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2021-12-31-accounts

ROTHBURY UNITED REFORMED CHURCH

Annual Report and Accounts For the Year Ended 31[st] December 2021

TRUSTEES’ REPORT

Administrative Information

Church

Rothbury United Reformed Church Market Place Rothbury Northumberland NE65 7UW

Minister

Secretary

Treasurer

The Revd Edward Butlin Madgwick The Manse 18 Benlaw Grove, Road Felton Northumberland NE65 9NG NE65 7PQ

Simon Fountain David

Crow Tree HouseFresh Fields South Terrace Wagtail Rothbury Rothbury Northumberland Northumberland NE65 7QR

Elders (Trustees) Accounts Examiner

Barry Chalk Gwen Cox Kathleen Ramsey Simon Fountain Sylvia Crane Ann Madgwick Dorothy Davidson

Bank

Lloyds TSB Margaret Tully High Street Secretarial Services Rothbury 6 Eshottheugh NE65 7ED Morpeth NE65 9QH

Constitutional Information

The church is constituted as a local church of the United Reformed Church. It is registered with the Charity Commission, Charity number 1073423. It is governed by its church meeting, which elects elders who meet in accordance with the structure of the United Reformed Church. Some areas of the church’s work are delegated to committees.

Aims

The church aims to live in Christian fellowship and bear witness to God’s love and his rule over all creation. It aims to adhere to the five marks of mission:

Financial Review of the Year

Net receipts for the year show a deficit of £10,587.10. Assets in our current account at the end of the year are £12,196.92

The trustees at their Annual Church Meeting on ............................ approved these accounts.

Signed………………………………………………………….Date…………..2022

Independent Examiner’s Report

I have examined the receipts and payments accounts and statement of assets and liabilities of Rothbury United Reformed Church set out on these pages relating to the year ending 31[st] December 2021. My examination did not amount to an audit but was carried out in accordance with the general direction issued by the Charity Commissioners for the independent examination of the accounts of smaller charities.

Nothing has come to my attention in connection with my examination, which gives me cause to believe otherwise, than that these accounts accord with the accounting records of the church and that such records satisfy the requirements of the charities Act 1993. I am not aware of any matter to which attention needs to be drawn in order to obtain a proper understanding of these accounts.

Signed……………………………………………………Date…………………….2022

ROTHBURY UNITED REFORMED CHURCH GENERAL FUND RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDING December 31[st] 2020

RECEIPTS 2021 2020 Free Will Envelopes £8,440.00 £7,527.00 Cash collection £1,108.55 £1,126.65 Church Fees £986.00 £831.00 Interest £2,950.88 £479.45 Donations £2,500.00 £633.45 Sales & Fairs £0.00 £0.00 Tax Relief £2,142.75 £4,375.15 Visiting Preachers £204.00 £0.00 Transfer from development acc £0.00 £12,013.46 Transfer from Manse acc £6000.00 £0.00 Transfer from deposit acc (closed) £134.84 £0.00 Refund from development £495.55 £0.00 Grant (camera etc) £761.45 £0.00 Sale of font £50.00 £0.00 Benevolent Fund £0.00 £0.00 TOTAL RECEIPTS £25774.02 £26,986.16

PAYMENTS
Insurance £1,297.53
£1,195.92
Ministry & Mission £11,636.04
£11,616.00
Synod Assessment £0.00 £0.00
Donations £3260.00 £332.00
Heat & light £2096.45
£2038.35
Visiting Preachers £39.00 £204.00
Sundries £1,587.62 £1,413.64
Repairs and refurbishment £369.84 £201.64
Equipment £761.45 £58.16
Development Project
£0.00
£1,210.81
Transfer to Development Project £0.00 £0.00
Transfer to URC Trust Fund £15,000 £0.00
Broadband £313.19 £221.40

TOTAL PAYMENTS £36,361.12 £18,491.92 Difference between receipts and payments 2021 -£10,587.10

ROTHBURY AND THROPTON MANSES ACCOUNT

RECEIPTS AND PAYMENT ACCOUNT FOR THE YEAR ENDING DECEMBER 31[ST] 2021

RECEIPTS 2021 2020 Rothbury Manse Rent £6,426.00 £6426.00 TOTAL RECEIPTS £6,426.00 £6426.00

PAYMENTS

Rothbury Manse Insurance £364.21 £350.44 Repairs & Refurbishment £130.00 £503.00 Transfer to Church acc £6,000.00 £0.00 Pastorate Charge £3,000.00 £3000.00 TOTAL EXPENDITURE £9,494.21 £3853.44

ASSETS

Difference between receipts and expenditure -£3068.21

Monetary Assets Manses account balance Dec 31[st] 2021 £6318.46

ROTHBURY UNITED REFORMED CHURCH

STATEMENT OF ASSETS & LIABILITIES FOR THE YEAR ENDING DECEMBER 2021

ASSETS 2021 2020 Monetary Assets Bank Balance Current Account £12,196.92 £22,784.02 Deposit Account £0 £134.84 ``` Manses Account £6,318.46 £9386.67 Benevolent Fund £353.84 £353.84 Investments Northern Province Unit Trust £43,299.57 £24104.62 Units valued at 31.12.21 Henderson Global Investors £14,275.84 £13,046.24 Units valued at 31.12.21 George Nichol (Thropton) Trust £19,414.37 £17820.93 Units valued at 31.12.21 Other Assets Church building-freehold, valued £1,606,109 £1,515,197 for insurance purposes Church contents £112,547 £107,547 Viscount Organ £22,050 £21,000 + additional electronics Rothbury Manse-freehold, valued £426,338 £410,216 for insurance purposes

Note: These accounts are prepared on the ‘receipts and payment’ basis and comply with the appropriate legal requirements.

Signed……………………………………………………… Date ………………2022

David Madgwick Treasurer

Accounts. Points of Information for Treasurer’s Report 2021

On behalf of the church I would like to thank all members and friends for their continued support.

David Madgwick Treasurer

ROTHBURY UNITED REFORMED CHURCH STATEMENT OF ASSETS & LIABILITIES FOR THE YEAR ENDING DECEMBER 2021 ASSETS 2021 2020 Monetsry Assets Bank Balance Current A¢count DetK)sit Account Manses Account Benevolent Fulld £12.196.92 £22,784.02 £134.84 £9386.67 £353.84 £6,318.46 £353.84 Investments Northern Province Unit Trust Units valued at 31.1211 £43299.57 £24104.62 Ilenderson Global Investo Units valued at 31.12.21 £14275.84 £13,046.24 George Nichol(ThroptOD) Tr￿St Units valued at 31.12.21 £19.414.37 £17820.93 Other Assets Church building-freehol(L valued £1.606,109 for insurance purp)ses Church contents Viscount Orgall + additional electronics £1,515,197 £112,547 £22,050 £107,547 £21,000 Rothbury Manse-freehol¢ valued for insurance PUTWWS £426,338 £410,216 Note: These accounts are prepared on the 'r￿cIpts and payment, b&sis and comply with the appropriate legal requirements. Signed............ Date . David Madgwick Treasurer

Finaneial Review of the Year Net receipts for the year show a deficit of £10.587.10. Assets in our current account at the end of the year are £12,196.92 The trustees at their Annual Church Meeting on............. ICYLL approved these accounts. .2022 Independent Examiner's Report I have examined the receipts and payments accounts and statement of assets aDd liabilities of Rothbury United R¢foTmed Church ￿ out on these pages relating to the year ending 31" December 2021. My examination did not amount to an audit but was carried out in accordance with the general direction issued by the Charity Commissioners for the independent examination of the accounts of smaller clwities. Nothing has come to my attention in COnn￿tIon with my examitiatioo which gives me cause to believe otherwise, than that these accounts accord with the accounting records of the church and that such records satisfy the requirnnents of the clwities Act 1993. 1 am not aware of any matter to which attention needs to be drawn in order to obtain a proper understanding of these accoullts. -.2022