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2022-12-31-accounts

THE MICHAEL CHURCH OF THE GENERAL CHURCH OF THE NEW JERUSALEM

Registered Charity Number: 1198712

Trustees’ Annual Report for the financial year end: 31[st] December 2022

Annual Report – Page 2 of 5

THE MICHAEL CHURCH OF THE GENERAL CHURCH OF THE NEW JERUSALEM

ADDRESS: 131 Burton Road, Stockwell, London, SW9 6TG

Objectives and Activities

The Michael Church of the General Church of the New Jerusalem (the ‘Society’) is committed to the advancement of the Christian religion of the New Jerusalem according to the acknowledged Word of the Lord and according to The Order and Organization of the General Church of the New Jerusalem. It aims to advance education in accordance to its religious principles.

The Society has regard to the Commission’s guidance on public benefit. It strives to connect God and spiritual life to people’s daily life and decisions by teaching the acknowledged threefold Word of the Lord (the Old and New Testaments and the Theological Writings of Emanuel Swedenborg) and supporting individual spiritual growth by connecting people with others on their spiritual journeys. This is achieved through worship, learning about the three-fold Word, provision of pastoral care and outreach work.

To facilitate these uses, the Society aims to maintain and develop the fabric of the Michael Church building on Burton Road in London.

Achievements and Performance

The Society revised its Constitution and adopted it at its Annual General Meeting held on 30[th] March 2022. This enabled the Society to be registered as a Charity in April 2022.

As the threat of Covid diminished, we returned to weekly in-person worship services at Michael Church. We continue to live-stream these services of worship for the wider community and those who are unable to attend church in person. Some audio-visual equipment to improve this service was purchased and installed during the year and it is hoped to make further improvements to this important facility in the year ahead. As ever, the contribution of the musicians to these worship services is vital and deeply appreciated.

The Feast and Friendship worship services, which take place once a month, are proving successful. The Pastor and his wife provide some food and encourage participants to bring their own so as to eat a meal together after worship and serve the local community.

The Pastor holds classes for reading groups regularly and is able to reach people otherwise isolated by holding these via Zoom. They are small groups but have been a great avenue to bring a sense of community and to share the sphere of the Word and church.

Annual Report – Page 3 of 5

The Board has met regularly and, as part of its business, is working on a renovation project for the kitchen and toilet facilities of the church building.

Our Designated Safeguarding Lead (DSL) for the General Church Council is a member of the Society and liaises with ‘31:8’ (a reference to a verse in Proverbs), an organisation which specifically serves churches. She continues to process DBS checks to support our education functions and our work with young people. She and her deputy have updated their training and organised and monitored the training of our educators across the UK. She emphasises at all times that it is up to all of us, each member, to keep in mind the safeguarding of the young people and vulnerable adults at our church and reminds us to bring her or her deputy any concerns we may have.

The Young People’s Weekends, All Age Weekends and the annual British Academy Summer School continue to serve young people and adults across the world, educating them in the three-fold Word and encouraging them in their individual spiritual journeys.

The membership and friends of the Society are recorded as follows:

Membership Roll
Friends/Young People 21 and over
Young people 15-20
Children
Total
2022
24
39
4
8
75
2021
2020
22
22
39
38
7
5
10
13
78
78

Financial Review

The Charity is in a good financial position at the end of 2022, despite a deficit of £12,850 due to one-time building works and reductions in financial returns on investments related to the Covid pandemic, which is not expected to be repeated to the same extent in future years (a surplus of £62,695 had been recorded in 2021), and assets of £889,612 including cash reserves of £119,325.

Reserves are held in order to balance variations in operating expenses, particularly related to occasional building renovations. The current level of reserves is further inflated due to a soonto-be initiated major building refurbishment program estimated to cost £50,000.

Michael Church has only two funds, a General fund with £95,641 cash reserves and the Pastor's Discretionary Fund (a restricted fund for social/evangelisation purposes) with £23,684 which are both in credit.

There are no financial reasons why the Charity cannot maintain its uses and purposes for many years to come.

Annual Report – Page 4 of 5

Structure, Governance and Management

The Michael Church of the General Church of the New Jerusalem (the ‘Society’) has as its governing document, its Constitution.

Society Membership:

There is a Roll of Members maintained by the Secretary.

Composition of the Finance Board:

a) The Finance Board shall consist of the Pastor, the Secretary, the Treasurer, and six other members of the Society nominated from the floor and elected at the Annual General Meeting. b) The Finance Board shall have power to co-opt not more than two (2) Members to serve on the Committee until the next Annual General Meeting.

c) No person shall be entitled to act as a trustee of the Finance Board whether on a first or any subsequent entry into office until after signing a declaration of acceptance and of a willingness to act in the interests of the Society.

D. The proceedings of the Finance Board shall not be invalidated by any vacancy among their number or by any failure to appoint or any defect in the appointment or qualification of a trustee.

Determination of membership of Finance Board:

A trustee of the Finance Board shall cease to hold office if he or she:

Reference and Administrative details

Annual Report – Page 5 of 5

THE MICHAEL CHURCH OF THE GENERAL CHURCH OF THE NEW JERUSALEM

Registered Charity Number: 1198712

131 Burton Road, Stockwell, London, SW9 6TG

The Board of the Society meets at least three times per year. The Pastor of the Society is an ex officio member of the Board and presides at all meetings of the Board or appoints a member of the board as chair.

The membership of the Board is as follows:

The membership of the Board is as follows:
Name Role Date of appointment
Rev Grant Odhner Ex Officio, Chair 30 June 2021
Oula Williams Trustee 20 April 2023
Nancy Warwick Trustee 15 March 2016
Gweirydd Williams Trustee 15 March 2015
Rev Fred Elphick Trustee 12 March 2015
Andrew Bruell Trustee, Treasurer 22 March 2002
Stephen Elphick Trustee, Secretary 14 March 1999
Greg Warwick Trustee, Maintenance 12 March 1996
Inspector

Michael Church Society of the General Church of the New No 1198712 Jerusalem

Receipts and payments accounts

For the period
from
Period start date
1st January2022
To Period end date
31st December 2022
Section A Receipts and payments Section A Receipts and payments
A1 Receipts
Subscriptions, Donations & Offertories
Interest, Dividends & Refunds
Refunds of Tax (Gift Aid etc.)
Bank Interest
Gyllenhaal Fund Interest
Property Maintenance Fund Grant
General Church Council (Open Road Contrib
Glanvill Bequest (Pastoral Grant)
General Church - Payments Received.
Pub Night Fund (Social Donations)
Unrestricted
funds
to the nearest £
Restricted
funds
to the nearest £
Endowment
funds
to the nearest £
Total funds
to the nearest £
Last year
to the nearest £
8,561 - - 8,561 71,751
33,323 - - 33,323 29,012
1,491 - - 1,491 974
26 26 32
3,038 3,038 2,649
3,478 3,478 3,045
u13,000 - - 13,000 13,000
6,500 - - 6,500 6,500
9,730 - - 9,730 9,730
4,272 - 4,272 4,249
Council Tax Contributions (Michael Church F
Sub total(Gross income for AR)
l910 - - 910 560
80,057 4,272 - 84,329 141,502
A2 Asset and investment sales, (see
table).
- - - - -
Sub total - - - - -
Total receipts
A3 Payments
80,057 4,272 - 84,329 141,502
Contributions to Pastoral Office
Grants toPastoral Expenses
67,824 - - 67,824 56,634
238 238 778
Michael Church Building Expenses
Gas 664 - - 664 608
Electricity 5,713 - - 5,713 1,994
Water 547 - - 547 475
Telephone 719 - - 719 656
Insurance 1,581 - - 1,581 1,545
Council Tax(Flat) 952 - - 952 1,055
Cleaning - - - - -
FacilitiesImprovements 4,071 - - 4,071 5,112
Maintenance 2,420 - - 2,420 2,521
Church Materials 218 - - 218 80
Other Uses
Gifts (June19thetc) - - - - 28
PubNightFundExpenses 1,482 - 1,482 -
Professional Fees 1,423 1,423 1,650
Manse Expenses
Insurance 533 533 464
Council Tax - - 1,181
Phone 301 301 150
Maintenance &Improvements 8,493 8,493 3,875
- - - - -
- - - - -
**Sub total ** 95,697 1,482 - 97,179 78,806
A4 Asset and investment purchases,
(see table)
- - - -
- - - -
**Sub total ** - - - - -
Total payments
Net of receipts/(payments)
A5 Transfers between funds
A6 Cash funds last year end
Cash funds this year end
95,697 1,482 - 97,179 78,806
- 15,640 2,790 - - 12,850 62,695
- - - - -
- - - - -
- 15,640 2,790 - - 12,850 62,695
Section B Statement of assets and liabilities at the end of the period Section B Statement of assets and liabilities at the end of the period Section B Statement of assets and liabilities at the end of the period Section B Statement of assets and liabilities at the end of the period Endowment
funds
to nearest £
-
-
-
-
OK
Endowment
funds
to nearest £
-
Current value
(optional)
235,956
34,030
92,703
123,589
183,717
168,938
Current value
(optional)
-
-
When due
(optional)
Date of
approval
26/10/2023
Categories
B2 Other monetary assets
B5 Liabilities
Signed by one or two trustees on behalf of all
the trustees
B3 Investment assets
B4 Assets retained for the charity’s
own use
B1 Cash funds
Details Unrestricted
funds
to nearest £
Restricted funds
to nearest £
Natwest Current Account 85,641 - -
Natwest Current Account (Pastor's
Discretionary Fund)
- 23,684 -
Virgin Savings Account 10,000 - -
Total cash funds
(agree balances with receipts and payments
account(s))
Details
95,641 23,684 -
Agreement Error Agreement Error
Unrestricted
funds
to nearest £
Restricted funds
to nearest £
None - - -
Details Fund to which
asset belongs
Cost (optional)
a) Charity Equity Fund General Fund 136,326 235,956
b) M&G Charibond Unit Trusts General Fund 38,871 34,030
c) Sarasin Alpha CIF units General Fund 106,567 92,703
d) Premier Global Infrastructure General Fund 140,000 123,589
e) Mayfair Property ITC General Fund 205,038 183,717
f) Edentree Global Equity General Fund 159,426 168,938
Details Fund to which
asset belongs
Cost (optional)

Michael Church Building
General Fund - -
1/3 share of Manse General Fund - -
Details Fund to which
liability relates
Amount due (optional)
None -

Signature
Print Name
1

CCXX R1 accounts (SS)

LJROSE A C C O U N T l N G T.. 01206 231647 E.infofoljrose.etsuk www.ljr05e&tcounting.¢fyuk THE MICHAELCHURCH SOCIETY OF THE GENERAL CHURCH OFTHE NEWJERUSALEM INDEPENDENT ÉXAMINERS REPORT TO THE TRUSTEES Please find below the report by L J Rose Accounting on the account of the society for the year ended 31" December 2022. RESPEcfivE RESPONSIBILITIES OF TRTUSTEES AND EXAMINER The Charities trustees are re5pon5ible for the preparation of the accounts. The charities trustees consider that an audit Is not required lor thi5 year lunder section 431211 ol the Charities Act 1993 and that an Independent examination 15 needed. It is my re5ponsibillty to Examine the accounts lunder section 4313llall of the 1993 Act to follow the procedures laid down In the general directions given by the charities commlssioners (under section 4317llbll of the 1993 Act to state whether any matters have come to my attentlon. 8ASIS OF INDEPENOENT EXAMINERS REPORT L l Rose Accountlng's examination w35 carried out in accordance with the general dlrections given bv the charltles commissioncrs. The cxaminarion Included a roview of the accountlng records kept bv the charity and a comparison of the accounis presented within the records. Thls Includod COll5ideratlon of any usual items of d15closures In the accounts and 5eeklng explanatlons from trusiees concernin8 these potential matters. These procedure5 undertaken do not provide all the evidence that it would require an audit. Consequently, we do not express an audit opinion on the a¢ctsunts. INDEPENDENT EXAMINERSSTATEMENT In CLinnecrion wlth the examination of accounts undertaken no rnatters has come to our attention. This 8ives us reasonable cause to believe that in any materlal respect the requlrements.. To keep accounting record5 in accordance with 5èCtlon 41 of the 1993 Act and.. To prepare accounts which accord with the accountin8 records and comply with the a¢¢ountsn8 Tecords and.. To comply with the accounting requirements of the 1993 Act have been met or.. To which in my opinion. attention should be drawn in order to enable a proper under5tandin8 of the accounts to be reached. Llsa Rose L J Rose Accountlng Ltd 9 Park Lane Buslness Centre, Langham, Essex . C04 5WR