CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From 1 April 2024
To 31 ljlarch 2025
Charity name: Stsep Turnpike Evangellcal Church
Charity registration number: 1203884
Objectives and Activities
SORP referenr
Summary of the purposes of
the charity as set out in Its
goveming d0￿ment
P*ra 117
The advancement of the Christian failh in
accordance with the charity's Doctrinal
Basis pnmarily In Matlock, Derbyshire and
the surrounding area
Regular public Christian worship.
Bible study discussion groups providing
learning forum regarding Chrislianity.
A weekly activity for senior citizens
providing light refreshments, infomial 8o¢lal
support and a presentation of topical
interest related to the Chnstsan faith.
A monthly lunch club with the provision of a
free sandwich lunch.
Summary ofthe maln
activities in relation to those
purposes for the public
benefit, in particular, the
activitses, proie¢t$ or
services Klentified in the
accounts.
Pwa 1 17•nd
1.19
Statement confimiing
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on publi
benefit
Para 1.18
The twstees have had regard for the
guidan￿ issued by th8 Charlty
Commission on public benefit in planning
and overseeing the activitte5 Of the charity
Additlonal inforniatlon (optional)
You ma
choose to include further statements where relevant about..
SORP referonce
The charity does not make grants as such
but freewill offerings are tsken regularty to
support various aspects of Christian relief
WOTk throughout the UK and other parts of
the world.
The charity does not invest in any social
programm8s distinct from its own regular
a¢tivltie$.
P8r8 1.38
Policy on grant making
Parn 1.38
Policy on social investment
including program related
investment
The charity relies heavily on ¢hurch
members and attendees working in a
voluntary r2pacity to fulfil its objectives by
anisin
and staffin
tts various activitie5.
Para 138
Contribution made by
volunteers
Other

Achievements and Performance
SORP reierenc
For around 9 months of the re18vant
ar£ounting period the charity was unable to
operate from tts own premises due to
building V￿rk being undertaken. During this
time Ihe regular aclivrties of the charity
continued at the Lime Tree ￿nt￿ in
Matlo¢k. The beneficiaries of the charity
continued to ￿nefrt from engaging in
regular Christian worship and having
opportunity for group discussion and
leaming. They also continued to attend the
weekly activity for the over 60s and th8
monthly lunch club which provid8d an
appreciated wel￿rne and social
interaction.
Summary of the main
achievements of the charity,
identifying the drfterence the
chanty's work has made to
the circumstances of its
beneficiaries and any wider
benefrts to society as a
whole.
Para 1.20
Addltlonal Infomlatlon (optlonall
You ma
choose to include further statements where relevant about:
Achievements against
objectives set
Para 1.41
The tharity does not engage in fund raising
activities.
Perfomian¢e of fundraising
activities against objectives
Parn 1.41
The chartty does not engage tn investment
activity.
Investrnent performance
against objectives
Para 1.41
Other

Financial Review
Review of the charity's
financial positton at the end
of the perlod
P¥a 1.21
The charity's position was heatthy at the
end of the financial year with around half of
the reserves being assigned to the
completion of the building project. The
majority of the remainder of the reserves
are being held for expenses related to the
desired appointment of a pastor sometime
in 2026.
Regular expenses wére comfortably met
from donations from church members.
ReseN8S held as gifted for.
the building project.,
the potential appointsnent of a pastor;
certain a￿a5 of potential charity activity
(e g. children and youth work)
Othetwise reseN8s held to cover 3 months
of regular ex
.￿enSes.
£144,800 { £24,666 not restritsd)
Statement explaining the
policy for holding reserves
stating why they are held
Amount of reserwe$ held
Para 1.22
Reasons for holding zero
reserves
Details of fund materially in
deficit
Explanation of any
Un￿rtaIntieS about the
charity Continuing as a going
con¢em
Para 1.22
Parn 1.24
NIR
P•r• 1.23
NIR
Additional informatlon {optlonal)
You ma
choose to include further statements where relevant about:
Freewill giving by church members.
Grants from appropriats sources for the
building project.
The chaiity's principal
sources of fvnds (including
any fundraislngl
Para 1.47
The charity does not engage in investment
activrty.
Investment policy and
objectives including any
social investment policy
adopted
Para 1.46
NIR
A description of the principal
risks facing the charity
Para 146
Other

Structure, Governance and Management
Description of charity's
trusts..
Type of goveming document
".arter
Para 1 25
Constitution
How is the charity
constituted?
ie g unincorporated
association. CIO I
Tnjstee selection methods
including details of any
constrtutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one or more
trustees
Para 1.25
cio
Para 1.25
By appointrnent as a church elder or other
church leader. Such appointment is made
by the existing elders following dis(>Jssion
with church members, and announcEment
of the proposed appointment to church
members. Appointment is ratthed at a
communion service.
Addltlonal Intomiation (optional
You ma
choose to include further statements where retevant about:
Reading and discussion with existing
trustees of relevant documents .'
Charity constitution and Handbook.,
Charity Safeguarding. Financial, Health &
Safety, CCTV, and Complaints policies..
Chanty Commi56ion public benefit
uIdan￿.
Elders- responsible for the spiritual
oversight of ¢hurch activities.
Administration Team- ￿spOnSible for all
routine practical and administrative issues
wilhln the charity- accountable to the
Trustees.
Charity is affiliated to the Fellowship of
Independent Evangelical Churches, and
Midlands Gospel Partnershi
Affiliation offering help, support and
resou￿8 when required.
Policies and procedures
adopted for the induction
and training of trustees
Paro 1.51
The chanty's organi8ational
structure and any wider
network with which the
charity works
Pirn151
Relationship with any
related partles
Parn 1.s1
Other
Reference and Administrative details
Charit
name
Other name the chant
uses
istered charity number
Charity's principal address
SteeLTumpike Evan
NIR
1203884
Steep Turnpike
Matlock
De￿ySh1re
DE4 3DP
elical Church

Names of the charity trust68s who manage the charity
Dates acted if notforwhol•
ar
Trustee nam•
Offlc8 Ilf any)
Nam• of p•rnon lor bodyl onutlod
Int tn￿tre
James Thoma5
Bathgale
Jeremy William
Ronald Beckett
Chair
Nigel George
Goldsmith
Andrew Mikolaj
Kawalek
Paul Robert White
10
12
14
15
16
17
18
19
20
Co orat8 trustees- names of tha dir8Ctors at the date the re
Dlrector name
ortwasa
roved
Name of trustees holding tiue to property belonging to the charity
Datss a¢ts(i If notforwholg
Trustee name
James Thomas Bathgate
Jeremy William Ronald
Beckett
el Geo
e Goldsmith
Andrew Mikolaj.Kawalek
Paul Rotert lthite

Funds held as custodian trustees on behalf of others
Description of the assets
NIR
held in this capacrty
Name and objects of the
charity on whose behalf the
assets a￿ held and how this
falls within the custodian
charity's obje¢t$
NIR
Details of arrangements for
safe custody and
segregation of such assets
from the charity's own
assets
NIR
Addltlonal Inforniatlon loptlonal)
Names and addresses of advisers (Optlonal Infomwllon)
Type of
Name
Address
advisor
Name of chlef executlve or names of sonlor 8taff membors (Optlonal InfomMtion
Exemptions from disclosure
Reason for nondisclosure of key_personnel detalls
Other o
tional information

Declarations
The trustaas declare that they havo approved tho trustses, rnport abovo.
Slgnod on behalf of the Charity's trustees
Slgnature($)
Full nam8(s)
Position (eg Secretaryj
Chair, etc)
James Thomas Bathgate
Trustee, Chair
Jeremy
liam Ronald Beckett
Trustee
Date
1 October 2025

REGISTERED COMPAN'Y NUMBER: CE032894 (Ebgl4nd and Wales)
RECISTERED CHARrrY )rnF.R: 12031184
PnRT
14F. TR
AN
IT
ANCIAL
nR THEYEAR ENDED
IMAR
H202
TETr.P T
AL
CTI
Mi115 & Black
Dern'cni Ilou4e
141-145 Dale Road
Marlock
Dert>y¥hTre
DbA3LU

STEEP TURNPTK .
EVANGCLICAL C
CH
NTkNT8 nF THE FfNTANCIAL STATEMF.NTS
?025
Page
Report ofthc TnJstee8
Indepelld¢nt Lxaminerfs Rcport
Staiem¢ni of Pinanciol A¢tiviiics
Balat￿e Sh¢¢t
Noies to the PinanciAI StaEements
10 to 13
Dcthiled Stat¢Th*nt of Finttn¢ial ArtivitlL¥
14

PIKE EVANGELIQ4L
RBPORT OF THE TRUSTEES
FOR TtTE YEAR ENDED 31 Ma￿h 202
The LfusLCeS who are also directors of the chariiy for ihe PUTPOSCS ofthe Companies A¢¢ ?006. present thetr repon wth
the financial staLenKnts of ihc ¢hariiy for the year ended 31 March 2025. The in]stees have adopted the provisions of
AccouiiiinbT dnd RLWrting by Ch2riries.' of Recoll][[￿￿ Prd(ti￿ applic8ble to charities preparing their
uecounts ￿ aecordallee wjth th¢ Finllncial Rcporting Stsndard applicable in the UK and Republxc of Ireland IFRS 102}
leWethive l January 20191_
INCORPORATtON
Thc charitsble cornpanywas incorpoTatcd on f) July 2023.
OBJECTIVES AIYD ACTIVITIES
01)Jectli'es Jnd uims
To glorify God in advallcing the Cbn"$ti¥n faith and s￿l￿g th¢ local ¢ornTnunity.
To encouraBC mcmbcrs in worship, fuithful wmess and mul￿11 ¢#r¢ for one #noth¢r.
To prumotc thc gospel of Jesus Chnst in ¢vang¢li$tic ¥￿t¢rpriSi. missionary Hctsvity and 50ci41 activ￿ in ac¢oTdaDce
with Biblical priiieiples.
To cnablo m¢mb¢rs to i)7aintain ihe unily of thc Spiril i¥qthin thc church and with those ehurch¢s, #ssociations and
itldividual Christians who sbare a con)mL)n allLuianrL to JLSUS Chris*.
To undertake a¢iivi(y for public b¢n¢fil in Such ￿y5 a¥ may bc Lhou8ht fil. M'iihtn ihe spirii of Ihe oiher objccLiVCS.
T(Tr trdiii JTKI SC￿nd peisounel to work witli Christian oryJni&dtiuns, missionttry bYoup5. relief 01￿￿15￿tiOnS tll the
Uiuted Kir￿d￿M dnd uthLr part5 of the ivoTId.
Si8Rifir•nt 4¢tlvld¢5
RCgu1￿r public Christian worship.
Bible study dis¢uii%i(?n pr()viding a Icaniuig forum regardiug C￿lstian1ty.
A wcckly a¢iivity for senior cit17.ens providing light r¢tr¢shmenty, inlomial ￿¢1&1 #upport and t presentation of iopical
iut¢r¢st r¢laied to thi Chn"sttan faith.
A monthly lU￿h club with ihe provision of gl free sandyrych lunch.
Publlc b£n¢llt
Thc Iru%iccs have had regard for the guidanec i&sued by ihc Churily Commission on public benefit in planning and
ovcrscciag the a¢iiviiies of the ¢hariry.
Soeithl investtnents
The ch&nty dOL￿ not invest in any social pro8ramnK¥ distinci from its rcgular activities.
Cr8ntm&kln%
The charity does rtoi make qranL8 as such bui freewill offerings are taken regularly to support Wdrious aSp￿ts of
chr￿tsall rcbef ivork thruugh(Trut th¢ UK and other paLts of the ivorLd.
Volunteers
Thi Lharity rLI1￿ hiovily on church mcmbLTh and attcndccx M'OTkinu in o vi)Iwitury ¢upacity ts) ￿lfIl its objcctivcs by
organising and S￿￿ing vario￿$ actiViLi&%.
ACHtEVEl¥fEKfs AND PERFORMAh'CE
Charittsble Acliillfe5
FOT mosl ol'ihc rclcvonl £ccounting pcriod thc chariiy has not been 8bl¢ io op¢rdt¢ from its own pr¢rnises due to building
vork bcing undcrtakcn. During ihi% limc ihc rcguldr dclivilics of th¢ ¢harily have conLinu¢d ai ihc Lime Tree ¢entre in
Morlock. The beJ)eficiaries of the cbanry liave collrtnued to benefit frTrm cnEaging in regular C.hri8tiaD worthip and
h8￿ng opyjrtunity for group discussion and Icjrning. Thcy havc a150 conhnucd to Rttcnd thc wcckly for the over
60s the monthly lunch club which have proNided appr(£i21ed welcome and social imtcrdction.
P#gc I

TURNPIKE EVAN
ELI
REPORT OF TITE TRUSTEES
FOR Tt.tE YEAR F.NDF.D 31 IM rch 202
ACHIEVEMEN'TS AND PERFORMAN'CE
Fundraising aetlbdtles
Fi)nds arl nornially rCqUir￿ to rnc￿ regular &ApeDses and don8tions to M￿10￿ Partucr& Ovcr thi5 past year funds have
al8t) beon rt¢eded io cary oiit the building of an ex(¢nsion and r¢furbishm¢nL The fvnding was achi¢ved as a result
of addilional giving from church membcrs and bwlding grants.
Invc5trnent performgnce
WL do sct involvcd in lllvesimcnt actiyftiies.
Sum¢ funds hav¥ bccn hcld on dcposit account. making a modo5t rthrn. Th¢ TTrajority of fi]nds W¢￿ rctaincd on currcnt
ae¢ouni to b¢ mad¢ 4v4ilabl¢ for ongoing building work costs.
Fif*ANCIAI. RTr.VlbW
Fin8nciAI posStlon
A% a rosuli of tlie fwidraising there was £117,871. nt year end. earmaTk¢d for ¢xiraordinary orcos of ¢xpendiuLre. Thc
primary purp05¢ bcing to ¢ontinu¢ with th¢ r¢furbishm¢nt of the building as Ntll as the appointttsent of a pastor.
R¢gular expenses wwe Comfortably m¢t from dona¢ions from ¢hurch members.
Prlnelpal fundlng sources
Frecivill ￿ving by church rncrnbcrs.
Grants from appropriatL' Sourc￿ for th¥ buildin&. proJ¥¢L
Investment ptsllcy 4nd obJe¢*lv¢$
We do yel involved in Invesiiiient activities.
Histoncal. the practice has beei) to dollate tbe majonty of excess ￿ndS io mission partncrs. Jn firturc thcTC ￿Y bc
occasions ivhcn a Ttscrvc nLcds to bL' built up for SPLLific activities. Funds will ollly bc placed in Bal￿ or Buildins
Sociely accounts ihat have no cupital risk #nd are wv¢red by ihc &ovemmcnl'8 Financial Scrviccs Cnmpcnsaiion
Schemc.
Pab¢ 2

ELI
REPORT OF THE TRusfEES
FOR THEYEAR ENDED
Fll¥ANc￿ R£￿Ew
Reserves polley
Our ￿11 policy is set in scction 13 of our Finaocial Operatin8 PoIi¢y. kn cxpl2nalioD of th¢ Poli￿15 as follow3.'
l. Dofinition of Re5eryes
RG5CryCS are ￿n￿estrIcted that &rc frc¢ly available ¢0 spend on any of thc charitys pury)oses. They exelud¥
restricted and Cndowincnt fulld& These reserves act as a financial buffer to protect a￿]n$t un¢xpwt¢d 5hortfaUs or
¢)pportuniti¢s.
2. Why We Hold Res¢TV¢g
Wc hgld r￿ryeS 10:
o Maintain wr¢ op¢ratÈons during income fluctuaiions
o Covcruncxpecicd cosis le.g.* emergency r¢pair5. legal fees)
Invcst in fijturc ￿￿&s10￿-a￿"8llCd projects
o Provide financial stability and confidence to stakebold¢
3. Tar8Ct Lcvcl ofReserY¢s
Our target is to Iwld ￿¥¢rVr5 b¢￿'¢¢n 3-6 tnonths of operatiDg costs. which currcntly Bmounts to approxirtia*ly £9k to
£18k. Thi¥ will be reviewed aDtwally bascd on."
Curr¢nt financi41 commitments
Risk asswmeni
o Strategic pla
4. Use ofRcscrve.I
Res¢rvcs may be used..
ID rcsponsc to flnancial en￿rgentle%
o To bridge trrwrary fvnding gaps
o To invcsi in mission<ritical initiarivcs wilh (rustee approval
Payment from the re8crve is Subje￿ ￿ the usual authorisation limits.
5. Monithring and R¥4view
The reserves level Mryll be teviewed..
o Annually durin8 bud8el planning
o Wh¢n¢vcrsignificont finoncial chan8cs occur
6. Transparency
This poli¢y IMII be Shar￿ Myih inembers and inelud¢d in our annual r¢port. We are committed to transparcncy and
ttceountsbility in all financial matters.
Reserves Held al Yearcnd £821.1(M). of which £130.185 cash hcld in banks.
STRUCTURV., COVERNANCE AND MANAGKMLNT
Coyernlni document
Thjs cbllrity is colltrolled byits constituti0fL
Charitv conxtttstio
This chprity is constityted as an CIO.
Recruitment a￿d appolrttment tsf neiv tru5tee5
The appointmenl of new trustCCS 15 dcscribcd in clausc 12..4 of ihc conslilution. It is associatcd with indiwduals bcimg
appointed as Cithcr eldcrs or 'oÉher ehurch leadcr5' olltlTncd Tn AppendTK E cla￿$e5 3-.2 aTtd 4.3 of the church
Illu￿boOk. Su￿rn￿, ncw appointee5 are norniRated by tbe vistiug eldcts or trustees after di5cwioo with chur¢h
Me￿ and opporfuutty forcomm¢nt or ¢udoTs¢JMi
Pase 3

P TURNPIKE EVANIFELICAL CHURCH
REPORT OF THE TRUSTP.b.S
FUR TtIE YEAR ENDED 31 March 2025
STRucfuRE, GOVERN'ANCE AND MANAGEMENT
Urganis#tlonal strUC￿re
Thc dutics of mcmlxTS are as follo￿1.
Tnjsiees are responsibl¢ far provÈding safe and suitably ￿S0￿Ccd fÈ¢ililies for chU￿h actiVStic% ensuring legal and
Health and Safery obligations arc Tnct by thc churih, aIid submitting financial rL'purts and oiher iiecc55ury dLKlur¥lLvn& tr)
the LTharity Commi55iOllU5.
Eld¢r9 arc responsible for the spiritual tsv¢rsighi ofehurch ociivities.
Admtnistration Team ¥rc rc¥ponsibl¢ for all rouiille pr¥ctical and athnintstrative i55ucs ￿￿thin th¢ ¢l]atiry - accounthble
to th¢ Trusie¢5.
IDdu¢tlon #nd tr•lnln% of new trustees
Reading> and discussion wilh ¢Xi$ling trust¢es of relevani documents '.
-Trubl Dr¢d:
-Lharity Sateguarding. financial and Complaints pohci¢5-
-charity Commission public bcncfit guidance.
Related p#rtlos
This charity is affiliated to ihc fLllOi￿h1p o)f Ind¢pend¢i)t Evangcli¢&l Churches. )nd
Midlaiids Gospel PartnLr¥hip lltTilialioii off¢rs lielp, suppon aiid r¢sources ivhcn rcquircd.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Complin> number
CE0328<)4 (ED8land and Wolcq)
Rcxi51L'rL4d Ch#rlty number
12n3R84
RcRlstcrtd offlce
StL'CP Turnpikc E,vangclieal Church
Steep Turnpike
Mailock
I)erb￿h¥re
Trusteei
J T ElJthLiatL (Chuir)
G Goldsmiih
J W R BcckcLI
P R WhitL'
A M KuivJlck
IndepL'ndenl Tr.xllminer
l M Haye$ FCA
1115 & Black
Derwcnt House
141-145 Dale Road
Mallock
Derby5hiT¢
i o cro4Ek 20 25. ¥nd signed on its ￿haIrby.
Approved by order ufih¢ boord of InL$te￿ on..... ..
Page 4

RNP￿t.
(FELICAL
RCH
RF.PORT OF THb. TRUSTF.F.S
FOR THF. YF.AR F.Nl)F.fJ 31 Marth 2025
J T Bathgatc- TTr]s¢ce
Page 5

DEPENDENT EXAMtNCR'
REP
RT
EP TURNPLKE EVANGELICAL CHURCH
Independcnt cxarniner's report to the trusttts of Steep Tvrnpike Evangellcal Church ('Ih¢ Comp4n)')
I rcpori lo Ihe chtiritytrustees on my exan]ination of the accowits of the Company for the >'earended 31 March 2025.
Rosponslbllltles and basls of report
As the Lharity'¥ twstr¢¥ ufthc Cornpany (Jnd dlso its diTCLtOT5 fLir the purposes of company law) you ar¢ responsiTr•lc for
the preparatioii of the accounts iu a¢cordanc¢ th¢ r¢quireD￿nts of the CompalliGs Act 20061'the ?01)6 Act?.
l.laving $aliqficd mysclf ihai ihc account8 ofthc Cornpany arc nol required io be audited under Part 16 of the 2006 Act
and are Elisiblc for iudependent examinatKon. I report in respLci uf my LxJmindtiun uf yuur Llwritls a¢Luunts as ¢arri¢d
out uiidLY ScLtion 145 of tliL ChdritiL¥ Act 2n1 i ('th¢ 2011 ALt'I. Itl ¢d￿.111￿ Vut niy examil￿tion I have folloived the
Direciions given by (he Cliariry Commission undcr Scction 145{51 Ibl of the 2011 ACL
Indepondont examlner'5 slatemethi
Sincc your chariiy's gross in¢ome cxe¢¢d¢d £250.000 your examiner must ￿ a member of a listed W. I can confirm
thdr l Jrn quJlifiLQ to Undcr￿kC thL Lyami￿tion bcuu¥L I dm a mttmber of tbe Illstiw￿ of Cl￿rtered Accouiitaiits in
Ellgl8lld #nd Wal¥s. wkn"¢h is o#¢ of th¢ listed bodi¢s.
I have cornpleicd niy cxaminaiion. I confirm Th￿ no i)Mtt¢rs have Come ￿ my aitcniion in connceiian with thc
x¥m]n￿tion Biving mr ¢au¥¢ tt) b¢li¢v¢.'
aceouniing records ivcre not kepi in respeci of (he Company lls required by Section 386 ofihe 2006 Act; or
ihe &¢counts do noi u¢cord wilh those rc¢ord8', or
the accouttts do noi comply llith rhe accouiituig requirements of Scrtion 396 of thi. 200CI Alt otli¢r tiian any
quirLmcnt thut th¥. a¢¢ounts a tru¥ atjd fair viewm'hich is not u mDtter ron5idercd is part of an ind¥p¢nd¢nt
exuminution. or
Ihc Accounts have nol bccn PTcparLxI in uccnrdancc wilh ih¢ nicthi)d% and prirtciples of the Ststement of
RLLy)mmL'ndLd PrdLtiLL. fi)r JLLnUlltinbF and rLP()rting by charities (applleable io chaniies prepariD8 the￿ accounts
iii acLurdaiiLL Iviih thL Finaiicldl RLPUrtin8 Siaiidard appljcable in the UK and Republi¢ c)f Ircland (r.RS 102)).
I have no concerns and ￿1Ve come a¢ro55 no oth¢r mutteT% in tonneelion wih the examinAlioft io ivhich Attcniian should
be drawn in this report in order to enable a proper understanding of the acwunts to bc reachcd.
l M Hay¥s fcA
Mills & Black
DLYwcnt HLIUSC
141-145 Dal¢ Road
Mailock
l)erby$hire
Datc.. .................
Page 6

NPIKE EVAN
STATEMENT OF FtNAN.CtAL AcrtvrrtES
FOR TTtEYEAR ENDED 31 March 2025
UnTeslncled
fund
R¢stri¢ted
nds
Tulal
runds
Noies
TNCOME AND EihU)OWMENTS FROM
Dviiatio]]s and lega¢i¢s
62.702
817.488
880.190
Tnv¢stmcni income
188
188
Total
62,890
817.488
880,378
EXPENDrruRE ON
Charlt8ble #ctlvltlel
Steep Turnpike EVarLgCl￿al Church
-18,224
59.2711
NET LYCOME
24.666
796.434
¥21.100
'roTAL FUYDS CARRIF.D TrORWARD
24.666
796.434
821,100
The notes fom) part ofthcse finaneTal statem￿ts
Pa8e 7

STEEP TURNPIKE EVANGELI
CHU
BAI.ANCE SHEET
31 March 2025
Unrcstncted
fi￿d
Rcstricled
funds
Totsl
funds
Noles
IXED ASSfr:'rs
Tangible Jss¢tS
(176.300
)76,300
CURREIYT ASSETS
Debtors
Casli ai bank
15.¥lS
10.051
15.815
130,185
120,134
25,866
120,134
146.000
CREDITORS
Amounts falling due with"n on¢ ycar
io
(1.200)
(1,200)
NET CURRENT ASSb:'I'S
24,666
120.134
144.800
TOTAL ASSETb LESS CURRENr
LIABtLITILS
24,606
796,434
821.lOQ
NET ASSETS
24.666
796.434
821.100
FUND&
Unresiricted funds
Restricted funds
li
24,666
796,434
TOTAI.
821,100
The charilabl¢ company is enti¢ld ￿ exemption from audit Seciion 477 of the Comp&nie¥ Act 2006 for th¢ year
ended 31 Ma￿h 2025.
Th¢ mLmbers haNL nrjt Tequir<d thL cnmphny io abt&?iii ali audil of it% fli￿11¢1￿1 %taK'ments for thL y￿r ended
31 Murch 2Q25 in uccord8nc¢ wilh Seciion 476 ofihe C'oinpanic.s Aci 2000.
The tr￿Sle¢s acknowlcdge their K%ponsibilities for
(a)
Lnsurillg that thc charittlble company keeps accuunting records that eoznply with Scth"on5 386 and 387 of the
Co]7pAnic8 Act 2006 and
prcparing finaneial sla¢ernents which 8iv¢ a iruc and fatr wew of ihc slate of affaits ofihc charithble company as
at thc cnd of eLiclI financial yLJr Jnd of Ils surplu% or defieit tor Ldch finaneiul yfydr iii accordao¢L Ivlth the
re4￿)rLML.llts of SLXttI)n% .3Y4 )iid 395 uiid ii'hicb otl)¥N'i%L comply iVLth tliL' r¢quiremellts of the ComponaL$ Acl
2006 relating lo financial slalcincnts,, so far #s applicable to the chari(&ble COTnpany.
Ib)
The T￿teS form part of these financial Stsiements
PagL 8
¢oniinucd...

EEP
EVAN
ELI
CHUR
BALA
CE SFTEET- contin
l March 2
Thc5e finaTtci4l stslements have becll preparcd in accordanee ￿1th the pr(>vi¥i0115 appli¢able to LbariTablc companics
subject to the ymall compante¥ regimc.
The financial statements were approvcd by thc Board of Tn￿C¢S and authori8¢d foi issue
..I...QLT.o.B.k...................... M'cre signcd on its bchalf by..
on
J T BaLhgale- TnLb¢ee
JWR
LLkett- Tru¥t¢e
"rhc notes fornl Part of these financial stalc￿ellts
Pagc 9

EVANGELI
NOTES TO THF. FtNANCtAL STATF.MFNTS
POR TtIE YEAR F.Nf)p.D 31 March 2n25
ACCOUNfiNG POLICIES
B#sl$ of prtpthrfng the flnaD¢llll ststemeot$
ThL. financial statein¢nts of thc ch￿ri￿b]e compaTry. which 15 a public ben¢fit entity under FRS 102, hdVL bccn
prepared in aceordance thc Chariiies SORP {FTrS 1021 'Accounting and Reportinq by Charities: Sthtement
of Recommended Prdctice applicable io chariti¢s preparing thcir accounts in accordanee wilh th¢ Financial
Rcporting Stsndard applicabl¢ the UK and RLyubliL of Ireland IFRS 1021 ILffiKtIVL l January ?0191'.
FinanLial Rcporting btaiidard l Q2 'Thc Fuhancial liepvriing Stdndard applicable iii the UK and R¢public of
Irel&nd' and ihc Companie$ Act 2006. Thc lirtancial stailmcnts have been prcpared under ihe htstortcal cosl
¢onvention.
Jneome
All in¢omc is recogwsed w the StratettKnt of Fiuallcial Activiti¢$ oncc thL charity has ei)titlement to th¥ fund& it
is probabl¢ that thc in¢0￿¢ ivill bc receivL•d and thc amount can be n￿asur¢d r¢lLJbly.
F.xpcnditur¢
Liabilities are recogniscd as expenditure os 500n as ihere 1$ a Icgal or consIn￿rive obligation commiitTn8 the
cbariry to that rxpinditurc. 1¢ 15 probabl¢ thdt J tr￿￿'fLy of cLonomic benefits ￿11[ b¢ r¢quiTcd in scttlcment and
thL' amouiit of thc obligation cau bL m￿￿￿red rL.liably. Eypendiwre is accoullt¢d for on ¥n gccrugls basis and has
been c14hs$ified undcr hcodings thai aggregaie all COSL relaied LO th¢ ¢oie80ry. Where cosis cannol be directly
aiiribuled ￿ partieular headings th¢y have been allocaied to activiiics on a basis consi¥Lent with the or
T#nglble Ilxed amels
DcprL'ciuti()n t% pr(>vidcd at the tolltiwing annual rates in ordcr tij I￿lIe off each &￿tI ovcr its cst1rn2ttEd usefvl
Freehold propLty
Plant and rnaehinery
Straight lirte over 40 ycar5
2Wo c¥n r¢ducing balance
Tax#tlthn
The ¢harity 1$ cxcmpt from corporation on 115 ¢h8rilablc uctivilies.
FuTrd 4ccountln2
Utjresthctcil fvnd8 can be used in accordancc Wlth thc charitable objectiV¢5 at th¢ discrL'tson of the ￿￿￿te&s.
Rc%iricl¢d fund5 can only bc iiscd for parti¢ulur r¢siri¢¢ed purpo#es wihin thc objects of the chariiy. R¢%iriclion¥
#rise when specified by the donor or whcn fundy ure rdised for particular rcsiriei¢d purposes.
rurther explanation of thc nature and purpose of each fund is includcd in the noles to the finanLial statctnellts.
DOI)ATtOl%S AND LEGACIES
l)onation$
tiift old
Exccptional items
117,871
14,884
747.435
880,190
Tlic cxccptional items relaie io the funds And building traMsf¢rr¢d fTom ihc uninCo￿or&tcd charity, Steep
TuTnpikc Evangelical Chur¢h {¢h8rity nurnber 1147970).
Funds totsl.. £297.435
Building cndoiymcni totals.. £450.000.
Page 10
Continued...

EP
NPtKE EVAN
CAL
NOTES TO THF. btNANCtAL STATF.MEKfs - eontinu¢d
R THb. YEAR ENDF.D
l March 2025
INVESTMENI'T INCOME
Deposit account inier¢yt
188
CHARITABLE AcrtvrrtFS COSTS
Support
lusts (see
Dircct
COSL
Totsls
StCLV Turnpike EvAng¢lical CThurch
57.004
2274
59278
SUPPORT C05rs
Governance
eosts
StL'L¥ Tumpik¢ Cvangclical Chur¥,h
2.274
NET INcOMEI(EXP￿.NDThEI
Net in¢om¢l(¢XPL'ndiwr¢) t$ stOlLd uftL'r chur8ill81(cr¥ditin¥}'.
Depreciation- assets
16,447
TRUSTEES, REMUNERATIOY AND BEYI EFITS
There w¢re no in￿1¢¢5, rcmui?¢raiion or tsihcr benefils for ihe year ended I I MErch 2025.
Tru$tecs' expenses
Thcre were no trust¢￿, eXpel￿S puid forthe year Mdrd 31 Marth 2025.
TANGIBLE FlXF.n A&SETS
Freehold
property
Plani and
IT￿ChIllery
Toty15
cusy
Addittons
676.301
16,446
692.747
DEPRECIATAO
Chargc for year
13.158
3.289
16.447
NF.I' BOOK VALUE
At 31 March 2025
663.143
676,3VO
¢ontinue(L..

TEEP T
RNPtKE EVANGELICAL
NOTES TO THE FINANCIAL >fATEMEKfs - c
FOR TItE YEAR F.NI)F.D 31 March 2n25
niin
DEBTORS: AMo￿Ts FALLING DUE WITHIN ONE YEAR
Other debiors
Prepaynwnts
15,072
743
15,815
10.
CREIDrroRS: Af*lOVN'IE fiAI.LTh'G DUE IlThtrN' YEI AR
A¢cnKd cxpcn¥c5
1200
ii.
MOVEMENT TY FUNDS
N¢L
moveineni
ill funds
AÈ
31.3.25
Unrestrieted fundi
General lund
24.666
24.666
Restrfeled funds
Building Pi'ojeci
YoutlVChildrLn'i Work
Elldowmeiit
351.331
2,603
442,500
355,331
2,603
442.500
796,434
796,434
TOTAI. FUNDS
821.100
821,100
Net movement in funds, includcd in lh¢ above #re as follows;
In¢oming
r¢xsurces
R¢sour¢os
¢xp¥ndLd
Moycrncnt
in fund8
Unrcstrl¢t¢d fijnds
(krt¢ral fund
62,89
138,224)
24,666
Ro$trlcted funds
Build5ng Project
Legacy TithL4
Youihlchildren's Work
lll,ndowincn(
-I6V.27
4,500
2,710
450,000
(8.947)
{4,50D)
1107)
17,500)
351,331
I,(￿3
4M2,500
817,488
(21,054)
796,434
TOTAL FUNDS
880.378
(59278)
821.100
Page 12
continued..

EEP
URNPIKE E,
NOTF.S TO TIIE FINAN
IAL 8TATEfvtF.￿rS- conlinued
FOR THF. YEAR ENDED 31 Ma h ?1)25
12.
RELATED PARTY DISCLOSURES
Ther¢ We￿ tho rclated party Iransaciions for Ihe year ended 31 March 2025.
Pagc 13

TEEP T
CAL CHURCH
DFTAtLED STATEMENT OF FtNANCtAL Acrtvrrt&s
R THF. YP.AR F.NDED 31 Mareh 21)25
INCOME AND Ehl)OWMEKrs
Dona¢lon$ *ftd legaci
l)01)&iions
Giftaid
Exceptiojial il¢llL9
117.871
14,AR4
747.435
880,190
Investmeht incomc
D¢po$il 8CCOUnt interest
188
TTrtsl Kncoming resou￿e9
880.178
EXPENDITURE
Charllable actlvliles
Insurance
Lisht heat
T¢lephoiie
PoswgvL' dnd stallojjery
Advenisin8
SundT>e¥
Consumable$
Lit¢rdtur¢
Donationq rnade
Speaker ¢xpense$
MissioNry fc
E,v¢iit expLnsL
Li¢¢n¢eb
Sub.8criptions
Rcnt and room hire
Properly repayJ$
Freehold prop¢rty
Plant und machinery
1,31)0
414
83
504
247
69
5.351
1.746
15,967
1,278
3200
4.51)0
5,060
166
13.158
3,289
57.004
Support costs
Governaii¢¢ ¢oyl¥
A¢countancy fecs
Ll'ual fLCS
1,608
666
2274
Tothl rL'source5 exp¢nd¢d
59278
,Net Ineome
821.IIMI
ThLS page does not forni part of the statutory financia] st2tctrKnts
Pagc 14