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2024-12-31-accounts

Ballyhalbert Gospel Hall

Company Limited by Guarantee

Statement of Financial Activities (including income and expenditure account)

31 December 2024

2024
Unrestricted
funds Total funds
Note £ £
Incoming Resources
Voluntary and Charitable Income 5 68,764 68,764
─────── ────────
Total income 68,764 68,764
═══════ ════════
Expenditure
Expenditure from funds:
Resources Expended 6 (27,598) (27,598)
──────── ────────
Total expenditure (27,598) (27,598)
════════ ════════
──────── ────────
Net income/expenditure and net movement in funds (41,166) (41,166)
════════ ════════
Reconciliation of funds
Total funds brought forward 68,875 68,875
──────── ────────
Total funds carried forward 110,042 110,042
════════ ════════

The statement of financial activities includes all gains and losses recognised in the year. All income and expenditure derive from continuing activities.

The notes on pages 12 to 16 form part of the financial statements

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Ballyhalbert Gospel Hall

Company Limited by Guarantee

Statement of Financial Position

31 December 2024

2024
£
Current assets
Cash at bank and in hand 110,042
────────
110,042
────────
Net current assets 110,042
────────
Total assets less current liabilities 110,042
────────
Net assets 110,042
════════
Funds of the charity
Unrestricted funds 110,042
────────
Total charity funds 13 110,042
════════

For the year ending 31 December 2024 the charity was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Trustees responsibilities:

These financial statements have been prepared in accordance with the provisions applicable to companies subject to the small companies' regime.

These financial statements were approved by the board of trustees and authorised for issue on 14th May 2025, and are signed on behalf of the board by:

Stephen Fulton Trustee

Paul Whiteside Trustee

The notes on pages 12 to 16 form part of the financial statements

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Ballyhalbert Gospel Hall

Company Limited by Guarantee

Statement of Cash Flows

Year ended 31 December 2024

2024
£
Cash flows from operating activities
Net income/(expenditure) 41,166
───────
Cash generated from operations 41,166
───────
Net cash used in operating activities 41,166
═══════
Net decrease in cash and cash equivalents 41,166
Cash and cash equivalents at beginning of year 68,875
───────
Cash and cash equivalents at end of year 110,042
═══════

The notes on pages 12 to 16 form part of the financial statements

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