Ilthf5tsr.
Careg Memofjal Bdptist Church
Kip)d Street, Ketterind,
Charty Numljer.. 1196551
mni
•07Tn￿
Tr￿u￿Ar.
Ju1EFMGg
Trustees Annual Report
Year Ending 31st December 2024
Structure, Governance and Management
The Charity was registered as CIO on 12 November 2021 in preparation to tske over the activit￿$ of
the previously unincorporated charity of Carey Memorial Baptist ChurchTh6 unincorporated charity
conknnued in opeffttson until 301h June 2023 when all of rts assets were transferred to the CIO. The
Charity continues to OFErate in accordan￿ witr the Church CIO Constitrjtson.
The Annual General Meebng of the CIO is normally held inMarch3 where the election of trustees
and appointment of offi￿[$ takes pla￿.
The a1o¢tod trustees during the reporting year wer•:
Keith Mitchell
Chair of Trustees & Secretary
Trustee
Paul Greenaway
Julie Musgrave
Hayley Peel
Fred Northem
Treasurer & Trustee
Trustee
Trustee
Joy Sergison
Carol Imlson
Tnjstee
Trustse
What the charity does:
WI￿ the charity holps:
Religious Activities
Childrenfyoung People.
Eldedylold People
Other Charities or Voluntary Bodies
The General Publiclmankind
Promdes Buildingsffacilits'eslopen Spa
Provides setvi￿s
Prov7des Advocacyladvicetinfomation.
Nothamptonshire
How the charity helps:
Whero th? charity op•rates:
ObJe¢tlve and Activities
The princtpal obiectwes of the charity as set out in the goveming doajment are°The advan￿rnent
of the Christs'an faith according to the principles of the Baptist denomination, advancing educats'on
and carrying out other tharrtable purposes in the United Kingdom and other parts of the workl."
The church works through assoaab'ons with the Baptist Union of Great Britain, the Baptist
Missionary Society, The Central Baptist Associatson, and other similar Christs'an charrtable
organisations within the UK and wodd-wde.
The main aCtivit￿S undertak8n for the public benefit in relation to these objects during the period
www.careybaplist.co.uk

Care9 Memofjal 64ptiSt Church
Kip)d Stre&tr, Kettering, 8qb
Charty Number. 1196551
07T￿￿rn
covered by this report are the wotk and witness of the thurch through regular wblic Sunday
Worship ServI￿S at 10.30 a.m., prayer meetings and Bible Studies.
Memters facAlitate weekly coffee momings on Wednesdays which act as both a S￿81 event and an
opportunity to meet wth others who do not have a church connecti￿. The thurch also organises
regular events on Sunday aftemoon, including Creatwe Church for families and children and other
activities, such as Music Café, from time to time. These are open to the public, wth the purpose of
assisting the communty and demonststing Ihe lov8 of J8sus Christ.
The Church conknnues to support the Kettering Food Bank, Kettering Str*t Pastors, Operation
Christmas Child Shoe Boxes, Goodwll Children's Homes, and other charities. This is achieved
through church members volunteenng their time and money to contnbute to these projects.
The Trustees have read the Charity Commission guidan￿ on public benefit and are sabsfied that
the activities ouuined above clearly demonstrate that the charity is providing a benefit to the public.
Financlal Revlew
The Trustees are satisfied that they have sufficient reseNes at the Balan￿ Sheet dats, together with
ongoing income an￿'Cipated, to enable the church to function effectwely in the coming year.
The trustees dedare that they have approved the trustees, reFX)rt above.
Signed on behalf of the charity's trustees.
Signature(s)
Full names
Keith Andrew MITCHELL
Chairperson
Julie Fran￿$ MUSGRAVE
Treasurer
Date
wMv.¢areybaplist.co.uk

Carey Memorial Baptist Church
Income and Expenditure as at 31st December 2024
Income
Ctssts l Expendlturè
Ministers Stpend
Housing allowance
Employer superannualon
EM￿¢yer N I
Employees N.1
Ministers Expen
Cleanefs Wa
Water
Gas
Electncity
Repairslckani
Health & Safety
BMS
BHMF
Goodwill
Donations
Exp8ns88
Pulprt SuFpIy
Subs
Stationery
Insuranr
Broadbandl Intemet
Shoe Boxes
Loose Offering
Envelopeslso
Go￿￿11
Harvesvchrislian
Ground renl
Gift aid
Donations
U88 of r00rn8
BMS birthday
Building Soaety interest
Transfer frorn re8erv8S
Insuran
M￿cellar￿U8
Trust Fund
Shee Boxes
£3.827.70
£14,196.90
4195
£127.15
£O.DO
£5.585.83
£456.00
£1.254.74
£O.OD
£337.37
£0.00
£0.00
£350.00
£0.00
£170.00
£0.00
£0.00
£0.00
£0.00
£0.00
£56.25
£0.00
£402.00
£7,641.68
£1,794.00
£1,427.80
£474.00
£1,000.00
£1.072.00
£180.00
£810.00
£1.301.89
£720.00
£429.38
£276.00
£3,776.66
£431.47
£140.00
Totsl Income
£26,547.64
£4,614.S1
£0.00
£4.614.51
Total Exp8ndlture
£21.933.13
SurpluslDeffclt
Undeared cheques
Adjusted Surplu51Deficit
General Fund8 (Virgin Moneyl
R95eN8d Fund (Market Har BISI
£21.547.09
£29.063.39
Total
£50.610.48
Carey Baptlst Church Accounts Year Ending 31st December 2024
2023
2024
Trust Fund ISal8 of Hall)
2023
£17,269.95 £21,547 09
Balance al Start of Year
£48.039.50
£28.726.02 £29,(E3.39
Paymentsifransfèrs
£13.974.32
Add Interest
£1,848.83
B818n(* al end of year
£35,914.01
Represented by..
General Funds (Virgin Moneyl
£17,269.95
Reserwed Fund (Market Har els) £28.726.02
Balance at end of year
£45,995.97
2024
£35,914.01
£000
£81838
£36.732.39
G8neral Fund8 Ivirgin Moneyl
Reserved Fund (Matket Hai BISI
Totsl
£46,996.97 £50.610A8
2023
2024
£48,464.39 £45.995.97
-£2.488 42
£4.614.51
£45,995.97 £50.610.48
Blance at start of year
Less Defi￿vPIUS Surplus
£21,547.09
£29,063.39
£50,610.48
Tclal
Totsl Balan￿ at end of year
£81,909.98
£87.342.87
Re
rt of the Inde
ndent Examiner to the Deatofts a
Membèrs of Ca
Ba
1st Church Ketterin
In a¢xordan(* wrth the provi510n5 Of s8cts.on 145 Of the Chariles Act 2011, 1 have examined the rtceipts and payments of aceounts and
Statements of assets and liabilities of Carey Bapts$t Church relating to the year endi￿ 31 December 2024. Thi$ exwninalion did rK)t
extend to a CoMp￿henslve 8udit of such acttJun18 or slaternent.
I confirn that the accounts and statement accords with the accounting records of th& (*urch and that such rècords Satisfy tha
U1￿ments of th8 Act. l am not aware of any Tnatter to which attention need8 to be drawn in ordèr to obtain 8 pro￿￿ under5tandsng of
the accounts.
IswJn8dl David Howard
Date.
Printed on 2410212025
Accounts 2024.xlsx