from operations
30.157
119,562)
Gish flows from investÉng actlvlties
Purchase of fixed assets
Interest re￿iVed
165,8161
4,599
5,862
Change in cash and cash equivalents In the reporting period
131,060)
(13.711))
Cash and cash equivalents at the beglnnlwa of the reportlng perlod
238,525
252.225
Cash and cash equivalents at the end of the reporting perlod
207A65
23&525
RECONCIUATION OF NET INCOME TO NEf CJL5H FLOW FROM OPERATING
AcllviTIES
Net incomel(deficit) forthe reporting perlod from the Statement of Flnancial
Aclivlties
Adjustmentsfvr..
Decrease/llncrease} in debtors
InC￿aSe in creditors
Investment income
Depreciation
30,604
1446}
1,822
1,743
4,599)
587
118,0221
4,768
15,8621
Net cash from operating actlvltles
30.157
{19.562)
The notes on pages 1(k16 form part of these financial statemen

T06EfHER FOR MISSION
Notes to the Flnancial Statsments
AccouNnNG pouaES
Basls of preparlng the fina￿la1 statements and assessment of golng towern
The finandal statements of the Charity. which is a public benefft entity under FRS 102, have been
prepared in accordance with the CharitiesSORP {FRS 1021'A¢counting and Reportlng by Charitles:
ststement of Recommended Practice, applicable to chartknes preparing thelr accounts in
accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland
(FRS 1021 (effective Ottober 2019) and the Charities Act 2011. The financial statements have
been prepared under the historical cost convention.
The Trnstees consider that there are no material uncertaintie5 about the Charitvs abilty to
contlnue as a going concem.
Incoming re50Urtes
Voluntary income is receNed bywayof donatlonsand gift5 and ts included In full inthe Statement
of Financial Activities when it is receivable.
No value of services by volunteers has been included in these accounts.
Expendlture
abllltles are recognised as expenditure as soon as there is a leBal or constructive obligation
committing the charity to that expenditure, it is probable that a transfer of economic benefits
will be requlred in settlement and the amount of the obllgation can bp measured reliabty.
Expenditure is accounted for on an accnjals basls and ha5 been classified under headings that
a8gfegate all costs related to the category
Debtors
Trade and other debtors are recognised at the settFement amount. Prepayments 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 account5 wlth
no withdravMI limitations.
Credttors
Creditors a￿ recognised where the Charity has a present obligation resulting from a past event
thatwill result in the transfer offundsto a third party and the amount due to sethethe obligation
can be measured or estimated ￿lIablY. Creditors are recognised at their settlement amount.
IOIPage

TOGETHER FOR MI5510N
o th Flnandal Statements
ACC(WJNTrNG pouaES (Continued)
Tanglble fixed assets
Flxed assets for use by the Church with a value of greaterthan £1.500 are capitalised at cost and
depreclated.
Property work in pro8ress costs and leasehold improvements In respert of the Turkey Street
Cornmunity Church will be depreciated once the option to acquire the site has been determined.
Fixtures and equipment is depreclated over three years.
The Charity15 exempt from tax on its Charital￿e activitles.
Fund accounting
Restrictedfunds
The Charity has restricted funds which represent donations and other income for the
e5tablishrnent and operation of a newchurch in the Turkey Street area of Enfiekl and another to
provide funding for an Assistant Pastor at Hr8h Barnet Church.
Unrestrictedfvnds
The general funds are donatlons and other income re￿iVed or generated for the mission of the
Charity without further specffic purpose.
The Flxed Asset Fund represents the net book value of the charities fixed assets.
Flnanclal instruments
The Charity has financlal assets and financial liabllities of a kind that qualify as baslc financial
instruments. Basic financial instruments are valued at their settlement value.
IIIPage

TOGEfHER FOR MISSION
Notes to the Flnanclal Statements
Donatlons and legacies
2025
Unrestricted
funds
2025
2025
Total
funds
2024
Unrestrlcted
funds
2024
Restrfcted
funds
2024
Total
fvnds
funds
Donations
Gift aid
Total
33.782
4,175
37.957
87.850
938
88.788
121.632
5.113
126.745
22,133
3,022
25,155
17,053
39,186
3.022
17JJ53
Durlng the year the charity re￿iVed donations of £55,027 from U5 charities12024 - £16,304)
which has been Included in restricted funds.
Investments
2025
Unrestrfctad
funds
2025
Restricted
funds
2025
Totsl
funds
2024
Unrestrirted
funds
2024
Restricted
funds
Total
funds
Bank interest
Total
4,599
4.599
4.599
4599
5,862
5.862
5.862
C￿litable artlvltles
2025
Unre5trfcted
nd5
2025
2025
Total
funds
2024
Unrestricted
funds
2024
2024
Totsl
funds
funds
fund$
Income
Partnership event
intome
34.196
34.196
1,158
1.158
Expendlture
Turkey Street
Community Church
Partnership events
Governance and
administration
Totsl
90,829
90￿29
45.323
45.323
34.497
9.610
34.497
9.610
4,351
4.351
44.107
90￿29
134,936
4.351
45.323
49.674
Staff costs. tnthes remuneration and benefits
2025
Restricted
funds
2025
Total
funds
2024
Unrestrirted
nd5
2024
Restrtrted
funds
2024
Total
funds
Unrestrlcted
funds
Wages and salaries
Nl
Pension costs
Total
6,601
49,720
56.321
5.606
3.729
65.656
3,311
28,518
31B29
3,729
59.055
1.782
30,300
1.782
33.611
3,311
IZIPage

ln 2023 the Charity provided an 1nte￿st-free loan to enable theTurkey Streetcommunity Church Pastor
to secure living accommodation detai15 of which are included In note 9.
The average number of employees during the year was as follows;
2025
No.
Pastor
Administrator
Total
None of the Trustees received any remuneratlon or ￿1mbur$eMent of expenses in the year ended
31 March 2025- (year ended 31 March 2024 £nill except in December 2023 the charity re￿iVed
a donation for the family of Trustee Nathan Hovffird from a US donor. The donation was paid In
December 2023 to the H¢)ward family- one payment of £250 and another of £W.
& assets
Leasehold
improverneftts
Flxtures
Totsl
work tn
equipment
Cost at the beginning of the year
Additions
Cost atthe end of the
58.446
5,609
1.761
1,761
65,816
65.816
ar
Depreciation
At the beginning of the year
Charge for the year
At the end of the year
587
587
587
Net book value at beginning of the year
Net book value at the end of the year
58A46
1.174
65,2Z9
Property work in progress costs represent an option fee and professional fee5 a5$0ciated wlth the
development of church building for the Turkey Streetcommuntty Church. The building is currently
under a three-year lease, expiring in August 2027. The Charity has a three-year option to acquire
the freehold, also expirlng in August 2027. Depreciation of the property work in progress and
leasehold improvements wlll Commen￿ On￿ a declsion has beentaken with reBard to the optiun
to acquire the site.
Debiors: Amounts Pdlling due wlthin one year
2025
2024
Gift aid debtor
Totrl
1,200
3.022
131Page

l. Credltots: Amounts fallSn8 due withln one year
2025
2024
Deferred Income
Total
6,511
6.511
4,768
4.768
The deferred Income represents income in respect of events to be run by the Charity in the next
financial year.
Debtots due after more than one year
Housing loan
Total
15.0(Xl
15.0
15.000
15.000
ttyring the year the Charity provided a loan to the Pastor of Turkey st￿et Communbty Church to
purchose livin8accommodation. The average amount outstsnding was£15.oiXI.The loan was provided
In September 2023 and is for three years at a fixed rate of 1% per annum.
lth Rel*ed Partles
The Charity regards the followlng Churches as related partles due to the involvement of common
Trustees;
Enfield Town Community Church
Bush Hill Park Community Church
Sllver st￿et Communfty Churth
Bury Street Community Church
Causeway Community Church
High Barnet Baptist Church
From August 2023 the charity employed the wife of Trustee Nathan Howard asAdministrator. following
an open recrultment process. The employment is for one day per week.
The Partner Churches paid donations to the Charity as follo
Enfleld Town Community Church £6.925- {2024- £6.0751
Bush Hlll Park Communtty Church £2,4CK)- {2024- £2,4(o}
Slher Street Community Church £4.23512024- £nil)
ury Street Community Church £691-12024- £1,5(M)I
141Page

11. Movemert byfvnd
Balance
Income
Expenditure
Transters
BalaTKe
at31
March
Unrestn"rtedfvnds
General fund
Fixed asset fund
Total unrestricted funds
29.800
76,752
(44,1071
62,445
65,229
127,674
65,229
65,229
76.752
144.1071
Restrlrtedfvnds
Turkey Street Community Church
Tukey Street Building Fund
High Barnet Baptist Church
Totsl restrlrted funds
221,979
51.101
21A22
16,265
88.788
185.5631
14.679)
148,487}
116.742)
138,444
16.265
154.709
221,979
(90.8Z9}
5,229
Totsl funds
251.779
165
1134,936)
2024
Unrestrictedfvnds
General fund
Total unre5tticted funds
1,976
1.976
32.175
32,175
14,3511
14.351)
29,800
29
Restrirtedfvnd5
Turkey Street Develo
Total restricted funds
ment Fund
250,249
250.249
17,053
17.053
145,323)
(45,323)
221.979
221.979
Total funds
252.225
49228
(49.674
251,779
The Fixed Asset Fund represents the net book value of the charities fixed assets.
The Turkeystreet Communlty Fund Isto establish ar￿ run a new Community Church In the Turkeystreet
a￿a of Enfield.
The High Bamet Baptlst Church Fund is to provide fundlng for an Asslstant Pastorat High Barnet Baptlst
Church.
151Page

li
Net assets byfunds
Bank and
cash
Other net
Flxed assets
Balante at 31
December
2025
General fund
Fixed assets
Total unrestrirted funds
52.756
9.689
62.445
65,229
127,674
65,229
65229
52.756
Turkey Street Community Church
High Barnet Baptist Church
Total restricted funds
138.444
16.265
154,709
138.444
16,265
154709
Total fund5
207,465
65229
Bank and
cash
Fb(ed assets
Balance at 31
2024
Unrestrlrtedfvnds
General fund
Total unrestrfcted funds
16,546
16.546
13,254
254
29.800
29WO
Re5trittedfvnds
Turkey Street Communi
Total restricted fvnds
Church
221.979
221.979
221.979
221.979
Total funds
I38￿25
13254
Z51,779
161 Page