CHARrrABLE INCORPORATED NUMBEIL. 1199211
REPORT OF THE TRU5fEES AND
FINANaAL STATEMEKfs FOR THE PERIOD ENDED 31 DECEMBER 2023
BURY ￿REEr
MMUNrrY CHURCH
coNrENtS OF THE FINANCIAL ￿ATEME
Reference and Administrative Detsils
Report of the Trustees
3to6
Independent Ex•minefS Report
Statement of Financial Activities
8alance Sheet
Cash Flow Ststement
io
Notes to the Flnan¢ial Statements
llto15
11 Page

RY sIRE￿c
MMUNtTY
REFERENCE AND ADMINISTRATIVE DEfAIiS
Chrltable Inc(wporated number
1199211
Prlnclpal address
Bury Street Community Church
339 Bury Street West
London N9 9JW
Indewdent Examlner
AP Whitehead ACA
34 Illin8WOrth Way
Enfield ENI 2PA
Bank•rs
NatWe5t
21 Gentleman's Walk
NorwKh NR2 INA
As$4Klall
Fellowship of Independent Evangelical Churches
41 The Point,
Market Harborough LE16 7QU

BURY STREET COMMUP41TY CHUftCH
REPORT OF THE TRU
for the
Ended 31
mber 202
The trustees present their report with the financial statements for the year to 31
December 2023. The trustees have adopted the provisions of Accounting and
Reporting by Charities.. Statement of Recommended Practice applicable to charities
preparing their accounts in accordance Wbth the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021 {effective l January 2019).
CONsnTUTION
A group of Christians from Enfield Town Comrnunty Church IETCCI started meeting
together in Bury Street in 2017. In June 2022 Bury Street Community Church 1.the
Church) was registered with the Charity Commission as an independent Church and
charity. The activities of Bury Street Community Church transferred from ETCC to the
Church In July 2022.
The Church is govemed by a constitution established in 2018.
PRINCIPAL AcfiviTY
The principal activity of the Church in the year under review was the advancement of
the Christian faith in accordance with the Basis of Faith primarily but not exclusivelv
within the London Borough of Enfield and the surrounding neighbourhood,. and such
other charitable purposes as shall. in the opinion of the members of the Church in
general meetin8. Put into practice the Christian faith in accordance with the 8a5is of
Faith, includin8 but not limited to: the prevention and relief of need, hardship and
sickness and the advancement of education.. The Church a150 provides facilities for
the local community.
The Church holds regular Sunday ser¥ices and weekly artivities and to grow a5 God's
people, in order to go and make Jesus known to those around us.
APKIINTMENT OF OFFICIALS
Nominations for a new Elder may be made at any time by the body of Elders. The
nomination requires the approval of the Church meeting with a minimum threshold
of 75% of those voting. An Elder shall be appointed for five years and shall then be
ellgible for re*leCti(￿.
Deacons may be appointed by the Elders. They have no f￿ed terrn but are reviewed
annually. At present there are no deacons appointed.
The Church Secretsry is responsible for the induction of any new elder which involves
•n awareness of the responsibilities of the position. the governing document, and the
Church's poly and procedures.

RY STRE
MMUNITY
THE TRUSTEE
mber 2023
REVIEW OF THE YEAR
Dougie Affleck was the Pastor of the Church since September 2017 until March 2023.
On Sundays and during the week, age related activities for children were also
provided. The Church also provided a Mum5 and Tots group. and women's and Men'5
study group. All these activitie5 were open to the general public. The Church
continued to invite the public regularly by leaflet campa¥ns and knocking door to
door. Over the year. Sunday morning attendan¢e5 have genernlly been between 40
and 60.
The Church continued to supp(Kt our mi55ionary family in VafiOUS part5 of the UK and
abroad.
FitruRE AcrivrriES
It is the intention of the Eldefs to Continue the principal activities as set out above.
RELATED PARTY TRANSAcfioNS
There were no transactions with related partie5 during the year.

BURY sfREEf COMMUNtTY CHURCH
REPORT OF THE TRUSTEES
lor the
rlod ended 31 Dec
r202
FINANCIAL posmoN
The Church made a surplus on unrestricted funds of £45,65812022: £14,492). The
surplus Included a transfer of funds from Enfield Town Community Church 1￿ccI of
£13,144 to provide initial workn'ng capitsl for the Church
ETCC provided a grft of £IO.OLM) in June 2022 and continued to receive donations
1£18.380) towards the work ofthe Church after June 2022 and used these funds
1£19.6871 to meet some of the Church's expenses transferring the remaining balance
of £13,144 in 2023.
RESÉRVES POUCY
The objective is that the reserves of the Church are sufficient to fund the activities for
three months. At 31 December 2023 the reserves are sufficient to fund the actlvlties
of the Church for six months based on the costs budgeted for 2024, once 3 new
Pastor has been appointed.
RISK MANAGEMENT
The elders have conducted a review of the major risks to which the church V￿ul￿ be
exposed and systems are being implemented to rniti'gate those risks where possible.
The ri5k5 and systems will be regularly reviewed.
ELDERS AND OFFICIALS
The eldeT5 and officials in office during the year were a5 follows'.-
Dougie Affleck (until March 20231
Ni8el Williams
Veeman Masillamany
vOLu￿EERs
The Church's artNlties refy on the commitment of large number of volunteers. The
Church fecognises the contribution that the volunteers make in the sustaining of its
artivitie5.
TRUSTEES RESPON5181LmES
Charity law requires the trustees to prepare financial statements for each financial
year, which give a true and fair view of the state of affairs of the Church and of its
financial artivities for that period. In preparir8 those financial statements the elder5
and officials are required to:
lal sdect suitable accounting policies and then apply them consistently;
Ibl make judgements and estimates that are reasonable and Prudent;

Icl state whether the polKies adopted are in accordance with SORP 21X)5 and with
applicable accounting standards, subject to any material departure5 disclosed and
explained in the financial statements;
Idl prepare the financial statements on the 8oin8 contem basis unless it IS
inappropriate to assurne that the Church will continue.
The elders and deacons are responsible for keeping accounting records vthich disck)se
with reasonable accuracy the financial positTron of the Church and to enable them to
astertain that the financial statements compty with the Charities Act 1993. They are
also responsible for safeguarding the assets of the Church and hence for taking
reasonable steps for the prevention and detection of fraud or other irregularities.
Signed on behalf of the Trustees
N Wllliams
22 Ortober 2024
61Page

REPORT OF THE INDEPENDENT EXAMINER TO THE TRUSTEES OF
BURY STREET COMMUNrrY CHURCH
I report on the accounts of the Church for the period ended 31 December 2023. which are set out
on pages 7 to 14.
Respectlve responslbllltles of trustees and examlner
The Church's trustees are responsible for the preparation of the accounts. The Church's trustees
consider that an audit is not required for this year (under section 43121 of the Charlties Act 1993
(the 1993 Act)) and that an independent examination is needed.
It 15 my responsibility to:
exarnine the accounts (under section 4313}lal of the 1993 Act);
to follow the procedures laid down in the General Directh?ns given by the Charlty
Commi￿lOnerS (under section 4317llb) of the 1993 Act); and
to state whether particular matters have come to my attention.
Basls of Independent •xamlnerfs rep¢xl
My examination VAS Carried out in •ccordan¢e with the General Directions given by the Charity
Comrni55ioner5. An examination include5 a review of the accounting records kept by the charity
and a comparison of the accounts presented with those records. It also includes consideration of
any unusual items or disclosures in the accounts and seekin8 explanations from you as trustees
concerning any such matters. The procedures undertaken do not provide all the evidence that
would be required in an audit, and consequently I do not expréss •n audit opinion on the view glven
by the accounts.
Independent examlnees stat•nent
In connertion with my examination, no mattef h45 Come to my attention:
{11 which gives me reasonable cause to belleve that in any material respert the requirements
to keep attounting records in accordance with section 41 of the 1993 Act,. and
to prepare accounts which accord with the accounting records and ¢omply with the
accounting requirements of the 1993 Act have not been met; or
121 to vthich, in my opinion, attention should be drawn in order to enable a proper understanding
of the accounts to be reached.
AP Whitehead ACA
34 Illin8WOrth Way
Enfield
Middlesex ENI 2PA
22 October 2024

URY STREEr
MM
NITY
ATEMENT
F FINAN
IAL A￿NITIE
En
31 Decem
Unrest.
Totsl
2023
Unrest.
Restrlcted
nds
Total
2022
17 nKbnths)
funds
funds
fvnds
Donations and I
Glft from ETCC
Investments
Charitable activitle5
Total Income
acies
70,405
13,144
152
4,262
81,963
2,510
72,915
13,144
152
4.262
.473
24,797
iO,OCK)
24,797
iO,L
2,510
34,797
34,797
Church artlvltles
Totsl expendlture
42,305
2,490
2,49)
44,795
20.305
20,305
20,305
Net Inctyne for the
45.658
45,678
14,492
14,492
Transfers between funds
Net mthiement In fufftds
Total funds bro4ht
forward
Total fvnds carrl•d
f0Th4ard
6301
45,028
14.492
630
650
45,678
14,492
14.492
14.492
S9￿20
60.170
14N92
14N92
CONTINUING OPERATIONS
All Income and expenditure has arisen frorn continuin8 actmties.
The notes on pa8e$ 11-15 form part of these financial statements.
81 Page

BURY sfREET COMMuf4rrY CHURCH
BALANCE SHEET
At 31 December 2
Notes
2023
2022
17 months)
H¥ed assets
Tan
ible assets
Current assets
Debtors
Cash at bank and in hand
1,912
58,258
14,492
Net current assets
60,170
14,492
Current liabilities
Total net assets
60,170
14,492
The lunds of the thail
Restrlrted
unds
650
Unrestrlrted
nds
General fund
Totsl unrestrlcted funds
59,520
59,520
14,492
14,492
Totsl fvnds
60,170
14.492
The financial statements were approved by the Board of Trustees on 26 September and were
s￿ned on its behalf by..
NIHLJJ
N Williams -Tru5tee
22 October 2024
The notes on pages 11-15 form part of these financial ststements.

BURY STREET
MM
NITY
HFL
ATEMEt
En
ber 2023
2023
2022
7 months)
Cash flows from
eratln
acilvftles
Cash
enerated from o
erats'ons
43,918
14.952
Cash flow5 from Investln acll¥liles
Interest received
152
Cha
e In cash and c8sh
ulvalents In the f
od
43,766
14,492
Cash ash
ul¥alents at the
nnln
ofther
14,492
Cash and cash e
ufvalents at the end of the r
58,258
14,492
RECONCILIATION OF NET INCOME TO NEf CASH FLOW FROM OPERATIPIG
ACTIVITIES
Net Incrfme for the reportlry pwlod from the Stat•ment of Rnandal
Artl¥ltles
ustments
Depreciation char8es
Interest received
Increase in debtors
Increase in creditor5
45,678
14.492
152
1,912
Net from
ratlng actmtjes
43,918
14892
The notes on pages 11-15 form part of these financial ststements.
101 Page

8UftY STREET COMMUNrrY CHURCH
Not
o the Flnandal Ststements
ACCoU￿1NG POLICIES
Basls of preparlng the finandal statern￿ts and assessm￿ of golng £￿(eM
The financial statements ofthe charity, which is a public benefft entity under FRS 102. have been
prepared in accordance with the CharitiesSORP IFRS 1021'Accounting and Reportin8 by Charities:
Statement of Recomrnended Prnctice applitable to charrties preparin8 their accounts in
accordance with the Financial Reporting Stsndard applicable in the UK and Republic of Ireland
IFRS 1021 leffective October 2019),, the Charities Act 2011 and the Charities Act 2011. The
financial statements have been prepared under the historical cost convention.
The trustees consider that there are no material uncertainties about the Church's ability to
continue as a going concern.
Incomlng resources
Voluntary income is received by way of donations and 8lfts and Is Included in full in the Ststement
of Financial Artivities when it is receivable. Legacies and donations are included in the Statement
of Financial Activities In the year in which they are recelved.
Donations arising undef Gfft Aid are accounted for on the date of receiptand provisions are made
for income tsx remaining unclaimed at the year end.
No value of serwces by ¥olunteers has been included in these accounts.
Expendlturè
Gifts and donètions represent amounts paid by the Church to support organi5ations with Similar
aims including the support of members of the church undertaking work in furtherance of the
gospel outside with other organisations.
Debiors
Trade and other debtors are recognised at the settlement amount. Prepayments are valued at
the amount prepaid.
Cash at bank and In hand
Cash at bank and In hand includes- cash, bank current accounts and bank deposit accounts with
no wlthdrawal Ilmitstions.
Credltors
Credbtors are recognised where the charity ha5 a present oblpaation resulting from a past event
that will result in the transfer of funds to a third party and the èmount due to settlethe obligation
an be measured or estimated reliably. Credltors are recognised at their 5ettlernent amount.
111 Page

BURY
MM
ACCOUNTING pouaES (Contlnued)
Ta￿ble fixed assets
Fixed assets for use by the Churth wtth a value of greater than £l.fth afe capitalised at cost and
depreciated. Depreck4tion is provided at the following annual rates in order to write off each
asset over its estimated useful lrfe.
Tax•ilon
The Church is exempt from tax on its charttsble activit￿$.
Fund ac(ounilni
Unrestrictedfunds
The general funds are donations and other income received or generated for the objects of the
Church without further specrfic purpose.
Restrlctedfunds
The Chrlstma5 offerlng fund re¢el¥es the proceeds of a special offering at Chr15tmas services
which Is dirtributed to good ¢au5es identlfied by the Church leadership.
The Giving to those in need fund provides financial help for church members / our mission
partners who are in flnancial diffKulties.
Nnandal Instruments
The Church only has financial assets and financial liabilities of a kind that qualfy as basic flnancial
instruments. Basic financial instruments are inrtially measured at transaction value and
subsequently measured at their settlement value.
Penslons
The Church contributes to pension schemes nominated by the staff. The contributions are
accounted for in the period in which they are recervable.
121 Page

BURY STrE￿ COMMUNrrY CHURCH
Notes to the Flnanclal Ststements
Donatlons and legacles
2023
Unie5tricted
funds
2023
Restrirted
funds
2023
Totsl
funds
2022
Unrestricted
funds
2022
Restrlrted
funds
2022
Total
funds
Regular givin8
Other donations
Giftaid
Donation from ETCC
Totsl
60.161
1,703
8,541
13.144
83.549
60,161
3,963
8,791
13,144
86.059
23.565
602
23,565
1,232
2,260
250
630
10,000
34.797
io,oc
34,797
2.510
The donatlon from ETCC Is the part of funds hekl by Enfleld Town Cornmunhty Church from the
funds that were used to establish BSCC.
Charitsble actmtles
2023
Uniestrlcted
funds
2023
Restdcted
funds
2023
Total
funds
2022
Unrestrlcted
funds
2022
2022
Total
fvnds
funds
Staff costs
Premises costs
Other costs
Ex
endlture Totsl
10.255
23,451
8,599
42.305
10.255
23,451
11.089
44,795
9.879
9,228
1,198
20,305
9,879
9,,228
1,198
20,305
2,490
2,490
Trustees remuneratlon and benefits
Remuneration during the year wès paid to one trustee
Dougie Affleck. totsllin8 £9.685 in
respert of his employment as Pastor of the Church. Dou8ie recewed no remuneration for hls
involvement as a trustee. No other benefrts were received. or expenses reimbursed by trustees
during the period ended 31 December 202312022 Nill.
Staff costs
2023
Unrestrfcted
funds
2023
Restrlcted
funds
2023
Total
fvnds
2022
Unre5trfcted
funds
2022
Restrlcted
nds
2022
Total
funds
Wages and
salaries
National insurance
Pension costs
Totsl
9.685
9.685
15,888
15,888
1,659
1,192
1&739
1,659
1,192
18,739
570
10355
570
10,255
The remuneration is that paid to the Pastor, C*)ugie Affleck who left during 2023. Prior to I
September 2022 the Pastor was rernunerated by ETCC.
The average number of employees during the year was as follows:
2023
No.
2022
No.
Pastor
131 Page

BURY
EET
MM
Nrry
eFln
ents
6. Debto
2023
2022
Other debtors
Total
Gtft aid receivable)
1,912
Movement In fvnds
Balance at
l January
Inc(#ne
Expendlture
Transfers
Balance
at31
()ecember
2023
Unre5trlrted
General fund
Totsl unrestrlcted funds
14.492
87.963
42.305
630
Restrlrted
nds
Christmas offerin
Givi
to those in need
Totsl resiwlcted funds
1,160
1.350
2,510
11.1401
1,350
(2.490)
630
650
630
650
Totsl
14,492
90,473
44,795
60,170
2022
Unrestrlrted
General fund
Totsl unrestrlcted funds
34,797
34,797
14,492
20,305
Restrfrted
nds
Givin
to those in need
Total restrlcted funds
Totsl
34,797
20.305)
14,492
The General Fund is donations and other income received or generated for the objerts of the
Church without further specifK purpose.
The Christmas offering fvnd receives the proceeds of a special offering at Christmas services
which is distributed to good causes identified by the Church leadership.
The Chur¢h estsblished a fund which provides finan¢ial help for thurch members l our mission
partner5 who are in financbal difficulties.
141 Page

BURY STrEEf COMMUNITY CHURCH
Notes to the Flnanclal Ststements
Net assets by fund
Cash at
bank
and In
hand
Other net
currenl
Balance
2023
UnrestTlrted
General fund
Totsl unrestrlcted fvnds
nds
57.608
57,608
1,912
1,912
59.520
59,520
Giving to those in need
Totsl restrlcted funds
650
650
650
650
Total
5&258
L912
60,170
2022
Unrestrlrted
General fund
Total unrestylcted fvnds
unds
34,797
34797
120.3051
{10,305)
14,492
14,492
Total restrlcted funds
Tot•1
34797
20,305
14,492
9. Enfleld Town Communlty Chuith
The Church was stsrted by Christiansfrom Enfield Town Community Church (Efcci meeting
together in Bury Street in 2017. In June 2022 Bury Street Community Church 1.the Church) was
registered with the Charrty Cornmi55ion as an independent Church and charity. The activities of
Bury Street Community Church transferred from ￿Cc to the Church in July 2022.
some income {£18,3801 continued to be received into the accounts of Enfield Town Community
Church and this was Used to pay Bury Street expenses1£19.6871. The net income was added to
the designated fund and the balance of £13.144 was transferred to the Church in 2023.
151 Page