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2021-12-31-accounts

St. Michael’s, Kirby

End of Year Financial Statements

Year ending 31[st] December 2021

St Michael’s PCC has the responsibility of co-opera7ng with the incumbent, in promo7ng in the ecclesias7cal parish the whole mission of the Church, pastoral, evangelical, social and ecumenical. It also has the responsibility of maintaining the Church Hall in The Street, Kirby-le-Soken, and the Baker Hall at Kirby Cross.

Membership

Members of the PCC are either ex-officio or elected by the Annual Parochial Church Mee7ng (APCM) in accordance with the Church Representa7on Rules.

During the year the following served as members of the PCC:

Incumbent: Revd Mark Holdaway
Church Wardens: Mrs Myra Dansie
Mrs Daryl Burgoyne
Deanery Synod Reps: Tony Easteal and Liz Walters
Secretary: Liz Walters
PCC: Frances Pearce, Sandie Hurst, Aileen Kinglsey, Rod CuSng, Robert King,
Dorothy Godsell

The PCC operates through a number of commiUees and groups, which meet when necessary, and report back to the Council. These are:

Standing CommiUee

This is the only commiUee required by law. It has the power to transact the business of the PCC between its mee7ngs, subject to any direc7ons given by the PCC.

Pastoral/Bereavement Visi7ng Team

This team meets with the incumbent to organise follow-up visits to all those in need in our parish.

Church Building (Fabric) Sub-CommiUee

This closed with the comple7on of East End repairs but is due to soon re-start for further building repairs.

Halls Sub-CommiUee

Which has worked hard to be renovate the Baker Hall, maintain and over see both Halls and prepare them for re-opening.

Finance CommiUee

This began to meet before Covid, but hopes to return to mee7ng soon.

St Michael's Klrby48-Sokèn PCC - 1128018 Receipts and payrnents Selectod perlod: 01 January 2021 to 31 December 2021 From To 01 January 2021 31 D¢e•mb•r 2021 01 January 2020 31Decem1￿1 2020 Noie G•n•rnl- Gèneral lund (Unrestricted) Fund Recalpts PL8nned gMrvJ GiftAid- Ban d- Envthp8S Oiher plann8d gwing FloodlvJhts 21,734.QO eoo.00 1,570.00 720.00 18.058.00 1,675.00 2.008.00 24,824.00 22,301.00 CdlecDon$ and olher ghring LLK)5e plate c￿lleCtKthl$ One-off Grft grfts 5,320.89 2.620.00 4,060.70 7,547.C() 17,￿7.70 Totsl colle¢knartdolh6r￿￿k 7,940.89 Othervoluntary w*ipts Gwing through church boxes Donabons l Non GrftAid I Legaties 142.64 3.250.87 76.7fj 3,S14.51 2,000.00 3.393.57 5,591.27 Gift Ald recovered Tax reo)¥erabl8 on Gift Awj 8,577.02 7.015.57 457T.02 T,015.57 other fiJnd5 geneTated Inc. Furfough 3.152.6t 3,327.70 Tow ¢Yhgrrecwpts 3.152.61 3,327.70 A¢b¥iti# for generating funds Fundraising Parish Lunches Coffee surplvs 114.50 14.40 3fj.95 106.00 16&85 106.(Xl Investsnenl Income 8ank and building 8ocW inleresl Rent ftom laThYs orbuityJiryJs 12.03 67.49 71.09 12.03 138.58 Re(tipts from thurch actNib85 Fees for wethJirrfJs and kn8raL5 Church hall letting5 Baker Hall letbng5 9.485.00 3.741.50 782.50 5,538.38 1,780.00 1.445.23 14,009.t 8,763.61 Totsl r•¢eSpts 62.Q7&91 58.851A3 Paymonts Cost of gefi8ralnu funds Crossways Chureh F(x)d Church oifr¢e pholocowr Qebe Re 33.20 592.39 92.IM) Tol81 C08tolgen8rèbtw lunds 717.59 17 March 2022 Page 1

Fri¥n 01 Jafiv￿ 2021 To 31 D•¢¢mlw 2021 01 January 2020 31 D￿m￿r 2D20 Note 329.35 649.99 Parish Share partsh sharB ete Fees payatJÈ to DNX 43.728.36 3,978.89 35,419.91 2,469.38 47.707.25 37,889.29 Clerw and Slaffing ¢t)Sts 240.00 2.9%.99 411.69 47.22 S31ary rl ￿1$h Worknry expBlls85 of i1￿M Pdfi5h Offte. pa 3.599.04 38029 135.80 76. 170&90 4.791.13 Church njming. in9jra￿e 151&44 372.85 616.(X) 39.95 118.14 552.00 429.02 1.863.78 2,481. 463.25 772.98 245.65 278.59 1,1SS.00 955.83 642.89 (￿gan￿1 and rnus￿ Churth maintenar vpkeep0fse￿￿•s Churth runniry-el8Lic C￿r¢h 6,TlQ_18 7.015.69 Hall fvJnniroJ C(15 343.23 2.664.69 799.60 1.792.57 38.70 1.792.59 673A4 582.01 491.57 328.13 1.133.00 764.78 401.80 Chwth Hah deanor Baker Hal Clea Churc* Hall 492.80 212.63 132.02 Churth Hall rulY￿￿- 1.140.(KI 88kÉr Hal InwrwKe 248.75 330.97 412.78 81.15 8ak8r Hall 311.99 90.39 7.48&10 9.269.37 250.00 250.LXI 66A03A2 $9.333.07 14.328.511 25.(￿￿7.00 18.688.43 39.359.92 1481.641 199.754.831 118,924. 18.6 Transfw5 tdlfroml 17 2022 Pa98 2

01 Januxy 2021 31 D￿em￿r 2021 D1 J￿￿ary 2020 31 OecwnbeT 2020 Note To Assistant- hllnisty Asslstant ID•sign#t•dl Fund 0.50 T•trl ¢¥rW fornryl b•lan¢e 0.50 Assistant- Minlgtry Assistant IR•strl¢led) Fund Roc•ipts PlaM8d givir Grfl Aid- Pank 400.(XJ 0th8rvolunlary rec￿pts Ministry Assisknt 1.170.00 1.170.(XI Total rn¢•fjpts 1,570.IXI CIBrgy aTrJ Staffiw ()Jsts 1.833.32 1.833.32 Total payThnts 1.833.32 1263.321 7,270.09 7,006.77 7.iK*S.77 7.006.77 HALLSCAP- Church Halls Cai%tal Fund ID•signatsdl Fund Trdnts5 t￿{tr￿n> lC#j.((N).￿) lo0.0￿.00 1QO.000.00 IlJQ,OOQ.I)O Fabrlc- Church Fabrle (D•signat•d) Fund Trnrn5fer5 I￿(1￿1> 145.001 45.QO 17 2022 Prye 3

01 January 2021 To 31 D•¢wnber 2021 01 January 21120 31 D￿8Mbar 2020 Nole Fabrl¢- ChU￿h Fabrte IR•5trIc￿l Fund Re￿Ipts Donations l Non GiftAKI I 3.876.93 4.076.93 Total re¢•lpts 4.076.93 Payments Chur( Runnin9 Eywrtses Upkw oldwrthyw 1,800.C 1,800.00 Churth Repairs & Mainiena 3.576.93 3.576.93 Total payments 5.376.93 11,300.001 2,588.78 1418.881 869.90 Tr8nskns tollfroml Br(wght fryward bkn 18fj9.wl FabrChureh- Church Buildlng Fabrk (R•strk￿l Fund Total recetpts 33.86 Payments c￿rth Rep8N5 8 klaintenarK 830.00 Total Pa￿ents B30.00 1796.141 11.443.781 43.764.15 41.52423 Transfers trllfroml 124,130.101 41.524.23 17.394.13 17 March 2022 Pa￿4

From 01 Januxy 2021 To 31 D8c•mbw 2021 01 Januwy 2020 31 Dec¢m￿r 2020 Churchyard. Churchyard (Joyc• Cov•r B•qu•5tl {R•sti1C￿j Fund Tr￿15 kllfroml Brrwght forymftl bAkr 140.23 1140131 JCross-June Cvoss B•W IEndwn•nl) Fund JhlfoThMd tqlar Total canled fon¥ard balanc• 3.IM3.03 3.063.03 3.063.03 3,063.03 Flower- Flow•r {Audr•y Hill Fund) {RestiKW Fund Chwch Rumry Eynse8 66.66 66.86 166.661 Handb•ll- Hanth•ll (R•strW Fund Kitthen. Kllthen leoif¢ lundl IDeslgnat•d) Fund R•ceipts 68.18 68.18 Total recelpts 68.18 68.18 11.343.351 1,275.17 17 March 2022 Page 5

From To 01 January 2021 31 D•¢•mbeT 2021 01 January 2020 31 D•￿rnber 2020 Note Organ - Organ restoratlon fund (R•strIct￿l Fund Transfers tollfroml Brought forward bakrt8 Tolal ￿￿edfOr￿ard balance 1142.051 142.05 chan￿1- Tlthe Chancel (Eftdowmentl Fund 8roUghtforwa￿ balan Tolal carrled forward tsalanco Children- Childrnn's Work IDe¥ignatedl Fund pa￿ents Mi&8iM&y aDd Ch8rilAbf8 Gwlng Hom8 missknn l¢hitrirwl 205.70 Tof81AW&*onery8nLI Ch8nt8ble GN 205.70 Total P￿ents 2115.70 EX￿$$ ol Receipts 0¥8r Paymer Bwhl forward baLgnc8 Total caTriedfomrd balance 1205.701 841.82 636.12 636.12 636.12 Hall - ChU￿h Hall Malnt•nane• (R•strlet•dl Fund Brts￿ht forward bal&nce Total ¢4rri•dforwoTd bolan 342.43 342.43 34143 Chur¢hH811- Chur¢h H¥ll Improvern•nt (Restrict￿) Fund ought forward b8lanc8 17 Marth 2022 Page 6

Asat Asat
31/12/2021 31/12/2020
3000: Freehold-Church Halls (Historical Cost) 100,000.00 100,000.00
TotalFixedassets 100,000.00 100,000.00
6501: Barclays current account 2,883.25 7,443.79
6502: Barclays Churchyard Account 3,019.90 869.90
6505: Barclays deposit account - Other 27,022.20 5,020.14
6506: Barclays Building Account 18,820.16 42,968.01
6510: CCLA (CBF) deposit account 15,019.94 15,012.12
6511: CDBF Tithe Chancel
6590: Cash in hand
6591: Coffee Fund cash in hand
6592: Children's cash in hand 995.45 995.45
6593: Churchyard Cash in hand
6599: NatWest Pre-school account
Total Current assets 67,760.90 72,309.41
6699: Agency collections (42.00) 178.00
Z04: Accounts Payable
Total Liabilities (42.00) 178.00
NetAsset surplus (deficit) 167,802.90 172,131.41
Excess/(deficit) to date (4,328.51) (3,045.28)
Z01: Starting balances 172,131.41 175,176.69
Total Reserves 167,802.90 172,131.41
RepresentedbyFunds
Unrestricted 39,359.92 18,688.43
Designated 100,636.62 100,636.62
Restricted 24,743.33 49,743.33
Endowment 3,063.03 3,063.03
Total 167,802.90 172,131.41

Fund Fund BalancH
broughtforward
Incoming Outgoing Transfers Gains and Journal Entles Fundbalances
Carried forward
General - Generalfund 18,688.43 62,074.91 66,403.42 25,000.00 39,359.92
Assistant - Ministry 7,007.27 7,007.27
Assistant
HALLSCAP - ChurchHalls 100,000.00 100,000.00
Capital Fund
Fabric - Church Fabric 869.90 (869.90)
FabrChurch - Church 41,524.23 (24,130.10) 17,394.13
Building Fabric
Churchyard • Churchyard
(Joyce Coverley Bequest)
JCross - June Cross 3,063.03 3,063.03
Bequest
Flower - Flower (Audrey
HIii Fund)
Handbell - Handball
·
•n- Kitchen (coffee
Organ - Organ restoration
fund
Chancel - Tithe Chancel
Children - Children's Work 636.12 636.12
Hall • Church Hall 342.43 342.43
Maintenance
ChurchHall - Church Hall
improvement
Totals 172,1JU 1 12,07U1 66,403.42 117,802.to

ENDOWMENT June Cross Endowment £ 3,063 3,020 43 3,063
Church Halls Maint. £ 342 342 342
RESTRICTED Church Assistant
Building
Ministry
Fabric
£
£
7,007
17,394
7,007 17,394 7,007
17,394
StMichael'sKirbyLeSoken~cc Funcls~&Asset~Matchingasat 31stDec~e~mberZJlZl UNRESTRICTED
DESIGNATED
Church TOTAL
General
Halls
Children
Fund
Capital
£
£
£
£
167,803
39,360
100,000
636
100,000
100,000
2,883
2,883
3,020 27,022
19,673
18,820
1,426
15,020
14,977
996
360
636
42
42
167,803
39,361
100,000
636
Freehold-Church halls(Historical cost) BarclaysC/A BarclaysD/A Churchyard BarclaysD/AOther Barclays BuildingA/c CCLACBFDep.A/c Childrens A/C /cash Agency liability