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2021-03-31-accounts

GRANGETOWN BAPTIST CHURCH

Annual Report for the Charity Commission – 01/04/2020 - 31/03/2021

Throughout this year (April 2020 to March 2021) we have continued to pursue our charitable objectives.

Despite the lockdowns, as soon as we were able to meet, we have done so. Our regular Sunday Services have continued and attendance has grown significantly. The English Classes have met as they have been able. They too have known considerable growth. There are now four classes on a Thursday and three on a Friday. The Night Shelter ran on Monday nights over the winter months in a limited and COVID safe way. The Foodbank has continued to run on Fridays throughout the year. People have come to our Sunday services through all of these ministries. Our weekly prayer meeting continues and is growing.

Sunday School and Town Kids continue to be well attended and our membership has continued to grow.

Over the year we have initiated and completed a large number of maintenance and refurbishment projects on the building. This work continues.

Our online presence continues also. We stream our Sunday Services and our daily livestream at 8.45am each weekday morning continues also. We have run a number of introductory courses online through the year over zoom.

Our financial situation is improving in a very encouraging way.

We have also invested in training with the aim of raising up new leaders in the church

It has been a busy and, with COVID, a very challenging year. We to look to God to continue to build his church in the year to come.

The Trustees

Grangetown Baptist Church

Grangetown Baptist Church: Income & Expenditure, 2020 – 2021.

– 2021.
Financial year: 2019-2020
2020-2021
Income: £
£
Standing orders 3520=00
3140=00
Stewardship services 16993=42
23567=20
Tithes & oferings 12478=66
13497=47
Tithe.ly 1890=34
Deposit account interest 7=53
6=23
Donation via C.A.F. 100=00
Donation re. Christianity Explored 1000=00
Donation from Ebenezer re. C.W.U. 50=00
Interest free loan 35000=00
Minor items 2750=00
Welsh Government
695=52
P.B.F. Grant 29400=00
29400=00
Donations for P.B.F. 181=44
Fieldsdene Trust [grant re sound system etc.] 10000=00
SSE refund [change of meter 129 Clive St.] 23=33
Rents:
129 Clive Street
1065=00
9805=00
English Class 470=00
30=00
Funeral of Beryl Holcombe 198=95
Estate of Beryl Holcombe 3000=00
In memory of Elvira Lewis 5000=00
Harvest 165=70
Carols @ Asda [night shelter - microwave] 264=69
Quiz night for T.E.A.R. Fund 156=38

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2019-2020 2020-2021

£ £

Sale of scrap metals 111=99 Re. loan of scaffolding 100=00 Total Income: 85266=62 119781=76

Expenditure:

Loan repayments 800=00 Sent to P.B.F. 181=44 Moderator 400=00 Tax & NI re [Moderator last year &] Pastor 9993=02 9920=53 Pastor [net salary] 30594=50 31324=88 C Management Services 140=00 130=00 B.U. Pension Fund 2265=39 25083=46 Pulpit fees 510=00 300=00 Support for Marcos 3020=32 Administration 5645=65 I.C.O. fee 40=00 Harvest: Samaritan’s Purse 82=85 Christians against poverty 82=85 T.E.A.R. Fund 156=38 Catering re T.E.A.R. Fund quiz night 77=65 Reach Across 200=00 Benevolence 586=55 200=00 Church heating [gas from CNG] 3794=10 2928=53 Water 229=30 158=81 Night Shelter 297=84 2019-2020 2020-2021 £ £* Microwave oven [requested by Night Shelter] 287=99 Electricity 960=00 960=00

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Catering

45=79

Catering 45=79
Outreach 1475=73
Books / tracts / printing 1393=41
Church Themes package 81=30
Paper [Easter Cracked booklets] 7=00
Persian DVD re Christianity Explored 21=83
Chapel buildings 23273=76
14916=16
Insurance: 129 Clive St. 283=72 292=79
Chapel buildings 2891=27 2960=51
129 Clive Street 414=00
Refreshment supplies 217=31
Janitorial supplies 986=22 471=18
CDC Specialists [cleaning] 660=00 864=00
Café church 94=05
Telephone & broadband 714=12 836=97
129 Clive St. 4260=24
Youth:
general expenses
175=70
Holiday bible club 86=52
Sunday School 16=48
Toddlers 104=21
Subscriptions 333=38 393=26
Minor items 190=00
2019-2020 2020-2021
£ £
Photocopier*: 1stofce 199=28
Siemens Financial Servs. 581=40
WebBox* 180=00
Total Expenditure: 87441=06 103332=57
Closing balances at Co-Operative Bank 31stMarch:

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37843=32 53986=28 1772=14 2078=37

Community Directplus A/c [current] Business Select Instant Access A/c Total

39615=46

56064=65

Bank Reconciliation

Opening Balances 39615=46 Total income 119781=76 159397=22 Less total expenditure 103332=57 Closing Balance 56064=65

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CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examiner's Report Roport to the trustsosl membors of A)a bprmsf On accounts forth• ￿ar •nd Charity no Irf any} 31sr 2Q% Set out on pag•s I rewrt to the trustees on my examinw)n of the afy￿nts of the at￿)ve charity {Ihe Ttusfi for ￿ year ended R•sponsibilili•s And As the chaty trustees of the TnJ# you are res[a￿SIb￿ for the p￿paration basis of r•port of the ￿)Unts in aco3rdarKe with the reqUireM￿ts of the Chaiilies Act 2011 I-the Acri. I reFQrt in respect of my examination of the Trust's accounts Carried out under secon 145 of the 2011 Act and in carrying out my eyamination. I have follcmed the applicable t)irections gwen by the Charity Commission under sedion 145(51{b) ofthe Ac£ Indo￿ndant I have ¢omplettrJ my examination. l ¢ornI￿n that no material matters have •xaminer's statem•nt corr to my attention (other than that disclosed tk)w') in COnn￿tIon the examination vknich gNes me cause to belthE that in. any material acccAJnting records re not kept in accordance with section 130 of the Act or I haNe no concems and have come across no other matters in conneLttion v￿th the examination to thi¢h attents'on should te drabw) in order to enabk a proper understanding of Ihe accounts to be r&%hed. . Please d818ts the words in tha brackets rfthey () not apply. Slgn•d: Namo: P4J¥ R•levanl profosslonal qualifi¢ation(s) or body (rf any): Addr•ss: k•q V IER OCto￿r 2018

Section B Disclosure Only c￿mplete rf examiner needs to highlwjht malters of concem (see CC32, IndeFendent eyAmination of acc(￿nts. direG*ions and guidance for examiners). Glv• h•r• bri•f d•tails of any itsms that the examiner wishes tt4 disclose. IER October 2018

Grangetown Baptist Church: Income & Expenditure. 2020 - 2021. Financial year: Income: 2019-2020 2020-2021 StarKling orders Stewardship Services Tithes & offeriThJs Tithe. 3520= 3140=00 16993-42 23567-20 12478=66 13497=47 1890=34 Deposit account interest Donation via C.A.F. 7=53 6=23 ICXF- Donation re. Christianity Explored Donation from Eb￿￿Zer re. C.W.U. Interest f ree loan Icu)=(K) 35000~IX) Minor items 2750=00 Welsh Government 695=52 P.8.F. Grant 294CX).-(J) 29400=00 Don(rtions for P.B.F. 181=44 Fieldsdene Trust t9rant re sound system etc.] SSE refund [charye of meter 129 Clive St.] Rents: 129 Clive Street I(xKtr. 23=33 1065=00 9805=00 Erylish Class Funerol of Beryl Holcombe Estate of Beryl Holcombe In memory of Elvira Lewis Harvest 198-95 30(X).-CKI 5(KX).-Th) 165=70 Carols @ Asda [night shelter - microwave] Quiz ni9ht for T.E.A.11. Fund 264~69 156=38

2019-2020 2020-2021 Sale of scrap metals Re. loan of scaffoldirg Total Income: 111=99 85266=62 119781=76 Expenditwe: Loan repayments Sent to P.B.F. 800=00 181=44 Moderator Tax & NI re [Moderator last year a] P<stor Pastor [net salary] C Monogement Services B.U. Pension Fund 9993=02 9920-53 30594=50 31324=88 140--CK) 2265=39 25083=46 Pulpit fees 300--00 Support for Marcos Administration 3020-32 5645=65 I.C.O. fee" 4(kCX) Harvest: samarit*￿,$ Purse 82-85 Christians against poverty T.E.A.11. Fund 82=85 156=38 Caterir9 re T.E.A.R. Fund quiz ni9ht Reach Across 77=65 200-- Benevolence 586=55 2(Tr-00 Church he(rtI￿ ￿ from CNG] Water 3794=10 2928=53 229=30 158=81 Night Shelter 297=84

2019-2020 2020-2021 Microwave oven [requested by Night Shelter] Electricity CateriNJ O(rtreach 287-99 960--(Xl 960=(XI 45=79 1475=73 Books / tracts / printir Church Themes pac Poper [E¢]ster Crncked booklets] Persian re Christianity Explored Chapel buildiNJs Insurance: 129 Clive St. 1393=41 81=30 21-83 23273=76 14916=16 283=72 292=79 Chapel buildiws 129 Clive Street 2891=27 2960-51 414=CM) Ref reshment supplies Janitorial supplies CDC Specialists [cleanirg] Cafe church 217=31 986=22 471=18 864=CK) 94=05 Telephone & broadband 129 Clive St. 714=12 836=97 4260--24 Youth: general expenses Holiday bible club Sunday School Toddlers 175-70 86-52 16=48 104=21 Subscriptions Minor items 333-38 393=26 190--00

2019-2020 2020-2021 Photocopier": 1st off ice 199=28 Siemens Firnncial Servs. 581-40 WebBox" Total Expenditure: 87441=06 103332=57 Clositvj balances at Co-operative Bank 31SI March: Community Directplus A/c [current] Business Select Instront Access A/c 37843=32 53986=28 1772=14 2078=37 Total 39615-46 8ank R¢c¢Jnciliation openi￿ Balances Total income 39615-46 119781=76 159397-22 Less total expenditure Closiw BalaKe 103332=57 56064.65