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2022-12-31-accounts

RURAL MISSION SOLUTIONS

Company Registration Number: 2433511

Charity Registration Number: 802305

ANNUAL REPORT AND FINANCIAL ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2022

Annual Report and Accounts 2022

CONTENTS

Page
Company information 2
Report of the Trustees/Directors 3 - 4
Statement of financial activities 5
Summary income and expenditure account 6
Balance sheet 7
Notes 8 - 9
COMPANY INFORMATION
DATE OF INCORPORATION 17 October 1989
COMPANY NUMBER 2433511
CHARITY NUMBER 802305
DIRECTORS/TRUSTEES SERVING DURING 2022 Gordon Banks
Heather Frederick
Elizabeth Ingram
Christopher Knott
James Mullin
Graham Wise
COMPANY SECRETARY Barry Charles Osborne
REGISTERED OFFICE Centre for Rural Mission 20
Tebbutt Lodge, Clarence St
Market Harborough
Leicestershire LE16 7QH
BANKERS Bank of Scotland
33 Old Broad Street London Branch
PO Box 1000
BX2 1LB
SOLICITORS Ellis-Fermore & Negus
2 Devonshire Avenue
Beeston
Nottingham
NG9 1BS

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Annual Report and Accounts 2022

Directors’ Report

The object of the Charity is to support rural churches in being missional in ways that are appropriate to the size and nature of the church and appropriate to the culture in which they are situated. We work with churches across a range of traditions. The Charity serves the public benefit in accordance with the Charity Commissions guidelines both directly through its activities and through the missional activities of local churches which are developed to serve the public benefit. It is noted that a recent survey showed that 70% of social capital in rural areas is provided through the churches and their members. We offer a range of resources through which the object is achieved including regular one to one advice, webinars on relevant topics, local consultations, promoting mutual-help networks, and our website. GOVERNING INSTRUMENT

The Charity is incorporated and the trustees/directors are currently reviewing the existing Memorandum and Articles to ensure that these meet current requirements of the Charity Commission and Companies House, and are appropriate for the purposes for which the Charity was established.

Trustees/Directors

The Continuing Trustees who served during the year were as follows: Mr Christopher Knott, Rev'd James Mullin, Captain Gordon Banks (Church Army), Canon Mrs Elizabeth Ingram and Mrs Heather Frederick. Trustees give their time freely; expenses incurred in attending meetings may be reimbursed. Serving Trustees may be elected to serve a further term should they wish. The appointment of additional trustees (up to a total of twelve) is the responsibility of the Board of Trustees/Directors. In this respect, the Trustees look for additional or alternative Trustees who will be committed to the objects for which the Charity is established, and which satisfy the guidance of the Charity Commission. Mrs Frederick has particular responsibility for monitoring the financial affairs.

MrsIngramhasresponsibilityformonitoringandadvisingregardingSafeguarding issues. Accounts

Accounts are prepared in accordance with SORP (FRS102). For the year ending 31st December 2022, the Charity benefited from grants from Mission for Christ, a charity with similar aims and objectives. Additional funds were available but the CEO was suffering from acute and chronic ill health, so these were not drawn upon before the year end. The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts. These accrual accounts have been prepared in accordance with the provisions applicable to companies subject to the small companies’ regime. The Charity has no funds that are restricted or endowed. The reserves policy is based upon 50% of the previous year’s expenditure or a normal annual expenditure The accounts show a deficit for the year. This would normally have been cleared with an additional promised grant, but pressure of time and health on the Secretary who was waiting for surgery on his spine, and had been expecting a removal for both his home and office, caused this to be overlooked.

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Annual Report and Accounts 2022

2022 ACTIVITIES

During 2020, the activities were affected by restrictions imposed because of the Covid Pandemic. ThePandemichadasubstantialimpactforthreeyears,whichincludesthe year being reported here. As the Covid Pandemic began to ease, the charity commenced a programme to promote periodic national open online forums, local consultations under the title ‘Good News in the Countryside’, and church development processes called ‘Mission Can Be Fun’. Ity is anticipated that all three will be rolled out further in 2023. Conversations are continuing with the trustees of Mission for Christ and Action for Christ with a view to these small charities merging with Rural Mission Solutions. The Charity’s CEO also meets periodically with other mission organisations engaged in rural ministry in the UK. The purpose of these meetings is mutual encouragement and sharing information that might prove beneficial. The Charity continues to provide administrative and representative services for the Rural Evangelism Network. The Network provides a forum for specialised organisations and representation from Christian denominations with rural presence to share their knowledge and experience to promote effective and appropriate rural evangelism.

SAFEGUARDING POLICY

Members of staff, regular volunteers and the Board of Trustees hold DBS Certificates. The Charity takes seriously the issue of ensuring that those who use our services can do so with confidence. The safety and welfare of children and vulnerable adults is of primary importance. All the Policy Documents of the Charity are reviewed annually and updated when necessary. Copies may be obtained from the office.

RISK MANAGEMENT

Much of the work of the Charity has been dependent upon the knowledge and skills of its founder members. The Charity does not have a retirement policy and is grateful for the dedication shown by staff who have passed the normal age of retirement. However, the Trustees recognise that consideration must be given for the future and will be taking appropriate steps. Similarly, the work of the Charity is largely funded by donations from a loyal band of supporters who are also ageing and therefore potentially diminishing. Developing and implementing strategies for addressing this continues to be a high priority to the Trustees. The directors/trustees are confident that the Charity is well able to progress its vision and objects for the immediate future, while planning for longer sustainability within the changing context of its mission.

Signed by Order of the Trustees/Directors:

Rev Barry Osborne Company Secretary

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Annual Report and Accounts 2022

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2022

Notes
2022 2021
INCOME
Donations 1 7,573 11,402
Taxrecoverable 1,023 846
Grants received 2 21,000 0
TOTALINCOME 29,596 12,248
EXPENDITURE
Staff salaries etc 3 32,728 23,448
Ministry expenses 983 3,866
Administration 6 2,347 3,802
Advertising & PR 73 538
Insurance 271 261
Governance 7 2,023 190
Professional services 4,025 0
TOTAL EXPENDITURE 42,450 32,105
Operating loss 2 -12,854 -19,857

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Annual Report and Accounts 2022

Net Profit/Loss
Gross Income for continuing operation
Gross expenditure for continuing operations
2022
29,596
42,450
-12,854
INCOME & EXPENDITURE ACCOUNT FOR THE
YEAR ENDED 31 DECEMBER 2022
Net Profit/Loss
Gross Income for continuing operation
Gross expenditure for continuing operations
2022
29,596
42,450
-12,854
INCOME & EXPENDITURE ACCOUNT FOR THE
YEAR ENDED 31 DECEMBER 2022
2021
12,248
32,105
42,450
-12,854 -19,357

The Summary Income and Expenditure Account is derived from the Statement of Financial Activities on page 6 which, together with the notes to the accounts on pages 9 to 10, provides full information on the movements during the period on all the funds of the Charity.

The notes on pages 9 to 10 form part of these accounts.

There are no recognised gains or losses in 2021 or 2022 other than shown above.

6

Annual Report and Accounts 2022

BALANCE SHEET AS AT 31st DECEMBER 2022

2022 2021
Fixed Assets 0 0
Funds in hand and bank 1,429 12.745
Debtors 4 3,252 846
Total Current Assets 4,681 13,591
Creditors payable within one year 5 3,972 5,038
Net Assets -709 8,553
Reserves
Brought forward -7,555 12,302
Surplus/Loss on year -12,854 -19,857
Carried Forward -20,409 -7,555

The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

The Financial Statements on pages 5 to 10 were approved by the Trustees/Directors on 14 May2018andsignedonitsbehalfby:th

Trustee/Director

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Annual Report and Accounts 2022

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2022

1. ACCOUNTINGPOLICIES

2. GRANTS

Additional grants were available but were not claimed due to chronic and acute health problems suffered by the CEO who also serves as Company Secretary and Treasurer.

3. STAFFCOSTS

The Charity benefits from the dedicated service of voluntary workers. The CEO and some rustees who engage in the general activities, do so on a voluntary basis. At the start of 2021 there was one staff member employed. Two further staff members were employed during 2021 on a part-time basis.

4. DEBTORS

‘Debtors’ is primarily funds claimable from HMRC under the Gift Aid Scheme

5. CREDITORS

‘Creditors’ represents reimbursements due to the CEO for accumulated expenses.

6. GENERAL ADMINISTRATION

General Administration refers to post, phone, printing and stationery costs generated in direct pursuance of the objects of the charity, such as the production of resources used in education, correspondence with clients, rather than the administration of the company/charity.

7. GOVERNANCE

The only items in this category refer to reimbursement of trustees’ costs in travelling to meetings, and the cost of hiring venues.

8. TAXATION

The organisation is a registered charity and therefore exempt from United Kingdom Taxation.

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Annual Report and Accounts 2022

13 LIMITEDLIABILITY

The Company is limited by guarantee and does not have a share capital. The liability of each member is limited to a maximum of £10. The total number of members at 31 December 2022 was six.st

14 STAFF REMUNERATION

Employees earn less than £40,000 pa

9

RURAL MISSION SOLUTIONS STATEMENT OF ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2022

RURAL MISSION SOLUTIONS CONTENTS FOR THE YEAR ENDED 31ST DECEMBER 2022 CHARITY No. 802305

Page
1 Income and Expenditure Account
2 Balance Sheet
3 Notes to the Accounts
4 Examiners Report

RURAL MISSION SOLUTIONS

INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31ST DECEMBER 2022

Rtitd Rtitd Utitd Utitd
esrce resrce
OTHER EXPENDITURE
TOTAL EXPENDITURE
NET DEFECIT FOR THE YEAR
TOTAL INCOME
LESS EXPENDITURE
ADMINISTRATION EXPENSES
Staff Salaries
Employer's Pension
Ministry Expenses
Administration Expenses
Insurance
Professional Expenses
Advertising
Auditors Remuneration
INCOME
Travel costs
Donations
Other Income
INCOME
Notes Funds 3 2,068
660
293
2 ,347
271
3 ,875
73
150
3 9,737
2 ,713
2,713
4 2,450
(12854)
2022
2 8,573
1 ,023
29,596
32,068
660
293
2,347
271
3,875
73
150
39,737
2,713
2,713
42,450
12854
Funds
28,573
1,023
29,596
2021
11,402
846
12,248
23,448
-
3,866
3,802
261
-
538
-
31,915
190
190
32,105
19857
5
0
-
-
-
,
(,)
(,)

Page 1

----- Start of picture text -----
RURAL MISSION SOLUTIONS
BALANCE SHEET
AT 31ST DECEMBER 2022
Notes 2022 2021
ACCUMULATED FUNDS
Accumulated Funds 1 709 13,563
REPRESENTED BY :
CURRENT ASSETS
Debtors 2 3,252 1,279
Cash at Bank 3 1,379 12,417
Cash in Hand 50 220
4,681 13,916
LESS: LONG TERM LIABILITIES
- -
LESS : CURRENT LIABILITIES
Sundry Creditors 4 3,972 353
3,972 353
709 13,563
----- End of picture text -----

............................................................................................. Mr Barry Osborne

Page 2

RURAL MISSION SOLUTIONS NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31ST DECEMBER 2022

1
2
3
4
5
DEBTORS
CREDITORS
CASH AT BANK
ACCUMULATED FUNDS
TRUSTEES'REMUNERATION
BOS
HMRC Gift Aid
Owed from Trustees
Auditors Remuneration
Owed to Trustees
Owed to Pensions
Balance brought forward
Net Defecit for the year
Accumulated funds
2022
1,379
1,379
150
2,281
1,541
3,972
13,563
(12,854)
709
1,867
1,385
3,252
2021
12,417
12,417
-
3 5 3
-
353
33,420
(19,857)
13,563
844
435
1,279
6 GLOSSARY OF TERMS
Restricted Funds:
Trustees are not remunerated.
These are funds given to the charity, subject to specific restrictions
set by the donor, but still within the general objects of the charity.

Page 3

RURAL MISSION SOLUTIONS EXAMINERS REPORT FOR THE YEAR ENDED 31ST DECEMBER 2022

Basis of Independent Examiners Report

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes 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 seeking 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 express an audit opinion on the view given by the accounts.

Independent Examiners Statement

In connection with my examination, no matter has come to my attention:

to keep accounting records in accordance with section 41 of the Act; and

to prepare accounts which accord with the accounting records and to comply with the accounting requirements of the Act

have not been met; or

.............................................................................

Mr N J Yousuf MAAT Independent Examiner

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