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2022-12-31-accounts

Trustees Report and Statement of Accounts 2022 Gabalfa Baptist Church & Manse (No. 234763)

Gabalfa Baptist Church is located at North Road, Cardiff, CF14 3BJ.

Structure, Governance and Management

Gabalfa Baptist Church and Manse (“Gabalfa Baptist Church”) is led on a day-to-day basis by the Elders, who are responsible for all matters that arise with regards to the activities of the church.

The Trustees on 31[st] December 2022 were:

Mr Gareth Payne

Mr Alun Howells

Mr Daniel Evans

Mr Lee Jones

Mr Samuel Smith

New Elders/Trustees are brought to the attention of the church at a members’ meeting.

In 2022, we held three meetings of church members (including the annual general meeting). At members’ meetings, we pray for the church and update the members concerning the activities of the church.

Sam Smith was ordained as Assistant Pastor in April 2022 and Clayton Piper and Aron Williams joined the Eldership in October 2022. We are truly thankful for this.

Activities and objectives

The purpose of Gabalfa Baptist Church is to worship the Living God and to build together a group of people who love and serve each other and make Jesus Christ known. This is done through preaching and teaching, as we are led by Jesus Christ through his Word revealed in the Bible, and also through sharing our lives together.

Achievements and Performance

During 2022, we continued the activities of the previous year. It was good to have some normality after previous years had been affected by the coronavirus pandemic.

Sundays and Wednesday meetings continued to be the heartbeat of our Church life. We met each Sunday at 11am and held our Gospel service at 6pm, with opportunities for members to invite friends and family. We met each Wednesday for our prayer meeting where we ate together and prayed for each other and the work of the church.

We read a different book of the Bible each month (known as RBT – Reading the Bible Together) and came together to share how God had spoken to us one Wednesday each month. We read through the Bible as a church once every 3 years. We waited in anticipation of completing our fourth cycle of Reading the Bible Together which would be completed early in 2023.

The children of the church continued to have a focal point in our church life. In February, we launched Gen-G each Tuesday after school for 4-17 year olds. The older children stay for Top Gen-G for more focussed time, activities and to eat together which included going to members' homes. Each Sunday in August, we held our ‘X marks the spot’ activities for children where the children were able to learn about Jesus from the Gospel of Mark.

Building on the previous year, we continued to hold our Branch Cafe each Monday (10am-12pm) in term time at the Mynachdy Community Centre. In October 2022, this was relocated to the church premises, rebranded to Branch Community Cafe and relaunched. We have a wellbeing walk that happens from 10.15-10.45am.

We held our first church holiday in 6 years in May half term. We spent 4 nights at Hill House Christian Centre in Somerset. This was a good opportunity to come away together as a church after the coronavirus restrictions. This was a real blessing.

As usual Christmas was a busy time. Some of the children of the church designed a Christmas card which we were able to hand deliver around the local area and invite people to our Christmas services. We held ‘Christmas for the Lost’ activities for the children after the morning services. We held a Christmas Music night, 3 candleit carol services including one on Christmas Eve and a Christmas morning service. There was a good turnout for each event.

In addition to all this, we recorded some podcasts (e.g. Hymnology 101, Sunday seconds), held a Christianity Explained course, started a marriage course and celebrated Passover together, to name but a few other activities.

In 2022 we had around 100 members.

The Trustees confirm that they have complied with the duty in the Charities Act 2011 to have due regard to the Charity Commission’s general guidance on public benefit. The Church provides public benefit in the provision of a place of worship. The Church seeks to fulfil its charitable objectives in the advancement of the good news of Jesus Christ, who loved us and gave Himself for us.

Financial review and reserves policy

With a largely self-sustaining income, backed up by strong reserves, the Church aims to maximise its charitable expenditure whilst prudently managing its infrastructure. During 2022 our income was £171,071.96 and expenditure was £195,017.03 giving a deficit of £23,945.07. A large portion of expenditure was a repair to the roof at a cost of £36,643.67. Our income was mainly received from gifts given by church members and from claiming gift aid.

The Trustees are aware of the need to accumulate sufficient reserves such that the Church can continue in operation during any short-term of shortfall. The reserves level at the end of 2022 was £58,870.07. The Trustees consider that there are no material uncertainties about the Church’s ability to continue for the next 12 months.

On behalf of the Trustees:

A. Howells

Authorised by the Trustees on 21 April 2023

Gabalfa Baptist Church

Statement of Accounts 2022

Auditors Re ort for the ear endin 31st December 2022 I can confimi that, as always, the books and records have been presented to me in an orderly and logical fashion. I congratulate Sarah on all her, obvious, hard work. These items show the true and concise financial status of the church as of 31st December 2022. I have checked all bank accounts. cash records and receipt8 presented to me and can find no errors. An excellent job has been done yet again. Again, a great deal of time and effort has gone into this concise book-keeping exercise. The main areas of changes of note are as follows'.- The income has recovered from last year. Yet again, a very healthy amount has been reclaimed from HMRC in respect of Gift Aid. The amount being very similar to last year. These things do, usually, take a lot of effort and so I commend the Church in making sure that this is done annually. The main expense during 2022 was the repair to the roof and along with the new boiler and repairs to the Manse a total of over £41.000 has been invested in improving the buildings. Of course, the utility bills are much higher than prevlously. Unfortunately. these items are not able to be controlled except by careful monitoring of usage. However, only so much can be done on this in a public building in constant use. The overall cost of the regular bills has increased by in ex￿8$ of £10,000 but nearly £5.500 of this is gas and electric increases. The remainder will, l am sure be a case of the general cost of living costs that are unavoidable in this current economic climate. Hopefully, it will level out very soon. In my opinion. the finances of the Church are looking very healthy and are being well controlled by management, I thank you, once again. for asking me to complete this task for you and hope to do so again in the future. 9~1 Marion Jackson Auditor

Gabalfa Baptist Church, Cardiff (Reg. Charity no. 234763)

Financial Statement for the year ending 31st December 2022

GENERAL FUND- Receipts and Payments (Main Account)

Receipts
Notes
Offerings
Bill refunds
1
Rent for Chapel House
Miscellaneous
Paid meals
Tax refunds (Gift Aid) and GASDS
Church Holiday
Transfer In From Savings Fund
Transfer In From Worker Salaries Fund
Transfer In From Meals Fund
Transfer In From Petty Cash
Transfer In From Mums and Tots box
Payments
Core Staff Wages
2
Staff Books
Regular Bills
3
Building Repairs
4
Donations out (to members and visiting preachers)
Donation to 20 schemes
Donation to Soul Church
Miscellaneous
5
Transfer Out to Worker Salaries Fund
Transfer Out to Mums and Tots box
Transfer Out to Building Fund
Transfer Out to Savings Fund
Surplus/(Deficit)
Balance b/f from previous year
Balance c/f to next year
2021
£82,286.56
£1,604.52
£3,100.00
£1,648.00
£660.47
£22,690.00
-
£111,989.55
£8,000.00
-
£2,000.00
£390.00
£40.00
£122,419.55
£39,241.72
-
£20,635.28
£13,582.03
£724.39
£2,000.00
£1,000.00
£22,801.80
£99,985.22
-
-
£400.00
£22,690.00
£123,075.22
-£655.67
£9,129.25
£8,473.58
2022
£93,240.99
£1,319.18
£5,500.00
£576.00
£791.40
£22,689.74
£8,825.75
£132,943.06
£20,000.00
£6,180.50
£3,232.00
£720.00
£55.97
£163,131.53
£44,764.85
£500.00
£30,919.44
£44,697.92
£4,487.09
-
-
£37,942.45
£163,311.75
-
-
£2,400.00
-
£165,711.75
-£2,580.22
£8,473.58
£8,473.58 £5,893.36

SAVINGS FUND - Receipts and Payments Account

Receipts
Account Interest
Transfer In from Main Fund
Transfer In from Meals Fund
Payments
Transfer Out to Main Fund
Transfer Out to Worker Salaries Fund
Surplus/(Deficit) for year
Balance b/f from last year
Balance c/f to next year
WORKER SAVINGS FUND- Receipts and Payments Account
Receipts
Worker Offerings
Transfer In from Meals Fund
Payments
Transfer to Worker Salaries Fund
Surplus/(Deficit) for year
Balance b/f from last year
Balance c/f to next year
2021
£3.35
£3.35
£22,690.00
-
£22,693.35
£8,000.00
£17,000.00
£25,000.00
-£2,306.65
£27,586.80
£25,280.15
2021
£26,534.05
£26,534.05
-
£26,534.05
£25,000.00
£25,000.00
£1,534.05
£11,107.99
£12,642.04
2022
£4.16
£4.16
-
£4,000.00
£4,004.16
£20,000.00
-
£20,000.00
-£15,995.84
£25,280.15
£9,284.31
2022
£28,169.05
£28,169.05
£1,617.00
£29,786.05
£25,500.00
£25,500.00
£4,286.05
£12,642.04
£12,642.04 £16,928.09

WORKER SALARIES FUND- Receipts and Payments Account

2021
Receipts
Transfer In from Main Fund
-
Transfer In from Savings Fund
£17,000.00
Transfer In from Worker Savings Fund
£25,000.00
£42,000.00
Payments
Worker Staff Wages
2
£30,740.81
Meals for church members
-
£30,740.81
Transfer In to the Main Fund
-
£30,740.81
Surplus/(Deficit) for year
£11,259.19
Balance b/f from last year
£22,103.00
Balance c/f to next year
£33,362.19
CHAPEL HOUSE BUILDING FUND- Receipts and Payments Account
2021
Receipts
Transfer In from Main Fund
£400.00
£400.00
Payments
£0.00
Surplus/(Deficit) for year
£400.00
Balance b/f from last year
£0.00
Balance c/f to next year
£400.00
MEALS FUND- Receipts and Payments Account
2021
Receipts
Paid meals
£2,797.72
Church holiday
-
Worker offering
-
£2,797.72
Payments
Transfer to Main Fund
£2,000.00
Transfer to Worker Savings Fund
-
Transfer to Savings Fund
-
£0.00
Surplus/(Deficit) for year
£797.72
Balance b/f from last year
-
Balance c/f to next year
£797.72
2022
-
-
£25,500.00
£25,500.00
£29,871.79
£750.00
£30,621.79
£6,180.50
£36,802.29
-£11,302.29
£33,362.19
£22,059.90
2022
£2,400.00
£2,400.00
£-00
£2,400.00
£400.00
£2,800.00
2022
£7,806.69
£532.00
£1,617.00
£9,955.69
£3,232.00
£1,617.00
£4,000.00
£8,849.00
£1,106.69
£797.72
£1,904.41

PETTY CASH- Receipts and Payments Account

2021
Receipts
Church Members Paid Meals
£470.00
£470.00
Payments
Small food items
£63.92
£63.92
Transfer to Main Fund
£390.00
£453.92
Surplus/(Deficit) for year
£16.08
Balance b/f from last year
£1,787.41
Balance c/f to next year
£1,803.49
Petty Cash has now been closed.
CASH BOX FOR MUMS AND TOTS- Receipts and Payments Account
2021
Receipts
Mums and Tots snacks
-
£-00
Transfer in from Main Fund
-
£-00
Payments
Mums and Tots supplies
-
£-00
Transfer in to Main Fund
£40.00
£40.00
Surplus/(Deficit)
-£40.00
Balance b/f from last year
£95.97
Balance c/f to next year
£55.97
Cash Box for mums and tots has now been closed.
2022
-
£-00
£1,083.49
£1,083.49
£720.00
£1,803.49
-£1,803.49
£1,803.49
£-00
2022
-
£-00
-
£-00
-
£-00
£55.97
£55.97
-£55.97
£55.97
£-00**

TOTAL RECEIPTS AND PAYMENTS FOR 2022

(SUMMARY)

Receipts
Main Fund
Savings Fund
Worker Savings Fund
Worker Salaries Fund
Chapel House Building Fund
Meals Fund
Petty Cash
Childrens Club boxes
Payments
Main Fund
Savings Fund
Worker Savings Fund
Worker Salaries Fund
Chapel House Building Fund
Meals Fund
Petty Cash
Childrens Club boxes
Surplus/(Deficit)
Balance b/f from last year
Balance c/f to next year
2021
£111,989.55
£3.35
£26,534.05
-
-
£2,797.72
£470.00
-
£141,794.67
£99,985.22
-
-
£30,740.81
-
-
£63.92
-
£130,789.95
£11,004.72
£71,810.42
£82,815.14
2022
£132,943.06
£4.16
£28,169.05
-
-
£9,955.69
-
-
£171,071.96
£163,311.75
-
-
£30,621.79
-
-
£1,083.49
-
£195,017.03
-£23,945.07
£82,815.14
£82,815.14 £58,870.07

STATEMENT OF ASSETS AND LIABILITIES

Assets
Bank Account, balance in hand
Representing balances on Funds:
Main fund
Savings Fund
Worker Savings Fund
Worker Salaries Fund
Chapel House Building Fund
Meals Fund
Petty Cash
Childrens Club boxes
Non-monetary assets
Church building (inc Chapel house) : insured value
1 Pen y Bryn Way : insured value
Liabilities
Outstanding Loan for 1 Pen y Bryn Way
Balance as per last statement
NOTES TO ACCOUNTS
1 Bill Refunds
Church gas and electric refund
Tesco refunds
Asda refunds
Amazon refunds
Ebay refunds
Lloyds compensation
Other refunds
2 All Employees Staff Wages*
Net core staff stipend from Main Fund
Net worker stipend from Worker Salaries Fund
All Employees NI and Income Tax
All Employers/Employees contribution to NEST pension scheme
2021
£82,815.14
£8,473.58
£25,280.15
£12,642.04
£33,362.19
£400.00
£797.72
£1,803.49
£55.97
£2,960,026.00
£307,550.00
£18,106.95
2021
-
£36.00
-
£21.33
£132.45
£500.00
£914.74
£1,604.52
2021
£28,938.27
£30,740.81
£5,452.47
£4,850.98
£69,982.53
2022
£58,870.07
£5,893.36
£9,284.31
£16,928.09
£22,059.90
£2,800.00
£1,904.41
-
-
£8,903253.00
£470,400.00
£17,069.96
2022
£195.49
£171.72
£61.75
£45.67
-
-
£844.55
£1,319.18
2022*
£31,117.85
£29,871.79
£7,778.99
£5,868.01
£74,636.64
£69,982.53 £74,636.64
3 Regular bills for Church, Chapel House and 1 Pen y Bryn Way
Utilities (gas and electric)
Council Tax
Telephone and Internet
Insurance
Water
Manse Loan Repayments
Photocopying
Other regular bills
4 Building Repairs
Church boiler, central heating repairs and plumbing
Church fire extinguishers and fire safety
Church doors
Church kitchen equipment/renovation
Church cooker repairs
Church balstraude
Church roof repair
Skip hire
Church lock and keys
Church asbestos survey
Carpet clean for the church hallway and main church
Paint for church
Chapel House new boiler and repairs
Manse building repairs
Manse new boiler and renovations
Other church building repairs
2021
£4,884.94
£3,149.30
£1,080.39
£5,004.01
£1,178.34
£1,817.00
£1,233.96
£2,287.34
£20,635.28
2021
£1,171.07
-
£3,770.40
£297.55
-
£450.00
-
£415.48
£201.80
-
-
£89.00
£4,917.58
£32.47
-
£2,236.68
£13,582.03
2022
£10,361.45
£3,046.58
£1,080.00
£5,296.50
£1,643.29
£1,968.78
£808.80
£6,714.04
£30,919.44
2022
£561.07
£186.37
-
£644.48
£220.80
-
£36,643.67
-
£24.00
£660.00
£353.68
-
-
-
£4,689.98
£713.87
£13,582.03 £44,697.92
5 Miscellaneous *
Office supplies, stationary, books and advertising
Gabalfa merchandise
Treasurer’s laptop
Computer Tech
Tesco (food) supplies
Amazon supplies
Bookers supplies
Other supermarkets (food) supplies
Church holiday deposit
Church holiday payment
Staff conferences, travel and accommodation
Audit fee
Miscellaneous
2022
£1,649.46
£1,043.21
-
£864.45
£12,272.50
£2,015.60
£2,096.67
£4,418.00
£300.00
£9,250.25
£898.29
£70.00
£3,064.02
£37,942.45

*These are the miscellaneous items for the year 2022. 2021's breakdown has been omited for clarity.