Charity ￿gIs￿l[lon number.. 1206144
NEW CREATION CHURCH
TRUSTF.ES' REPORT AND
UNAUDITED FIYANCIAL STATEMENrs
FOR THE YEAR ENDED31 DECEMBER 2025
C¢x)per Associates Ac¢ountants Ltd
40 Si Jame5 Buildin8S
St James Strttt
Taunton
Somerset
TAI IJR

New Creation Chur
Contellts
PaKe
Trus*es' Re￿rt
Independeni Examinels Repon
Staiemeni of Financial ActiViti¢s
Statemeni of Finan¢i41 Position
No*$ w the Financial Sraiemeots
The followlng pages do not forni part of the stthitory accouftts:
Detailed Statement of Finthcial Activities

ilew Crution Cburch
Tr•Jte¢$' lieport F(fyr The Ytmr Ended 31 Detember 21125
The Irusl¢¢s pres¢ni their and the financial statements for the year ended 31 De¢eEnbtr 2025.
Objettfvu and Aetivities
Aims and Objectlves
With the amalgamation of Canon Street Church Icanon St) and Taurt￿n Family Church {TFCI, into YJew Creation Chur¢h
INCC), we have coniinued lo help fomier Canon St membeT5 find their place in NCL and brin8 about a stable trttnsition.
Sim Crackn¢ll ISC} and RirhaTd Shaw IRS} C￿lead NCC with the help of the Trustees ftnd Ixadership teams.
Trnstees. with agreement of Cxnon St wngrt￿￿Th. and with the help of Howard M•theT& have inslructed Anihony Collins
leg41 film in the tran8fer of assets to NCC. This has bttfft completed.
The Trustees of th¢ TFC and NCC have amalgan￿led the&r experience and knowledge to forni the new team of TNsiee$ of
th¢ CIO NCC Charity. We are now in the process of bringing new leaderg and trust¢¢s inro th¢ teams io reprtscnt our
diverse communiry.
A key part of our f(KUS this year Iw been on estsblishiTrg sound Leadership and Trust¢e5 teams, encournBiftg whesion and
participatlon.
Both TFC and CSC b￿k ￿cOuntS were merg¢d inkn one NCC account. brin8ill8 all the futhdg in to one central point. We
so saw the NCC b8lan¢¢ $he¢t str¢ngthen through the year. due to generougsivin8 from our consre8&tion.
Canon Steet chts￿h,5 previou$ Obje¢rive3 and A¢tiviil¢$ ar¢ now bring ￿hieved ihrnu8h NCC, and the goal 19 10
discontinue Canon St and TFC chariiies in the coming year.
Ruth T&ncock continued in her role a5 church treasurer and creaior of the monthly management accounts, with analyii¢&l
breakdown of incorne and expenditure. whi¢h wa$ then presenied to the ￿$￿e9 of NCC.
Throughout 202415 New Creaiion Church now in¢oryx)raiiD8 the church members from Taunlon Famity Church and Canon
Streei Lhurch, h&s eoniirtued in its vision lo reach oui io the communii) with ihe Gospel and 5UPPOrt where possible the
under privil¢8ed Ind needy.
The transiuoa for NCC ill￿ a CIO was reasonably Seamle￿ and was administered with profes$ionali5m and a¢¢ura¢y.
Durin8 the yedr the ¢hur¢h held 4 numbef of outyexh activitie5. includin8 a Christrnas and Easter ￿￿11$ and children's
¢Yenrg.
Alyo, durin8 the summtt, the thu￿￿ h¢ld a nurnberof outyeach iniliatives in the local parks a5 part of the church's vision to
reach the comrnunity.
Life Gmups fonned a behind the scenes family 4wuene55 and prayer support a￿1VIty which onc¢ a8aill was focused on
community and outreach for the105t.
N¢w Cr¢aiion Churth 4ts0 saw many new membersN)in the chu￿b.
We continue to provide care and couns¢lling through Sunday services, rnid-week Life Groups and one-to-one support.
Internationa]Iy* W¢ $uppon ml$$lottaries in the unreached, ¢losed countrles •lld a member serving in YWAM.
We offer 511PPOrt in the Taunton Town Centr¢ through a frtt Parents Rnd Toddl¢r5' dDJp in play session. Th¢5e are well
supw)rtcd and we are now looking to start offcrin8 Addiiional day5.
A5 a church, we Identifi¢d a f¢yyJ shortage overthe w¢¢kends in the homele55 COTnmunity in Taunwn ,as a resuli Richard
Shaw and a t¢am from NCC run a hom¢l¢ss breakfaSL offering fo(Nl and a *7trn Space in the church on Saiurday mornings,
which is well 8ttend¢d.
CONTfNUED
Pwl

ev CrutloD Cburch
Trn5tees' Report (Co￿(]￿u￿)
For Th¢ Ye•r Ended 31 D¢e¢Jnbtr 2•25
Al￿$ And Oblectivu- eontlDued
In the Taunton cornmunity wt coniinue io f]non¢ialty suppon the B¢srtrm Charity ojjd Bl ¢huTches wup.
Pybllc B¢neflt
New Creaiion Chur¢h now InwryM)rniing the church Mc￿lJerS from TaunTh Family Church and Canon Street Church,
coniinued in its vision io Texh oyl w the communiry with the Gospel and suppon where possible the under privile8¢d and
needy.
The mi$tees ¢onfinn thai the> have complied with the requiremtnts of Section 17 of th¢ Charities Aci 2011 to havc due
r¢gwd ¢0 the Charity Commission's 8uidanGe on public benefiL
Referea¢¢ ittd AdmlDls(rgllve Det*lli
Trust¢
Mr 5 Cracknell
Mr B Robin8QD
Mr R Shaw
Mr A Louw
Mr C T4n¢ock
Other P¢rsonnel
- Trusteeg
Ch•rlty NuThbtr
1206144
Indepead¢ot Examlner
Kevin Parson3 FCCA
Cooper Asso¢ia¢e$ Accountllnls Ltd
40 St Jam¢5 Buildin8S
Si James Street
Talln￿￿
Somers
TAI IJR
Pag¢ 2

ilew Cre•tion Cburrh
Thisttts. Reprt (tontlttued)
For The Year Ended 31 Detullber21ll5
The trustees, ￿pOrt was approved by the board of trustees and Signed on its behalf by:
Mr R Sh4W
Trn5t¢¢
D&te
)5
Page 3

New Cregtion Churtb
IMdep¢A4l¢tyt Eumkntr's Report to the Trustses of New CreAtio# Cburtb
For The l'ear Ended 311)eeember 2025
I report to the trustees on my exomintition of the aecounts of New Cr¢atioD Church lthe Trust) for the year ended 31 December
2025.
Re8POn51bililles •nd ￿$ts •fR¢port
As the charity trusttts of the Tnjst you are responsible for the prepar&ion of the a¢coyrtts in a¢COTdance with the requirpments
of the Charities 2011 1.the Act").
I report in re$pe¢t of my examination of ihe TTU$t's accounts caTried out under section 145 of the 2011 Aci and in ¢aTrying out
my ¢xamiDf4tion, I have followed the applicable Directions 8iveD by the Charity Commission under 5eclion 145(S1(bJ of the
Independemt Eximlner's Siitement
I h&Ye completed my examination. I ￿￿fIrnI that th) matrrial mAtteJs h•v¢ c4)me to my attention in connection with the
examination giving me cause to believe that in any material respect..
. accounting records were not kept in r¢spect of th¢ Trust as required by section 130 of th¢ Aa: or
2. the accounts do not accord with those record5; or
3. the accounts do not compl>. with the applicable requirements concerning the forni and ¢onieft¢s of Kcoun¢s ser oui in
the Chariiies (Accounts and Rep)rts) Re8UtAlion5 2008 other thun any Te4uiTerneni that the accounts give a'true
f8ir view. which is noi a rnatlei ¢onsidered as part of an independent ex4minatlQD.
I have nts con¢em5 and have come across no other matters in connttiion wilh ihe examination to which atlention should be
drawn itt this report in order ty enable o proper understs[￿In¥ of the xcounts ts be r￿hed.
Kevin Parsons FCCA
Date
40 Sr James Buildin8S
St James Street
'riunttsn
8om¢r5e¢
TAI IJR

N¢w cr￿tIOn Churcb
St*terneMt ofFin*n¢i#l Aetivltles
For Tht Yt*r Ended 31 December 2025
31
D¢cember
2025
31
Deetrnber
2024
Unrestrl¢t¢d Unrtstri¢ted
dj
fvod$
Note
INCOME AND ENDOWMEi%TS FROM:
Donations and le8￿1¢$
Inveslrnents
171.444
149,637
IXPEIYDITURE ON:
Raising funds
NET INCOME
12236
66.279
NET MOVEMENT IN FUNDS
RECONCILIATION OF FUNDS:
Total funds brought forward
12236
66279
TOTAL FUNDS CARRIED FORWARD
13
The notes on pages 7 w I l (OTM part of these financial st*ments.

Page 5

i ew Creation Churek
St*ttmettt of Financial P05itio*
At 31 Detémber 2025
31
31
Dettrnber Dt(ember
2025
2024
t]Nrestrk¢td Restrleted
funds
fund$
Total
ds
Notej
FIXED ASSETS
Tangible Assets
li
4.977
4,977
4.977
4.977
CURRENT ASSETS
Cash at bank and in hand
75,056
75,056
66.999
Credltors: Arno¥￿¢* Fillln8 Due Wlthln Ooe Ymr
12
(1.511)
(1.518)
(720)
NET CURRENT ASSETS (LIABILITIES)
73,531
73,338
66,279
TOTAL ASSETS LESS CURRENT LIABILITIES
78.$15
78.SlJ
66,279
NET ASSETS
78.515
78,515
66,279
FUNDS OFTHE CHAIUTY
Unr¢itri¢ted Fund5
TOTAL FUNDS
ij
78.515
66,279
On behthlf of the board
Mr R Shaw
Tru51ee
D&re
The notes on p4es 7 to I I forni part of these financ￿1 st4t¢memts.

Pagc 6

ew Crtstion Church
Notes io tht Finxa¢i*l St*ttm¢nts
For The Yur Ended Jl De¢ernber 2025
l. General InformAtIo
New Creation Church 15 an UDiD¢oTpornied Charity reBis￿red with th¢ Charity Cornmission. registered chèrity number
1206144. The princip21 addre$$ 1$.
Ac¢ountln8 Poll¢l
2.1. Of Prnp•r*lJoTr of Flm*DclAI StstemeDts
The fin8n¢i41 sthtemcnts hav¢ been prepared ID KcordaD¢e with ihe Ch4rities SORP IFRS 102) 'Accounting And
Reportin8 by Charities.. Siatement of Recommended Pradi¢e applicabl¢ lo chariti¢$ p￿ParIng their accounls in
accordance WTth the Financial Reporting Standard applicable in the UK And Republic of Ireland IFRS 102) leffcctivc I
J4mu4ry 20191". financial RcpoAing Stsndard 102 "The Financial Rew)ning Sthndard applicable in (he UK and
Republic tsf Irel￿d, and the Chariiies Act 2011.
The thariry is a Public Benefit Enury ￿ d¢fffied by FRS 102.
2.2. IneoThlng Re￿llre
All incoming resourcey are recognised in the Swement of Finan¢ial Activities onte the ¢harit)' has eniitlemenl io the
resources, it 18 probable that the resources will be re¢¢ived. and the monetsry 4mounl be rn¢asur¢d with 5yfficieni
r¢liability.
2.3. Rtwurctt Eip¢nded
Expenditure is a¢¢ounted for on 4D a¢¢rnals b￿1$ and h•$ been ¢lassifi¢d under headings that a88re8ate all colts related
10 each ¢a*gory. Expendirnr¢ is recogni5ed wher¢ there 1$ a legal or WI$￿¢1]Ye obli8AtKJn th make payments lo third
parties. it is PTobable thal the settlernenl will be required, ond the ￿￿UnI of the obli811ion Can be m¢owr¢d reliably.
2.4. T•nglble Flxed Amets Depr¢¢lAflon
T&nBlble fixed assets are measured At ¢osi les5 accumu1￿ed depreciation and any aeeumulated irnpaimient losses.
Depreclation 15 provided at rale5 cal¢ulaied to write off the c4J5t of the fixed asset4 less their estimhted r¢sidu&l value.
ovtt their expected useful live5 ijn th¢ following bages:
Plant & Machinery
Computer Equipment
25% reducin8 balan¢¢
25% r¢du¢ing balance
2.5. aDd Cash Equlv*lent¥
Cash and Cash equivalents ar¢ b#si¢ financi￿ assets include cash im han41 and deposits held li call with banks, oth¢r
short-tenn highly liquid investrnents thai mAthre in no more Ihan three monihs from the date of acquisition and are
readily Convertible to a known amount of casb with insi£nific8nt risk of ¢hange in value. and bank overdr&fts.
3. Inrome from DoD*tlon5 #Dd L48•el
31 Ik¢ember 31 De¢embeF
2025
2024
u￿reStrICted Unrestrkted
funds
fundj
DOn￿lOn8 and gifts
Gift aid
Gr￿t$
153J6J
136.883
171.444
149.637

Yew Cr¢•tioN Chu￿￿
Notes ts tbe FinxDeial Ststements (eo#timu¢d)
For The Y¢#t Ended 31 Deeember 2025
4. lThvestm¢nt Incom¢
31 December 31 December
2025
2024
UDre5trleted
•d•
nds
Bank intrrest Teceivablc
5. Net IntothellExp¢Ddtturn)
The net iA¢om¢ is Stated Charlin￿{￿ed11iAgI.
31 Dteember 31 Dv¢mb¢r
2025
2024
Depr¢¢iation of tan8ible r￿ed &ssets- owtted
O. AJb*tysh of Expendlture
31 Dttember
2025
Actlvitl
undertikeA Support ¢o¥tS
dlree¢ly
(see note 7>
Thtal
R2lslng funds
32.004
128,355
160,359
31 Deeember
2024
Attlvitles
und¢rt•ken Support ¢os¢J
dlrtttly
(s¢e note D
Totil
RAi5ing funds
9,078
74.723
83,801

New Creat￿￿ Cbtsrth
Notes to tbe FI￿￿ne1#1 St*t¢meTrts (￿ntInUed)
For The Yur Ended 31 Derernber 2025
7. Support Costs
JI December
2025
Raising
runds
Employtt costs
Premises expens¢8
GenerAI administration
D¢preciarion
Gov¢rnanc¢ ws15
95.536
15,950
14.430
1.659
780
128,355
31 D¢¢ember
2024
R•l$lng
ruDdJ
Employee costs
Premise5 ¢xp¢n5¢$
General administraiioii
Governance ¢osts
63.027
4,990
720
74,723
8. lTrdependettt Ex*mlo*r's R¢mun¢r*ilon
The Independent examiner's remunerntion for th¢ ¢ximinarion of ihe accounis vias £780
JI De¢emb¢r
2025
31 DeceJDber
2024
Independ¢nt examination of the financial ststemeotS
780
720
9. Staff Co8ti
Sr*ff ¢osts w#e as ftillows:
JI DeeernbeT
2025
31 December
2024
Wages and 5alarics
No employees received employee b¢ll¢fits (excluding employer pension costs) for the reporting period of more than £60,000.

ew Creation Chur
Notm lo th¢ FiDanci*l Sthtements (totttittued)
For The Ytar Eod¢d 31 Deetmber 2025
10. Avernge Numb¢r of Emp￿yEeS
Av¢Tag¢ t)umber of employees duriti8 the ytar was: 3 (2024.. 3)
I l. Tanglble Ai$et8
Pl•nt &
Computer
M*ehlDery Equiprnent
Tot*1
Colt
As at l January 2025
Additions
As ar 31 December 2025
Depreclatlon
As at l January 2025
Provided during the period
As •131 December 2025
Net Book Vilue
A5 at 31 D¢¢ember 2025
A5 At l January 2025
12. Credlion". AwfjuDtJ Fllllni Due WIthID On¢ Vur
JI December
2025
31 December
2024
Trad¢ ¢reditor5
Other credilors
1,518
lJl8
720
13. Mfjv¢meDI FuDds
Ai*t31
Deternb¢r
202S
A91tl
J4Dw•ry 2•25
ITr¢Dme
Unrestrlettd funds
General..
G¢neral unr¢stri¢ttd fund
Total funds
66279
172,595
(160J59)
78.515

01 J8Bd

New Cr¢•tioD Ckureb
yot￿ to tht FiDan¢ial stsi¢meAts (contifi￿ed
For Tbt Ye*r Endtd 31 Dtttmber 2025
Asatll
December
20Z3
A91t31
Decernbtr
2024
Income
Eipendltsre
Unreytrlcted fuDdi
General=
General unrestricted
150.080
183,8011
66.279
Tot•1 fundi
150,080
(83,8011
66,279
14. TrIAJArtlons wlth Truste
None of the tru$Le¢s rec¢iv¢d any remunerntion or any other ben¢fits frorn an employment with the ¢hority or i related eniity
during the current or previous year.
No trustee expenses have been Ineurred.
IS. Related Party DlJclo$ur¢8
No transaciions with related partic5 occufTed durin8 the year thai rtqUiTe diKIosuT¢

Pag¢ 11

hew Creatiott Church
D￿alled Statement of Fiffj*neiil Artivities
For Tbe Ye*r Ettded 31 December 2025
31 Dee¢mb¢r 31 Deeember
2•25
2124
Total
funds
Total
xdy
INCOME AND ENDOWMENTS FROM:
Donations and gifts
Don￿lon$ from orBanisatLolls
Gift aid
Grants
140.926
12,639
17.879
101.883
35,000
11.615
1.139
171,444
149,637
Invutments
Bank interest rK¢ivable
443
443
172.593
150,080
EXPENDITURE ON:
R*l$ln% fund$
Purchases
(4,412)
Missiottary Givln8
Youih Work
Outreach Event
ConferencelTroinin8
Festival
Wages and salaries
Trav¢l and sub$islence expenses
Rates
(8,4221
(5951
14.0251
{1.6421
{6,0031
(92,7251
(4,666)
152,431)
(10,5901
(6,607)
{5,430)
{3,913)
17421
19501
(1321
15,011)
(975)
(2951
Repain ond mainienan¢e
Cleaning
Compultr and IT ¢on5uTh•bl¢s
Insurance
12551
(1861
Printing, p051ag¢ And slationery
Advertising and marketing costs
Accountancy fees
Profe55ional fec5
Subs¢riptLOnS
Entertaining
Sundry expenses
11,5301
(5,7591
13,783)
11.2231
(2,242)
(2.0121
CONTtNUED

Page 12

New Cr¢•liou Cburch
Detslled Stlieméftt of F￿*￿¢1•1 A￿l￿tIeS (eo*timued)
For Tbe Ye•r EBded 31 D¢¢ember 2025
Depreciation of plani and rna¢hinery
DepreciaiioD of wmputer equipmellt
Independenl exaTuinef5 fe¢s
(1,4891
(1701
1780)
1160 J59)
(720)
183,801)
{160 J59)
183,801)
NET IYCOME
12236
66279

Page 13