Charity Registration N umber
Registered Charity Number: 1197078
CORNERSTONE CHURCH BRIGHOUSE TRUSTEES’ REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2025
CORNERSTONE CHURCH BRIGHOUSE
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2025 Trustees Allan James Raw Jonathan Paul Mashinter Christopher Graham Tinker Charity Number 1197078 Registered Office 139 Bradford Road Brighouse HD6 4AD Independent Examiner Robin Murray RJM Accountants 24 Rayner Drive BRIGHOUSE HD6 2DG
CORNERSTONE CHURCH BRIGHOUSE
CONTENTS
FOR THE YEAR ENDED 31 MARCH 2025
Trustees' Report
Independent Examiner's Report
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements
CORNERSTONE CHURCH BRIGHOUSE
TRUSTEES' REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The Trustees present their annual report and financial statements for the year ended 31 March 2025.
The Trustees have the pleasure of submitting the Report and Accounts for the financial period 1 April 2024 to 31 March 2025.
Objects of the Charity
The charity is a church affiliated to the Fellowship of Independent Evangelical Churches (FIEC) registered as a Charitable Incorporated Organization.
The Church seeks to demonstrate the Christian Faith inaction by faithfully preaching the Gospel and serving the local community in arrange of different ways. Its vision is ‘Reaching Out and Building Up in the Gospel of Jesus Christ for the Glory of God’.
Summary of the Charity’s Main Activities and Achievements
The Church is not a building. It is a gathering of ordinary people of every background, whose lives have been radically and permanently changed by Jesus Christ, the Son of God. The New Testament reveals the Church as a community of people, properly taught and cared for, who by loving and serving Jesus Christ, are committed to love and care for each other and to bring a blessing to the area in which they lived. Cornerstone Church, Brighouse, its trustees and elders, deacons and members are committed to the pursuit of those Biblical principles. It is not alone in this. It is one of many churches in the local area, across the country and, indeed, all over the world, that are declaring the lifechanging power that comes through trusting and living for Jesus Christ, as Lord and Saviour and friend.
To further the above objects and vision, the charity's main activities and achievements were as follows:
During this period the church has continued to share and enjoy open, communal Sunday worship, the public reading, teaching, and ministering of the God’s Word, the sharing and taking of communion, and prayer, at The Space @ Field Lane, Rastrick. It has seen new people joining for worship and Christian community, including a number seeking refuge from war and personal danger in other countries. The church has met there for its Sunday service since June 2022 and continue to be grateful for the welcome and support The Space has given. It is hoped, in the coming year, for the church to be able to meet back at its own building at 139 Bradford Road, following progress in the building development. The church meets for prayer and youth work at its own building on Bradford Road in Brighouse and other prayer and Bible study in home groups around the area throughout the week. The newly renovated basement – ‘the Base’ –now being the preferred meeting area rather than using the café. The church’s elders, pastoral team and homegroups ensure care for the church fellowship and provide both ongoing and immediate support wherever there is need.
The church engages in family, youth and adult activities throughout the week, including, Sunday evening youth meetings, Sunday morning junior church, Make Lunch in partnership with Transforming Lives for Good (TLG)– a school holiday lunch and activity provision; debt and management courses in partnership with Christians Against Poverty (CAP). It also holds numerous other seasonal activities, open to all including events at Christmas and Easter Extravaganza. Picnics in Wellholme Park, Brighouse still take place but have been somewhat restricted due to major ongoing work in the park.
The church is well-established, known and respected in the local community. The church continues to build links with the local community both through its activities and through its church run café – Café 139 - run from its building on Bradford Road, Brighouse, which is part of its ministry and outreach welcome.
Café 139
The church’s café has now been running for 13 years and continues to provide a warm and friendly location for local people to come and meet and enjoy good, reasonably priced food and drink. The café has a paid manager and assistant but is otherwise run entirely by volunteers, from the church membership, congregation and from outside the church. Whilst not running for profit the café has always sought to cover its costs, but as part of the church’s ministry, is still part of the overall church budget. It is an excellent place for the church link with the community and build meaningful contact and relationships. The café is used as allocation to promote the church’s events and to provide books, leaflets and conversation about the Christian Faith. In addition to this the café promotes and runs special events, including Christmas meals for customers, quiz nights and seasonal breakfast and evening talks. The church has run an Essentials course– exploring the Gospel of Jesus Christ – which is open to all. For many years the café has also hosted an annual McMillan Cancer Support Day, donating all café takings for the day to the charity, and has also now run similar events in support of work with refugees and asylum seekers at St Augustine’s Church in Halifax.
The church also supports its own congregation’s needs including those with asylum and refugee status who are part of the church.
Project 139
Project 139 continues to develop the church’s buildings at 139 Bradford Road and 2 Gathorne Street. This project has been underway since mid-2022 when the church purchased the house on Gathorne Street allowing the two adjacent premises to be joined together making one premise with greater floor space and the opportunity of making better use of that space. The primary aims continue to be for church to have its main Sunday services back at its own premises and for use of the premises, in time, to be expanded for other charity activities. A large capacity meeting space for the church is planned for the first floor of the building.
The development of the basement was concluded in August/September 2024 providing a multi-purpose meeting area called ‘The Base’. This has allowed both the opportunity to begin the development of the first floor and for the church to run activities of various kinds in the Base, which has been used to its fullest advantage since. The main hall has undergone significant transformation with the clearing of the hall and strengthening of the floor. A bespoke fire escape is due to be fitted in May 2025 which will then allow meeting to take place in the hall. This is planned for late summer 2025.
In planning and undertaking its activities the trustees have applied the guidance on public benefit issued by the Charity Commission and the trustees, as elders, continue to seek guidance as appropriate from FIEC of which we have been active members for many years.
Financial Review
The church finances are operated to ensure the smooth running of the church’s activities in accordance with its financial management procedures, which are reviewed annually. The church treasurer is the church officer responsible for overseeing the finances of the church, and together with members of the finance team, provide updates to the trustees at their regular meetings throughout the year, to ensure they can discharge their statutory responsibilities as required by Commission and Charity law.
The church aims to give away a minimum of 10% of its income each year in support of charitable Christian work and organizations. All monies are given to organisations or individuals that the church knows and has established links with and is reviewed annually
by the trustees and finance team. The church membership is aware of organisations and individuals in receipt of regular giving for their Christian ministries.
Reserves Policy
The Trustees have determined that the charity should hold unrestricted cash of more than £20k. This equated to approximately 2 months’ (£14K) unrestricted church expenditure and approximately 10% of the annual income of Café 139. During the financial period these figures have increased and so the level of unrestricted cash was revised upwards. This is to ensure that the charity could continue to operate should there be any sudden and adverse reduction in income or significant expenditures. At the end of March 2025, the charity held unrestricted cash of £17.5K in its main church account, £5.8K in its Café account and £0.2K in petty cash, which aggregated is £23.5K.
Project 139 has been so far financed using gift and donations from church members, the wider congregation and from the generous donations of other churches and supporters. During this financial period a further gift day took place in the church in June 2024. In addition to this the church has applied, and continues to apply for, grants from charitable organisations and foundations to support the transformation of the building. All income related to the building is considered by the Trustees to be reserved exclusively for this venture and items of expenditure associated with it. The balance on 31 March 2025 was £39.9K.
Governance
The policy and operating decisions of the church rest with the elders, who are the trustees of the charity, in consultation with the Deacons and membership of the church, which is currently 46. They meet regularly, in accordance with a planned and shared timetable of various meetings and monitor the activities of the church. All major decisions are voted upon by the church’s membership in accordance with the Constitution and Church Handbook.
Elders and deacons are appointed by vote of the church membership at a properly held church business meeting. During the financial period the church elected four deacons, from the church membership, to undertake the following roles: Project 139, Health & Safety, IT & AV, and Events.
The church also granted one of the unpaid elders/trustees a sabbatical in summer 2024. During these periods, the trustee still fulfilled their roles as trustees and attended trustees’ meetings as required by the church’s governing documents.
The church undertook a full safeguarding training session for all involved in work with children and vulnerable people. It also sponsors training for members to address issue around strengthening the ministries of women in the church and our awareness and support of those living with domestic abuse in the family.
Responsibilities of Trustees
Charity law requires the trustees to prepare financial statements for each accounting year, which records receipts and payments of charity for the year.
We are responsible for the keeping of proper accounting records which disclosure with reasonable accuracy at any time the financial position of the charity and enable us to ensure that the financial statements comply with the Charities Act 2011.
We also have a responsibility to safeguard the assets of the charity and take reasonable steps to prevent fraud or any other irregularities.
Approval
This report was approved by the trustees and signed on their behalf by:
Allan James Raw Jonathan Paul Mashinter
Date: 17 January 2026
CORNERSTONE CHURCH BRIGHOUSE
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Independent Examiner’s Report to the Trustees of Cornerstone Church Brighouse
I report to the Charity Trustees on my examination of the accounts of the charity for the year ended 31 March 2025 which consists of the statement of financial activities, balance sheet and the related notes.
Responsibilities and basis of report
As the charity’s trustees you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ('the Act').
I report in respect of my examination of the charity's accounts carried out under section 145 of the Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiners statement
The charity’s gross income exceeded £250,000 and I am qualified to undertake the examination by being a qualified member of Institute of Financial Accountants.
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination (other than that disclosed below *) which gives me cause to believe that in, any material respect:
-
the accounting records were not kept in accordance with section 130 of the Charities Act; or
-
the accounts did not accord with the accounting records; or
-
the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination.
-
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Name: Robin Murray Date: 17 January 2026
CORNERSTONE CHURCH BRIGHOUSE
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2025
| Recommended categories by activity Notes Income and endowments from: Donations and legacies 2 |
Unrestricted funds £ Restricted income funds £ Total Funds 2025 £ Total Funds 2024 £ 92,131 88,230 180,361 184,649 - 2,200 2,200 - 71,170 120 71,290 65,147 |
|---|---|
| Charitable activities 3 |
|
| Other trading activities 4 |
|
| Total | 163,301 90,550 253,851 249,796 |
| 58,889 - 58,889 49,919 95,311 80 95,392 100,039 361 7,084 7,444 323 |
|
| Expenditure on: | |
| Raising funds 5 |
|
| Charitable activities 6 |
|
| Other 8 |
|
| Total | 154,561 7,164 161,725 150,281 |
| Net income/(expenditure) Transfers between funds Net movement in funds |
8,740 83,386 92,126 99,515 (5,580) 5580 - - |
| 3,160 88,966 92,126 99,515 |
| Reconciliation of funds: Total funds brought forward Total funds carried forward |
21,303 506,637 527,940 428,425 24,463 595,603 620,066 527,940 |
CORNERSTONE CHURCH BRIGHOUSE
BALANCE SHEET
FOR THE YEAR ENDED 31 MARCH 2025
| Recommended categories by activity Notes |
Unrestricted funds £ |
Unrestricted funds £ |
Unrestricted funds £ |
Restricted income funds £ |
Restricted income funds £ |
Total Funds 2025 £ |
Total Funds 2024 £ 479,834 479,834 55,884 55,884 535,718 7,778 527,940 21,303 506,637 527,940 |
|---|---|---|---|---|---|---|---|
| funds | |||||||
| £ | |||||||
| Fixed assets | |||||||
| Tangible assets 9 |
934 | 555,665 | 556,599 | ||||
| Total fixed assets | 934 | 555,665 | 556,599 | 479,834 | |||
| Current assets | |||||||
| Cash at bank and in hand 10 |
23,529 | 39,938 | 63,467 | ||||
| Total current assets | 23,529 | 39,938 | 63,467 | ||||
| Total assets less current liabilities Creditors: amounts falling due after one year 11 |
|||||||
| 24,463 | 595,603 | 620,066 | 535,718 | ||||
| - | - | ||||||
| - | |||||||
| Total net assets or liabilities | 24,463 | 595,603 | 620,066 | 527,940 | |||
| Funds of the Charity | |||||||
| Unrestricted funds 12 |
24,463 | - | 24,463 | ||||
| Restricted income funds 12 |
- | 595,603 | 595,603 | ||||
| Total funds | 24,463 | 595,603 | 620,066 | 527,940 |
The financial statements were approved by the trustees on 23 June 2025 and signed on their behalf by:
Allan James Raw Jonathan Paul Mashinter Trustees Date : 17 January 2026
CORNERSTONE CHURCH BRIGHOUSE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
1. Accounting Policies
The principal accounting policies adopted by the Charity, which is a public benefit entity, in the preparation of the accounts are as follows.
1.1 Basis of preparation
These accounts have been prepared under the historical cost convention, as modified by the inclusion of charitable properties and fixed asset investments and investment properties at valuation.
These accounts have been prepared in accordance with “Accounting and Reporting 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 (FRS 102)” (effective 1 January 2019) - (Charities SORP (FRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Charities Act 2011.
These accounts are presented in pounds sterling and rounded to the nearest pound.
1.2 Going concern
The Trustees have prepared financial projections, taking into consideration the current economic conditions and have, at the time of approving these accounts, a reasonable expectation that the charity has adequate resources to continue in operational existence for the foreseeable future. Thus they continue to adopt the going concern basis of accounting in preparing the accounts.
1.4 Tax reclaims on donations and gifts
Gift Aid receivable is included in income when there is a valid declaration from the donor. Any Gift Aid amount recovered on a donation is considered to be part of that gift and is treated as an addition to the same fund as the initial donation unless the donor or the terms of the appeal have specified otherwise.
1.5 Other trading income
Other trading income from non-charitable sources is recognised over the period to which it relates, Any relating to future periods is deferred.
1.6 Expenditure
Expenditure is recognised when a present legal or constructive obligation exists at the balance sheet date as a result of a past event, it is probable that a transfer of economic benefits will be required to settle the obligation, and the amount can be estimated reliably. It is inclusive of VAT which cannot be recovered.
Direct costs are those costs which directly attribute to its activities. Wages and salaries are allocated to direct costs based on an estimate of time spent on charitable activities by staff members.
Support costs include staff costs and are those which do not produce a direct output. Staff costs relate to specific activities and this is reflected in the allocation of payroll costs based on the percentage of time spent.
All costs, including governance costs, are allocated between the expenditure categories of the charity on a basis designed to reflect the use of the resource. Costs relating to a particular activity are charged directly; others are apportioned on an appropriate basis.
Support costs and overheads have been calculated by allocating staff time to the level of involvement in the various activities of the Charity.
1.7 Pensions
The Charity makes contributions to defined contribution pension schemes through auto enrolment. These contributions are charged to the income and expenditure account in the year in which they become payable.
1.8 Fund accounting
Unrestricted funds are those funds which are available for use at the discretion of the Trustees in furtherance of the general objectives of the charity and which have not been designated for other purposes.
Restricted funds are funds which are to be used in accordance with specific restrictions imposed by donors or which have been raised by the charity for particular purposes.
1.9 Tangible fixed assets
Tangible fixed assets, such as land and buildings, plant, vehicles and equipment, are held to provide an on-going economic benefit to a charity through their contribution, directly or indirectly, to the provision of goods or services by the charity.
Tangible fixed assets, other than freehold land, are stated at cost or valuation less depreciation and any provision for impairment. Depreciation is provided at rates calculated to write off the cost or valuation of fixed assets, less their estimated residual value, over their expected useful lives on the following basis:
| Name | Rate (%) | Year |
Method |
|---|---|---|---|
| Freehold Land and Buildings | 0% |
||
| Plant and Equipment | 15% | Reducing Balance | |
| Fixtures and Fittings | 10% | Reducing Balance |
2. Income from Donations and Legacies
| Analysis | Unrestricted funds |
Restricted income funds |
Total funds 2025 |
Total funds 2024 |
|---|---|---|---|---|
| £ | £ | £ | £ | |
| Donation and gifts |
560 | 3,393 | 3,953 | - |
| Café Gifts non GA |
100 | |||
| General grants provided by Government/other charities |
- | 30,000 | 30,000 | 11,600 |
| Gift Aid | 17,497 | 8,477 | 25,974 | 52,718 |
| Gifts | 63,409 | 38,620 | 102,029 | 101,725 |
| Gifts - Non GA | 10,165 | - | 10,165 | 14750 |
| Gifts Non GA- New Building |
- | 7,740 | 7,740 | 3,756 |
| Legacies | 500 | - | 500 | - |
| 92,131 | 88,230 | 180,361 | 184,649 |
3. Income from Charitable Activities
| Analysis Restricted income funds Total funds 2025 Total funds 2024 £ £ £ |
|
|---|---|
| Sale of Good |
2,200 | 2,200 | |||||||||
| 2,200 | 2,200 | ||||||||||
| 4. Income from Other Trading Activities | |||||||||||
| Analysis | Unrestricted funds | Restricted income funds |
Total | funds 2025 |
|||||||
| £ | £ | £ | £ | ||||||||
| Events | - | 120 | 120 | - | |||||||
| Shop income |
71,170 | - | 71,170 | ||||||||
| 71,170 | 120 | 71,290 | |||||||||
| 5. Expenditure on Raising Funds | |||||||||||
| Analysis | |||||||||||
| £ | |||||||||||
| Cafe Food Costs | 21,453 | ||||||||||
| Cafe staff costs | 36,021 | ||||||||||
| Cafe operatingcosts | 1,415 | ||||||||||
| 58,889 | 49,919 |
6. Expenditure on Charitable Activities
| Analysis Total funds 2025 Total funds 2024 £ £ Weekend awayEvent 2,001 (631) BuildingCosts:Health & Safety 43 3,529 BuildingCosts:Telephone/Internet 618 1,228 BuildingCosts:TV Licence 174 164 BuildingCosts:Window Cleaning 2,007 70 Finance & Administration:FiEC Fees 1,476 1,399 Finance & Administration:Insurance 4,117 3,689 IT 828 1,218 Finance & Administration:Licences 1,814 2,443 Finance & Administration:Safeguarding 227 256 IT:Dues and Subscriptions 596 42 Ministry:Books/Music 1,015 669 Ministry:Speakers 113 254 Ministry:TLG Make Lunch 108 (19) Ministry:Youth Work 955 715 Rent or Lease of Buildings:The Space @ Field Lane 6,952 7,408 |
|
|---|---|
| UtilityBills | 6,462 | ||||||
| Conferences and Courses | 1,982 | ||||||
| Staff Costs:HMRC Church | - | ||||||
| Staff Costs:HMRC Cafe 139 | - | ||||||
| Staff Costs:Mobile Phone | 72 | ||||||
| Staff Costs:Pension Church | 2,922 | ||||||
| Staff Costs:Salary- Church | 41,372 | ||||||
| Ministry:CAP Team | - | ||||||
| Ministry:Giving- Individuals | 500 | ||||||
| Ministry:Giving- Organisations | 9,585 | ||||||
| Miscellaneous Costs:Presents/Gifts | 150 | ||||||
| Purchases:Stationary & Office Supplies |
|||||||
| 808 | |||||||
| Building Costs:Repair and maintenance |
|||||||
| 4,629 | |||||||
| BuildingCosts:CleaningMaterials | 402 | ||||||
| BuildingCosts:Cathedral Hygiene | 234 | ||||||
| Finance & Administration | 870 | ||||||
| Finance & Administration:Dues and Subscriptions |
|||||||
| 15 | |||||||
| Surveys and Inspections | - | ||||||
| Ministry:Events | 684 | ||||||
| Ministry | - | ||||||
| Legal/professional fees | - | ||||||
| Employee costs | 48 | ||||||
| Advertisingand marketing | 265 | ||||||
| Support Costs | 1,348 | ||||||
| 95,392 | 100,039 | ||||||
| 7. Support Costs | |||||||
| Analysis | Total funds 2025 | ||||||
| £ | |||||||
| Governance Costs | |||||||
| Finance & Administration:Accountant Fees |
|||||||
| - | |||||||
| Finance & Administration:Payroll Fees &Quickbooks |
|||||||
| - | |||||||
| Legal Fees | - | ||||||
| Accountants fees | 1,348 | ||||||
| 1,348 | 1,780 | ||||||
| 8. Other Expenditure | |||||||
| Analysis | Unrestricted funds |
Restricted income funds |
Total funds 2025 |
Total funds 2024 £ 127 - - 196 323 |
|
| £ | £ | £ | |||
| Miscellaneous Costs:Catering |
162 | 67 | 228 | ||
| Miscellaneous Costs:Transport |
48 | - | 48 | ||
| Depreciation Charge for the Year - Plant & Machinery |
126 | 4,936 | 5,062 | ||
| Depreciation Charge for the Year - Fixtures & Fittings |
25 | 2,081 | 2,106 | ||
| 361 | 7,084 | 7,444 | |||
9. Tangible Fixed Assets
| 9. Tangible Fixed Assets | |
|---|---|
| 9.1 Cost or valuation At 01 April 2024 Additions Disposals Revaluations Transfers At 31 March 2025 |
Freehold Land & Buildings Plant & Machinery Fixtures & Fittings |
| £ £ £ |
|
| 478,631 1,125 274 |
|
| 41,013 19,912 33,027 |
|
| - - - |
|
| - - - |
|
| (12,877) 12,877 - |
|
| 506,767 33,914 33.301 |
|
| 9.2 Depreciation and impairments | |
| At 01 April 2024 Charge for the year Disposals Revaluations Transfers |
- 169 27 |
| - 5,062 2106 |
|
| - - - |
|
| - - - |
|
| - - - |
| At 31 March 2025 | - | - | - | - | 5,231 2,133 |
5,231 2,133 |
5,231 2,133 |
|
|---|---|---|---|---|---|---|---|---|
| 9.3 Net book value | ||||||||
| At 01 April 2024 At 31 March 2025 |
478,631 | 956 247 |
||||||
| 506,767 | 28,683 31,168 |
|||||||
| 10. Cash at bank and in hand | ||||||||
| Total funds 2025 | Total funds 2024 | |||||||
| £ | £ | |||||||
| Buildings bank a/c | - | - | ||||||
| Outreach | - | - | ||||||
| Business Account(XXXX 3560) | 17,475 | 20,338 | ||||||
| Café Bank Account | 5,851 | 18 | ||||||
| Cafe Cash in hand | 203 | 422 | ||||||
| New Build(8368) | 39,938 | 35,106 | ||||||
| 55,884 | ||||||||
| 63,467 | ||||||||
| 11. Creditors: Amounts falling due after one | year | |||||||
| Total funds 2025 | Total funds 2024 | |||||||
| £ | £ | |||||||
| Other creditors | - | 7,778 | ||||||
| 7,778 | ||||||||
| - | ||||||||
12. Charity funds
12.1 Details of material funds held and movements during the CURRENT reporting period
| Fund names |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward £ £ £ £ £ £ 21,303 163,301 (154,561) (5580) 24,463 506,637 90,550 (7,164) 5580 - 595,603 527,940 253,851 (161,725) - - 620,066 |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward £ £ £ £ £ £ 21,303 163,301 (154,561) (5580) 24,463 506,637 90,550 (7,164) 5580 - 595,603 527,940 253,851 (161,725) - - 620,066 |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward £ £ £ £ £ £ 21,303 163,301 (154,561) (5580) 24,463 506,637 90,550 (7,164) 5580 - 595,603 527,940 253,851 (161,725) - - 620,066 |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward £ £ £ £ £ £ 21,303 163,301 (154,561) (5580) 24,463 506,637 90,550 (7,164) 5580 - 595,603 527,940 253,851 (161,725) - - 620,066 |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward £ £ £ £ £ £ 21,303 163,301 (154,561) (5580) 24,463 506,637 90,550 (7,164) 5580 - 595,603 527,940 253,851 (161,725) - - 620,066 |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward £ £ £ £ £ £ 21,303 163,301 (154,561) (5580) 24,463 506,637 90,550 (7,164) 5580 - 595,603 527,940 253,851 (161,725) - - 620,066 |
|---|---|---|---|---|---|---|
| Unrestricted funds |
||||||
| Restricted income funds |
||||||
| Total | ||||||
12.2 Details of material funds held and movements during the PREVIOUS reporting period
| Fund names |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward |
Fund balances brought forward Income Expenditure Transfers Gains and losses Fund balances carried forward |
|---|---|---|---|---|---|---|
| £ £ £ £ £ £ |
||||||
| Unrestricted funds |
||||||
| 17,087 161582 (147366) (10,000) - 21,303 |
||||||
| Restricted income funds |
||||||
| 411,338 88,214 (2915) 10,000 - 506,637 |
||||||
| Total | 428,425 249,796 (150,281) - - 527,940 |
|||||
12.3 Transfers between funds
This Year
| Amount £ Between unrestricted and restricted funds 5580 Between endowment and restricted funds - Between endowment and unrestricted funds - Last Year Amount £ Between unrestricted and restricted funds 10000 Between endowment and restricted funds - Between endowment and unrestricted funds - |
|
|---|---|
Issuer
Issuer RJM Accountants Document generated Sun, 18th Jan 2026 0:01:08 GMT Document fingerprint f5b457f42a69a7b22ca8037cf5ac2765
Parties involved with this document
Document processed
Party + Fingerprint
Mon, 19th Jan 2026 20:12:48 GMT Mr Allan James Raw - Signer (f04903fc598fe51f5c8c3ee375ee302a) Mon, 19th Jan 2026 21:55:24 GMT Mr Jonathan Paul Mashinter - Signer (7a524e50aa3868b55aca6c574c52f7e0) Mon, 19th Jan 2026 22:37:14 GMT Robin Murray - Signer (98be9ec25cd157fbd58cca3656eb510a)
Audit history log
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Sun, 18th Jan 2026 0:01:08 GMT Sun, 18th Jan 2026 0:01:08 GMT Sun, 18th Jan 2026 0:01:08 GMT Sun, 18th Jan 2026 0:01:08 GMT
Sun, 18th Jan 2026 0:01:08 GMT Sun, 18th Jan 2026 0:01:16 GMT Sun, 18th Jan 2026 0:01:16 GMT Sun, 18th Jan 2026 0:01:17 GMT Mon, 19th Jan 2026 20:08:55 GMT Mon, 19th Jan 2026 20:10:30 GMT Mon, 19th Jan 2026 20:12:48 GMT Mon, 19th Jan 2026 20:12:48 GMT
Mon, 19th Jan 2026 20:12:49 GMT Mon, 19th Jan 2026 21:54:49 GMT Mon, 19th Jan 2026 21:55:24 GMT Mon, 19th Jan 2026 21:55:24 GMT
Envelope generated with fingerprint 889230be3757721579684aae1e4cf5b7 (18.133.63.166) Document generated with fingerprint f5b457f42a69a7b22ca8037cf5ac2765. (18.133.63.166) Mr Allan James Raw has been assigned to this envelope. (18.133.63.166) Mr Jonathan Paul Mashinter has been assigned to this envelope. (18.133.63.166) Robin Murray has been assigned to this envelope. (18.133.63.166) Envelope generated Sent the envelope to Mr Allan James Raw for signing Document emailed to party email Mr Allan James Raw viewed the envelope (86.177.57.157) Mr Allan James Raw viewed the envelope (86.177.57.157) Mr Allan James Raw signed the envelope (86.177.57.157) Sent the envelope to Mr Jonathan Paul Mashinter for signing (86.177.57.157)
Document emailed to party email Mr Jonathan Paul Mashinter viewed the envelope (172.226.183.68) Mr Jonathan Paul Mashinter signed the envelope (172.226.183.68) Sent the envelope to Robin Murray for signing (172.226.183.68)
Mon, 19th Jan 2026 21:55:25 GMT Mon, 19th Jan 2026 22:36:37 GMT Mon, 19th Jan 2026 22:37:14 GMT Mon, 19th Jan 2026 22:37:14 GMT Mon, 19th Jan 2026 22:37:14 GMT Mon, 19th Jan 2026 22:37:14 GMT Mon, 19th Jan 2026 22:37:14 GMT Mon, 19th Jan 2026 22:37:14 GMT
Document emailed to party email Robin Murray viewed the envelope (87.115.91.181) Robin Murray signed the envelope (87.115.91.181) This envelope has been signed by all parties (87.115.91.181) Signed document confirmation emailed to party email (87.115.91.181) Signed document confirmation emailed to party email (87.115.91.181) Signed document confirmation emailed to party email (87.115.91.181) Signed document confirmation emails have been sent to all parties. Document URL:
https://api.signable.app/shareable/envelope?t=e645dc47-43d3-4c00-8e2c7ca618e0a73a (87.115.91.181)