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2022-09-30-accounts

BELFAST FIRST CHURCH OF THE NAZARENE

140a Skegoneill Avenue BELFAST BT15 3JR

ACCOUNTS FOR THE PERIOD ENDED 30th SEPTEMBER 2022

TaxAssist Accountants 103 Cregagh Road Belfast BT6 8PY

BELFAST FIRST CHURCH OF THE NAZARENE

ANNUAL REPORT AND ACCOUNTS FOR THE PERIOD ENDED 30TH SEPTEMBER 2022

CONTENTS
TRUST INFORMATION
INCOME & EXPENDITURE STATEMENT
BALANCE SHEET
NOTES TO THE ACCOUNTS
PAGE
1
2
3
4 - 5

BELFAST FIRST CHURCH OF THE NAZARENE

TRUST INFORMATION

TRUSTEES Mr Stephen Anderson Mrs Lynda Heron Ms Tracy Mather Mrs Christine Molloy Mrs Lynn Myers CHARITY NUMBER 106405 ACCOUNTANTS TaxAssist Accountants 103 Cregagh Road Belfast BT6 8PY BANKERS Ulster Bank 202 - 206 York Street Belfast BT15 1HY

Page 1

BELFAST FIRST CHURCH OF THE NAZARENE

INCOME & EXPENDITURE STATEMENT FOR THE PERIOD ENDED 30th SEPTEMBER 2022

RECEIPTS
Tithes / Gifts
Gift Aid
Room Hire
Dedicated Gifts
Interest Receivable
Shop Sales
Others
EXPENDITURE
Pastor's Employment Costs
Salaries
Shop Rent
Interest - BNID
Light & Heat
Water Rates
Equipment Expensed
Speaking Fees
Insurance
Repairs and Maintenance
Accountancy
Mission / Outreach
Charitable Donations
Conferences
Gifts
Childrens Ministry
Sundry Expenses
Printing, Posting & Stationery
Cleaning
Bank Fees / Charges
NET SURPLUS
Year Ended
Year Ended
30 Septmber 2022
30 Septmber 2021
£
£
23,436
41,131
16,595
16,016
4,645
2,418
19,464
-
49
23
25,343
17,757
1,406
1,974
90,938
79,319
711
8,688
11,311
10,369
5,525
4,250
-
180
3,839
3,393
314
278
539
645
1,500
600
2,622
2,521
2,546
3,058
468
468
5,195
2,217
1,200
7,000
3,085
2,626
8,724
12,730
234
288
153
138
235
-
1,839
1,415
40
-
50,080
60,864
40,858
18,455

Page 2

BELFAST FIRST CHURCH OF THE NAZARENE

BALANCE SHEET AS AT 30TH SEPTEMBER 2022

Notes
FIXED ASSETS
Tangible Assets
2
CURRENT ASSETS
Debtors
3
Bank and Cash Balance
CURRENT LIABILITIES
Accruals
4
CURRENT ASSETS LESS CURRENT LIABILITIES
TOTAL ASSETS
Creditors due after more than one Year
5
NET TOTAL ASSETS
FINANCED BY
Other Reserves
Income and Expenditure Account
MEMBERS' FUNDS
2022
£
-
85,586
85,586
936
2022
£
1,267,363
84,650
1,352,013
-
1,352,013
1,311,155
40,858
1,352,013
2021
£
-
63,724
63,724
468
2021
£
1,267,363
63,256
1,330,619
19,464
1,311,155
1,292,700
18,455
1,311,155

Approved by the Board:

We confirm that:

Chrstine Molloy - Trustee

Tracy Mather - TREASURER

DATE

On behalf of Belfast First Church of the Nazarene

Page 3

BELFAST FIRST CHURCH OF THE NAZARENE

NOTES TO THE ACCOUNTS FOR THE PERIOD ENDED 30TH SEPTEMBER 2022

ACCOUNTING POLICIES

1.1 ACCOUNTING CONVENTION

The accounts are prepared under the historical cost convention modified when necessary to include the revaluation of certain fixed assets

1.2 TANGIBLE FIXED ASSETS AND DEPRECIATION

Depreciation is calculated to write off the net cost of fixed assets over their estimated useful lives at the following rates:

Fixtures and Fittings 25% Straight Line

TANGIBLE ASSETS

COST
As at 1st October 2021
Disposals
Additions
As at 30th September 2022
DEPRECIATION
As at 1st October 2021
Eliminated on Disposal
Charge for the Year
As at 30th September 2022
NET BOOK VALUE
As at 30th September 2022
As at 30th September 2021
Land &
Buildings
Freehold
1,267,363
-
-
1,267,363
-
-
-
-
1,267,363
1,267,363
Equipment
Total
34,859
1,302,222
-
-
-
-
34,859
1,302,222
34,859
34,859
-
-
-
-
34,859
34,859
-
1,267,363
-
1,267,363

Page 4

BELFAST FIRST CHURCH OF THE NAZARENE

NOTES TO THE ACCOUNTS FOR THE PERIOD ENDED 30TH SEPTEMBER 2022

3
4
5
DEBTORS
Gift Aid Receivable
Gift Aid is now reported on an actual received basis
CREDITORS
Accruals
CREDITORS DUE AFTER MORE THAN ONE YEAR
BIND - Nazarene Church
2022
£
-
-
936
936
-
-
2021
£
-
-
468
468
19,464
19,464

Page 5