The Ecclesiastical Parish of St. John the Baptist, Owlerton, Sheffield
Charity Number 1127215
Chairman’s commentary and Annual report for the year ended 31[st] December 2023
The trustees present their report and financial statements for the year ended 31[st] December 2023.
The financial statements have been prepared in accordance with requirements of the Charities Act 2011, and comply with the charity’s constitution.
Charity Objectives
The charity’s objectives are:
‘To proclaim and demonstrate the love of God, and to lead and support people in becoming wholehearted followers of Christ’.
The trustees have the responsibility of co-operating with the incumbent, Rev. Joy French, and the staff team of the church, in promoting the mission of the church, which is pastoral, evangelistic and social. The PCC has maintenance responsibilities for the church building. New Trustees are briefed on their roles and their responsibilities, their legal obligations under charity law, the content of the constitution, the decision-making process and the recent financial performance of the charity.
The trustees confirm that they have referred to the guidance contained in the Charity Commission’s general guidance on public benefit when reviewing the Charity’s aims and objectives and in planning future activities. The Trustees are also aware of the Charity Commission’s guidance on public benefit in The Advancement of Religion for the Public Benefit and have had regard to it in their administration of the Charity. The Charity provides the following activities for the benefit of the general public:
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The celebration of public worship
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The teaching of the Christian faith
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Mission and evangelism
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Pastoral work, including with the sick and bereaved.
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The provision of facilities with a Christian ethos, but open to all, for the local community, (including but not restricted to) the elderly, the young and other groups with additional needs; and
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The support of other charities in the UK and overseas
Part of the budget is allocated to supporting mission and activities beyond St. John’s church. Disbursals are supervised by the Trustees. All church activities rely heavily on the contribution of volunteers, whose time, effort prayer and dedication is greatly appreciated.
OUR TRUSTEES
Rev. Joy French – Chair
Mr. Brian Wilson – Treasurer (Resigned March 2024)
Mr. Martin Lymn – Churchwarden
Mrs. Katie Kerr – Churchwarden (Resigned February 2024)
Rev. Kirsty Massey – Curate
Mr. Paul Massey – Parish Safeguarding Officer
Mrs. Jean Holt
Mrs. Caryl Skene
Mrs. Ali Crofton
Mr. Keith Barber
Mr. Nick Cooper
Ms. Rebecca Haywood
Mr. Melvyn Dalley
Mrs. Joanne Tapper
Mrs. Hazel Rogers (resigned April 2024)
Mr. Mark Scotter (resigned April 2024)
OUR STAFF
Rev. Joy French – Oversight Minister
Claire Keppas – Administrator
Rev. Kirsty Massey - Curate
Suzanne Morton – Winn Gardens Community Pioneer
Mark Depledge – Digital Lead
James Gould – Ordinand
Mike Taylor – Buildings Manager
ELECTORAL ROLL
The electoral roll in May 2024 records 106 members. We currently have 198 adults registered with ChurchSuite and 107 children.
SUNDAY ATTENDANCE
Church attendance over this last year has remained at a similar level to 2023, and we regularly gather around 85 adults and 29 children and young people each week. We have had a higher than usual number of long-term members of St. John’s who have left the church over the last 18 months. Alongside this, we have also had a significant number of new people who have joined the church and made St. John’s their home. We continue to offer hybrid worship each week, with our services streamed to YouTube. There are regularly around 70 engagements with each YouTube service. We are pleased to be able to offer a hybrid service, which means that people who are unable to attend in person are still able to connect with church life.
THANK YOU TO EVERYONE
The Vicar, the Warden and the PCC wish to thank all who have contributed to the life, ministry and mission of St John’s over the past year. It has been a challenging year, with three staff members leaving their roles, and the absence of the vicar over 5 months whilst she was signed off. The willingness to grow and be stretched and the variety of gifts being exercised across the church are a real encouragement and essential to the life and ministry of St John’s. Let us never take for granted the tireless efforts put in by so many people to ensure that all areas of church life continue to grow and thrive. The vicar is supremely grateful for the kindness, commitment and love shown by so many members of our church family.
THE BUSINESS OF THE PCC OVER THE YEAR 2023
The PCC meets on a monthly basis. The PCC has given its attention to a wide range of issues, from buildings and finance to ministry, vision and mission. During this last year, the PCC spent a significant amount of time working on the Mission Action Plan for the church. This involved setting a number of objectives to support the church in its growth and mission. Copies of the action plan are available on request. As a result of the MAP process, the PCC developed a Vision and Strategy Team, involving the vicar, the curate, the churchwardens and the PSO to attempt to map out and plan for the implementation of the action plan.
The PCC worked to support The Family Works in order to become a charity in its own right. Charitable status was achieved for the project in October, and the charity officially became a separate legal and financial entity from the church on January 1[st] 2024. Huge thanks go to Andrea Liversidge, Brian Wilson, Kev Goodwin and the trustees of The Family Works who worked to make this possible.
Rev. Kirsty Massey was ordained Priest in June, and serves as our curate on a part-time selfsupporting basis alongside her work as a primary school teacher. Ordinand James Gould has continued to work with us for two days a week as part of his contextual ordination training. He and the Gould family will leave us in June 2024 when James is ordained and will begin his role as curate at Bramley and Thrybergh.
Other PCC business has included research and planning for the replacement of our church heating system which is no longer fit for purpose. We hope that the faculty application for the new heating system can be submitted soon.
The PCC have also developed a mission and ministry team, led by Caryl Skene and Jo Hopkins, which is tasked with finding organisations, individuals and projects that we can support through our church tithe.
PCC advertised for a part-time role of youth minister, but we were not able to appoint after two rounds of applications.
FINANCE
The Trustees have given due consideration to the health, safety and financial risks they face in managing the operations of the church. Trustees believe they have in place adequate systems to monitor and control church operations at this time.
The Curate, Wardens and PCC are most grateful to our finance team for all their hard work and commitment during 2023-24. The team comprises:
Treasurer and church accounts – Brian Wilson (Resigned March 2024)
Book-keeping and Payroll – Brian Wilson
Gift Aid team - Keith Barber & Michael Ackroyd (Mike left St. John’s in August 2023)
Counting collections and banking of money - Keith Barber, Mike Ackroyd and Claire Keppas
Professional accountancy oversight – Ian Rooth
We are grateful to Brian in his role as treasurer, ensuring that the accounting has been timely and clearly communicated throughout the year. Now that Brian has stood down from his role, we are keenly seeking a new treasurer. The church has a responsibility to manage our finances carefully and with good scrutiny in place. This year, we moved our bookkeeping onto the Xero software system, and this has been successful.
The church recorded an underspend against our budget in 2023 of £13,598. This was due to staff leaving their employment within the year, and we did not recruit new posts immediately. The staff team have maintained their commitment to bringing in grant funding to support the work of the church. We are grateful to the Joseph Rank Trust for the receipt of our third year of grant funding of £10000 per year over a 3-year period for our work with youth and young adults. Our work on Winn Gardens is part-funded by Zest, alongside this, we have also been in receipt of grant funding from a variety of sources which has enabled us to extend the scope of the food bank, and provide holiday food packs for households on the estate with children.
The Family Works was entirely grant funded in 2023, and whilst the figures are shown on our annual return as they came through the St. John’s accounts, the project ran at no cost to church. Figures for The Family Works will not be shown on church accounts in future now that the project is a separate charity.
Our regular weekday ministries continue to develop and the budget to cover these activities is also met by a mix of regular contributions from the church family and grant funding. We would encourage all taxpayers to Gift Aid their giving. Gift-Aid enables us to reclaim the tax at 25p for every pound given; for January to December 2023 the money received back from the Inland Revenue will be approximately £32,397.
Each year we pay into the Diocese Common Fund. This amounted to £75000 in 2023. This supports our clergy stipendiary costs and also helps to support other smaller parishes.
The Trustees have reviewed the reserves of the church. This review encompassed the nature of our current income and expenditure, the need to match variable income with fixed commitments and the nature of our reserves.
The review concluded that to allow the church finances to be managed effectively and to provide a buffer for the uninterrupted activities of the charity, unrestricted reserves equivalent to three months expenditure should be maintained. At 31 December 2023, the value of such reserves was £49,000.
The trustees have assessed the major risks to which the charity is exposed, and are developing their plans to mitigate exposure to major risks.
The trustees acknowledge that the receipt of the money from the sale of the church hall has inflated our financial reserves since 2018, making it look as though we have significant financial reserves when in fact a proportion of these are designated towards the building project that was necessitated by selling the hall. The trustees have therefore made the decision to designate £135,000 in our accounts for the church building project, to ensure that we have the resource available to begin the planning phase of the project.
POLICIES AND PROCEDURES
The PCC reviews annually our Safe Church Policy and our Safeguarding Policy. In the last year we have reviewed or implemented for the first time our policies for: Maternity, Complaints, Data Privacy, Equality, Diversity and Inclusion, Preventing Bullying and Harrassment and Whistleblowing. We also updated our fire evacuation plans. The PCC has recognised the need to ensure we give due diligence to best practice - we therefore seek to maintain regular training and guidance for all those involved with children and vulnerable adults. A huge thank you to our Parish Safeguarding Officer, Paul Massey and the wider safeguarding team of Katie Kerr and Claire Keppas who share a particular brief to cover the care of vulnerable adults and children and the DBS process. Copies of our Safeguarding policy and our Safe Church Policy are available in church and on the church website. Copies of all other church policies and procedures are available on request.
CHURCH BUILDING - MAINTENANCE
This year, we have received quotations for several elements of buildings work that were identified at our most recent Quinquennial report. This includes repairs to areas of flaking plaster on the ceiling at the front of church, and mending of the flat roof at the rear of the church building.
A buildings committee have gathered several times to plan for ongoing church maintenance, and a huge amount of work has been done by a small and dedicated team investigating our options for a new boiler system to replace our over 30-year old system, parts for which are now becoming obsolete. Before we can submit a faculty to replace the boiler, we need to demonstrate that we have researched the best and most eco-friendly solution for our building. We are hopeful that we are going to be able to submit the faculty application and complete the work by the winter.
Our thanks to the buildings committee members, and to Mike Taylor in his role of Buildings Manager and Caretaker, and for keeping our buildings clean and in good order.
SUNDAY SERVICES
Our Sunday Services follow a rhythm of communion on the first and third Sundays of the month, with a café-style service on the second Sunday, and infant baptisms available on the fourth Sunday of the month. In 2023, we baptised 5 infants, dedicated one child and baptised one older child. Café Church continues to be our best attended service, and creates a more informal space to worship and connect as an all-age congregation.
Momentum youth group currently use the worship space on a Sunday Evening. We held several sessions of “God, Life and Everything” through the spring, and this event, to which speakers were invited, was well received by some, but has not been continued.
In the summer of 2023, both James Gould and Kirsty Massey picked up some additional responsibility for the leading of Sunday School. They have worked alongside the Sunday School team to redesign our Sunday morning provision for children. Children are a much-valued and vital part of our worshipping life together, and it has been encouraging to see our children engaging in corporate worship and Sunday School.
MUSIC
We owe a huge thank you to our musicians and AV technicians. We are grateful to Mark Depledge for overseeing the rota and communications with worship leaders, planning rotas for musicians and ensuring that we are well served across our services and events. Our worship team has grown throughout 2023 as Simon Warner has joined the worship leading team – we are thankful for the gifts of all those who lead in our worship. We are very grateful for the young musicians, and young volunteers for the AV team. We are grateful to Mark Depledge and the wider teams for AV and worship for their investment in the skills of our younger people. New members of the worship team and AV team are always welcome.
COMMUNITY ENGAGEMENT AND MISSION
For the third year, we partnered with Sheffield Children’s Hospital over the Christmas period to put charity snowflakes onto the church building. These looked wonderful, and contributed towards the overall sum of over £300000 raised for the Children’s Hospital through the snowflakes. We held our third annual Snowflake Switch-On Christmas Market, and this was a huge success. We will be having the snowflakes up each year, and plan to hold another switch on market in December of this year.
We continue to welcome the Steel City Choristers to use our building, and the choir has grown and flourished significantly throughout 2023. Relationships with the choir are strong, and the choir are grateful to be connected with us at St. John’s.
Two by 2 and Baby Group have continued as volunteers have stepped up to lead these groups since our families worker moved to another post. Our baby and toddler groups are well received by the families who attend, and these groups are places where significant relationships are formed and children are brought for baptism as a result.
The monthly services at Loxley Park have continued led by a faithful group – we know that this ministry provides a space for worship and community for those who attend.
Me & Thee has continued to grow and flourish, providing a space for food, community, support and prayer for some of our older people. This is a wonderful ministry which is so well received by all who attend. We are grateful for the volunteer team who lead this work.
Finally, although there will be separate ministry report for this area of work, our work on the Winn Gardens estate has continued to grow. It is sobering to realise just how many households now need support with the cost of their food, and the foodbank team continually go above and beyond for their customers, providing not only tinned food, but also fresh fruit and veg, eggs and bread. As Suzanne Morton leaves us to take up her new role as a Mission Enabler with the Nottinghamshire Methodist District, we give thanks for her work and the work of the volunteer team. We pray that God would lead and guide both PCC and the Winn Gardens team as we discern the next steps for this vital area of ministry.
DIOCESAN RELATIONSHIPS
We maintain good relationships with other churches in the Deanery, including those in our mission area, St. Polycarps, Christ Church Wadsley Bridge and Wadsley Parish Church. We continue to be classed as a Resourcing Church in the Diocese, which will see us exploring with Diocesan colleagues how we can become a planting church, committed to supporting congregations in other contexts.
DEANERY SYNOD
We are represented on Deanery Synod by Rev. Kirsty Massey. She writes,
Deanery Synod Report 2023-24
Hallam Deanery Synod met on the following dates – 19[th] September, 7[th] December and 30[th] January. This report gives a summary of the themes/topics for each meeting. Full minutes for each meeting are available from Kirsty Massey if you want to know more about any of these topics.
– ’ September 2023 Lights for Christ (meeting held at St Columba s, Crosspool)
Hannah Sandoval, the diocesan Light for Christ enabler spoke about the resources which are available to help our congregations engage with the idea of having a Personal Rule of Life.
She started by explaining the Lights for Christ year, with key seasons to be celebrated. Then she advised that the discipline does not need to have the same name in every group of people – they should use a name that they are comfortable with – e.g. Personal Rule of Life, Practicing the Way, Rhythm of Life. In developing a Rule of Life we should reflect on our current practices particularly our regular rhythms and routines, helpful and unhelpful habits, spiritual disciplines and individual and communal activities. This can be done using the three headings Receiving, Walking in and Reflecting the Light of Christ. Hannah recommended some reading titles: The Common Rule, Justin Whitmel Earley; Seven Scared Spaces, George Lings.
She advised on questions to ask when considering your own church community, then on mechanisms to support the ongoing practice of a Rule for Life, not forgetting regular review and
amendment of the plan when necessary. She emphasised that it is important to consider having a nominated Encourager to check in with a couple of times a year.
She ended by reminding us of Wear Your Faith Fortnight, 22[nd] October to 5[th] November, during which we are encouraged to wear an outward symbol of our Christianity in the hope a conversation will be triggered with others. The Diocese has a new set of lapel badges available this year (obtain your supplies from www.sheffield.anglican.org/wyff-resources/)
December 2023 – Thinking about Diocesan Planning for Strategy for the years 2026-32 (joint meeting with Ecclesfield Deanery held at St Thomas, Philadelphia)
Bishop Pete, Malcolm Chamberlain and Alex Shilkoff spoke about the Deanery visit days on 6[th] and 7[th] December, which ahd included a visit to the Winn Gardens Foodbank.
Bishop Pete spoke on Isaiah 55, saying that, “the text is intended to give the people courage and encouragement and shows the initiative God takes. As a church we need to discern what God is doing in our midst and what is required of us.”
We watched a video abut the current diocesan strategy based around mission areas, oversight ministers and the growing number of focal ministers.
Andy Poultney spoke about JOY (joining Old and Young) at St Paul’s, Wordsworth Avenue, and Matt Jenkins spoke about his experience as part of the graft group form STC to Christ Church, Stannington.
The meeting broke into small groups to consider three questions:
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What does a flourishing Diocese look like in your Mission Areas in 2032? What do you see, hear, and feel?
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What are you doing differently in 2032? This can include things that you have stopped doing.
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How are you deploying/sharing resources differently and what new resources are being deployed/shared?
Notes made by the groups were collected for analysing by the BSST. Malcolm Chamberlain advised that he and Alex Shilkoff would be meeting Deanery MPCs/Councils, parishes and Mission Areas over the next few months. An application for funding needs to be submitted to the Church Commissioners by October 2024 and the first tranche of funding should be received by the end of 2024.
– January 2024 Ministry with Older People (joint meeting with Ecclesfield Deanery held at Christ Church, Hillsborough and Wadsley Bridge)
Helen Coates from SCCCC spoke to us about the work of her charity, and then provided spoken input and the chance to look at a range of resources available to help churches in providing care and ministry for older people.
SCCCC
Sheffield-based charity offering:
Back Home – support after hospital discharge, for over 55’s
Placement Support Scheme – support for over 65’s looking to move home
Good Neighbour Scheme – befriending service for over 65’s
Volunteering opportunities include befriending or getting involved in fundraising.
For more information contact Helen.coates@scccc.co.uk, or look on our website www.scccc.co.uk
(further details of other support organisations are available via the Deanery Synod minutes)
Churches also contributed post-its to a board showing the range of ministries which are already being run within the deanery.
The Trustees report was approved by the board of Trustees on 22[nd] April 2024.
Revd Joy French 22[nd] April 2024
2023
FINANCIAL REPORT & STATEMENT OF ACCOUNTS
The vision of St John’s church is to proclaim and demonstrate the love of God and lead and support people in becoming wholehearted followers of Christ.
Page Contents
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Summary
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Income
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Expenditure
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Other notes and balance sheet
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Independent Examiner’s report
Approved by the Parochial Church Council on 22[nd] April, 2024
Chairman: Revd Joy French
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 1 of 8
2023 FINANCIAL REPORT SUMMARY
(if you don’t read any other pages, please read this page)
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INCOME EXPENDITURE SURPLUS/DEFICIT
“Unrestricted
“Restricted Income”
Income”
Donations and grants restricted by the
Area of activity Donations with no
donor and so must be used for specific Difference
restrictions as to Total Total
areas of expenditure their use between Income
Income Expenditure
Donations from Donations from and Expenditure
External Grants
Individuals * Individuals
+ Other Income
+ Other Income + Other Income
General
(incl. Children's, Under 5s, £2,304 £178,536 £180,840 £160,329 £20,511
Digital, Admin, Buildings)
Youth & Young Adults £7,300 £10,814 £18,114 £18,114 £0
Winn Gardens
£37,198 £7,900 £45,098 £52,011 -£6,913
(incl. Foodbank)
The Family Works £96,236 £6,788 £103,024 £103,024 £0
Totals £143,038 £25,502 £178,536 £347,076 £333,478 £13,598
( £5,200 of unspent
( income figures above include Gift Aid) restricted Youth giving
carried over to 2024)
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Key highlights
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At the start of 2023, the PCC agreed to a deficit budget pending decisions being made to bring expenditure back in line with income. By the end of 2023, we finished the year with a surplus (the £13,598 in the table above), primarily due to reduced expenditure on salaries following three staff departures. The PCC is currently considering options for defining and filling staff vacancies and so the total expenditure for 2024 has not yet been finalised.
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Income r estricted for Youth ministry (£23,314) exceeded expenditure (£18,114) (with Sophie leaving in the summer) and so a balance of £5,200 has been transferred over to 2024 to be spent on Youth ministry (see ** in the table above).
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In 2023, The Family Works project was fully funded from external grants and donations and made no call on other St John’s funds. At the end of 2023, there was a balance of restricted grants that were transferred to the new fully independent Family Works charity.
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As in previous years, the Fresh Fruit & Veg element of the Winn Gardens foodbank activity continues to be completely self-funded from individual donations and external grants and makes no call on other St John’s funds.
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Based on the first months of 2024, total ‘Voluntary income’ (see 2(a) on page 3 for Voluntary Income in 2022 and 2023) is forecast to be around £160,000 in 2024 (compared to £181,700 in 2023 and £192,800 in 2022). Donations from new givers and increases in continuing giving will increase this figure over and above £160,000. During 2023, continuing givers very generously increased their giving by an average of 7% (compared to 2022 giving). (*** these comparative figures exclude giving to The Family Works, which is not part of the St John’s budget in 2024)
Current funds (as at 31[st] December, 2023)
(= money held in bank accounts; this is part of the Balance Sheet on page 5)
| Designated Reserves | Church Building Development Fund (remainder of fundsfrom the £300,000 sale of Memorial Hall) |
£135,000 |
|---|---|---|
| Restricted Reserves | Outstanding amounts from restricted grants and donations | £44,628 |
| Operating Reserve | Reserves policy: Equal to 3-months of 2024 expenditure | £49,000 |
| Unrestricted / General Reserves |
Free Reserves | £24,632 |
| £253,260 |
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts Page 2 of 8
INCOME (note 2)
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PARISH OF ST JOHN THE BAPTIST, OWLERTON
FINANCIAL STATEMENTS - YEAR ENDED 31st DECEMBER 2023
2023 2022
Unrestricted Restricted Total Total
Funds Funds 2023 2022
£ £ £ £
2 INCOMING RESOURCES
2 a) Voluntary income
Gift aid giving 115,982 14,900 130,882 127,564
Non gift aid giving 22,779 1,336 24,115 42,853
Tax recovery from Gift aid 28,672 3,725 32,397 32,465
Collection Plate 1,106 1,106 1,078
168,539 19,961 188,500 203,960
2 b) Other Voluntary Income
Grants 137,074 137,074 59,209
Other Charitable giving 1,204 1,204 -
Food Bank 6,506 6,506 4,365
Social Fund 200 200 432
Miscellaneous - 3,116 3,116 147
Building Project - - 200
- 148,100 148,100 64,353
2 c) Income from Charitable & Ancillary Trading
Church Lettings 2,255 2,255 610
Fees - Weddings & Funerals 3,328 3,328 3,046
Events payments 697 697 2069
Commissioned Work (TFW) 3,492 3,492
5,583 4,189 9,772 5,725
2 d) Income from Deposits
Interest - Church 25 704 84
25 - 704 84
2 e) Other income
TOTAL INCOMING RESOURCES 174,147 172,250 347,076 274,122
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Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 3 of 8
EXPENDITURE (note 3)
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PARISH OF ST JOHN THE BAPTIST, OWLERTON
FINANCIAL STATEMENTS - YEAR ENDED 31st DECEMBER 2023
2023 2022
Unrestricted Restricted 2023 2022
Funds Funds Total Total
£ £ £ £
3 RESOURCES USED
3a) Grants
Missionary & charitable giving:-
Overseas mission, social relief, development
agencies, Home Missions, Busaries, Relief 7,000 7,000 2,824
7,000 - 7,000 2,824
3 b) Activities directly relating to the work of the church
Administration 6,607 6,607 13,490
Capital Expenditure - - 3,755
Childrens Work 1,153 1,153 1,109
Church Running Costs 9,619 9,619 15,750
Routine Maintenance - Church 2,593 2,593 7,304
Ministries 1,045 1,045 1,334
Common Fund (paid to Diocese) 75,000 75,000 73,740
Employment Costs (Staff) 48,908 122,500 171,408 174,369
Staff Expenses 2,536 11,898 14,434 4,280
Sunday services 4,748 4,748 4,027
Weddings / Funerals 2,317 2,317 2,416
Youth Ministry 742 742 1,112
Social Fund - - 279
Music/ Misc - - 214
Winn Gardens Outreach 14,319 14,319 21,344
Food Bank 6,995 6,995 7,716
Family Works Outreach 15,498 15,498 6,946
Church Exension Project - -
154,526 171,952 326,478 339,185
TOTAL RESOURCES USED 161,526 171,952 333,478 342,009
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Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 4 of 8
OTHER NOTES (notes 4 to 7)
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Total Total
2023 2022
£ £
4) Staff Costs
Salaries 171,409 174,369
5) Debtors
Prepayments - 354
6) Liabilities
Other Accruals 12,492 1,701
12,492 1,701
7) Total Funds Available
Analysis by type of asset
Current Assets (bank balances, prepayments) 265,752 224,238
Current Liabilities (accruals) - 12,492 - 1,701
= Total funds available 253,260 222,537
Analysis of Total Funds by fund
Church Building Development Fund 135,000 135,000
Restricted Grants and Donations
44,628 27,503
- not available for general church activities
Unrestricted Funds / General Reserves (incl. Operating Reserves) 73,632 60,034
253,260 222,537
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BALANCE SHEET
| BALANCE SHEET | Notes | 2023 | 2022 | ||
|---|---|---|---|---|---|
| (see above) | £ | £ | |||
| CURRENT ASSETS | |||||
| Fixed Assets | |||||
| Debtors/Prepayments | 5 | - 265,752 |
354 | ||
| Cash at Bank(bank balances) | 7 | 223,884 | |||
| 265,752 | 224,238 | ||||
| Less LIABILITIES | |||||
| Amounts fallingdue within oneyear | 6 | 12,492 | 1,701 | ||
| NET ASSETS | 253,260 | 222,537 | |||
| FUNDS | |||||
| Designated Reserves - Church Buildings | 7 | 135,000 44,628 73,632 |
135,000 | ||
| Restricted Grants and Donations - not available forgeneral church activities |
7 |
27,503 | |||
| Unrestricted/General Reserves | 7 | 60,034 | |||
| 253,260 | 222,537 |
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 5 of 8
Independent Examiner’s Report 2023
Independent Examiner’s Report of the Trustees of St John’s Owlerton Church.
I report on the accounts of the church for the year ended 2023, which are set out on pages 2 to 5.
Respective responsibilities of trustees and examiner
The St John’s trustees (PCC) are responsible for the preparation of the accounts. The church’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 and that an independent examination is needed.
It is my responsibility to:
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Examine the account under section 145 of the 2011 Act
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To follow the procedures laid down in the General Directions given by the Charity Commissioners under section 145 (5)(b) of the 2011 Act; and
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To state whether particular matters have come to my attention
Basis of independent examiner’s report
My examination was carried out in accordance with the general directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.
Since the gross income for the year exceeds the amount provided in section 145 (3) of the Act, I confirm that I am qualified to act as Independent Examiner under the provisions of that section of the Act and that my qualification is as shown below.
In connection with my examination, no matter has come to my attention:
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1) Which gives me reasonable cause to believe that in any material respect the requirements
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to keep accounting records in accordance with section 130 of the 2011 Act; and
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to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act have not been met; or
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2) To which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.
Name: Ian Rooth Date: 7[th] April, 2024
Relevant professional qualification or body: CIPFA (Chartered Institute for Public Finance & Accountancy) Address: 10 Cross House Close S35 8SJ
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 6 of 8
Detail of Examination
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Checked all totals and sub totals on the final accounts.
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Reconciled the Income (Note 2) sheet to the accounting system (Xero).
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Reconciled the Expenditure (Note 3) sheet to Xero
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Reconciled the Balance Sheet to Xero and to the Notes 4-7 Sheet where appropriate.
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Compared actual figures for 2023 to 2022. Investigated any significant increases / decreases.
-
Looked through a selection of invoices to ensure all relate to legitimate church business and specifically traced the following invoices from the invoice to the final accounts:
| Supplier Name | Date of Transaction |
Amount | Nominal Code | ||||
|---|---|---|---|---|---|---|---|
| Vista Print | 21-Mar-23 | £775.10 | Sunday services general (5260) | ||||
| SSE Gas | 24-Apr-23 | £559.90 | Admin costs routine (5420) | ||||
| Freddies Fruit Store | 20-Dec-23 | £385.00 | WG's foodbank Fresh Fruit + Veg (5980) |
Examiners Summary Conclusion
A number of relatively minor reconciling issues between the accounts and Xero were discussed with Brian Wilson and, where appropriate, some adjustments made to 2023's final position.
My overall conclusion is that there are no significant matters of concern and the accounts represent an accurate reflection of St John's Church’s 2023 financial position.
This position is augmented by the introduction of the Xero financial system that now provides the up to date and reliable financial information necessary for monitoring the church's activities, which are wide ranging and, by consequence, more complex.
Brian and the Finance Team should be congratulated for this major system implementation as well as keeping a firm grip on the financial position.
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 7 of 8
The church is enormously appreciative of the wonderful generosity of our church members who enable the mission and ministry activities to continue to bear fruit.
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 8 of 8
2023
FINANCIAL REPORT & STATEMENT OF ACCOUNTS
The vision of St John’s church is to proclaim and demonstrate the love of God and lead and support people in becoming wholehearted followers of Christ.
Page Contents
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Summary
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Income
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Expenditure
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Other notes and balance sheet
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Independent Examiner’s report
Approved by the Parochial Church Council on 22[nd] April, 2024
Chairman: Revd Joy French
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 1 of 8
2023 FINANCIAL REPORT SUMMARY
(if you don’t read any other pages, please read this page)
----- Start of picture text -----
INCOME EXPENDITURE SURPLUS/DEFICIT
“Unrestricted
“Restricted Income”
Income”
Donations and grants restricted by the
Area of activity Donations with no
donor and so must be used for specific Difference
restrictions as to Total Total
areas of expenditure their use between Income
Income Expenditure
Donations from Donations from and Expenditure
External Grants
Individuals * Individuals
+ Other Income
+ Other Income + Other Income
General
(incl. Children's, Under 5s, £2,304 £178,536 £180,840 £160,329 £20,511
Digital, Admin, Buildings)
Youth & Young Adults £7,300 £10,814 £18,114 £18,114 £0
Winn Gardens
£37,198 £7,900 £45,098 £52,011 -£6,913
(incl. Foodbank)
The Family Works £96,236 £6,788 £103,024 £103,024 £0
Totals £143,038 £25,502 £178,536 £347,076 £333,478 £13,598
( £5,200 of unspent
( income figures above include Gift Aid) restricted Youth giving
carried over to 2024)
----- End of picture text -----
Key highlights
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At the start of 2023, the PCC agreed to a deficit budget pending decisions being made to bring expenditure back in line with income. By the end of 2023, we finished the year with a surplus (the £13,598 in the table above), primarily due to reduced expenditure on salaries following three staff departures. The PCC is currently considering options for defining and filling staff vacancies and so the total expenditure for 2024 has not yet been finalised.
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Income r estricted for Youth ministry (£23,314) exceeded expenditure (£18,114) (with Sophie leaving in the summer) and so a balance of £5,200 has been transferred over to 2024 to be spent on Youth ministry (see ** in the table above).
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In 2023, The Family Works project was fully funded from external grants and donations and made no call on other St John’s funds. At the end of 2023, there was a balance of restricted grants that were transferred to the new fully independent Family Works charity.
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As in previous years, the Fresh Fruit & Veg element of the Winn Gardens foodbank activity continues to be completely self-funded from individual donations and external grants and makes no call on other St John’s funds.
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Based on the first months of 2024, total ‘Voluntary income’ (see 2(a) on page 3 for Voluntary Income in 2022 and 2023) is forecast to be around £160,000 in 2024 (compared to £181,700 in 2023 and £192,800 in 2022). Donations from new givers and increases in continuing giving will increase this figure over and above £160,000. During 2023, continuing givers very generously increased their giving by an average of 7% (compared to 2022 giving). (*** these comparative figures exclude giving to The Family Works, which is not part of the St John’s budget in 2024)
Current funds (as at 31[st] December, 2023)
(= money held in bank accounts; this is part of the Balance Sheet on page 5)
| Designated Reserves | Church Building Development Fund (remainder of fundsfrom the £300,000 sale of Memorial Hall) |
£135,000 |
|---|---|---|
| Restricted Reserves | Outstanding amounts from restricted grants and donations | £44,628 |
| Operating Reserve | Reserves policy: Equal to 3-months of 2024 expenditure | £49,000 |
| Unrestricted / General Reserves |
Free Reserves | £24,632 |
| £253,260 |
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts Page 2 of 8
INCOME (note 2)
----- Start of picture text -----
PARISH OF ST JOHN THE BAPTIST, OWLERTON
FINANCIAL STATEMENTS - YEAR ENDED 31st DECEMBER 2023
2023 2022
Unrestricted Restricted Total Total
Funds Funds 2023 2022
£ £ £ £
2 INCOMING RESOURCES
2 a) Voluntary income
Gift aid giving 115,982 14,900 130,882 127,564
Non gift aid giving 22,779 1,336 24,115 42,853
Tax recovery from Gift aid 28,672 3,725 32,397 32,465
Collection Plate 1,106 1,106 1,078
168,539 19,961 188,500 203,960
2 b) Other Voluntary Income
Grants 137,074 137,074 59,209
Other Charitable giving 1,204 1,204 -
Food Bank 6,506 6,506 4,365
Social Fund 200 200 432
Miscellaneous - 3,116 3,116 147
Building Project - - 200
- 148,100 148,100 64,353
2 c) Income from Charitable & Ancillary Trading
Church Lettings 2,255 2,255 610
Fees - Weddings & Funerals 3,328 3,328 3,046
Events payments 697 697 2069
Commissioned Work (TFW) 3,492 3,492
5,583 4,189 9,772 5,725
2 d) Income from Deposits
Interest - Church 25 704 84
25 - 704 84
2 e) Other income
TOTAL INCOMING RESOURCES 174,147 172,250 347,076 274,122
----- End of picture text -----
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 3 of 8
EXPENDITURE (note 3)
----- Start of picture text -----
PARISH OF ST JOHN THE BAPTIST, OWLERTON
FINANCIAL STATEMENTS - YEAR ENDED 31st DECEMBER 2023
2023 2022
Unrestricted Restricted 2023 2022
Funds Funds Total Total
£ £ £ £
3 RESOURCES USED
3a) Grants
Missionary & charitable giving:-
Overseas mission, social relief, development
agencies, Home Missions, Busaries, Relief 7,000 7,000 2,824
7,000 - 7,000 2,824
3 b) Activities directly relating to the work of the church
Administration 6,607 6,607 13,490
Capital Expenditure - - 3,755
Childrens Work 1,153 1,153 1,109
Church Running Costs 9,619 9,619 15,750
Routine Maintenance - Church 2,593 2,593 7,304
Ministries 1,045 1,045 1,334
Common Fund (paid to Diocese) 75,000 75,000 73,740
Employment Costs (Staff) 48,908 122,500 171,408 174,369
Staff Expenses 2,536 11,898 14,434 4,280
Sunday services 4,748 4,748 4,027
Weddings / Funerals 2,317 2,317 2,416
Youth Ministry 742 742 1,112
Social Fund - - 279
Music/ Misc - - 214
Winn Gardens Outreach 14,319 14,319 21,344
Food Bank 6,995 6,995 7,716
Family Works Outreach 15,498 15,498 6,946
Church Exension Project - -
154,526 171,952 326,478 339,185
TOTAL RESOURCES USED 161,526 171,952 333,478 342,009
----- End of picture text -----
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 4 of 8
OTHER NOTES (notes 4 to 7)
----- Start of picture text -----
Total Total
2023 2022
£ £
4) Staff Costs
Salaries 171,409 174,369
5) Debtors
Prepayments - 354
6) Liabilities
Other Accruals 12,492 1,701
12,492 1,701
7) Total Funds Available
Analysis by type of asset
Current Assets (bank balances, prepayments) 265,752 224,238
Current Liabilities (accruals) - 12,492 - 1,701
= Total funds available 253,260 222,537
Analysis of Total Funds by fund
Church Building Development Fund 135,000 135,000
Restricted Grants and Donations
44,628 27,503
- not available for general church activities
Unrestricted Funds / General Reserves (incl. Operating Reserves) 73,632 60,034
253,260 222,537
----- End of picture text -----
BALANCE SHEET
| BALANCE SHEET | Notes | 2023 | 2022 | ||
|---|---|---|---|---|---|
| (see above) | £ | £ | |||
| CURRENT ASSETS | |||||
| Fixed Assets | |||||
| Debtors/Prepayments | 5 | - 265,752 |
354 | ||
| Cash at Bank(bank balances) | 7 | 223,884 | |||
| 265,752 | 224,238 | ||||
| Less LIABILITIES | |||||
| Amounts fallingdue within oneyear | 6 | 12,492 | 1,701 | ||
| NET ASSETS | 253,260 | 222,537 | |||
| FUNDS | |||||
| Designated Reserves - Church Buildings | 7 | 135,000 44,628 73,632 |
135,000 | ||
| Restricted Grants and Donations - not available forgeneral church activities |
7 |
27,503 | |||
| Unrestricted/General Reserves | 7 | 60,034 | |||
| 253,260 | 222,537 |
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 5 of 8
Independent Examiner’s Report 2023
Independent Examiner’s Report of the Trustees of St John’s Owlerton Church.
I report on the accounts of the church for the year ended 2023, which are set out on pages 2 to 5.
Respective responsibilities of trustees and examiner
The St John’s trustees (PCC) are responsible for the preparation of the accounts. The church’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 and that an independent examination is needed.
It is my responsibility to:
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Examine the account under section 145 of the 2011 Act
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To follow the procedures laid down in the General Directions given by the Charity Commissioners under section 145 (5)(b) of the 2011 Act; and
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To state whether particular matters have come to my attention
Basis of independent examiner’s report
My examination was carried out in accordance with the general directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.
Since the gross income for the year exceeds the amount provided in section 145 (3) of the Act, I confirm that I am qualified to act as Independent Examiner under the provisions of that section of the Act and that my qualification is as shown below.
In connection with my examination, no matter has come to my attention:
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1) Which gives me reasonable cause to believe that in any material respect the requirements
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to keep accounting records in accordance with section 130 of the 2011 Act; and
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to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act have not been met; or
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2) To which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.
Name: Ian Rooth Date: 7[th] April, 2024
Relevant professional qualification or body: CIPFA (Chartered Institute for Public Finance & Accountancy) Address: 10 Cross House Close S35 8SJ
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 6 of 8
Detail of Examination
-
Checked all totals and sub totals on the final accounts.
-
Reconciled the Income (Note 2) sheet to the accounting system (Xero).
-
Reconciled the Expenditure (Note 3) sheet to Xero
-
Reconciled the Balance Sheet to Xero and to the Notes 4-7 Sheet where appropriate.
-
Compared actual figures for 2023 to 2022. Investigated any significant increases / decreases.
-
Looked through a selection of invoices to ensure all relate to legitimate church business and specifically traced the following invoices from the invoice to the final accounts:
| Supplier Name | Date of Transaction |
Amount | Nominal Code | ||||
|---|---|---|---|---|---|---|---|
| Vista Print | 21-Mar-23 | £775.10 | Sunday services general (5260) | ||||
| SSE Gas | 24-Apr-23 | £559.90 | Admin costs routine (5420) | ||||
| Freddies Fruit Store | 20-Dec-23 | £385.00 | WG's foodbank Fresh Fruit + Veg (5980) |
Examiners Summary Conclusion
A number of relatively minor reconciling issues between the accounts and Xero were discussed with Brian Wilson and, where appropriate, some adjustments made to 2023's final position.
My overall conclusion is that there are no significant matters of concern and the accounts represent an accurate reflection of St John's Church’s 2023 financial position.
This position is augmented by the introduction of the Xero financial system that now provides the up to date and reliable financial information necessary for monitoring the church's activities, which are wide ranging and, by consequence, more complex.
Brian and the Finance Team should be congratulated for this major system implementation as well as keeping a firm grip on the financial position.
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 7 of 8
The church is enormously appreciative of the wonderful generosity of our church members who enable the mission and ministry activities to continue to bear fruit.
Parish of St John the Baptist, Owlerton 2023 Financial Report and Statement of Accounts
Page 8 of 8