Society of Saint Gregory
Charity Registration Number. 1103280
vNhv.ssg.org.uk
Annual Report and Accounts 2022.2023
Prlnclpal Patron
HE Cardinal w1n￿nt Nichols
Patrons
HE Cardinal Arthur Roche
The Most Rev Bemard Longley
The Most Rev ma1￿m Mcmahon. OP
The Rt Rev Peter Brigndl
The Rt Rev Declan Lang
The Rt Rev Alan Hopes
The Rt Rev Joseph ToaS
Trustees and Members of the Exocutlv• Ctynmltt•e
(as 30 June 2023)
Office
Mgr Kevin McGinndl Chair
Mo Griffiths
SecTrtary
Kevin Mccabe
Treasurer
Onlinary Elected Members
Alison Lamb
Jo Shepherd
Julie-Ann Gylaitis
Mary Ryan
Adrian Porter sj
Andrew Elliott
Canon Pat Hartnett: C{￿Opted
Holthng Trnst88s
In accordance with Article 12 of its Constitubon, the Exe¢xrtive Comrymttee has apwnted the
following as HoldiTVJ Trustees. The (mly wopety the Society hokls 13 intellectual property,
i.e. copyright.
Michael Hodgetts
Paul Moynihan
Rev Peter Tibke
Membernhlp Secretary
Julie-Ann Gylartis
Summer School Team
Mo Griffiths
Ryan
hepherd
Editorlal Team
Frances Bitey
Martin Foster
Kevin M¢&'nnelS
Helen Murphy
Alan Smith
Protection of Chlldren & Vulnerable
Adults- SUt￿mi￿o8
Mgr Kevin McGinnell
Mary Ryan
Contact Address
33 Westboume Road
Luton LU 8JD
's Bankers
CA
Bwk Ltd
Indèpendent S¢rulin8er
Roger Seat(￿. FCA

INTRODUCTION
This report provtdes a summary of the aclibities and of the Exeartive Committee of the Society
of Saint Gregory during the period 1 July 2022-30 June 2023.
The SrKiety's object is to promote study. understanding and g(￿ practice in the celebration of the
liturgy of the Roman Cathotic Church. in accordan￿ with the teaching of the Church. The Society
ams to achieve thls object by the followtng means. broajly Exrt not exdustvely expressed as follows..
i) by furthering the study and uThlerstanding by the people of Ihe li￿rgY of the Roman Catholic
Church. with a vi8W to prornting their active particip*'on therein.,
ii) by providing knlities for the study of liturgy and sacred music"
ill) by organising meelngs, schools and C<)nferen￿ at which instruclson in the liturgy and music Is
given;
iv) by producing, printing. publishing and mthing availalAe books, p￿lOdIca1$. music, recordings and
other material likely to be required by persons ￿¥)￿rned with the liturgy and ￿ed music.
v) In various ways the Trustees have pursued the fulfilment of the Soc*ty's objectives as wuired by
Charily Lav.
GOVERNANCE
M•etings of the Executlve Commltte•
During the year the Trustees nkt on three occasions, Nrya Zoom, in November 2022, and February
and June 2023 to deal wrth their responsibilitses and to give direjion to the S￿Iety's WOTk in meeting
ts ams and objectives. The Chair also consulled fell￿ Trustees on a numbw of occasions by email.
Memborshlp of the Execullve Commlttee
At the Annual General Meeting in October 2022. Fr Adrian Porter SJ, and Andrew Elliott were
appointed as Trustees for a period of 3 years, Kevin Mccabe, Treasurer, and Trustees, Jo Shepherd
and Alison Lamb were all reappointed for a second term of offi￿. Canon Pat Hartnett hawng
completed his term of office stood down as Trustee but was c*>optgJ lo the Comnmttee to o)ntinue
his work as part of the Taking Liturgy Te8m.
Holdlng Trustees
In accordance with the provisions of the Soo'ety's C￿ls11tU1I0n. all property of the Society is held by
special Trustees appr#nted for the purFJose. The only possession of the S(Kiety that is relevant here
is intellectual property, ie its copyright on its publicats'ons.. the tKJok English Catholic Wotship,. the
¢ompilation of the Societys ioumal, Mu&c and Liluryy, of the 'Preparing th8 Liturgy, section of the
journal and the So(yety's website.
Financial revl•w
The Executive Committee continues to keep careful ￿ntrol of the funds. Reserved and Designated
Funds ring-fence amounts for SFeofic purposes. Restricaed Funds are the McEllig0tt Bursary Fund
(lo support those wth insufficient in(y)me to attend Scmxety events) and the Crichton Memorial Fund
(to support the costs of Ihe annual JD Crichton Memrial Lecture).
Rlsk Management
The EXec￿tive Comnittee has noted and considered tts resw>nsil%lty under charrty18*1 to mitigate
against risks in all its &liviti8s and to be risk aN*rse. Work continues to identfy those areas which
pose risks and take action to lessen them. This indudes ensuring a shariNJ out of work among a wider
Circle of members.
Charlty Commlsslon: Publlc Interest
The Executive Committee remains satisfi8d thal:
Membership of the Scoety does not require any status or qualfficatlon but is open to all.
The McElligott Bursary Fund makes provision forthe financial assistan￿ of those unable to afford
the full fees for the Summer School and other events tt organises.

The provision of reduced-rate membership subscriptions for senior citizens and students is dso a
recognition of rts concem to assist those who have less a￿tty to pay subscription fees.
The Society's website, www.ssg.org.uk, is open to all. members and non-members alike, and all
can partiapate in tt and contribute to its discussion forum. which fulfils admirably the Society's role
lo infonn and educate, free of charge.
Saf•guarding
The su&Committee with responsibilrty for Safeguardirwj Children aThJ Vulnerable Adults has not ha
occasion to meet separatdy during this period.
COMMUNICATIONS
The StrAetys Facebook page and Twitter account are kept UPt￿date by former Trustee. Michelle
Chum. Juli&Ann Gylaitis. Trustee arKI Membership Secretary, o)ntinues to manage the online
ewcommerce facilibes.
Soclal Modia
The monthty Refiections on the Sunday Scripture readings have continued in 202212023 on the
Society's FacebcyJk page and later made available on the website.
htt s.'ll￿W.5
.or
.uklweekl -refiectionsl
Muslc and Llturyy Journal
Music and ts'turgy continues to be publish•J three times a year. with 'Preparing the Liturgy an
important section of each issue.
Compo￿15, Group
Alan Smith has reported that currenty there are 47 cvmposers on the Group's mailing list and the
Group continues to be very &tive. Continuing to meel using Zoom has proved to be beneficial to the
Group, with continued good altendan￿ and ￿)mpOserS gainiNJ c￿nfiden￿ in presenting their
own wDrk.
The RSCM Book of Ps￿rn Songs. in whi(*t SSG C￿nP￿rn. Gr(wp W￿be[S will be strongly
represented, is due for publication later in 2023.
For further inft>mia*ion please visit ts Group's (rwn page on the SSG website:
htt s'.IIwMv.s
.ukJcom
rou
There is also a private Fxebook page. Contact Alan Smith for details- alan.smith
EVENTS
Summor School- August 2022
Talkingi Lislening. Respondlng.. the call to be a synodal ChU￿h
We were delighted to Welco￿ delegates to Belsey Bridge in Ditchingham for this yeaf s Summer
School, the first i￿perSOn meeting since Covid. Our Direcior of Liturgy was Canon Pat Hartnett and
Diredor of Musbc. Paul wetlic0n￿. programme induded presentations from Bishop Peter Brignall,
Dr Sue Price and Monsignor Kevin M￿Inne11, together with daily lrturgies and a variety of workshops.
At our final mass on Saturday, we remembered members ofthe Socaety who had died during the year.
Taklng Llturyy Serlousty 2 - Online Ststy Course (vla Zoom)
Following the success of the first year of Takn"ng Lituoy Seriousty. a wx)nd year is planned to begin
in February 2023. The focus will be the Eucharist. exploring its theology, scripture. words in prayers.
symbolism. music. and Ihe environment.
Autumn Assembty and AGM- Octobor 2022
The Swiety's Autumn Assembly arvj AGM took place, via z￿rn, on Saturday 8 October. The day
induded Moming Prayer. a closing Liturgy of the Word. and the 20th Annual Crichton Lecture, given
by Cardinal Arthur Roche, Prefect of the Dicastery for Divine Worship and the Discipline of the
Sacraments since May 2021. and Patron of the Society. His talk was entFtled "Interpreted by Love. _
Liturgical F0m￿tIOn and Parttctpats'on in the light of Desiderio Dewtsravi.
The Assembly and AGM were well attended *ith around 40 mem1￿.

MEMBERSHIP AND PATRONAGE
Membershlp
Membership of the Society rernains at apwoximatsly 650 payirwJ n*mbers. The Committee continues
to give ￿nsideratIon to ways in which the Society's membership ￿n be expanded further. Other than
Summer Schc(Jl, no evetts harfe tsken place where. historically, we have promoted membership of
the Society and gained new memberships.
Patrons
The Archbishop of Westminster, Ihe other archbishops Iwo dI0￿$an bishops of England and
Wales. together with one bishop from Scthland. ￿)ntInUe to be the Society's patrons.
External Llnks
The￿ is an annua meeting wtth the Department of Christian Life and Worship of the Bishops.
Confereno of England and Wales. The support of the Department for the Society's work is much
apprecaated.
For and on behalf of thé Trusteas.
Kovin M¢Ginno11
Chair

So-ltl
1103280
Annual accounts for the
To
eriod
CC17a
P8wityJ stsrtdate
0110712022
Section A
Statement of financial activities
¢at•goTle¥ by activity
analysis
fvnds
fvrtds
Incoming r•sourcé• (Note 3)
In¢¢mlng rnsouruslrwn
q•ii•nit•d lunds
F01
F￿2
F03
F04
F05
6S3
653
IncoTrwng r•sourc•J from
Oth•r InMmlDg r•sourc•s
Total incoming rvsourn sce
Rowurc•s •xpondod (Notos 4
costs ol G•n¢r•tlng F4nd•
478
123
Ch•rit•bl• 4rtivkns
si
811
2,784
oth•r fv$ou￿•s •xp•nd•d
312
Total resources aYpend•d s13
23 960
194
1,541
1.735
1,037
Gross Iransfgrn between funds
S15
N•t IncomlnW(oirtgolnAI r•w4Mru b•forn
¢>th•rrneognl*•dpiftW(108#•¥ $1¢ -
Other recognlud galnsl{losso81
Gains •nd loss•s on r•valuatit)n of fix•d Ass•ts
for thè tharitys own u$•
Gain¥ and losse$ on inv•stm•nl as5•t8
194
517
ste
Net mvement In lunds s19 -
194
Total fund8 bn>ught for4vard
Total funds carrled fonvard s21
38,1
45.C60
44,023
0110312025
CC17a (Ex¢o11

Section B
Balance sheet
R￿tricted
Unre•trlct•d Income Endowrnnt Tatsl thls Total last
lund8
lund8
fund*
Fixed assets
Tangible auets
F02
F03
F04
F05
(Note 91
Investments
INots 10)
Totsl Ilxedassets
Current assets
Stock and Yffjrk in progress
D•btors
(Note 11)
(Short tsmi) investments
Cash at bank and In hand
Total cumntassets
2.676
76.071
78,747
77,853
77,853
Crodltorg: amounts falling duo within
one yfrar
(Note 12
810
14,777
14,T17
13,937
Neteurrent assets/fllabllltles) B11
63.075
63,075
64.810
Totsi a$sets kn cunwrt Ilabllllles B12
64.810
Cr•dltorn: amounts falling due after
on• year
INote 121
813
Provlsions for llabili1i￿ and chavges
19.750
19.750
19,750
Net assets B15
43.325
43.325
45.060
Funds of the Charity
Unrnstricted funds
B16
26.928
11.058
26,928
11,058
5.339
27,933
10,247
B17
Rèstrlcted Income funds (Not• 131
Endowment fvnds (Note 131
B18
5.339
B19
Total fimds
37,986
5,339
43.325
45.1)60
Signed by one or Irustee$ on behaff of al
the trustses
Date of
roval
Stpiature
Print Name
CC178 l£xcel)
01n)3r2025

Sectiori C
Noies to the accounts
Note 1 Basis of proparalion
1.1 Basls of accounllng
These accounts have t*en prep8red tsa￿ of historic cost {except Ihat inv88bmgnts are shown 8t markot valu0}
in accordance *ith".
. Ac£ountiNJ and Reporfing by Charili88- Statement of Recomm￿ PraclKe {SORP 2rAs).'
' and *ith'
Fingnoal Reporti'ng Siandarts tr smar￿ Enlerwses {FRSSE).
' and ¥￿1 the Charities Act.
exce
for the follown
-Tick as approprlat•:
If all relevant dtsdosures sho*M intr* pack ha¥• been given Ih•n p*aJelk*.Pxou￿Thg Standards
Itdlsdosuf•S cornplel•d m these pLcounts have been Tr￿l￿dI0 those require(I bythe FRSSE, theft pl8as• tlck
'Finan¢i•l R•￿Ing standa￿ fwsmallor Enl•rpris•s (FRSSE)..
. If no departures from the chosen SI￿dardS have been madothm del* tho8• give d*fis ol any charKJ•s
In the boxes.
1.2 Change In basls of accounllng
There has b8en no change to the acclyfflting pcl¢ies {valu81v)n rules and me11M)ds of accoimt#igl last year {$
except for tho followng).
1.3 Chanps to prev10￿ a¢￿￿Tr￿
No ch8noes have been made to accounts for preyKK￿ years (￿ exceplfor thè folkAbiNJ).
1511 no charMJgs hav• been made to acc(xJrt$ far pre¥h￿S then d•lth th•M
CC174 (Ex¢d)
0110￿J26

Scction C
Notcs to il)e accounts
Icontl
Note 2
AccouTrtlng pollcb•8
INCOMING RESOURCES
gifts
Oifts kn kknj
EXPENDITURE AND LIABILITIES
ASSETS
ADDITIONAL TO OR
DIFFERENT FROM THOSE
C17a (Ex
01103r2025

Sectioii C
Notes to tlie accouiTrt5
(conti
Note 3
Anatysls of Incoming resour￿$
In¢omlng may be lut11￿r•n•ly￿rf ff th18 ￿)uk1h￿1P th• rthY•rof th• Kcount
This year
Last year
Voluntary Incom•
Donations & B
Fund
Restricl
S24
Total
18,C*O
18.182
Website
T*)tsl
InN•stm•nt kncom•
Total
853
Incomong rnwurc•s from
ch*rltabl• *ctlvltl•
Summar Sth¢)ol Irthm8
Autumn Assembl
Online Wortsho
140
95
Total
CC178 (E￿￿
0llQ3r2025

Sectioi) C
Nntp% t() the a¢.count%
Icontl
Nots4
Anatysls of rnsources expended
R••ource• exp•nded may be further analysed If thls would hdp th• rnad•r of th• accwnt&
Th1$ y•ar La•1 year
An￿￿
Costs of g•nerallng
voluntary Incom•
SocAety ￿Jb[￿lty
Webs¢te
478
Total
478
Fundrni•ing tr•dlng
Tolal
Bank Chwges
123
manag•Thnt ¢08ts
T(thl
123
Chartlablo actMII¢s
MU￿¢ & Lrtu J￿￿n81
15.765
Events
Summer School
Online Worksh
sers Forum
ot & CriL*ton Funds
1.915
2,073
144
MCEIII
Tolal
38,520
20,372
Gowrnance co•ts
Membershi
Total
2,784
2,988
CC17a (&ceD
01103r2025

Section C
Not@5 to tlie accouiits
Note S
Support Costs
support costs.
acO¥lty
T•i•l C¢)•1
Total
Note 6
Details of cwtain it•ms of •xpoThliiurn
6.1 Trus*8e •xpenM8
La•t
Travel, Statlon•ry
po•tsge. E¥•nl
Trnvd, Ststlon•ry
po•tage¥ phon•.
broadband
Total amount pald
939
942
62 F•M for•x•mln•llon oraudtt of tM *c¢ounts
approprial• Ix4x(u).
Thlsy
L••t yur
a¢¢ounts
NONE
NONE
sorvlcoB) pald to th• Indopond•nt •xamlnw or audltor
NONE
NONE
CC17a (Excer)
0110312025

Soctioii C
Notes to tl)e accourits
IcoTItl
Noto 7
Paid omployees
7.1 Staff Co•ts
La•t year
Gros¥ wagu, 8•1*rl•B and ben•flt• In *lnd
Ernploy•f8 Natlonal Inwranc• G¢J#ts
P•nsloD ￿t9
7.2 Avernge number of fu1141mè eqthabert In th•
Th1• year
Numb•r
L••t year
NuM￿r
The parts 01 tho charlty In vknkh th•
•mployee8 work
Total
Brl•f d•ts1￿ of tho
Thls ymr
Last
Th• costs ofth• 4ch•m•to lh• charltyforth• ￿Ar
Th• •mount gf any contrlbutlons oulstandlng •t th• >wr•nd
Tho amount of any contrlbullon• pr•pakl atth• >Yar•nd
CC174 (Exeel)
01103r2025

Section C
Notes to the accounts
(conti
Note 8
Grantmaklng
Please complete thls not• rfthe charity mado anygr•nts ordonallons whkh In aggregate fomi a mat8rf81
part ol the charltable actlvi¢1os und•rtakon.
8.1 Total valuo of grants
Grants to
Instltutlons
Total amount £
Grants to
Indivldual$
Total amount £
Pu
se for whlch
Crichton Lecture
from Cricmon Rescticted Fund
552
Total
S52
8.1 Grantrnaklng ¢08ts
Irthe chathy's a¢¢ounts arn pkYpar8d on th• *elvlty ljasis-phase givo d•t•ils of any 8¥pport cost
assoclated with granlmaklng. Please enfer-Nir rf the charlty rf0￿ not id•ntlfy andor allocat• support
costs.
Support costs of grantinaking
8.3 Grants mad• to Institutlo
If the ¢harity ha$ made grants to partkular Insfitution$ that arn material In the context of Its grantmaklng
pleas• glv• dotalls of the in$tilution supported, Pury￿e of the grant and ft>t•lpaid to exh instltution
list•d. Sufficlent Infomiatlon should bo given to prnvlde • rnasonable understanding of the rnnge ol
Instltutlons su
Namos of institirtions
Total amount of
nts pald £
To¢•lgr•nts to Instltutlons
CC17a IExcell
01103f2025

Sectioii C
Notes to the accounts
Icontl
Note 9
Tangible flxed assots
9.1 C¢)•t or ¥aluatlon
Frn•hold ￿nd
& bUl￿th9•
Oth•r l*nd &
IwJlldlw•
P￿nL
ma¢hln•ry*nd
motorv•hlel•s
Flxtur••.
ffttlngs Ind
•qUI￿)*￿t
Payments on
aceouth and
aM•ts und•r
T¢>tal
Balance broLW
forward
A￿d￿on$
Revalualj'ons
DisF4)sals
Transfers.
Balance c4rri&J
forward
9.2 AG¢umul•tod d•preclrtlon and Im￿lM￿nt
SLorRB
SLorRB
-Ba•
SLorRB
SLorRB
SLorR8
Balgnce broughl
forward
Depreciation dwge
for year
Impaimient prowsions
ReVaILtat￿￿s
Disposals
Transf8r8'
Balance c8rri&J
fofward
.3 Not book valu•
8rouoht forward
C8rried I¢)￿ard
9.4 R•valuatlon
. The ￿nsfe13. mw ￿ formovem8nts between fixed assel categow.
- Pkase M￿l¢ale Ihe methLhy of dew8oatN)n ty dektiw the ffleth￿l not ap*b￿ (SL - S￿l0￿t fjr￿,' RB=
reduGry bala￿e). Also thse indiale the rnte of dewvcmlth." forslraghtlne, wh8tis the 8ninpo18d oflhe
asset (in yeats),. fOr￿di￿ bala￿e. whatis Ihe ￿￿erta￿ annual ded￿tion.
CC17a (Excel)
10
01103r2025

Section C
Notes to tl)e accoui?ts
Icontl
Note 10
Inv88tment awts
Ple￿0 comple1• thls note Ilthe chartty IMS any inv•stsnwrt ass•ts.
10.1 Flxed asuts inve•tm•nts
ca￿Ying {mart(et) vdug at beginnw)g of year
additions lo investmsnts at eost
Loss: disp)sals at Car￿n9 value
Addl{d¢du¢t): not gaHVlh)ss) on revaluation
Carrying (mathdl value at end of year
Please provide below..
10.2 A brnakdown of th• market valu¥• of lnv••tM•￿ shown above agreelng wlth th• balance th•ot
10.3 A brn•kdown ofth• Inwn• from Inve¥Ime￿ w••lng T1411h SOFA row SO&
Anatysls of Investments
10.2
Mark•t ￿l￿e at
rernl
10.3
kn¢om• from
Inv•stm•nts for
th•swr
Investment prop•rtlo8
Investments Ilsted on a recognlsed stock axchang• or hold In common
Investment funds, open ended Inv•11￿ companlm, unlt trusts or other
¢olle¢tlv8 invostmont xheme$
Invostments In Su￿dIary or connKl•d und•rtaklngs and ￿nIeS
Se¢urtUM not11¥10d on • ro¢owls¢d Stock EXC￿￿*
Calh held a• part of th• Inv8•lmwrt porttollo
othor Investsn•nts
Totsl
10.4 Materlal Investment holdlngs
11 any 8lngle Invostment Is m#terl*l In t•nM of Its valug (for example reprM•nts mor• than S per ¢¢nt of the
value ollhe charfty's total Inv•¥tmthtsl pleas• provlde detalls.
Invo•tment held
Mart[￿ Val
CC170 IEx¢•l)
11
01103r2025

SL'Ltioii C
Notes to 117e acc.oiint
Nots 11
Debtors and prepayments
An•ty•l• of d•btorn
Amounts f*lllng due
I￿0n ¢)n•
Th18
Last y•ar
Amounts falllng due after
morn than on• ytar
Thls year
Last year
Trnd• d•btorn
und•rtaklngs
CXh•r d•btorn
1,310
Prnpaymnts and •ccn*d Inwxn•
Note 12
Crodltorn and a￿A￿lS
111 Anal￿￿ ol credltorn
Amounts faNlng du•
vAthln on• y•ar
Thls y•ar
Last
Amounts falllng du• afrnr
mor• than one ￿*r
Last year
and ¢)wrdrnfts
Trnd• cr•dltorn
Amounts to •ub•ldl•ry and a••oc5tsd
undortaklng8
Other cx¢dl¢orn. D•poslt8 t•k•n
AccnMl$ and d•f8ff•d Incomè
3.575
11.424
2.295
14.
932
Totsl
12.2 Sècurlty ov•r assets
pmvld• d•t•lts.
CC17a IExcd)
12
01&1)3r2025

Sectioii C
Notes to Ilie accoLllIts
Nots 13
End0￿￿t and rostrIct￿ incom• funds
13.1 Fund* h￿d
Pl•a•• 91￿ a brf•f dMcrlrAlon of any of tho ftAlowkig typ• Qf fund• h•kl byth• ch•rfiy.
p•rman•nt èndoMn•nl furKls IPE):
expendabl• •ndowm&rt fund• IEEI; and
rn8trl¢ted Income fund•. I￿1￿411￿g sp•cknl tnmts. ¢* the chaF*y IR).
Fund Nam•
13.2 Movements of major funds
Columns of Ih St•t•meM ol￿nanc￿lAct￿hI￿&
Fund
Fund
bAlan¢e•
brought
fo￿￿￿1
Galn• and
forwa
Fund n&rn••
tt Bursa
Fund
Crlchton Memorial Fund
Total Fund•
2.027
5.339
13.3 Trnnsf•rs b•twoen funds
From Fund INam•l
To Fund INam•)
CC17a {Excd)
13
0110Y2W25

Section C
Notes to the accounts
Icontl
Note 14
Transactlons wlth rolated partles
If tho Chaiity has any transactlofts wlth r•lat8dpartles (otherthan the truste• wses explalned In note 6)
d•talls olsuch transactlons shouldlJ• pmv•d8d In thls not•. Mthor• ar• no transactions to rnport. plga50
•ntsr"None" in tho rnlovant l)ox
14.1 R•mun•ration and bwwfits
Pleas• gfve the amoun¢ of, and legal authorfty for, any ￿MUn￿tIOn or otlMrb•neffts wld ¢0 a trust00 or
othor r•l•tedp•rties by the charlty orany Insutution or company ¢onno¢tod with IL
Amounts pald or benefit value
Logal authorfty log order.
govemlry document)
Th18 yoar
Last y•ar
14.2 Loans
Please gfve detalts ofand amounts owing lo or from the charflys I￿¥¢005 orother rela¢odp•rtles by the
charfty al the >*•r end.
Amount owlng
Thls y•ar
Last yoar
Namo of twsto? ¢x
Due to tru8to0• and
related partles
Due from trustees
and r•lat•d parti•s
14L3 Other transa¢tlon(sl with In*teo8 or related parUe•
Please gfvo dotaits ofany trnnsactlon undertaken by (oron ljohamofj the charftyln which a trustée or
rnlat8d paty has • materlal InteresL
Namo of the trust00
or ralaled
Kovin M¢Ginnéll
Relationship to
charity
Chdr of Truste
This year
Last year
transactto
Speaking ongagements
144
Maur•en Grlfflths
Trustse
375
375
CC17a (Exc81)
14
01103r2025

Sectioii C
Notes to the accoiints
(cont
Note 15
Addttlonal Dlsclosures
Tho following aro Signlficant matter8 which aro not covwod in oth•r not8s and n•od to be Included to
provide a propfrr undorntanding of the accounts. If th•ra 18 in•uffici•nt room hère. ploa•e add a separats
8hooL
CC17a (Exed)
15
0110V2025

INDEPENDENT EXAMINEIYS REpoirr TO THE TRusfEES OF
SOCIEfY OF SAINT GREGORY
I report lo tha trustees on my 9￿￿at￿l of thtr ac¢4Xrts of dwty for the year erKled 30
June 2023, whith are set ¢JA on ts attactsd pag85.
Ro8PM8ibllltle8 and basls of r•port
As the tharWs InJsle85 you responsibb for weparakn of ts acts￿*￿S in acC£*rdar￿ wrth
the requiremenls of thg Ch¥iti&s Act 2011 {'tr* Arf).
I report n respect of my examinaticfi of Ihg thgrivs acc¢xJnts Carried out urthr section 145 of the Act
and in carrying i)irt my examination I have folbwed all the appl￿b￿ Dir8ctions gNen by the Charity
Commission undw s*Xw)n 149511bl of the Acl.
I have completed my ex￿inatIc￿. l ¢crfmi that rn matwl matters have o)me to my attention in
connection wrth th8 exJninatiM me eatse to beli8ve that in any material respect..
. accountirKJ rth$ wsr• rnt kept li respeca ￿ Ihe chwity as rewired by sectKn 130 of the
I have rKJ concwns have come across no oth8r matt￿S in with tho examination to
wthich attent￿ shwld be drawn in this rw in ord8r to a prcper urthr5taTh￿lng of the
accounts to b& r88ch8d.
Roger J Seaton FCA
23 Greenhill ParK Bamet. Herts ENS 1HQ
14 May 2025