REPORT TO THE CH2I1UTY COMMISSION
For the 12 moDth period l January 2024 to 31 December 2024
KINGSWAY CHURCH KINGS HEATH CIO
of 3&38 Highbury Road, Kings Heath, Birmingham, Bl 4 7QN
(Correspondenc¢ Address 65 Colmore Roa¢ Kings HeatN Biritiinghym B14 6AD
Registered wilh the Charity Commissioners as chariry number 1195641
Th¢ Charity Commission Certifi￿te for the CIO wa5 dated 26 August 2021
The Objects of the Trnst were as follows:
l the advan¢¢m¢nt of the Christian faith in accordance with the Basis of Falth primarily but not ¢xclusively within
Birmingham and th¢ surrounding neighbourhood.
such other charitable purposes as shall, in the opinion of the charity trnstees, put into practice the Christian faith in
accordance with the Basis of Faith. including but not limited to the prev¢ntion and relief of need. hardship and
sickness, tbe advancement of education" and the provisTon of facilities in th¢ infyrests of social welfare for recreation
or other leisure time occupation of individuals who have need of such facilities by reason of their youth, age infimiity
OT disability. financial hardship or social circumstances with the obje¢t of improving their Conditions of life.
Tbe Trnstees who served during the period under review were:
Mrs Rachel Mary Khan
Mr George O'sullivan
Mr Clive Aniony Hest¢r
Mr Gareth John Condy
Mr Barnaby Richard Pain
Mr Oluwadamilare Tanimowo
Assets:
The prot*rty at 48 Westfield Rc41d {'The Manse'A Kings HeadL Birn)in* B14 7ST which had iY¢n pvr¢h&sed in May
2(M)2
The CIO is owner of the cont¢nts of the ehurch building at 3&38 Highbury Road {'The Church,), Kings Heath, B14 7QN.
The CIO is sole of the 1943 Church Trust and thereby is owner of the ehurch building at 3&18 Highbury Road.
The CIO is the owner of the church's cash and its a￿ounts with Natwest bank and with National Savings and
Investments. The total sum held in these fornis at 31. December 2024 w&s £ 66.376
Revettut and Expendfiillre:
Total Income for I" J&nuary2024 to 31 December 2024:
£ 74,492 for further details see Accounts
Total Expenditure for I" January 2024 to 31• December 2024 £ 67,867.
Artivities of the church during the period I" j￿U￿ry 2024 to 31° December 2024
regular Sunday services and children's meetings were held throughout 2024. Fach Sunday's setvice inchKled
preaching andlor Bibl¢ teaching. and explaining of the Christian faith.
regular meetings were held after Sunday services for Children and teenagers
mid-w¢ek meetinss for Bible study, prayer, discussion of ¢huwh business and other related activities took place
through the year in the chuwh building or in homes
a half-terni children's holiday club was held in October 2024
tEgular financial support was given to missionaries both in the UK and overseas. plus other ad hoc g
Christian workers seeking to advance the Christian faith
the church employed a full-time salaried paslor throughout the reFM)rting period, and also a part-tim¢ (2 days p¢r week)
salari¢d Families and Childr¢n'5 Worker.
gular visitation of the sick and elderly was continued and support was given to individuals as appropriate
a mother and toddl¢rs wup operated on every term-time Thursday morning and there was a v¢ry good take-up of this
fa¢ility by the local community
sp¢cial events were h¢ld at Christmas, and at Easter when the church hosted a Narnia Trnil b￿¢d on th¢ C S Lewis
stories as an outreach to local children
a moiitlily ¢liildi"cii's club plus a fjlub for oldw ts¢nagrts were held at the church on friday ¢v¢nings throush th¢ y¢ar
church lunches were held on Sundays after the morning seTViC¢ from lime to tim¢
s to other

Appointment of Tr￿Stee5
The trust¢¢s of the CIO during 2024 consisted of the elder& the sectEtary. th¢ treasurer and one deacon. Mr Pai￿ Mr Hester,
Mr Condy, Mr Tanimowo, Mr O'sullivan and Mrs Khan were ￿Stee5 throughout the year.
Th¢ trustees constantly reviewed the level of reserves and sought to retain a level of not less than three months, unrestrict
funds to meet anticipated ex￿mIltUre ne￿&$ary to enable the church to continue its acttvities and matntain the properties in
good condition.
Pen8iODS
The church ensllre￿ in accordance with statutory requiranents. that both the pastor, appointed in 2017, and the Famili¢s
and Children's Worker, appointed in May 2023, were in r¢cognis¢d ￿nsion schemes.
Publie B¢n¢llt
The tTUStees have complied with the duty in section 4 of the Charities Aci 2006 to have duc regard to public benefit
guidance published by the Charity Commission. One complaint was made to the Charity Commission about the church
by a person not in its membership. This complaint was adjudicated by the Charity Commission who gave useful advi¢¢ to
the ttustees which has been acted upon.
The church continued thrnughout 2024 to hold a weekly servi(* of worship. open to all wishinR to attend. Pojple we
regularly inv&ted to attend services by various means including leaflet distributi(Trn. I1￿]ng m the 'Find a Church, websi* and a
website 0￿ed by th¢ Church.
The church continued throughout 2024 to give supwt to Christian ¢)rganis8tions Or￿￿dting I(￿alty. nationally 2nd globally
which giv¢ relief to those in need and thich se¢k to advanct the Christian faith. Examples included th¢ suprth of
Birniingbam c.ity Migsion's harvegt time ftKxI distribution and an offering for Barnab&8 Aid given at th¢ kginning of the year.
Sign￿.
For and on behalf of the Trustees.
Date:
IS.4•ZS

KINGSWAY CHURCH KINGS HEATH CIO (Reg. Charity No. 1195641)
Receipts & Payments Aeeounts for the period l January 2024 to 31 Deeember 2024
12 months ¢0 31112123
General Fulld
Receipts
Offerings
Kingsway Tots donations
Memorial donation to the church
Donations for church away day catering
Donations for ¢haritable causes
Gift Aid
Interest
48079
907
2630
58887
1341
190
96
12037
358
9623
24
61263
Payments
Pastor's pay and expenses
Ministy
Buildings (see note l)
Children and Youth
Literature
Gifts and donations
Sundry Expenses (see note 2)
Missionary partners {see note 3)
29398
720
8478
792
361
225
7291
8320
55585
30847
500
7807
1015
261
246
7507
8820
57105
5678
44889
50567
Surplus (Deficit)
Fund balance b'fwd
Fund balance c'fwd
15804
50567
66371
12 Months to 31112123
Special Projeets Fund
(Famity and Childrett98 Worker)
Recei
Offerings
Donation
Gift Aid
790
51)0
293
1583
mcnts
10312
A0312
Family & Children's Worker pay & exp
10762
10762
(10312)
19491
917
Surplus (deficit)
Fund balance b'fwd
Fund balance c'fwd
(9179)
9179
12 Months lo 31112n3
Building for the Future Fulld
Recei
Interest
None
Surplus (deficit)
Fund balance b'fivd
Fund L'fwd
The balance of fimds remaining from the May 2021 Gift Day at 31" December 2024 was £909.

NOTE I
BuildAngs
Water
Plumbing
Electricity
Roofing
Mntenance items
Manse insuranc¢
chU￿h insuranc¢
Blinds for church
Heating services
A5b¢stos survey
Burglar alaTrn
ChubbF&S
NOTE 2
Sundry Expen
Housekeeping
Church cle9nin8
'Find a Church, website
Church ini¢rn¢t
DBS checks
Conference ex￿nseS
CCLI
Eyangelical Allian¢¢
Kitchen equipment
Away Day catering
Zoom
Church website
Tech costs
Decorations
FIEC
W¢¢klEnd away deposit
Stamps
NOTE3
Mi55ioD4ry partvr5
ReachAcross (M & L Harvey)
ReaChAerO￿ {J.V Durstenfeld)
BCM (C Tr¢sham)
Mizpah (D & W Lyttle}
Wycliffe B T (K O'Donnell)
West Sm¢thwi¢k Ch (T Martin)
Agap¢ (S Ovemiy¢rl
Latin LiDk (P Condy)
325.83
1020.
2263.21
220.00
14.50
430.(M)
1711.58
650.IN)
80.40
756.00
65.00
270.
429.58
1362.39
22.00
412.92
80.50
459.74
478.72
1420.00
1420.00
1420.00
1240.00
700.00
1420.00
700.00
500.00
00.00
430.00
155.88
200.00
514.25
96.98
1608.00
1098.80
6.80
S82￿00
7806.52
Funds
General Fund
Building for the Futsre '
Repreyented by:"
Current Account
Reserve Account
66371.12
5.00
14868.47
25156.09
26252.82
98.74
66376.12
NS&I
Cash
66376.12
Th¢ ¢orr¢sponding awgat¢ figure at 31. December 2023 was 59750.60
(l) Church (incl. fixtures & fEttings): 2024 insurance valuation £594,918 index link
(2} Manse valued by the trustee5 in 2024 at £420,000 on the basis of a review of selling prices for compaTabl¢
properties in the Westfield Road area and discussion with th¢ ChU￿h'S insurance broker.
Torgetfor
General Fund
Targei £54. 000. 00
Aclual £60228. 60
(The 'acfual'figure is made up ofofferings
ap7d KIngsW￿ Tot.Y dol￿tiOnS.)
At the endof2023 the Acts￿,fig￿ef0r the General Fundgiving waf £48,985.52 agaipLSt a targetof£45.600

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's
report on the accounts
Section A
Independent Examinerfs Report
Report to the trusteesl
members of
KINGSWAY CHURCH KINGS HEATH CIO
On accounts for the year
ended
DECEMBER 2024
Charity no
(if any)
1195641
Set out on pages
I report to the trustees on my èxamination of the accounts of the above
charity {'the Trust") for the year ended 3111212024.
Responsibllities and As the charity trustees of the Trust, you are responsible for the preparation
basis of report of the accounts in accordance with the requirements of the Charities Act
2011 1.the Acf'}.
I rgport in respact of my examination of tho Tru$t'$ a¢¢ount$ ¢arrièd out
under section 145 ofthe 2011 Act and in carying out my examination, I
hava follow9d tha applicabl8 Directions givan by th8 Charity Commission
under section 145{5)(bl of the Act.
I have completed my examination. I confirm that no material matters have
¢ome to my attention in conneclion with the examination which gives me
cause to believe that in. any material respect..
accounting records were not kept in accordance with section 130 of
the Act or
the accounts do not accord wilh the accounting records
Independent
examiner's statement
I have no ¢oncems and have come across no other matters in connection
with the examination to which attention should be drawn in orderto enable a
proper understanding of the accounts to be reached.
Signed:
Date:
2111
Name:
DALE BRUSBY
Relevant professional
qualification{sl or body
(if any}:
ACMA CGMA
Address:
11 VVOODSTOCK COURT
158 NORTHFIELD ROAD, KINGS NORTON
BIRMINGHAM B30 1 DX
IER
October 2018

Section B
Disclosure
Only complete if the examiner needs to highlight matters of concern (see CC32,
Independent examination of charity accounts.. directions and guidance for
examin6rs).
Give here brief detsils of
any Items that the
examiner wishes to
disclose.
IER
October 2018