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2023-09-30-accounts

P

TRUSTEES ACCOUNTS CHURCHES OF

GOD IN IRELAND LARNE

CONGREGATION

ACCOUNTS REPORT

YEAR ENDING 30th SEPTEMBER 2023

I have prepared the accounts set out in the following pages from the records and information supplied to me.

To the best of my knowledge and belief these accounts are in agreement therewith.

I have not carried out an audit of the accounts.

Oral Shields MCIPD

14 Drumreagh Road

Ballygowan

Co Down

Northern Ireland

BT23 6IJ

.

TRUSTEES ACCOUNTS CHURCHES OF GOD IN

IRELAND LARNE CONGREGATION INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDING 30th SEPTEMBER 2023

2023 2022
INCOME
Offerings, Gifts & Fundraising 12765 13035
Bank Interest 15 2
Gift Aid 6902 481
Government Energy Payment 600 -
Insurance Recovery 2968
Total Income 23250 13518
EXPENDITURE
Audiol Visual 1361 986
Electric 2259 1063
Water Charges 410 536
General Office 360 480
Insurance 770 765
Church Maintenance 2040 -
Miscellaneous 252 322
Charity Donations - 717
TOTAL EXPENDITURE 7453 4868
NET SURPLUS FOR YEAR 15797 8648

TRUSTEES ACCOUNTS CHURCHES OF GOD IN

IRELAND LARINE CONGREGATION BALANCE

SHEET AS AT 30th SEPTEMBER 2023

2023 2022
FIXED ASSETS
Church Buildings 101765 101765
Furnishings & Equipment 8986 8986
TOTAL FIXED ASSETS 110751 110751
CURRENT ASSETS
Santander Current Account 72673 56890
Santander Saver Account 20208 20191
TOTAL CURRENT ASSETS 92881 77081
NET CURRENT ASSETS 203632 187832
FINANCED BY:
CAPITAL FUND
Balance at 30thSeptember 2022 & 2023 110751 110751
ACCUMULATED SURPLUS
Balance at 30thSeptember 2023 77084 68433
Add Net Surplus for Year 15797 8648
92881 77081
TOTAL FUNDS 203632 187832

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TRUSTEES ACCOUNTS CHURCHES

OF GOD IN IRELAND LARNE

CONGREGATION NOTES TO THE

ACCOUNTS

YEAR ENDED 30th SEPTEMBER 2023

1. FIXED ASSETS

Church Buildings Furnishing & Equipment Furnishing & Equipment Total
COST
At 30thSeptember 2022 101765 8986 110751
Additions During Year -
-
At 30thSeptember 2023 101765 8986 110751
DEPRECIATION
- - -
At 30thSeptember 2022 ~ . -
- - -
Charge for Year
-
- - -
At 3OthSeptember 2023 -
-
NET BOOK VALUE
At30thSeptember 2022 101765 8986 110751
At 30thSeptember 2023 101765 8986 110751

2. DEPRECIATION

Church Buildings, Furniture and Equipment are not depreciated.

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