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2024-12-31-accounts

Free Christian Fellowship

Trustees’ Annual Report 2024

This Report provides a statement of activity for Free Christian Fellowship (FCF), also known as Fiskerton Revival Centre (FRC), for the year from 1 January to 31 December 2024. FCF is a Charitable Incorporated Organisation (CIO) with income below the threshold, accounts have been prepared on a receipts and payments basis and have been independently examined by an accountant in accordance with the Charities Commission requirements. The Statement of Account and Independent Examiner’s Statement are appended to this report. The report will comprise key points only. More specific information will be provided on request.

FCF continues to fulfil it’s stated aims and objectives.

Key points

Ministry

Income

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included in gross income (£203 in 2023). Gross income for 2024 increased by £1,094 from 2023; average attendance increased by 21%, income by 15%.

2024 2023
Gross income £7,397 £9,687
Schoolroom hire £520 £190
Utilities refunds/subsidies £230 £201
Less specifed donations £0 -£3,384
Total FCF income 7,397 £6,303

Expenditure

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Forecast

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CHARITY COMMISSION FOR ENGLAND AND WALES No lrfony> 1196466 FREE GHRISTIAN FUOWSHIP Receipts and payments accounts CC16a Forthe pertod from P￿10a s(att date Period end To l Jarway 2024 31 Decefflber 2024 Section A Receipts and payments Unrestricte tunds Restricted funds Endowment funds Total fund Lasiyear lolheneamt£ fDthenearest£ the neare5t£ trjthe ne￿estE Recelpts ¢dI￿h0n5 Donal￿S re 018choolroom (Wsr 6.647 S20 Sub totalfGmss income forAR) A2 Asset and Investment 8ales. (see table). 7.3 7.38T 9,687 Sub totsl Totalrecelpts 7m7 7,397 9,687 Paymènts LlohtÉnd Heel Lea￿ In￿rance 664 •paloqnd RIN￿￿¥ oudbank onEryqnd 040 T-. 17,212 Sub total 13A25 14325 34311 A4 Asset and Inv•stm•nt purchase8.18ee table) Sub total Totslpayments 13A25 13.325 34,311 Net of r¢ceipts/(payments) - nsfers between funds A6 Cash funds last year end Cash funds Ihis yearend 6,928 0?28 24,624 24,006 18.078 24￿06 181178 48,630 24006 Section B Statement of assets and liabilities at the end of the period UnrestriGled funds Ro$lri¢ted funds Endowmenl funds Categotles Detalls n•aresEÉ B1 Cash funds 18,078 CCXX R1 accounts {SS) 0910112025

rolalcash lunLIs 14078 eLw)) Unre5trfthd nds Rèstrfcw fund$ Endowment funds Details ton8arest£ toneat95t£ to noar8Stt B2 Other monetary assets towl¢h a¥set Currentv4lue Detalls costloptrar B3 Investment a¥sets C￿t10P￿D￿l1> rrontva lopuonall Detalls B4 Assets retalned forth• charlty'8 own use Fund towttl¢h AmDuntdu• lopNon•ll ndU• D•lails 85 Uablllties Slgned by ortwotsustses C￿ bEhel olgwlhe tsustees Slgnalu Prinl N8me Date of approval Susan Copoman 1,4- h)c Mld)ael W Copeman CCXX R2 ao)xJnts {SS) 0910112025