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2020-12-31-accounts

Registered Charity Number 1128278

The Parochial Church Council of the Ecclesiastical Parish of St Faith, Havant

Annual Report and Statement of Financial Activities for the Year Ended 31st December 2020

Compliant with Charity Commission Guidance on Annual Reports

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF

St Faith, Havant

ANNUAL REPORT FOR THE YEAR ENDED DECEMBER 31st 2020

1. ADMINISTRATIVE INFORMATION

Full Parochial Name: Havant, St Faith with St Nicholas Chapel, Langstone Registered Charity No: 1128278 Location: St Faith’s Church is situated in West Street, Havant, PO9 1EH St Nicholas’ Chapel is in High Street, Langstone to the south of Havant. Church Office The Parish operates a parish office for administrative purposes, situated at 2 North Street, Havant, PO9 1PR. Telephone 023 9249 2129

2. MEMBERS OF THE PAROCHIAL CHURCH COUNCIL (PCC)

Chair (Rector), ex-officio The Reverend Canon Thomas Philip Kennar (from February 17th 2015). Address: The Rectory, 5 Meadowlands, Havant, PO9 2RP Licensed Readers, ex-officio None – although Reader Sandra Haggan attends meetings in a non-voting, consultative capacity (as an employee of the Council). Churchwardens Mr Colin Hedley (from 30 April 2017 – fourth year of service) Mr Clive Barnett (from 28 April 2019 – second year of service) Deanery Synod Members, Dr Michael Laird (Term: October 2020 to March 2023) ex-officio Mrs Mary Moore (Term: October 2020 to March 2023) Diocesan Synod Members, Post vacant. ex-officio Parish Secretary Mrs Pauline West (employed as Secretary from October 2018). Non-voting. Safeguarding Officer Mrs Pauline West from April 2018.

OTHER PCC MEMBERS DURING 2020

a) Resigned or term-expired during the year (none)

b) Serving PCC Members during the year

In first year of service Hilary Deadman: (3[rd] Term: October 2020 to April 2023) Bill Jones: (3[rd] Term: October 2020 to April 2023) Rex Plowman: (1[st] Term: October 2020 to April 2023) (Resigned February 2021) Susan Tinney: (1[st] Term: October 2020 to April 2023) Emily Ashworth: (1[st] Term: October 2020 to April 2023)

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In second year of service Dr Michael Fluck (2[nd] Term: April 2019 to April 2022) Mr Nicholas Saunders (2[nd] Term: April 2019 to April 2022) Miss Naomi Sloane (1[st] Term: April 2019 to April 2022) Mrs Barbara Stearne (3[rd] Term: April 2019 to April 2022) In third year of service Mrs Shelley Saunders (Hon. Treasurer) (2[nd] Term: April 2018 to April 2021) Main Bankers CAF Bank, 25 Kings Hill Ave., Kings Hill, West Malling, Kent, ME19 4JQ A subsidiary bank account is held at Lloyds Bank, for ease of payments. Independent Examiner: P J Underwood, Morris Crocker, Chartered Accountants, Station House, North Street, Havant, Hants, PO9 1QU Church Architect Richard Andrews, Carden & Godfrey, 33 Clerkenwell Close, London

3. STRUCTURE, GOVERNANCE AND MANAGEMENT

The method of appointment of PCC members is set out in the Church Representation Rules as published online by the Church of England General Synod at this link: https://www.churchofengland.org/about/leadership-and-governance/legal-services/churchrepresentation-rules/contents. All regular church attendees are encouraged to register on the Electoral Roll and stand for election to the PCC. The Roll was last revised in 2020, prior to the Annual Parochial Church Meeting.

The PCC is the body of trustees for the Parish. Their responsibilities are understood primarily as the setting and careful monitoring of parish policies, including the annual budget. (Other policies are listed later in this report.) Day-to-day management is devolved (with set budgets) from the PCC, through the Rector and paid staff (4.8 full time employees – 9 employees in total, of whom 2 are full time, plus clergy), and a number of formal and ad-hoc committees or teams, containing a wide range of other PCC members, advisors and co-optees. These currently include:

3a) List of Principal Committees

Standing Committee: Rector (Chair), Churchwardens, PCC Vice-Chairman (post held this year in tandem by Colin Hedley, Churchwarden), Parish Secretary (currently a non-voting employee), the General Manager (also currently a non-voting employee), and the Hon Treasurer, Shelley Saunders. The Standing Committee is responsible for progressing the policies of the PCC between meetings. Key staff members are invited to attend from time to time (as non-voting members) depending on the business to be transacted. During 2020, because of the need to monitor the impact of the pandemic, the decision was taken for the Standing Committee to meet – virtually by Zoom – every week.

Worship Committee: Rector (Chair), Director of Music (advisor), any Licensed Readers or Readers with Permission to Officiate, Head Server (Bruce Strugnell), Michael Laird, Sybel Laird, Clive Barnett and Nick Saunders. The Committee is responsible for advising the Rector and PCC on all aspects of the worshiping life of the parish. Due to the pandemic, the committee did not meet in 2020.

Pastoral Care Team: Sandra Haggan (Reader and Lay Pastor, Chair), Julia Hancock (Co-ordinator). Other pastoral visitors are invited to attend to share pertinent information and plan the pastoral work of the parish. This team meets on an ad hoc basis, as required.

Pallant Development Team: PCC Vice-Chair (Colin Hedley, Chair), Rector, Sandra Haggan, Kevin West, Jackie Udy, Will Coulston (General Manager - advisor). This committee advises the PCC about work required to upgrade and develop the Pallant Centre (formally “Church House and the Church Hall”).

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Ministry Team: Rector, Accredited Lay Workers, Lay Readers. This Committee agrees rotas for the leading of services and plans new worship initiatives.

Young People and Families Team: Colin Hedley (Chair), Sandra Haggan, Fiona Hedley, Louise Hedley, Clive Barnett, Barbara Stearne, Mary Moore, Claire Toole, Jeremy Toole, Karin & Tony Downer, Rector, Sarah Rickett (Educational & Heritage consultant – advisor). This team is carrying forward the Mission Development Plan’s focus on engaging with young people and families.

Other Groups: Ad-hoc groups which also met during the year include the ‘Treasury Team’, ‘Communications Team’, ‘Churchyard Redevelopment Group’, ‘Flower-Arrangers’, ‘Serving Team’, ‘Choir’ ‘Bell-Ringers’, ‘Senior Staff Team’. Much of the work of these teams is carried out on a dayto-day basis via email and interpersonal conversations. The PCC is advised of their work in general and takes decisions regarding any significant policy or financial matter, when requested by these teams through the Standing Committee.

3b) Parish Staff

The PCC and its associated sub-committees, working groups and teams are supported by a range of stipendiary, salaried, contracted and voluntary staff. These comprise: Full-Time Staff

The Rector: Reverend Canon Thomas Kennar

Operations Manager: Will Coulston

Part-Time Staff

Charity Shop Manager: Clare Kennar (20 hours per week from January 2020)

Volunteer Staff are busy across the whole range of the parish’s work, including the charity shop, bellringers, maintenance team, Little Seeds workers, pastoral visitors, finance team, communications team, servers, choristers, flower-artists, stewards and welcomers. There are too many to list by name (not least for fear of missing someone off the list!). The PCC is immensely grateful to each and every one.

In addition, The Pallant Centre hosted Jakob - a student on a Department of Education placement – for six months.

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3c) Charitable Status

Under the terms of the Charities Act 2011, the PCC, having an income in excess of £100,000 was registered with the Charity Commission (under no. 1128278); this registration being confirmed on the 26th of February 2009.

3d) Accountability and Policy Framework

The PCC is fully aware of the risk factors involved in the running of church affairs and continues to ensure that all our properties are adequately insured, including public liability. We have policies for all significant areas of the Parish’s life, which guide the decision making of the PCC, and the actions of officers and staff. These comprise:

The operational policies are published on the parish website at http://stfaith.com/pcc/pcc-policies/ and are periodically reviewed in line with the timetable shown on the website. By a vote of the PCC in October 2020, each PCC member took responsibility for overseeing one or more of these policies and reporting to the PCC on their implementation and revision (when required).

We comply (as far as heritage considerations make possible) with the Disability Discrimination Act, and subject to funding are planning to improve further the access we provide for disabled people to the church and Pallant Centre. We have plans to build a fully accessible toilet in the Church as soon as possible and a fund-raising drive to bring this about was initiated in 2020.

Policies currently under development include:

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The PCC gives regular updates on its decisions and activities to the wider parish, through a variety of media, including redacted copies of minutes, and summaries of key decisions and actions through the weekly and monthly newsletters (see later “Mission Development Plan 2020-25”).

An Annual Parochial Church Meeting is held, so that the PCC may be publicly accountable to the whole membership of the Electoral Roll.

3e) Public Benefit

The Trustees (PCC) are aware of the Charity Commission’s guidance and requirement on public benefit in ‘The Advancement of Religion for the Public Benefit’ and have had due regard to it in their administration of the PCC. As a part of its Charitable Objects of ‘promoting of the whole mission of the Church’ the PCC provides a benefit to the public by:

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Churchfields:
a parish
house
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Christchurch
Centre: now a
Nursery/Pre-
School
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4. OBJECTIVES

The PCC’s primary objective, defined by the Church Representation Rules of the Church of England is ‘to co-operate with the Incumbent (i.e. the Rector) in promoting in the ecclesiastical parish the whole mission of the church, pastoral, evangelical, social and ecumenical’.

4a) Mission Development Plan

In pursuance of its primary objective, the PCC agreed a five-year Mission Development Plan during - - 2015. This plan may be read in full on the parish website (www.stfaith.com/mission development plan/). It divided the work of the parish into five categories, each with a list of objectives which were then tackled with energy. The five objectives were:

1. Worship & Service; 2. Discipleship & Encouragement; 3. Nurturing the Young; 4. Enhancing our Environment; and 5. Caring for our Buildings.

The impact of this Mission Development Plan was reviewed at a public meeting in February 2020. Groups worked on the following areas: community participation , combating isolation and growing an inclusive Christian community; children & families , growing the next generation of St Faith’s members and leaders; worship & discipleship , challenging ourselves to respond to the call of the Gospel; the environment , aiming at net carbon neutrality, Fairtrade, local food, and sustainability; and buildings strategies as good stewards (e.g. energy efficiency and social housing) and to serve the other four themes.

Building on this assessment and the ideas it generated together with our Spiritual Development Plan (November 2018), Pallant Development Plan (February 2018) and the Re-ordering Plan (November 2017), work took place in the course of the year to develop a new Mission Development Plan (2020 to 2025); this was presented to and adopted by the 2020 Annual Parochial Church Meeting in October 2020. It takes forward the work of the previous plan and seeks to enable our parish (and indeed our diocese) to grow in depth, impact and number.

Our Mission Plan 2020-2025 is aligned with the mission strategy of the diocese – Live, Pray, Serve . In practical terms its aims are:

Live the Gospel by :

Pray on our own and together in community in order that we might:

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Serve and love the people among whom we live and work by:

This Mission Plan was formed within the context of the 2020 COVID 19 pandemic which has taught us the need to do some things differently. These include:

We believe that there will be a need for all of these to continue in some form once the pandemic is over.

4b) Buildings to serve our Mission

In pursuance its primary objective, the PCC has responsibility for a number of buildings which are used to underpin and promote the mission of the church. These comprise:

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of the PCC’s public benefit statement above. Within these three buildings, facilities are provided to a very wide range of local and mainly charitable organisations and social clubs. Organisations currently using the Pallant Centre currently comprise:

The Pallant Development Group is currently working towards the refurbishment of The Pallant Centre, to secure the long-term future of this vital community building. A ‘Way Forward’ - document is available to view on the parish website at http://stfaith.com/wp content/uploads/2018/02/Pallant-Plan-the-Way-Ahead.-Final-agreed-document.pdf .

The Coach House is used as a charity shop, staffed by volunteers, with the support of two (parttime) paid Charity Shop Managers. The Shop offers part-time employment to two local people, volunteer placements to local people (including some with learning difficulties), and encourages the efficient recycling and re-use of clothes, books, small furniture and other household goods. Surpluses generated are used to support the general objectives of the parish.

4c) Christchurch Centre and Bungalow - a modernist church building erected in the North of the parish during the early 1980s as a mission church, with an associated bungalow. After some years, the church building was no longer needed for worship, and it is currently let to a local provider of nursery education (commensurate with the PCC’s objectives and public benefit statement above). During 2020, negotiations took place to draft a new 20-year lease to give the owners of the nursery a greater measure of security of tenure than they erstwhile enjoyed.

The bungalow is used at times for the housing of clergy or is let-out to generate a general revenue for parish funds.

5. Review of Activities and Achievements

5a) Statistics of Mission

In this section it is usual to provide a selection of statistics compiled on an annual basis, which indicate the progress and trajectory of certain parish activities - especially in relation to the pastoral and evangelical elements of the PCC’s primary objective (especially worship). However,

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2020 was a year like no other during which restrictions consequent upon the COVID pandemic meant that the Church and Pallant Centre were closed for long periods for public worship and social activities. This was particularly the case in the early spring and in the lead up to and during the Christmas period. During periods when these restrictions were eased (mainly in the late spring and summer months), initially the Church was opened on two days a week for private prayer and subsequently for weekly services with a much-reduced congregation (limited to a maximum of 55 people) and subject to strict risk assessments and health and safety protocols. Similarly, during these periods, it was possible for various social groups to use the Pallant Centre, again subject to strict protocols.

From late March onwards, weekly services were broadcast either by livestreaming or Zoom technology, and subsequently made available as recordings. This medium proved very popular especially with those who were shielding.

Inevitably, the impact of the pandemic meant that statistics relating to attendance at worship, baptisms, weddings and funerals for 2020 are significantly different when compared with previous years.

Attendance at Worship

Comment: The 2020 official statistics are markedly affected by the Pandemic. They do not, however, record the fact that online services have been attended throughout 2020 by around 80 to 90 people for the duration of services, and often ‘viewed’ (for long or short period) by hundreds thereafter.

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Average weekly attendance

Comment: At the height of the two lockdowns, livestreamed Sunday services attracted between 70 and 100 people although recordings of these services were then made available on the St Faith’s website and Facebook pages and some attracted more than 1000 ‘views’ (a ‘view’ can be as little as a few seconds). When the church was open and a limited congregation was permitted to attend, the combined attendance was 90-110. Livestreamed Thursday services attracted between 20 and 40 people with up to 200-300 additional post-service views. On average, Sunday Evensong Prayer (by Zoom) attracted around 15 people. We are quietly and prayerfully hopeful that 2021 will show a significant up-tick in average weekly attendance (especially if online participation is counted in the future).

Baptisms, Marriages and Funerals

Comment: Over the last decade, numbers of all ‘pastoral services’ has remained fairly constant, and quite low. Statistics for 2020 were skewed by the restrictions placed on the numbers permitted to attend these services. This is an area of potential growth but comes at a time when there are many more options available to the general public (weddings in beautiful secular locations, cremations by funeral directors who employ their own ‘Civil Celebrants’) and a general decrease in infant baptism alongside a fall in levels of interest in faith more widely (especially in the Western world).

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In addition to our core worship services, St Faith’s has once again been the chosen location for a number of Civic events during the year, including the Remembrance service and Rotary Club carol service. In 2020, these too were livestreamed, and the congregation attended by invitation only. Also because of the pandemic, St Faith’s Church was unable to host Christmas services by two local schools. However, a programme of weekly lunchtime concerts did take place when restrictions permitted.

5b) Evangelical and Pastoral Objectives

The raw statistics of attendance in the previous section do not paint an accurate picture of the whole life of the parish, particularly in respect of the PCC’s efforts to fulfil its evangelical and pastoral objectives.

Evangelism (understood as the promulgation of the ‘Evangel’ or ‘Good News’ of Jesus Christ) requires that the PCC should exert itself to provide the comfort of faith, and the challenge of the Kingdom of God to the community it serves. The word ‘Pastoral’ is taken to mean the active care of people whom the church encounters, wherever they are from and whatever support-needs they present.

Inevitably, given the onset of the pandemic and the ensuing restrictions on activities, throughout 2020 the PCC was hampered in its pursuit of these objectives and the number of activiuties which could be run were severely limited. Nonetheless, during the year, the PCC has:

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5c) Ecumenical Objectives

In pursuance of its ecumenical objective, the PCC has:

The PCC has also:

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5d) Social Objectives

Many of the achievements and activities described in the previous sections have strong social elements to them, and so are not repeated here. In addition, it is worth noting that, where restrictions consequent upon the pandemic have permitted, the following activities with a strong social content have also been supported by the PCC (whenever pandemic restrictions have allowed):

6. REVIEW OF THE YEAR – PCC

Due to restrictions consequent upon the pandemic, the PCC met four times during 2020 in February, August, October and December; these last two were by video-conference. All meetings were quorate.

During the course of the year, among the usual administrative matters (overseeing, monitoring and approving the detailed work of sub-committees, working groups and teams), the PCC:

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Safeguarding and Health and Safety Officer

7. FABRIC REPORT (The State of our Buildings and their Contents)

7a) St Faith’s Church

Broadly speaking, St Faith’s Church is believed to be in good condition considering its age and usage patterns. This assessment is supported by a quinquennial (5-yearly) inspection on the state of the church which was completed in 2019. It noted some considerable improvements to the building since the previous report (2014). The PCC, through the churchwardens, Rector and the Buildings Maintenance Team has been steadily working through the issues identified as funds become available.

During the periods when the church was closed, regular checks of the fabric and general security of the building were undertaken. Refurbishment and redevelopment work on the fabric has been hampered in 2020 by lockdowns and other local and national restrictions due to the pandemic.

However, notable changes to the fabric are:

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Looking to the future , the PCC plans to:

With regards the rest of the estate for which St Faith’s PCC is responsible, as for the church buildings and churchyard, the various lockdowns and other restrictions in the course of 2020, had the effect of hampering, halting or postponing many planned refurbishment and redevelopment projects. Nevertheless, in spite of these obstacles, gas safe and electrical testing certificates were obtained for all buildings under the PCC’s care, and emergency maintenance carried out when required.

7b) The Pallant Centre

Over the first 15 years of the 21[st] century, the PCC was considering whether to dispose of The Pallant Centre as an asset which could pay for Church improvements. As a result, there was a reluctance to spend resources on anything other than the most essential repairs. In 2015, this policy was reversed by the decision (in the first Mission Development Plan) to restore, refurbish and repair the Pallant Centre, to form the centrepiece of the PCC’s social mission to the community.

Since the adoption of the Mission Development Plan in 2015, the parish’s buildings’ maintenance team (of paid and voluntary staff) have achieved a great deal. This work was planned to continue in 2020 but, because of the pandemic, much had to be shelved. When limited use of the buildings was permitted, much of the work of the General Manager and his team focused on COVID compliance including installing COVID-aware signage, preparing and agreeing a raft of risk assessments to allow the safe return of various user groups to the Pallant Centre, undertaking deep cleaning to ensure that the Centre was as COVID safe as possible. During times of lockdown, regular pest, legionella and security checks were undertaken.

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However, in the course of the year, the team has (among many smaller projects):

Looking to the future , the PCC, through the Pallant Development Group plans to:

A ‘Way Ahead’ document for the Pallant Centre is available to view on the parish website at: http://stfaith.com/wp-content/uploads/2018/02/Pallant-Plan-the-Way-Ahead.-Final-agreed-document.pdf .

7c) Christchurch Centre

The Christchurch Centre is currently leased to a private nursery provider on a five year ‘full-repairing’ lease and provides a reasonable revenue stream to the PCC. The lease was re-negotiated during 2020 with a view to creating a twenty-year lease giving greater security to both the owners of the nursery and the PCC. This new lease is due to be signed in February 2021.

7d) Christchurch Bungalow

The Bungalow is currently let to a private tenant, generating a revenue stream to the PCC. A recent inspection by our officers shows the property to be well-maintained. In the course of 2020, repairs were undertaken to the roof and plans were drawn up to improve insulation in line with our green commitment.

7e) 1&2 Churchfields

Both houses are let to local Havant residents, creating a revenue stream for the parish. Various repairs and upgrades are undertaken as budgets permit, to bring both houses up to modern standards. Thus, following a flood during 2020, a new kitchen was installed in 1 Churchfields. A survey of both properties showed that there are damp problems caused by water ingress and attending to this is a priority for 2021 for which the PCC has set aside an appropriate sum of money.

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7f) St Nicholas’ Chapel

St Nicholas, although technically unconsecrated, acts as a ‘chapel of ease’ and meeting place for Langstone Village. Monthly (and highday) services are held, and the building is rented by the Langstone Village Association for various events (ranging from coffee mornings to educational evenings). Thanks to the willingness of local volunteers, especially Gill Falconer and Anne Plater, the chapel is opened every day in normal weather and

COVID restrictions permitting, as a sanctuary for local visitors, and to display Langstone history. The parish is keen to develop this tiny, but well-loved resource for the benefit of the Langstone community. It was decorated throughout in 2019, and an updated display of the history of Langstone was installed by the Village Association.

7g) 2-4 North Street

One of the two shop units is used as a Parish Office. The PCC feels that the advantages of having a highly visible, central administrative hub outweigh the loss of a modest rental income. During 2016, the rear room was converted into an archive for the Parish and its associated community groups – providing a modest income. During 2020, the identification of damp problems led to the replacement of damaged roof tiles. The rear of the Parish Office still has issues with water ingress with the added complexity of an adjoining, privately owned building. This is one of the projects for 2021 in

The Parish Office at 2 North Street

order to bring the building up to a good standard. The other shop is currently leased to a third-party charity (Sue Ryder), who carried out substantial repairs to the building in 2017.

The overhead flat is currently leased to a housing association.

Health and safety

The use and condition of our buildings continues to undergo regular scrutiny by our Operations Manager and the maintenance team together with external experts by invitation or notice. As our record and in particular our approach to the challenges posed by the Corona virus pandemic show, health and safety compliance continues to be embraced enthusiastically by the staff and PCC of St Faith’s.

8. 2020 FINANCIAL REVIEW

The PCC, through the Hon. Treasurer and Finance Manager, has worked tirelessly during 2020 to maintain a tight control of finances. The financial impact of the pandemic resulted in the following additional steps being implemented: -

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The complex Statement of Financial Activities can be difficult to interpret without experience. The bottom-line (in round numbers) is that the PCC spent £255k in 2020 (compared with £372k in 2019, £300k in 2018, and 280k in 2017) reflecting the impact of the pandemic. We received £331k (up from £326k in 2019, £246k in 2018, and 293k in 2017), generating an operating surplus on the year of around £76k (compared with a deficit of -£46k in 2019, -£53k in 2018) after cash investment revaluations. The income sources were from donations to support the ongoing work and aims of the church, along with support grants from local and national organisations. After other accountancy adjustments are made, the cash reserve of the parish has increased to £126k from £49k in 2019 (£110k in 2018). Much of this reserve (less the reserve policy requirement set out below) is allocated to future building works in the parish.

9. RESERVES POLICY

It is the policy of the PCC to maintain unrestricted funds, which are the free reserves of the PCC, at a level which equates to not less than one month’s unrestricted expenditure. This policy was set during 2017 and constitutes a reduction from the previous policy of maintaining not less than three month’s unrestricted expenditure. This policy is intended to demonstrate to funders that we are fully committed to using our resources to the maximum good effect, and not ‘sitting on’ cash. This provides sufficient funds to cover parish management and administration as well as the activities directly relating to the work of the Church. The PCC confirms that unrestricted funds were maintained at least at the level of one month’s expenditure throughout 2020 and that this policy will be reviewed during 2021. During 2020, the PCC temporarily increased the size of the free reserves to an amount equivalent to at least two months’ unrestricted expenditure (and usually around three months’ worth) to provide an additional financial bulwark against the uncertainties of the Pandemic. The PCC expects to allocate these additional reserves to building works as soon as, in its best judgement, it is financially prudent to do so.

It is the PCC’s current policy to invest surplus funds with the CBF Church of England Deposit Fund.

A note on the use of Building Assets

Some thought has been given in the past, by the PCC, to releasing the capital which is locked up in our various other buildings - and this topic is often raised by well-wishers. However, the PCC has found that this is difficult to accomplish (because many of the buildings are tied up with deeds of trust, preventing their sale for just such a purpose).

Furthermore, the PCC presently judges that maintaining a constant in-flow of revenue from rents is in the best long-term interest of the parish. This is especially the case while current UK-wide trends indicate that we are entering a period of lower attendance and commitment to religions in general. Current UK economic pressure also reduces the ability of church members to contribute to church funds. Keeping assets that bring in revenue is considered, by the PCC, as a good long-term stewarding strategy. In simple terms, it is likely that most of our assets will bring more revenue to the parish over the next 25 years than their sale now would realise. Our assets are therefore considered as a way of sustaining mission in the long term – not a ‘quick fix’ for our present challenges. The PCC may decide to acquire more building assets in the future (through mortgaged purchase) to both alleviate housing problems for local people and provide long-term assets for the parish.

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Trust Funds

The PCC holds a number of trust funds, generated from the previous sale of parish assets. These funds, together, were valued at £82,476 at the end of 2020 (up from £77,984 in 2019).

10. STATEMENT OF RESPONSIBILITIES

The Members of the PCC are required to prepare financial statements for each financial year which give a true and fair view of the state of the affairs of the PCC and of the surplus or deficit of the PCC for the period. In preparing those financial statements, the PCC is required to:

The members of the PCC are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the PCC. They are responsible for safeguarding the assets of the PCC and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

The Parochial Church Council of the Ecclesiastical Parish of St Faith Havant confirms that it is aware of these responsibilities and that it has exercised them to the best of its ability.

Signed on behalf of the PCC:

Reverend Canon Tom Kennar Rector and Chair of the PCC

Date: 13 April 2021

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2020 Unrestricted Restricted Endowment Total funds Total funds funds funds funds 2020 2019 Note INCOME AND ENDOWMENTS FROM Donations and legacies Activities lor generating funds Church activities Investment income Other income 111,494 12.417 41,558 51.967 48,066 59,679 1,886 159,560 72,096 43,444 51,967 82,648 118,837 68,560 47,420 2b 2c 2d 2e TOTAL 217,436 109,631 327,067 317,465 EXPENDITURE ON Flaising funds Church activities 3a 3b 756 180,121 756 254,592 1,349 370,499 74,471 TOTAL 180.877 74,471 255,348 371.848 Nel gainslllossesl on investments 8 41 4,451 4,492 8,761 NET IEXPENDITURE}IINCOME 36,600 35,160 4,451 76,211 145,6221 Transfer between funds 15,6011 5,601 Net movem8nt in funds 30,999 40,761 4,451 76,211 145,6221 RECONCILIATION OF FUNDS Total funds brought lonvard 45,199 12,836 453,320 511,355 556,977 TOTAL FUNDS CARRIED 76.198 53.597 457,771 587,566 511,355 22

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT BALANCE SHEET AT 1DE EMBER 2 2020 2019 Note FIXED ASSETS Tangible fixed assets Investments 377,821 82,476 377,967 77,984 460,297 455,951 CURRENT ASSErs Debtors Cash at bank and in hand 6,678 125,667 132,345 9,367 49,102 58,469 CREDITORS Amounts falling due within one year 10 5,076 3,065 NET CURRENT ASs￿s 127,269 55,404 TOTAL ASSETS LESS CURRENT LIABILITIES 587,566 511,355 NET ASSETS 587,566 511,355 FUNDS Unreslricled lunds Restricted funds Endowment funds 16 76,198 53,597 457,771 45,199 12,836 453,320 587,566 511,355 Approved by the Parochial Church Council on 13, April 2021 and signed on ils behalf by: Reverend Canon Thomas Philip Kennar Chair 23

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT OT FOR THE YEAR ENDED 31 DECEMBER 2020 ACCOUNTING POLICIES Basls of preparlng tha flnanclal stat8m•nts Thé linaneial stateménts havè been preparéd in accordancé wth thè Charities SOFIP IFRS1021 'Aeeounting and Rèporting by Charities.. Statèment ol Flècommended Praetieè applieablé to eharities preparing thèir aeeounts in ace(>idance with the Financial Reporting Standaid applicable in thè UK and Flepublic ol Ireland IFRS1021 lèffèetive January 20151,. thè Charitiès Aet 2011 and thè ChLJreh AccoLJnting Flsgulations 2006. The financial statemènts havè bèèn préparsd Ljndér thè historical cost e()nvènlion éxeèpt ltsr thè valuation ol investment assets, whieh are shown at market value and properties which are shown al valuation as at 31 Deeember 1998. The linaneial statements include all transactions, assets and liabilities lor which the PCC is rèsponsible in law. The PCC membèrs considèr that thère arè no matèrial uncertaintiès ragarding the Charity's ability to continuè as a going concern. Funds General funds represent th& funds ol thè PCC that arè not subject to any restrictions regarding their Ljse and arè available lor application on the general purposes ol the PCC. FLJnds designated lor a particular PLJrws& by thè PCC arè also unrèstricted. The accounts inclLJde all transactions, assèts and liabilitiès lor which thè PCC is responsiblè in law. They do not include the aceoLJnts ol chLJrch grtsups that owe their main alliliation to another body nor those that arè inlomal gatherings ol Chureh members. Following nèw regLJlations introdLJeed in respect ol the year 2007 and subsequently, sums collected lor specific charities leg al special. and lun6ral servic6sI are excludèd from thè financial statèmènts., prèvitsusly they werè includsd in both incoming and OLJtgtsing resoLJreès. Flnanelal Instruments The PCC only enters into basic financial instruments transactions that 18sult in the recognition ol financial ass8ts and liabilities like trad8 and oth81 accounts receivable and payable, loans from banks and other third parti8s and loans to relat8d parti8s and inv8slments in non-puttabl8 ordinary shares. Dèbtors and cash at bank Short term debtors ar8 measui8d at transaction price, less any impairm8nt. Loans r8e8ivable ar8 measui8d initially at lair value, net ol transactions costs, and ar8 m8asured subs8qu8ntly at amortised c(>st using th8 8118ctive interest m8thod,18ss any impaiiment. Cash and cash equivalents Cash and cash equivalents compromisé cash at bank and (>n hand, d8POSlts with bank and othér short-t8rm highly liquid inv8slm8nls and bank overdiafts. In the balance sh88t, bank overdialts shown within borrowings or eurrént liabilitiés. Creditors and provisions Creditors and piovisions ar8 rècognissd whérè thè eharity has a presént (>bligation rèsulting from a past èvent that will probably result in th8 tiansl81 ol funds to a third party and th8 amtrunt due to S8ltl8 th8 obligati(>n ean ba measui8d or estimated reliably. Creditors and provisions arè normally récogniséd at théir sèttlèmant amoLJnl aft8r allowing loi any tiad8 discounts dué. Incomè Voluntary Incom Co118elions ar8 rèeognissd whèn réeèivéd by or on ￿hall ol thè PCC. Planned giving receivable under covenant is recognised only when received. Incomè tax réeovarabla on eovènants or gift aid donations is raeognisad whèn thè incomè is recéivablè. 24

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT NOTES TO THE FINANCIAL STATEMENTS R THE YEAR ENDED 1DE EMBER 2 ACCOUNTING POLICIES contlnued... Grants and legacies to the PCC are accounted lor as soon as the PCC is notified ol ils legal enlitlemenl, the amount due is quantifiable and ils ultimate receipt by the PCC is probable. Sales from the church shop are accounted for gross. Other Income Rental income from the lelling ol premises owned by the church is recognised when the rental is due. Income from investments Dividends and interest are accounted lor when receivable. Expenditure Grants Grants and donations are accounted lor when paid over, or when awarded, il that award creates a binding obligation on the PCC. Church activities The diocesan parish share is accounted lor when paid. Any parish share unpaid at 31 December is provided lor in these accounts as an operational Ilhough not a legall liability and is shown as a creditor in the balance sheet. All other expenditure is generally recognised when il is incurred and is accounted lor gross. Fixed assets Conse¢rated land and buildings and movable church furnishings Consecrated and benelice propety of any kind is excluded from the accounts in accordance with Section 1012llal ol the Charities Act 2011. Movable chLJrch furnishings held by the Rector and ChLJrchwardens on special trust lor the PCC and which require a lacully lor disposal, are accounted as inalienable property unless consecrated. They are listed in the Church's Inventory which Can be inspected lal any reasonable limel. For inalienable property acquired prior lo 2000 there is insullicienl cost information available and therefore such assets are not valued in the accounts. All expenditure incurred in the year on consecrated or beneliced buildings, individual items under £1,000 or on the repair ol movable church furnishings acquired before 1 January 2000 is written oll. Other flxtures, flttlngs and off Ice equlpmenl Individual items ol equipment with a purchase price of £1,000 or less are written off when the asset is acquired. Assets capitalised are written oll over the estimated life of the asset. All expenditure incurred during the year on consecrated or benelice buildings and movable church furnishings, whether maintenance or improvement, is written off as expenditure in the SOFA and separately disclosed. Other properties Properties are shown at professional valuation as al 31 December 1998. Valuation ot a nominal £1 value has been placed upon the Church House and the Church Hall as al that date il was not intended that these properties would be disposed of. 25

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FATH HAVANT TES TO THE FINANCIAL STATEMENT FOR THE YEAR ENDED 31 DECEMBER 2020 ACCOUNTING POLICIES continued... Investments Fixed assets investments are included at market value at the balance sheet dale. Realised gains and losses on investments are calculated as the difference between sale proceeds and their market value at the start ol the year or their subsequent cost, and are charged or credited to the statement ol financial activities in the year of disposal. Unrealised gains and losses represent the movement in market values during the year and are charged or credited lo the slalemenl ol financial activities based on market value al the end ol the year. Current assets Amounts owing lo the PCC al 31 December in respect ol lees, rents or other income are shown as debtors les5 provision lor amounts that may prove uncolleclable. Short-lerm deposits include cash held on deposit either with the COIF Charity Investment Fund or at the bank. Volunteers The value ol services provided by volunteers is not incorporated into these financial slalemenls. 26

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT NOTES TO THE FINANCIAL STATEMENT INCOME FROM Unre$tri¢ted Re$tri¢ted Total fund$ Total fund$ lunds funds 2020 2019 2a. Donations and legacies Planned giving-. Gift aided stewardship Other stewardship Other collections al services Sundry donations Donations, appeals elc Income lax recoverable Grants from church institute Job Retention Scheme Grants Covid Business Support Grants 46,109 601 7,773 6,298 46,109 601 7,773 6,298 6,436 11,300 15,411 41,630 24,002 37,406 1,724 16,557 817 3,741 6,943 15,460 6,436 11,300 15,411 41,630 24,002 111,494 48,066 159,580 82,648 2b. Activities tor generating funds Church shop income Fundraising 11,416 1,001 11,416 60,680 31,159 87,678 59,679 12,417 59,679 72,096 118,837 2c. Church actlvltles Fees Lellings ol Church, Church House, Church Hall and Coach House 2,199 39,359 2,199 41,245 3,246 65,314 1,886 41,558 1,886 43,444 68,560 2d. Investment Income Dividen(Js and interest Property rent 2,452 49.515 2,452 49,515 2,795 44,625 51,967 51,967 47,420 2e. Other income Other income TOTAL 217.436 109.631 327,067 317,465 27

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF T FAITH HAVANT TE THE FINAN R THE YEAR ENDED IAL 1DE TATEMENT EMBER 2 EXPENDITURE ON Unrestricted Restricted Total funds Total funds lunds funds 2020 2019 3a. Raising funds Other fundraising costs 756 756 1,349 756 756 1,349 3b. Church activities Diocesan parish share Stall costs 57,733 57,733 55.092 Admin stall, organis15 and caretaker 67,503 45,886 113,389 100,139 Expenses Incumbent expenses including rectory Clergylslall housing costs Other staff expenses Support costs Printing and slalionery Ollice costs Independent examiner's lees 3,234 3,234 3,206 1,354 6,511 1,330 4,187 5,517 1,969 3,788 1,410 1,969 5,240 1,410 1,793 2,003 1,368 1,452 Church costs General running expenses Routine maintenance including organ Music and choir Church House and Church Hall running costs Other property running costs Mission development Extra parochial giving Ac¢ounlancy Depreciation 11,708 21,203 32,911 134,001 640 2,676 55,755 4,287 1,358 17,593 8,817 1,358 19,322 8,817 1,729 669 3,546 132 180,121 3,546 146 254,592 163 370,499 74,471 TOTAL 180.877 74,471 255,348 371,848 SUPPORT COSTS Total funds Total funds 2020 2019 Management Governance Printing and slalionery Ollice costs Independent examiner's lees 1,969 3,788 1,969 3,788 1,410 7,167 1,793 2,003 1,368 5,164 1,410 1,410 5,757 GOVERNANCE COSTS Total funds Total funds 2020 2019 Independent examiner's lees 1,410 1,368 1.410 1,368 28

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT TE THE FINAN YEAR ENDE IAL DE TATEMENT EMBER 2019 COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES Unrestrlcted Restrlcted Endowment funds funds funds Total funds INCOME AND ENDOWMENTS FROM Donations and legacies A¢livilies lor generating funds Church activities Investment income Other incowe 78,907 34,019 68,580 47,420 3,741 84,818 82,648 118,837 68,560 47,420 TOTAL 228,906 88,559 317,465 EXPENDITURE ON Raising funds Church activities 1,349 233,605 1,349 370,499 136,894 TOTAL 234,954 136,894 371,848 Net gainslllossesl on investments 26 8,735 8,761 NET INCOMEIIEXPENDITURE) 16,0221 148,3351 8,735 145,6221 Transfer between funds 135,0071 35,007 Net movement In funds 141,0291 113,3281 8,735 145,6221 RECONCILIATION OF FUNDS Total funds brought I 86,228 26,164 444,585 556,977 TOTAL FUNDS CARRIED FORWARD 45,199 12,836 453,320 511,355 29

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT NOTES TO THE FINANCIAL STATEMENTS R THE YEAR ENDED 31 DECEMBER 2020 FIXED ASSETS Freehold land and bulldlngs Plano A Frame COST Al 1 JanLJary 2020 376,502 4,689 449 Al 31 December 2020 376,502 4,689 449 DEPRECIATION Al 1 January 2020 Charge lor the year Al 31 December 2020 3,365 132 308 14 3,497 322 NET BOOK VALUE Al 31 December 2020 376,502 1,192 127 Al 31 December 2019 376,502 1,324 141 Computer PA System Equipment Total COST Al 1 January 2020 Al 31 December 2020 1,020 370 383,030 1,020 370 383.030 DEPRECIATION Al 1 January 2020 Charge lor the year Al 31 December 2020 1,020 370 5,063 146 1,020 370 5,209 NET BOOK VALUE Al 31 December 2020 377,821 Al 31 December 2019 277,967 Freehold land and buildings comprise the following.. 2020 2019 1 Churchlields, South Street, Havanl 2 Churchlields, South Sireel, Havanl Christ Church Bungalow, Rowan Road, Denvilles Christ Church Cenlre, Rowan Fload, Denvilles The Church HoLJse, The Pallanl The Church Hall, The Pallant 110,000 105,000 82,000 79,500 110,000 105,000 82,000 79,500 376,502 376,502 30

THE PARO HIAL HUR OUNCIL OF THE E LE IA Tl AL PARI HOF T FAITH HAVANT TE THE FINAN IAL TATEMENT FOR THE YEAR ENDED 31 DECEMBER 202 INVESTMENTS 2019 Unrealised Market Gainl Value (Lossl 2020 Market Value Hlstorlcal Cost 710.53 CBF Fixed Interest Securities Fund 3,017 CBF Fixed Interest Securities Fund 12,143 CBF Fixed Interest Securities Fund 2,649 CBF Investment Fund Income Shares 62.70 CBF Investment Fund Income Shares 1,027 4,642 19,000 19,000 720 1,166 4,942 19,895 50,779 1,202 41 174 702 3,492 83 1,207 5,116 20,597 54,271 1,285 44.389 77,984 4,492 82.476 Trusts and Bequest - The lollowng trusts are all permanent endowments which require income lo be spent on the general purposes ol the parish.. 1 & 2 Churchlields Trust 57 South Street Trust Boyd-Richardson Trust DEBTORS 2020 2019 Other debtors 6,878 9,367 6.678 9,367 10. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2020 2019 Deferred income Other creditors 2,593 2.483 1,032 2.033 5,076 3,065 Deferred income represents lees received in advance lor church services, property rent and church hire. 2020 2019 Brought forward Amount released lo incoming resources Amount deferred in year 1,032 11,0321 2,593 1,020 11,0201 1.032 Carried forward 2,593 1.032 11. REMUNERATION No person connected with the PCC has been paid or is payable, remuneration or other benefits from PCC funds. Thè total out ol pocket expenses claimed during the year by Clergy and other PCC members was £9,570 12019.. £14,1561. 31

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAH ENDED 31 DECEMBER 2020 12. INDEPENDENT EXAMINER'S FEE Th•199 ¢hai9gd in Ihw Ilnan¢lal siawonts In iey¢i ol ind&wndoni &xamlnaih)n Ih8r801 aM￿niS 10 £1.410 12019. £1.3881. 13. REUTED PARTY DISCLOSURES T￿r8 wgrg no rolal£d partyiYan$aclion$ for iheyear 8nd8d 31 Dècémber 2020 14. CONTINGENT LIABILrrY Followiw a sJrvoy ol Ihg church roof. and examinatDn ¢1 pasi Yeports. thg In$po¢ting ar¢hite¢l ha$ aavisod lh8 PCC that 5ub5tanlial rool T8pairs arè liksly lo bs iequiréd in thè nèxt d8cadè. Thès8 arè gslimaled lo I￿51 In Ihs region ol £SOOK. Tho PC¢ h8$ noisd Ihls long lorm Iiabillty. and 1$ pulling a lundrai$lng $1101ogy In pla¢0. 15. ANALYSIS OF NET ASSETS B ￿EEN FUNDS 2019 Tol41 Funds Untg8trlclgd Rgslrtctgd Etsdowmgnt Funds Funds Funds Total Funds Fixed asse15 Currgnl assgls 2,399 78,875 127 53.470 457,771 460.297 132.345 15.0761 587.566 455,951 58,469 7fj,198 53,597 497,771 511.355 16. MOVEMENT OF FUNDS Nel mowm•ni in funds Al 31.12.20 At1.1.20 Unrèstrlctgd hjnds General lund Llunday18ga¢y 44,089 30.999 75,088 45.199 30.999 76.198 Rogiri¢téd Fundg RectOT'S di5Grelionary Roof Fund Oigan Big Build Campaign Vestry Vèstrnènls Fund Youth Clu￿lsundaY Club Dr Oèwhursi Mèmorial Garden Bell Tower Louvres Chuieh Acc*$ (North Tran$8Pt Proie¢tl 1,383 9,339 2.482 13,5941 3,865 5,745 1,424 371 11291 1,295 371 Hall PA 8 Liohiing EqJlpmom We51 Window Rgpair PalTonal Banner Lill1¢ SgedsttAT Tom's Scribblings Young Pewe and Famil￿5 Fund Big Build Technology Fund Big Build Wèst End Toilot Big Build Church Mernorial Sealing Big Build- North Slieeul ChurGhlields repairs Big Build Chur¢hligU$ 2 Big Build- Churchyard R0d￿lopm•nI 314 12.958 13,272 434 99 2.379 7.515 2.929 6.000 7.584 1.640 351 434 2,379 7,$1$ 2.929 6,000 7,584 351 Big Build- Moving Iwalion ol Tomb Big Build- Pallanl Hall Courtyard & Rootn 2 relutb CoronaviTusJob Retenlv)n Schetne 12,836 40.761 53,597 Qndo¥%Tr8nl Funds 453,320 4.451 457,771 4￿,320 4.451 457,771 TOTAL FLINDS 511,355 587,566 32

FINANCIA STAT 16. IIOVEMENT OF FUND$c4Jntlrwd... Net It￿￿d￿d In lh8 abovè èreè8f￿knw$. Tr4n$l•r Inco￿1n9 r•sourc•s fl•sourc88 •xpwndod lund¥ 105¥•¥ un￿1￿cled lund$ Ggn8ral fu Mundaylogacy 217.436 1180.8771 .999 217.436 1180.8771 15.6011 .999 Fundg Re¢ior's 0is¢reti•n￿lur oof Fund Organ Bil Build Camwgn Vestry Vestsngnts Fur yo￿hcluknsu￿aY Cl DT DÈwhuiSl MèmoTial GÈrd•n Bell Tuwgr LoLtyre$ ChvTch Access INorthTransopt PTOIKII 13,9541 13.5941 2.482 13.5941 18,7651 S.359 11291 Hall PA & LIgMino EQ￿PM4 Wesi Wiww Rpali Paironal 8anmi hlg Sgod&TAT 14,688 11,7281 12.958 434 99 2.379 People and Fèmllies Fu Big Build- T8chnolwy Fund 7.515 3.231 2.929 6.000 7.584 1.640 Blg Bulld- WrthSli¢t.'1 ChwChf1e￿$I￿rs Big Build- Chuictyard Rgdgvolawont 13.3601 11.7291 1S,2011 Big Build- Pallant Hall CouMyar4 & Roorn 2rgturb Coronaviiu8JDb Rglenlion Sc￿rn9 2.244 41.630 32 141.6301 109,631 40.781 TOTAL FUNDS 327.067 255.948 4.492 Comwail¥￿tormo¥MThtsin lundg mowrnbnl lu￿9 At31.12.19 At 1.1.1 unr•s1rkl￿ lundg Gonoral fu ￿￿￿y19￿acY I41.￿> 44.089 86.228 141,0291 Ff•slrklqd Fund5 AeclOr'5 direlionaTylu Rth)l Fund OTgan Big Build Carn￿9 Vèstry Vesimems FuThJ YowhC1utrb&T￿ay Club Dt Dowhursl Mgrnatial GaidBn 8911 Towgr LouvTgS ChuTch Ac￿sS INorthTTan58Pt PTO1￿) 3.700 9.339 1.303 gw9 5.000 350 15.0ty)I 452 1.750 11,2301 12,0(M)I Hall PA & Llghung EQ￿prne W￿1 Withy Ropaii Patro￿1 Ban Lillle Sefjd>TAT 26.184 113.3281 12.836 EndovJm•trt Funds 444.5 6.735 453.320 444.585 8.735 453.320 TOTAL FUNDS 556.977 145.6T21 33

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2020 16. MOVEMENT OF FUNDS continued... Comparative net movtment in funds are a8 follows: Transfer between Gains and Movemenl fund8 10s8oS in lunds IDcorning Resources resources expendod Unrtstrlctèd funds GenÈral fund Munday legacy 228,906 1234,9541 135,0071 26 141,0291 228.906 1234.9541 135,0071 26 141,0291 Restrlcted Funds Rector's discretionary fund Roof Fu Or9an Big Build Campaign Vesiry Veslmenls Fund Youth Clutxlsunday Club Dr Dewhursl memori￿ Garden Bell Tower Louvres Church Access (North TransÈpi Projettl 1.741 14.0581 12,31 16 7.439 7.168 424 26,1 134,5361 112,1681 17741 15,0001 13501 4.000 51.76D 16.4211 168.1861 11.2301 15.5151 671 16.426 H￿1 PA & Lighting Equipmenl Wost Window Repair Paironal Banner Itle seeds￿AT 2.000 314 1.000 1.561 1.515 12,0001 314 11.7951 234 88.559 1136.8941 35.007 113,3281 E[￿OWMent Fund 8.735 8,735 TOTAL FUNDS 317.465 371.848 8.761 145,622 Roof Fund The Aool FurKJ is lor IhÈ replacemeni or repair ol the Chuich Rool. Organ The Organ FUTKI is lor Ihe refurbishment ol tho Church Organ. 819 8uild Campaign The Big Build Catnpaign Is the capital prograTnme Set up to cover capild cos15 acr055 the Par15h. Vestry The Vestry Fund is for the refurbishment ol th8 Church Vestry. Vestments Fvnd The Vestments Fund is lor the replacemgnl ol Veslmenls Attar linen. Youth Clublsunday Club The Youth Club and SUr￿aY Club is lor the sel up and running ol Youth and Sunday Clubs. Dr Dewhurst Memorlal Garden The Dr Dewhursl M8Tllorial Gard8n fund is to cover the cost of maintenance and iTnproveTnents lo the rneMOri￿ garden. Bell Tower Louvres The Bell Tower Louvrss rsquire rap￿r$ due lo weat￿r wear and tear. Funding has come from Hampshire County Council Ward Members and Poslcods Publications. Church A¢¢ess (North Transopl Projectl This is an expensive projeci, primaTily 10 Improve access lo the Church. UPgr￿e th& Vestry hav& nèw gla88 doors. Defibrillator The Pallanl Centre defibrillator has been funded. 34

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT NOTES TO THE FINANCIAL STATEMENTS R THE YEAR ENDED 1DE EMBER 2 16. MOVEMENT OF FUNDS contlnued... Hall PA & Lighting Equiprnent The Hall is increasingly been used as a live events venue hence the need lor an improved PA and lighting. We have again been fortunate to receive funding from HCC Ward Members. West Window Repair This fund supports the repair and resloralion work required for the Wesl End Window. Endowmenl Funds Churchlields South Sireel Trust.. A reslricled trust which relates lo No 1 and No 2 Churchfields and land surrounding them. The property was endowed lo the parish on the basis that il could be used by the parish, or sold., bul il sold the proceeds musl be invested lo provide an income lo the parish. Most ol this endowment remains lied up in the properties, which continue lo be used by the parish as rentable accommodation. A cash sum, presumably from the sale ol part ol the propety in the past, is invested through the Diocese under Diocesan Trust Ledger Number.. 26421 57 South Street.. This is a reslricled trust fund, comprising a sum of money acquired from the sale 0157 South Street, in two parcels. As a condition ol the endowment ol the property lo the parish, funds from that sale were required to be invested by the parish lo provide an income lo the parish. Diocesan Trust Ledger Numbers.. 26020 and 26021 Boyd-Richardson'. This is a restricted fund, arising out ol an endowment. Under the terms ol the endowment, the funds are used lo generate an income tor the parish, or may be used towards the purchase ol another propety. Diocesan Trust Ledger Number.. 26220 Munday Legacy= This is a historic fund. No information is known about its origin (despite a search ol Diocesan archivesl- Oiocesan Trust Ledger Number.. 26621 Sl Faith's Hall- This was a designated fund, established by the PCC many years ago, for the long term repair needs ol Sl Faith's Hall (also called the Pallant Centrel. The value of this fund was depleted lo zero during 2019, to contribute lo the costs of major refurbishments lo Si Faith's Hall, including the refurbishment ol the hall kitchen and various electrical inslallalions. The separate COIF accoLJnl previously containing these funds has been closed. Rector's discretionary fund Provides direct relief lo those allecled by poverty, individually or through other local charities. Patronal Banner A resloralion project for the fabric ol the Palronal banner. Little SeedslTAT A play group lor pre-school children and their parents and carers. Thursdays At Two - a social gathering with games, cakes, chal and fun on the last Thursday of the month al 2pm. Transfers between funds The transfers from unrestricted funds are lo cover shortfalls in funding for those restricted funds. 35

INDEPENDENT EXAMINER'S REPORT THE PAR HIAL IL THE ECCLESIASTICAL PARISH OF ST FAITH HAVANT Independent examiner'$ report to the tru$tee$ ol The E¢¢le$iasti¢al Parish of St Faith, Havant I report lo the PCC members on my examination ol the accounts ol the Ecclesiastical Parish ol Sl Faith, Havant lor the year ended 31 December 2020. Re$pon$ibilitie$ and basis of report As the members ol the PCC you are responsible lor the preparation ol the accounts in accor(Jance wth the requirements ol the Charities Act 2011 I'lhe Acl'l- I report in respect ol my examination ol the PCC'S accounts carried out under section 145 01 the Act and in carrying out my examination I have followed all applicable Directions given by the Charity Commission under section 14515llbl ol the Act. Independent exarniner's stalement I have Completed my examination. I confirm that no material matters have come to my attention in Connection with the examination giving me cause to believe that in any material respect.. 1. accounting records were not kept in respect of the PCC as required by section 130 01 the Act; 2. the accounts do not accord with those records,. or 3. the accounts do not comply with the applicable requiremen15 concerning the form and conlenl ol accounts sel out in the Charities IAccounls and Reports) Regulations 2008 other than any requirement that the give a true and lair view which is not a matter considered as part ol an independent examination. I confirm that there are no other matters lo which your allenlion should be drawn to enable a proper understanding ol the accounts lo be reached. Paul Underwood, FCCA Morrls Crocker Chartered Ac¢ouniant8 Ststlon Hous• North Street Havanl P09 lQU Dolo: 36