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2023-12-31-accounts

Trustees' Annual Report for the period

Period start date Period end date 1[st] January 2023 31[st] December 2023 To

From

Section A Reference and administration details

Charity name

Aintree Baptist Church

Other names charity is known by Registered charity number (if any) 1198165

Charity's principal address 96 Longmoor Lane

Aintree Liverpool Postcode L9 0EF

Names of the charity trustees who manage the charity

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Trustee name Office (if any) Dates acted if not for whole
year
Name of person (or body) entitled
to appoint trustee (ifany)
Rev. G Bentley Minister
Mr A Pevely Deacon
Mrs A Pevely Deacon
Mrs S Sillifant Deacon
Mrs B Bresnahan Deacon
Mrs P Copland Secretary
Mrs J Beazley Deacon
Mrs L Jones Deacon April 2023
Mrs J McGowan Deacon April 2023
Mr G Harrison Deacon April 2023
Names of the trustees for the charity, if any, (for example, any custodian trustees)
Name Dates acted if not for whole year

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Names and addresses of advisers (Optional information)

Type of adviser Name
Address
Name
Address
Name of chief executive or names of senior staff members (Optional information)

Section B Structure, governance and management

Description of the charity’s trusts

Constitution Type of governing document (eg. trust deed, constitution) (C.I.O) How the charity is constituted (eg. trust, association, company) Elected by church members Trustee selection methods

Additional governance issues (Optional information)

You may choose to include additional information, where relevant, about:

Section C Objectives and activities

Summary of the objects of the charity set out in its governing document

In fulfilling the purpose, the church will engage in a range of activities either on its own or with others in the community. This will vary from time to time with activities being initiated, expanded or closed as appropriate. (see section 5.1 in the constitution)

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Activities undertaken:-

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)

Additional details of objectives and activities (Optional information)

You may choose to include further statements, where relevant, about:

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Section D Achievements and performance

Summary of the main achievements of the charity during the year

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Section E Financial review

All charity reserves are put back into the charity

Brief statement of the charity’s policy on reserves

Details of any funds materially in deficit

N/A

Further financial review details (Optional information)

You may choose to include additional information, where relevant about:

Please see attached accounts for 2023

Main income come via personal giving Home Mission Grants and Letting our premises

Expenditure

As seen on the account

Section F Other optional information

Section G Declaration

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)

Miss Pauline Copland Full name(s) Rev G Bentley Position (eg Secretary, Chair, Minister/Treasurer Secretary etc) Date

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Aintree Baptist Church Aintree Baptist Church Aintree Baptist Church Aintree Baptist Church Aintree Baptist Church Aintree Baptist Church
Accounts for 2023
Year End Accounts
Balance Brought forward 19,513.01
£
RECEIPTS
Plate Ofering
GASDS 4,655.26
6,568.75
£
20,225.00
£
NON-GASDS
Gif Aid receipts 31,449.01
£
HMRC Receipts 8,983.21
£
Other Income 104.40
£
Letngs 4,390.26
£
Donaton for Mission Causes 40.00
£
Home Mission Grant 12,000.04
£
Transfer from Deposit Account -
£
Social Events -
£
BMS Birthday Scheme 250.00
£
Building Fund 24,530.00
£
Total Receipts 81,746.92
£
Total Income 101,259.93
£
PAYMENTS Page 2

Notes

Page 2 Notes

Notes
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PAYMENTS Page 2
Cost of Ministry
Stpend 26,499.96
£
7,134.00
£
3,027.00
£
-
£
634.50
£
2,767.90
£
-
£
Housing Allowance
Pension Fund
NI
Minister's expenses
Manse Expenses
Visitng Speakers 40,063.36
£
Insurances 1,776.65
£
Premises 1,646.63
£
-
£
2,470.00
£
Legal Fees CIO Set up
New Buildings Costs
Church Utlites
Gas/Water/Electric 1,861.65
£
1,861.65
£
~~Gas Services~~ ~~-~~
~~£~~
Bank Transfer to Deposit Account -
£
Mission
Home Mission 360.00
£
300.00
£
-
£
-
£
80.34
£
-
£
-
£
404.25
£
BMS
School's ministry
Messy Church
Youth & Children
Socials/Festvals
Toddlers Group
Website
World Vision 353.60
£
1,498.19
£
Other
Statonary/printng 119.88
£
252.15
£
190.31
£
Fellowship needs
Equipment 562.34
£
Subscriptons
(BU,NWBA,Free Church, CCLI) 946.50
£
Misc. Expenditure 237.00
£
Total Monthly Expenditure 51,062.32
£
Balance Carried forward 50,197.61
£
PLEASE NOTE: Net Designated Giving to building fund 36,396.20
£
31/12/23 Deposit account Balance 7,335.98
£
HMRC Tax Refund 1,047.54
£
Total Balance 22,184.93
£
Total Monthly Expenditure 51,062.32
£
Balance Carried forward 50,197.61
£
PLEASE NOTE: Net Designated Giving to building fund 36,396.20
£
31/12/23 Deposit account Balance 7,335.98
£
HMRC Tax Refund 1,047.54
£
Total Balance 22,184.93
£

Depost Account Held with the Baptst Union (see atached statement)

Church Deposit Account
01/01/2023
Interest Received
Balance
31/12/2023
7,124.18
£
211.80
£
7,335.98
£

NOTES TO ACCOUNTS

RECEIPTS
1 Letngs
Healthiness Lung & asthma £ 595.00
ACAL £ 1,360.00
First Class learning £ 1,120.00
Slimmers World £ 1,167.00
ILD Nurses £ 74.00
Park Group £ 74.26
£ 4,390.26
2 Building Fund
Fords Motor Company £ 800.00
Gif Day £ 3,300.00
General Giving £ 130.00
Personal Donatons £ 20,300.00
£ 24,530.00
NOTES TO ACCOUNTS NOTES TO ACCOUNTS
PAYMENTS
3 Cost of Ministry
Gross Stpend £ 26,499.96
Housing Allowance £ 7,134.00
Pension - Churches Share £ 3,027.00
£ 36,660.96
4 Minister's Expenses
Travel & Materials £ 274.50
Telephone £ 360.00
£ 634.50
5 Manse Expenses
Council Tax £ 2,030.95
Water Rates £ 433.33
Manse Insurance £ 303.62
£ 2,767.90
6 Premises
Roach Roofng £ 350.00
Celtc Fire £ 72.90
P McGowan TV Brackets £ 73.98
Shorrock - Bins £ 214.87
Key Fobs for Shuter £ 140.00
Skips £ 470.40
Rentokil £ 270.00
J Higham - Filter Kit £ 54.48
£ 1,646.63
7 Church Utlites
Gas/Water/Electric £ 1,861.65
£ 1,861.65
8 Subscriptons
Data Developments - Finance £ 75.00
Baptst Union Subs £ 144.20
DDC - Ministers Safeguarding £ 38.00
Songpro £ 80.00
CCLI £ 584.30
Free Church Council £ 25.00
£ 946.50

£ 946.50

Songpro £ 80.00 CCLI £ 584.30 Free Church Council £ 25.00

AINTREE BAPTIST CHURCH
ASSETS AND LIABILITIES AT 31ST DECEMBER 2023
Monetary Assets:-
Cash Funds - Bank Current Account £ 50,197.61
Deposit with Baptst union £ 7,335.98
£ 57,533.59
Other: Tax recoverable under Gif aid/GASDS £ 1,047.54
Oferings not banked Chq No. 819 £ 620.00
£ 1,667.54
Non Monetary Assets (at Insurance Valuaton)
Church Building £ 1,288,165.00
` Contents £ 36,631.00
£ 1,324,796.00
Total Assets £ 1,383,997.13
Liabilites
Chqs uncleared through bank 910 £ 1,078.12
972 £ 350.00
Total Liabilites £ 1,428.12
New Building Fund Account
Balance B/F £ 14,336.20
Receipts Received Gif Aid £ 1,150.00
GASDS £ 2,400.00
Non-Gif Aid £ 20,980.00
Tax reclaimed on Gif Aid
Receipts received in 2023 £ 24,530.00
Total Receipts £ 38,866.20
Payments Made £ 2,470.00
Balance C/F £ 36,396.20
Tax reclaimed on Gif Aid
Receipts received in 2023
Total Receipts
Payments Made
Balance C/F
24,530.00
£
38,866.20
£
2,470.00
£
36,396.20
£

Approved by the Trustees of Aintree Baptist Church on:

and signed on their behalf by Rev Geoff Bentley (Minister and Treasurer)

Signed[G Bentley] 1/25/2024 Checked and verified by independent examiner on 02/05/2024