OpenCharities

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2025-03-31-accounts

APPENDIX 1 OSCR Period start date nth Year 2024 Period end date Month Year 03 2025 Day 01 ay 31 From To ScottLth Charrty Regulator Off ice of the Scottish Charity Regulator Reference and admi nistration details Charlty name Other names charlty Is known by Registered charity number Grace Community Church SC044857 Charlty's prlnclpal address 39 GreerKlykes Road Broxbum West Lothlan Postcode EH52 SAF Names of the charlty trustees on data of approval of Trustees, Annual Report Nam• of p•r8on (or body) •nlltled to appoint trustee tsf any) Trusta• name Offlc• Ilf any) Datos act￿ If not for whole year Chair Treasurer Trustee 10 11 12 13 14 15 16 17 18 19 20

APPENDIX 1 Reference and administration details Names of all other charity tru8ts08 durlng tha ￿rfOd, If anyj (for axampl•, those who rn81gned part way through the financial period) Name D*8 acted If not for whole year Structure, governance and management Type of governing document The Charity is an unincorporated association governed by Articles. Trust•• r•crultm•nt and appolntrn•nt New trustees ￿111 be appointed by the ekjers arKI endorsed by the membef5. Induction of new trustees wll include familiarisation of the constitution as well as being made aware of charity trustee duties and responsibl￿tIes. Objectives and activities Charltable purposes The purpose of Ihe Church is to av￿Ce the Christian religion by providing a centre for . Pre&hing - the public prodamation of the Bible. the Word of God. Te￿hIng - the discipleship and instruction of believers through the Bible" Re&hing - re&hing out to the unsaved, vtherever they may be. with the messaJe of the Gospel and with &ts of corry)assion and mercy. Summary of the maln acllvllles In rnlation to th•s• obj•cts Weekly seprfices: prayer meetiTrJs; bible studies: tr￿rne groups; outreach activities

APPENDIX 1 Achievements and performance Summary of th• maln aehlev•ments of the charity during the financial period The charity sho%*d a surplus of £250 in the year (deficit £3,833 in 2 24). Financial review Brlef statement of the charltys polley The charity Trustees ensure there are suff icient reserves to provide for 3 on reserves months of orHJoing costs. They are satisf led that reserves allow for the continued operation of the charity. D•tai18 of any d•ficit Donatsd facllllles and servlces (If any)

APPENDIX 1 Other optional information Declaration The trustees declare that they have approved the ITUStees' report above. Slgned on behalf of the charl￿$ trustees Signature(s) OSCR will accept dlgltal or typed $lgn4turns Full name(s) Posltlon {•.g. Chalr) Chair TreaSU￿r

Date 14.12.2025 1￿12.2025

Updated Totals
Grace CC Finances for year 24/25
Opening Balance 13,917.14 13,917.14
Total Income (01.04.24 - 30.03.25) 30,052.14 29,352.84
Total Expenditure (01.04.23 - 30.09.24 ) 29,802.29 29,102.99
Balance (31.03.25) 14,166.99 14,166.99
INCOME OFFERINGS MISSIONS MINISTRY BUILDING OTHER
DESIGNATED
UNDESIGNATED TOTAL INCOME
April £1,400.00 £50.00 £25.00 £0.00 £0.00 £0.00 £1,475.00
May £1,960.00 £0.00 £25.00 £0.00 £192.96 £0.00 £2,177.96
June £2,373.00 £150.00 £25.00 £0.00 £468.07 £0.00 £3,016.07
July £2,417.75 £320.00 £25.00 £0.00 £10.00 £0.00 £2,772.75
August £911.50 £0.00 £25.00 £0.00 £0.00 £0.00 £936.50
September £3,243.00 £340.00 £25.00 £0.00 £50.00 £0.00 £3,658.00
October £2,751.84 £0.00 £50.00 £0.00 £0.00 £0.00 £2,801.84
November £1,605.00 £0.00 £50.00 £0.00 £38.27 £0.00 £1,693.27
December £3,705.75 £0.00 £50.00 £0.00 £0.00 £0.00 £3,755.75
January £2,275.00 £0.00 £50.00 £50.00 £0.00 £0.00 £2,375.00
February £3,135.00 £0.00 £0.00 £0.00 £0.00 £0.00 £3,135.00
March £2,255.00 £0.00 £0.00 £0.00 £0.00 £0.00 £2,255.00
Total £28,032.84 £860.00 £350.00 £50.00 £759.30 £0.00 £30,052.14
Updated 28,292.84
600.00
350.00
50.00
60.00
0.00
29,352.84
Diff £260.00
-£260.00
£0.00
£0.00
-£699.30
£0.00
-699.30
EXPENDITURE ELECTRICITY GAS COMPUTER &
TECHNOLOGY
INSURANCE MINISTRY BUILDING &
SUPPLIES
OUTREACH LITERATURE /
PUBLISHING
MISSIONS HOSPITALITY HELPS OTHER TOTAL
EXPENDITURE
April £64.00 £0.00 £127.99 £0.00 £3,075.00 £233.69 £0.00 £0.00 £0.00 £73.75 £0.00 £0.00 £3,574.43
May £64.00 £0.00 £551.86 £160.63 £1,800.00 £180.00 £24.97 £0.00 £178.97 £0.00 £0.00 £35.00 £2,995.43
June £64.00 £0.00 £48.00 £80.33 £85.00 £202.98 £0.00 £0.00 £0.00 £178.65 £13.32 £50.00 £722.28
July £64.00 £7.88 £48.00 £80.33 £3,100.00 £278.29 £0.00 £0.00 £400.00 £23.60 £35.07 £0.00 £4,037.17
August £64.00 £81.38 £48.00 £80.33 £1,700.00 £180.00 £0.00 £0.00 £100.00 £0.00 £0.00 £0.00 £2,253.71
September £64.00 £64.77 £48.00 £80.33 £1,600.00 £180.00 £0.00 £0.00 £0.00 £10.24 £0.00 £200.00 £2,247.34
October £64.00 £62.69 £63.59 £80.33 £1,500.00 £230.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £2,000.61
November £64.00 £64.77 £227.36 £80.33 £75.00 £345.41 £0.00 £140.00 £0.00 £0.00 £0.00 £38.27 £1,035.14
December £64.00 £62.69 £63.59 £80.33 £3,100.00 £125.00 £0.00 £68.42 £0.00 £50.62 £0.00 £0.00 £3,614.65
January £64.00 £64.77 £73.58 £80.33 £1,500.00 £116.79 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £1,899.47
February £64.00 £64.77 £63.59 £80.33 £1,500.00 £100.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £1,872.69
March £64.00 £291.68 £63.59 £80.33 £1,680.00 £100.00 £0.00 £133.25 £0.00 £0.00 £0.00 £0.00 £2,412.85
Total £768.00 £765.40 £1,427.15 £963.93 £20,715.00 £2,272.16 £24.97 £341.67 £678.97 £336.86 £48.39 £323.27 £28,665.77
Per transactions
Difference
Income
Expenditure
Surplus/(loss) for
the year
Transfers
Funds b/f
Funds c/fwd
General
Building
Ministry
Restricted
Missions
Other Designated
Total
£
£
£
£
£
£
28,292.84
50.00
350.00
600.00
60.00
29,352.84
-2,637.03
-4,795.48
-20,715.00
-955.48
0
-29,102.99
25,655.81
-4,745.48
-20,365.00
-355.48
60.00
249.85
0.00
23,720.45
-4,179.56
0.00
-6,088.51
464.05
13,916.43
49,376.26
-8,925.04
-20,365.00
-6,443.99
524.05
14,166.28
-0.71
£
29,352.84
29,102.99
249.85
Summary
Income
Expenditure
Surplus/(deficit)
£
29,352.84
29,102.99
249.85

APPENDIX 2

Grace Community Church

SCO44857

Section B Statement of balances Section B Statement of balances
Categories
Signed by one or two trustees
on behalf of all the trustees
B1 Cash funds
B2 Investments
B3 Other assets
B5 Contingent liabilities
B4 Liabilities
Details Unrestricted
funds
to nearest £
19,541
545
Restricted funds
to nearest £
5,625)
(
295)
(
Expendable
endowment
funds
to nearest £
Permanent
endowment
funds
to nearest £
Total current
period
to nearest £
Total last period
to nearest £
Cash and bank balances at start of year - - 13,916 17,750
Surplus / (deficit) shown on receipts and
payments account
- - 250 3,834)
(
-
-
Cash and bank balances at end of year
(Agree balances with receipts and payments
account(s))
Details
20,086 5,920)
(
- - 14,166 13,916
-
-

-
Fund to which

-
asset belongs

-
Market valuation
to nearest £

-
Last year
to nearest £
Details Fund to which asset belongs Total
Cost (if available)
to nearest £
-
-
Current value (if
available)
to nearest £
Last year
to nearest £
Details Total
Fund to which l
-
-

-
iability relates Amount due
to nearest £
Last year
to nearest £
Details Fund to which l Total
iability relates
- -
Amount due
(estimate)
to nearest £
Last year
to nearest £
Signature* Print Name Total -
-
Date of
approval
14.12.2025
14.12.2025

/ Statement of balances

1

December 2007