OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2021-12-31-accounts

Structure, governance and management and management
Board ofTrustees
Clergy
Readers
Servers
Layworkers
Governance
Administrative details
Objecuves
and Activities
Liturgical Review
Services held throughout the year
The music in church
Liturgical and Pastoral support elsewhere
Educational
Activities
Outreach
Future Plans
Financial Review
Plans for the Future

Responsibihties Responsibihties and basis ofreport
Independent examiner's
statement
Receipts and Payments forthe year to31December 2021
Receipts
Payments
Statement ofAssets for the year to31December 2021
Analysis ofFunds

Charity no 1087910
Reg. Address 9,Hexham Way, Shrewsbury, SY26QX, Tel 01743247619
Website www. shrewsb
orthodox. com
Contact details Fr Stephen Maxfield, Fox Cottage, Albrighton, Shrewsbury SY43AG
Tel 01939291078
Insurer Congregational
Accountants WR Partners, Behnont House, Shrewsbury Business Park, Shrewsbmy SY26LG
Lloyds,
1 Pride Hill, Shrewsbury
SYI 1DG
Architect Donald Insall Associates, 30, Harborne Rd.,Birmingham, B153AA

2021 2020
Unrestrtcted
Totrd
Funds Total Funds
E E E
Donations, legacies and grants
Baptisms, Weddings &Funerals
CollecUons
&Donations
18,381 18,381 11,690 "
Candies
Special collections
DonaUons &~' subscriptions
2,694
4,280
17,295
2,694
4,260
17,295
613
614
12,369
Fundraising
events
BookStall 2,002 2,002 557
Charttabte
acgvity
6,442 6r%2 ' 3,005
Tax Reclaimed
TOTAL RECEtPTS 51,074 51,074 28,849
~Pa
nts
2020
U restdcted Total funds Total Funds
6
Church acthrides
Priest's fees 17.504 17,504 21,784
Votive csrv9ss 3,008 3,008 395
Uturgicat
supplies
2,088 2.088 90
Telford Church rent 400 400
Archbishop
Visit
1,492 1,492
4,902 4,902
924
Insurance 1,278 ,1gl8,
Grants and dana6ons
Prdd
Charitable
Donations
4,920 4,920 763
Diacese and Patnarch 1.325 1,325 .100
Archdlocetran
Central Fund
Sub~
25 25 122
25
Varangbrns
8 Youth
C~acfivity
597
:.744
597.
744
15
,2,787
13,500 13,500:
Adndnlstrativs
costs
General,
printing,
postage 6
stattonsrjj
Indspenderk
Examiner fee
; 2,082
1,050
, ,3,789
1,194
Bookstall 473
TOTAI. EXPENDITURE
(DEFICIT!SURPLUS FORTHE YEAR ( 5,532 ) (5,532 ) (5,NS )
TOTAL FUNDS BROUGHT FORWARD 31,671 31,671 37,477
TOTAL FUNDS CARRIED FORWARD 31,871
2021
Unrestrtcted Rstttotedd Total Funds Total Funds
6 E E
26,139 - 26,139 31,671

.31-Dao'
GENERAL FUNDS
General -cash 31,671- .51,074' 56,606 26„'t39
31.IP1 " . 51OF4 . 5-5:SOB 2I,I%I