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2024-12-31-accounts

The Parochial Church Council

of

The Ecclesiastical Parish

of

Saint Mark, Kingstanding Birmingham Registered Charity 1126875

Annual Accounts

1st January – 31st December 2024

Incorporating Receipts and Payments of Saint Mark’s Community Hub

Parish Priest Father Philip Calvert The Clergy House, Bandywood Crescent Kingstanding Birmingham B44 9JX

Banks CAF Lloyds, Kingstanding

Independent Examiner Andrew Hopkins Birmingham Voluntary Service Council Latham House 33-34 Paradise Street Birmingham B1 2AJ

TREASURERS

SUMMARY 2024

It has been a very eventful year for both myself and Claudette Jarvis; taking over from Keith Airey has been very difficult. As far as I am concerned, this has been a major learning curve for me, so I just want to say a big thank you for everyone patience, help and support. Unfortunately, the

annual financial report has been too much for me, so I have called on the diocese for help with this.

Firstly, thank you to everyone for your continued financial support towards St Marks; whether this be occasional or planned giving, fundraising, donations etc. Your generosity is what keeps us going.

A special thank you to all those that make your regular donations using the Parish Giving Scheme, it really is appreciated. The big advantage of this, is that those that are tax payers, your gift aid is automatically credited to our bank account on a monthly basis; which means I don’t have to

apply for it back from HMRC.

There is probably now about a third of those people using the scheme, that have opted to increase their monthly giving in line with inflation; which is done automatically every year and you are informed about it prior to the increase. If you don’t already do this, please would you kindly give this some thought, as your monthly donation effectively loses its value if it does not rise with inflation.

I would also like to point out, that your monthly donations via the giving scheme, actually pays for the monthly payment that we make to the diocese for our commitment towards the Common Fund; so again, this is a big help as the budgeting is minimal.

Plate donations for the year were just under £2500. Regular giving via the yellow envelopes plus the contributions made via the Parish Giving Scheme (PGS), and then the return of the monthly gift aid, gave us approximately £11,000

Our total fundraising for 2024 was just under £2500; this was including everything from Sunday refreshments, candles, raffles, Christmas fayre. So again, thanks to everyone for their input and support.

Unfortunately, we did not meet the target for the common fund for 2024, but we did manage to pay £14,000.

Our energy bills for the year, totalled approximately £5,900. It will be very interesting to see what next year’s total will be.

Admin costs for 2024 came to £1815. This includes stationery and stamps, but also our yearly copyright licence fee, photocopier service and maintenance, monthly bank fee and cheque fees of 75p per cheque. Our biggest expense was for the Independent Examiner for our 2023 accounts which was £720.

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TREASURERS SUMMARY 2024

Cont

……………..

The church insurance, which covers the buildings, contents and the public liability was just under £1988.

The cleaning materials bought throughout the year have totalled £2225.

And finally, the major repairs over the year included, the new kitchen appliances and the installation of a new electrical ring main in the office passage way. There was also a repair to the kitchen shutter; and these three jobs alone came to £6,230.

Hopefully this has given you a brief insight to some of the running costs of the church; but obviously this is explained in more detail in the financial report. I just wanted to share very simply, where some of our income comes from and how that money is used. The sums will show that the income still doesn’t cover the outgoings I have mentioned, and these are only a few of them.

Once again thank you to everyone for your help and support, especially Beryl, Zena and Gill for counting money on a Sunday.

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Independent Examiners Report To the PCC of St Mark’s Church – Kingstanding Respective responsibilities of trustee and examiner

This report on the accounts of the PCC for the year ended 31st December 2023 which are set out in pages 4 to 9 is in respect of an examination carried out under Regulation 3(3) of the Church Accounting Regulations 1997 and S.43 of the Charities Act 1993.

As the members of PCC, you are responsible for the preparation of the accounts; you consider that the audit requirements of the of the regulation 3(3) of the Church Accounting Regulations 1997 and section 43(2) of the Charities Act 1993 (the Act) do not apply. It is my responsibility to issue this report om those accounts in accordance with the terms of regulation 23 of the Church Accounting Regulations 1997 and Regulation 7 of the Charities(Accounts and Reports) regulations 1995.

Basis of independent examiner’s report

My examination was carried out in accordance with the General Directions given by the Charity Commission under section 43(7) (b) of the Act and to be found in the guidance from the CBF. That examination includes a review of the accounting records kept by the PCC and a comparison of the accounts with those records. It also includes considering any unusual items or disclosures in the accounts and seeking explanations from you as trustees concerning such matters. The procedures undertaken do not provide all the evidence that would be required in any audit and consequently I do not express an audit opinion on the view given by the accounts.

Independent examiner’s statement

In connection with my examinations no matter has come to my attention:

Which gives me reasonable cause to believe that in any material respect the requirements to keep accounting records in accordance with section 41 of the Act: and to prepare accounts which accord with the accounting records and to comply with the requirements of the Act , are also contained in the Church Accounting Regulations 1997 have not been met; or

To which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Andrew Hopkins

Independent Examiner

BVSC Accountancy Services Birmingham Voluntary Service Council Latham House 33-34 Paradise Street Birmingham B1 2AJ

----- Start of picture text -----
Charity Name St Mark's PCC No (if any)
Receipts and payments accounts CC16a
Period start date Period end date
For the period from To
01/01/2024 31/12/2024
Section A Receipts and payments
PCC Minibus Daycentre Total funds Last year
to the nearest to the to the nearest £ to the nearest £ to the
£ nearest £ nearest £
A1 Receipts
Receipts from transactions 23,450 1,466 179,975 204,891 178,011
Receipts from interest 638 41 24 703 4,676
Sub total (Gross income for AR) 24,088 1,507 179,999 205,594 182,687
A2 Asset and investment sales, (see table).
Sale of shares - - - - 89,930
- - - - -
Sub total - - - - 89,930
Total receipts 24,088 1,507 179,999 205,594 272,617
A3 Payments 13,184 151,256 197,413 311,072
Payments from transactions 32,973 13,184 151,256 197,413 311,072
Sub total 32,973
A4 Asset and investment purchases, (see
table)
- - - -
- - - -
Sub total - - - - -
Total payments Net of 32,973 13,184 151,256 197,413 311,072
receipts/(payments) - 8,886 - 11,677 28,743 8,181 - 38,455
A5 Transfers between funds 8,683 12,759 - 21,442 - -
A6 Cash funds last year end 26,082 3,699 8,253 38,034 76,488
Cash funds this year end 25,879 4,781 15,554 46,215 38,033
----- End of picture text -----

Section B Statement of assets and liabilities
at
the end of the period
B1 Cash funds
Categories
B2 Other monetary assets
D
B3 Investment assets
B4 Assets retained for the charity’s own use
B5 Liabilities
D
Signed by one or two trustees on behalf of all
the trustees
Details
etails
Total cash funds
payments account(s))
~~Details~~
Details
F
etails
Signature
Current Accounts
Deposit Accounts
CBF Investment account
Church PropertyFund
Church Global Fund
Church Investment account
Minibus PropertyFund
Minibus Global Fund
DayCentre PropertyFund
PCC
to nearest £
2024
to nearest £
~~2024~~
und to which asset
belongs
Fund to which
liability relates
Print N
13,365
12,514
25,879
OK
33501
30515
6716
17752
0
944
10574
Minibus
to nearest £
2023
to nearest £
~~2023~~
Cost (optional)
Amount due (optional)
ame
3,148
1,633
4,781
OK
31880
30347
6172
17354
0
858
10515
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Daycentre
to nearest £
11,566
3,988
15,554
OK
0
to nearest £
-
-
-
-
-
-
-
-
-
-
-
Current
value
(optional)
-
-
-
-
-
-
-
-
-
When due
(optional)
Date of
approval

Accounts for the year ended 31st December 2024

Accounting Policies

General

These accounts have been prepared in accordance with the church accounting regulations 1977 together The accounts include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of groups that owe their main affiliation to another body nor those that are informal gatherings of church members,

Funds

Funds are considered to be general (a) if they are not subject to legal restrictions on their use and (b) the PCC may designate them as they please.

Income

Following the general principle set out above, collections, planned giving and funds raised by fundraising events and the like are only recognised when received; income tax due on gift aided income in the accounts is included when received. Grants and legacies are only included when the PCC is notified of its legal entitlement for the amount due.

Income from rents and dividends on investments are included when they are received.

Expenditure

Following the general principle set out above, grants and donations payable are accounted for when paid over

Fixed Assets

Consecrated and beneficial property is excluded from the accounts by virtue of s.96(2)(a) of the charities act 1993.

PCC 2024 2023
Voluntary income
Tax efcient planned giving 9,318 9,220
Other planned giving 906 801
Other collectons at services 2,481 1,162
All other recurring giving/donatons 0 193
All other non-recurring giving donatons 595 13,672
All tax receivd through gif aid 1,659 1,600
Legacies received 0 0
Recurring grants 0 0
One-ofgrants 2,082 145
Total VoluntaryIncome 17,041 26,793
Actvites for generatng funds
Gross income from fundraising actvites 2,468 2,037
Divident interestpaid into current account 37 37
Total Generatngfunds 2,505 2,074
Church Actvites
Statutory fees retained by the PCC 1,588 398
Gross income from trading (Hall Letngs) 879 2,718
Other incomingresources(Parish Pilgrimage) 1,459 4,444
Total Church Actvites 3,925 7,560
Interest received to deposit account 128 2,656
Total Receipts 23,598 39,083
Payments
Cost of generatng funds 298 65
All Mission giving and charitable grants 0 1,038
Parish Share paid to diocese 17,055 17,055
Fees collected on behalf of diocese 2,115 2,115
Salaries/honoria 0 0
Expenses of clery, clergy house, visitng clergy 208 181
Mission and evangelism costs 60 0
Regular Church Running expenses 5,283 5,153
Church Utlity Bills 1,188 854
Cost of Trading (hall expenses) 0 5,592
Governance Costs(Audit) 720 0
Sub Total 26,927 32,053
Major repairs to the church building 0 68,930
Major repairs to the church hall 6,047 9,541
Total payments 32,973 110,524
Minibus 2024 2023
Vehicle hire to PCC & others 0 300
Contributons by day centre 0 0
DFT fuel tax rebate 1,466 629
loan 0 9,000
Interest 41 1,421
Total Receipts 1,507 11,350
Payments
Diesel 5,913 4,574
Insurance 4,503 0
Repairs 2,767 4,520
Miscellaneous 0 3,902
Contributon towards new minibus 0 0
Money returned to Pcc 0 66,557
Total Payments 13,184 79,553
Daycentre 2024 2023
Core Receipts
Members contributons to meals 16,861 13,604
Members contributons to transport 4,207 3,347
members contributons to Core Costs 111,068 73,847
Additonal unrestricted grants 11,420 21,825
Additonal restricted grants 4,978 0
Donatons,fund raising, goodspurchased and misc. 580 3,710
Total Core Receipts 149,114 116,333
Core Payments
Senior Care Worker and assistants 36,974 35,388
Cook and Kitchen assistants 15,521 11,036
Drivers 31,845 23,458
Administratve Support 6,439 4,462
Employment allowance recovered -4,390 -2,349
Holiday cover/ Overtme 16,244 7,637
pensionprovision 549 327
Sub Total Stafng 103,183 79,959
Catered meals 14,442 11,923
Transportaton expenses 2,571 1,822
Rent (including heat and light) 5,743 3,424
Postage, statonery, CRB costs and miscellaneous 810 2,647
Telephone 1,393 1,046
Insurance, Admin. and advertsing 765 712
Mobilityexercises 1,275 1,478
Actvity Costs 2,083 578
Training 0 360
Sub Total - non -stafng 29,082 23,990
Total Core Payments 132,265 103,949
Outreach
Receipts
CDO Grant 12,972 10,776
Outreach Worker 0 0
History Group 1,098 46
Young at Heart 0 31
Card Group 72 85
Friday Lunch 33 107
Gentle Exercise 3,181 698
Choir 35 0
unrestricted grants for outreach 13,471 3,579
restricted grants for outreach 0 0
oncosts 0 0
PCC reimburse for organist/cleaner 0 0
Total Outreach Receipts 30,861 15,322

Outreach Payments

Community Development Ofcer 8,815 10,086
Outreach worker 0 0
Sessional Workers ( inc Organist fee/cleaner) 4,401 4,843
Postage Statonary etc 599 71
actvity rent 928 0
Telephone 1,047 1,123
Friday Lunch 0 40
employment allowance recovered 0 -519
gentle exercise 1,120 1,295
Card Group Material 0 27
Young at Heart 5 0
Capital Equipment 1,464 0
Advertsing 612 80
Transport 0 0
Total Outreach Payments 18,991 17,046
Interest 24 599
Overall Total Receipts 179,999 132,254
Overall Total Payments 151,256 120,995