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2020-12-31-accounts

TREASURERS REPORT 2020

Total Receipts for the year were, 60017 WHICH FOR LOCKDOWN REASONS were down by 30300 pounds.

Special mention is made for the generosity of FWO members who have changed to direct payment and was only 4703 pounds short on last year. The legacy figure of 3333 pounds has been placed in reserve for future re-furbishment.

Total Payments---of £56519 includes 26800 for the quota which was the most that the finances would allow in the current year.

The Misc costs includes payments made to Stephen and Ken in recognition for their outstanding service.

.

Heat lighting – shows a reduction of 1500 pounds as the church was not in use. No magazine costs have been inserted for current year as no circulation of any number was made, Hence printing shows an increase 2000 pounds. Staff expenses show a decrease of 3900 pounds no verger costs and organist fees for several months. Special charities paid is for payments to Lucy and Stephen

To finalise and WHEN THE COUNTRY is back to normal most important for the FUTURE OF THE CHURCH, and THE PARISH which will be a HUGE TASK I do not see much improvement in our Financial position so that as much as possible might be paid towards the Quota

The balance of funds is held at Barclays Bank and Central Board of Finance.

RESTRICTED FUNDS 2019 2020
Choir Fund
Opening Balance 939 799
Receipts 125 150
Payments 265 619
Closing Balance 799 330
Religious Education Fund
Opening Balance 1196 1470
Receipts 372 375
Payments 98 125
Closing Balance 1470 1719
Mission Fund
Opening Balance -95 -95
Receipts
trf
95
Payments
Closing Balance -95 0
Bell Fund
Opening Balance 723 923
Receipts 225 46
Payments 25 162
Closing Balance 923 807

TREASURERS REPORT 2020

Total Receipts for the year were, 60017 WHICH FOR LOCKDOWN REASONS were down by 30300 pounds.

Special mention is made for the generosity of FWO members who have changed to direct payment and was only 4703 pounds short on last year. The legacy figure of 3333 pounds has been placed in reserve for future re-furbishment.

Total Payments---of £56519 includes 26800 for the quota which was the most that the finances would allow in the current year.

The Misc costs includes payments made to Stephen and Ken in recognition for their outstanding service.

.

Heat lighting – shows a reduction of 1500 pounds as the church was not in use. No magazine costs have been inserted for current year as no circulation of any number was made, Hence printing shows an increase 2000 pounds. Staff expenses show a decrease of 3900 pounds no verger costs and organist fees for several months. Special charities paid is for payments to Lucy and Stephen

To finalise and WHEN THE COUNTRY is back to normal most important for the FUTURE OF THE CHURCH, and THE PARISH which will be a HUGE TASK I do not see much improvement in our Financial position so that as much as possible might be paid towards the Quota

The balance of funds is held at Barclays Bank and Central Board of Finance.