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2020-12-31-accounts

The Saltway Team

The Church of England in Droitwich Spa-Salwarpe-Hindlip-Martin Hussingtree

The Saltway Team Annual Report 2020

Introduction

The Saltway Team consists of two adjacent parishes.

The Parish of Droitwich Spa, encompasses the town of Droitwich Spa (population of 23,000), which is 6 miles north of Worcester. There are four CofE church buildings and one further burial ground.

The Parish of Salwarpe and Hindlip with Martin Hussingtree is to the south of Droitwich (population of 5000). It is an area of rural farmland, with the half of the larger village of Fernhill Heath to the south and two large housing developments (1500 residents) that border the Parish of Droitwich Spa. There are three CofE church buildings and one further burial ground.

Each parish is governed by its own Parochial Church Council (PCC).

We aim to be a unified team of congregations and associated life of the church, supporting one another in our mission to Worship God , to Grow as Disciples of Jesus and to Serve the Local and Wider Community .

This report summarises the activity of the parish in 2020 and includes:

The Saltway Team Annual Report 2020 - Page 2

Activity of the Saltway Team in 2020

The Covid 19 pandemic has had a considerable impact on the activity of the Saltway Team in 2020.

Our response to the situation began in March 2020, when the government lockdown required that all of our in-church events and gatherings ceased.

In the initial stages of the pandemic in March, the first response was to compile a pastoral database with contact details of those in our congregations. This facilitated the means to keep in contact with the congregations and those who are connected with the life of our churches.

As many in our elderly congregations do not have access to the internet, a monthly mailing that included a monthly newsletter, devotional resources, service booklets, mental health advice, posters and a range of other resources, was sent to everyone in the database.

A phone ‘helpline’ was also set up and was important in keeping in touch with the congregations. A ‘buddy system’ was proposed, but the natural friendship networks proved to be more effective in keeping in touch with people in the congregations.

On-line ‘Zoom’ services were introduced in May, and a pattern of 9.30 ‘Traditional’ and 11.00 ‘Contemporary’ Sunday services enabled a way of continuing to gather to worship despite the restrictions.

A Wednesday morning service of Morning Prayer also proved to be an important time for many.

Zoom was chosen in preference to a pre-recorded service as it allowed some social interaction. The Zoom services included some time in ‘breakout rooms’ to allow the opportunity to meet, to chat and to pray.

Seasonal provision continued wherever possible, with an All Souls service and memorial card and a pre-recorded Christmas service.

The Saltway Team Annual Report 2020 - Page 3

Comprehensive Christian Copyright licenses were purchased for St Andrew’s from CCLI to ensure our on-line services are streamed legally. The other buildings have no CCLI Cover.

As restrictions eased in September, we were able to commence some inchurch services. Following Church of England and government guidance, risk assessments were carried out and operating procedures and forms of service were developed to ensure the services could be provided as safely as possible.

A pattern of limited and careful opening was introduced, with traditional services at Salwarpe, St Augustine’s and St Peter’s and a contemporary gathering at St Andrew’s.

All of the in-church services have been Eucharistic, with the congregation receiving communion in one kind (wafer only). The peace was retained, without handshaking or moving around the church buildings.

A handbook was circulated to explain the operation of services, setting out the need for booking in, travel to church, access to the church buildings, masks, hand sanitation and social distancing.

It is a sadness that singing is not allowed, but music has still been included in the services where possible.

Funerals continued throughout the pandemic. Initially graveside services with a limited number of mourners were carried out. As restrictions were lifted, gatherings of up to 30 people have been permitted in church buildings and crematoria provided masks were used. No singing was allowed.

Very few weddings or christenings were performed, and the team faces a significant backlog of people wanting occasional offices when restrictions are lifted.

The requirements for social distancing made bell ringing difficult, but some limited ringing was possible under protocols developed by the tower captains.

The Saltway Team Annual Report 2020 - Page 4

Clergy continued to support local schools, in particular in governance roles at St Peter’s CofE school and Hindlip CofE school. Visitors are not able to visit the schools during the pandemic.

Clergy improvised to ensure the basic finance and fabric needs continued.

Unfortunately, the post of Team Administrator was made redundant in November and clergy took on the administrative functions.

Fabric

Fabric issues that were identified and remedied include the repair of the boiler at St Andrew’s, faults with the phone line into the Parish Centre, fire extinguisher and lightning conductor testing and some minor repairs and general maintenance.

The churchyards required constant maintenance. Kevin Hyett was contracted to look after St Mary’s. The churchyards at St Peter’s and St Mary’s benefited from maintenance work done the probation service, offered to the PCC at a very low cost. St Augustine’s was maintained by a small team of committed volunteers, who have continued to look after the churchyard throughout the pandemic. A vault collapse was repaired at St Augustine’s. A large vault collapsed in Salwarpe churchyard and required extensive remedial work.

St Peter’s and St Andrew’s ordered new noticeboards to replace the existing broken ones.

Previous working parties had noted a number of minor repairs that will be addressed by a local contractor.

The scaffolding remains in St Andrew’s as the ceiling repairs have not started. A faculty granting a further year’s extension to the placement of the scaffolding was granted.

A consultant has developed, on behalf of the PCC, a Heritage Lottery Fund bid to secure funds for the roof and ceiling repairs needed at St Andrew’s. Unfortunately, the Heritage Lottery Fund was closed during the pandemic, but HLF will reopen in 2021, when it is hoped that the bid can be finalised and submitted.

The Saltway Team Annual Report 2020 - Page 5

Parish Share

The Saltway Team faces a serious issue relating to the underpayment of Parish Share. This is the payment made by the team to cover the Diocesan costs, most of which goes towards the cost of clergy.

In 2020, the Saltway Team offered over £79,000 towards the cost of ministry, but this represents less than half of the cost of the resources allocated to the team.

Until recently, the shortfall in Parish Share was subsidised by Worcester Diocese, but unfortunately, in recent years, the diocesan reserves that have been used to subsidise under payment of share have become exhausted.

There is an urgent need to either increase what is offered to afford the cost of ministry, or the team will face further reductions in resources.

The need to address this issue will be a priority for the PCCs in the next few years.

The team will need to look afresh at how we use our clergy and resources. This may require some significant changes to our pattern of services across the team as the PCCs look to invest in growth.

The Saltway Team Annual Report 2020 - Page 6

Governance – Parish of Droitwich Spa

Parochial Church Council (PCC)

The Parochial Church Council (PCC) is a corporate body established by the Church of England. Since 2009 the parish of Droitwich Spa has been a registered charity number 1128487. The PCCs has the responsibility of co-operating with the clergy in promoting the whole mission of the Church.

PCC Sub-Committees

Under normal circumstances, some of the operation of the congregations at St Augustine’s and St Peter’s is delegated to management committees. These sub-committees of the PCC discuss rotas, practical issues and church fabric. A ‘global issues group’ promotes activity outside of the team, such as Christian Aid Week, Fairtrade and other charity appeals. None of these sub-committees met during the pandemic.

Report on the Proceedings of Droitwich PCC

The PCC met three times in this reporting period, using ‘Zoom’.

The meetings began with prayer and included time for “news” and communication so that the PCC can hear about the activities across the team. A report of activity of the deanery synod is also included.

Each meeting has a report from the treasurer, including progress against the PCC agreed budget. In addition, a report on fabric is also given to each meeting. Safeguarding and Health and safety are standing agenda items.

At the beginning of each PCC year elected members are reminded about the role of the trustees and good governance. PCC procedures are agreed that relate to Safeguarding, Data Protection, Health and Safety and Admitting Children to Holy Communion.

Other issues discussed during 2020 were, the agreement of 2021 fees, Lent study and services, the appointment of Eucharistic Assistants, Covid restrictions, articles of enquiry, Christmas services, and the purchase of Saltmine Theatre Company ‘Hark’ presentation. Parish Share was discussed on several occasions.

The Saltway Team Annual Report 2020 - Page 7

Clergy have kept the PCC up to date with the response to the suspension of worship and the response to the Covid pandemic through emailed updates.

During the pandemic our parish office was also forced to close our Parish Administrator was not able to work. The booking of occasional offices and financial and other correspondence was undertaken by the clergy throughout the pandemic. Given that the PCC has such a large deficit, and that the needs for administration have shifted, Following a number of very balanced and mature conversations with Karen Aston the decision was made to make the role of Parish Administrator redundant.

The role of the office and our administrative functions will be reviewed in the coming year in order to assess what is needed as we reshape the pattern of ministry once restrictions are eased.

As no diocesan admissions of wardens service was possible,

churchwardens swore an oath of allegiance at the Zoom PCC meeting on the 25[th ] of November.

Safeguarding

The PCC is aware of its duty to have due regard to House of Bishops' guidance on safeguarding children and vulnerable adults. All of the necessary procedures have been agreed and adopted by the PCC. Our safeguarding officer is Judith Trevor, who has used the safeguarding toolkit to ensure the parish complies with the standards and procedures.

Electoral Roll Report – Droitwich Spa

In 2020 there were 139 people on the electoral roll.

134 Resident in the Parish

5 Not resident in the Parish

The Saltway Team Annual Report 2020 - Page 8

Summary of Financial Position 2020

Parish of Droitwich Spa

Income

Income
Voluntary income 144,317
Activities for generating funds 10,492
Investment income 2,359
Church activities
Other incoming resources 19,000
Total incoming resources 177,068
Expenditure
Cost of generating income 72
Church activities 97,611
Other resources expended 31,417
Total resources expended 129,100

. Full accounts for 2020 are available on request

Notes:

The Saltway Team Annual Report 2020 - Page 9

Governance – Parish of Salwarpe with Hindlip and Martin Hussingtree

Parochial Church Council (PCC)

The Parochial Church Council (PCC) is a corporate body established by the Church of England. The PCC operates under the Parochial Church Council Powers Measure. The PCCs has the responsibility of co-operating with the clergy in promoting the whole mission of the Church within the ecclesiastical parish.

Local Ministry Team

Under normal circumstances, some of the operation of the congregations at Salwarpe and Martin Hussingtree is delegated to a Local Ministry Team. The members of the LMT discuss rotas, practical issues and pastoral care and fed this information back to the PCC. The LMT did not meet during the pandemic.

Report on the Proceedings of PCC

The PCC met three times in 2020. A report of activity of the deanery synod is also included. Each meeting has a report from the treasurer, including progress against the PCC agreed budget. A standing agenda item is to bring to the PCCs attention any safeguarding and health and safety issues. Other issues discussed included agreement of 2021 fees, seasonal services. The PCC was very glad to support Bill Sumner who asked for his LLM license to be accepted by the Saltway Team.

Safeguarding

The PCC is aware of its duty to have due regard to House of Bishops' guidance on safeguarding children and vulnerable adults. All of the necessary procedures have been agreed and adopted by the PCC. Our safeguarding officer is Judith Trevor, who has used the safeguarding toolkit to ensure the parish complies with the standards and procedures.

Electoral Roll Report

In 2020 there were 52 people on the electoral roll. 28 Resident in the Parish

24 Non Resident

The Saltway Team Annual Report 2020 - Page 10

SHMH Summary of Financial Position 2020

Parish of Salwarpe with Hindlip and Martin Hussingtree

Income
Voluntary income 30,373
Donations and Legacies 35,807
Fundraising 13,637
Receipts from
Church Activities 8,961
Investment Income 9,007
Total incoming resources 97,784
Expenditure
Parish Share 44,477
Church activities 25,515
Total resources expended 69,992

Full accounts for 2020 are available on request.

Notes:

Report on the Proceedings of the Deanery Synod

At the end of July 2020, the Bishop of Worcester opened a consultation into proposed changes to the Deanery structure, reducing the number of deaneries from 13 to 6. The new deanery structure came into effect on the 1[st] of February 2021. The New Deaneries are Greater Dudley, Redditch and Bromsgrove, Kidderminster and Stourport, Worcester, Malvern and Upton and Pershore and Evesham. The Saltway Team joins he new Worcester deanery.

The Saltway Team Annual Report 2020 - Page 11

Administrative Details

Team Office

Parish Centre, St Andrew's Street, Droitwich Spa. WR9 8DY Phone 01905 794952

Email saltwayteam@outlook.com Website www.saltwayteam.org.uk

Clergy

Revd Nigel Byard

Revd Laura Handy

Parish of Droitwich Spa

Churchwardens

Steve Hawley, Sue Jubb, Richard Rose, Keith Slaughter, Sandy Medhurst, Michael Jubb

Deanery Synod Representatives

Janet Bryan, Val Hawley

Elected Members of the PCC

Roger Aston, Philip Bowen, Rosemary Byard, Nigel Caffrey, Helen Friday, Linda Hardy[to October 2020], Clare King, Jeni King (Treasurer), Steve Penn (Fabric), Rachel Rean, Jill Robinson, Mark Ingledew, Patsy Robinson [to October 2020].

Other Officers

Judith Trevor (Safeguarding Officer)

Jeni King (Gift aid Officer)

Karen Aston (PCC Secretary / Data Protection Officer) [to October 2020]

Val Hawley (Electoral Roll Officer)

Bank Details

Lloyds TSB plc, The Cross, Worcester, WR1 3PY

Independent Examiner

Laurie Evans, 31 Newland Road, Droitwich, WR9 0QH

Charity Number

1128487

The Saltway Team Annual Report 2020 - Page 12

Parish of Salwarpe with Hindlip and Martin Hussingtree

Churchwardens

None

SHMH Elected Members of PCC

John Baker [to October 2020], John Hughes (Treasurer), Louise HamiltonGlover, Barbara Jauncey (PCC Secretary), Nikki Kristy, Sue Longhurst, David Luscombe, Janet Uren [to October 2020] Sylvia Whittaker.

SHMH Deanery Synod Members

Bill Jauncey, Tony Pearce

Other Officers

Mr W Jauncey (Safeguarding)

Mr W Jauncey (electoral roll officer) Mr J. Hughes (Gift aid Officer)

Independent Examiner

Christopher Noble, 25 Corbett Avenue, Droitwich. WR9 7BE

The Saltway Team Annual Report 2020 - Page 13

Parish of Droitwich Spa Annual Parochial Church Meeting St Andrew’s Church, Droitwich

27[th] May 2021

The Annual Parochial Church Meeting (APCM) of the Parish of Droitwich Spa will be held on the 27[th] of May 2021 at St Andrew’s Church Droitwich.

The meeting is to elect 12 representatives for the Parochial Church Council. And 4 representatives for the Deanery Synod. In addition the meeting will receive reports as set out below.

Agenda

7.15pm Meeting of Parishioners to Elect Churchwardens

  1. Opening Prayer

  2. Apologies for absence.

  3. Minutes of the previous meeting and Matters Arising

  4. Election of Churchwardens

  5. Close

7.30pm Annual Parochial Church Meeting

  1. Welcome and Introduction

  2. Apologies for Absence

  3. Minutes / Matters Arising

  4. Annual Report – including:

  5. a. Report on Church Fabric Goods and Ornaments

  6. b. Report on the proceedings of the PCC and Deanery Synod

  7. Electoral Roll

  8. Financial Statement

  9. Appointment of Independent Financial Examiner

  10. Election of Members of the Laity to the PCC and Deanery Synod

  11. Votes of Thanks and Closing Remarks

  12. Closing Prayer

The Saltway Team Annual Report 2020 - Page 14

Parish of Salwarpe with Hindlip and Martin Hussingtree Annual Parochial Church Meeting St Michael’s Church, Salwarpe

26[th] May 2021

The Annual Parochial Church Meeting (APCM) of the Parish of Salwarpe, Hindlip and Martin Hussingtree will be held on the 26[th] of May 2021 at St Michael’s Church Salwarpe.

The meeting is to elect 9 representatives for the Parochial Church Council. And 4 representatives for the Deanery Synod. In addition the meeting will receive reports as set out below.

Agenda

7.15pm Meeting of Parishioners to Elect Churchwardens

  1. Opening Prayer

  2. Apologies for absence.

  3. Minutes of the previous meeting and Matters Arising

  4. Election of Churchwardens

  5. Close

7.30pm Annual Parochial Church Meeting

  1. Welcome and Introduction

  2. Apologies for Absence

  3. Minutes / Matters Arising

  4. Annual Report – including:

  5. a. Report on Church Fabric Goods and Ornaments

  6. b. Report on the proceedings of the PCC and Deanery Synod

  7. Electoral Roll

  8. Financial Statement

  9. Appointment of Independent Financial Examiner

  10. Election of Members of the Laity to the PCC and Deanery Synod

  11. Votes of Thanks and Closing Remarks

  12. Closing Prayer

The Saltway Team Annual Report 2020 - Page 15

DROITWICH SPA PCC

REPORT OF THE TRUSTEES AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020

1

DROITWICH SPA PCC

CONTENTS OF THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020

PAGE
Report of the Trustees 3
Independent Examiner’s report 4
Statement of Financial Activities 5
Balance Sheet 6
Notes to the Financial Statements 7 to 9
Detailed Statement of Financial Activities 10 and 11

2

DROITWICH SPA PCC

REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31[ST] DECEMBER 2020

The trustees present their report with the financial statements of the charity for the year ended 31[st] December 2020. The trustees have adopted the provisions of the Statement of Recommended Practice (SORP) ‘Accounting and Reporting by Charities’ issued in March 2005.

REFERENCE AND ADMINISTRATIVE DETAILS Registered Charity Number

1128487

Principal Address

The Parish Centre St Andrew’s Street Droitwich Spa Worcestershire WR9 8DY

Independent Examiner

Laurie Evans Associates 31 Newland Road Droitwich Spa Worcs. WR9 7AG

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing Document

The charity is controlled by its governing document, a deed of trust, and constitutes an unincorporated charity.

Risk Management

The trustees have a duty to identify and review the risks to which the charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against fraud and error.

ON BEHALF OF THE BOARD:

............................................................................. Trustee

Date: ....................................................................

3

DROITWICH SPA PCC

INDEPENDENT EXAMINERS REPORT

* TO BE ADDED ***

DROITWICH SPA PCC

4

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31[ST] DECEMBER 2020

2020
UnrestrictedRestrictedEndowment Total
Funds
Funds
Funds
Funds
Notes
£
£
£
£
INCOMING RESOURCES
Incoming resources from
generated funds
Voluntary income
102,814
41,503
-
144,317
Activities for generating funds
2
10,492
-
-
10,492
Investment income
3
2,039
320
-
2,359
Incoming resources from
charitable activities
Church activities
4
6,917
12,983
-
19,900
Other incoming resources
5
-
-
-
-
Total incoming resources
122,262
54,806
-
177,068
RESOURCES EXPENDED
Costs of generating funds
Costs of generating voluntary
income
72
-
-
72
Charitable activities
Church activities
6
87,942
9,669
-
97,611
Other resources expended
31,417
-
-
31,417
Total resources expended
119,431
9,669
-
129,100
NET INCOME/(OUTGOING)
RESOURCES before other
Recognised gains and losses
2,831
45,137
-
47,968
Other recognised gains/losses
Gains/Losses on investment assets
1,432
8,313
2,072
21,947
Net movement in funds
4,263
53,450
2,072
59,785
RECONCILIATION OF FUNDS
Total funds brought forward
181,002
196,640
37,330
414,972
Movement
4,263
53,450
2,072
59,785
TOTAL FUNDS CARRIED FORWARD
185,265
250,090
39,402
414,972
2020
UnrestrictedRestrictedEndowment Total
Funds
Funds
Funds
Funds
Notes
£
£
£
£
INCOMING RESOURCES
Incoming resources from
generated funds
Voluntary income
102,814
41,503
-
144,317
Activities for generating funds
2
10,492
-
-
10,492
Investment income
3
2,039
320
-
2,359
Incoming resources from
charitable activities
Church activities
4
6,917
12,983
-
19,900
Other incoming resources
5
-
-
-
-
Total incoming resources
122,262
54,806
-
177,068
RESOURCES EXPENDED
Costs of generating funds
Costs of generating voluntary
income
72
-
-
72
Charitable activities
Church activities
6
87,942
9,669
-
97,611
Other resources expended
31,417
-
-
31,417
Total resources expended
119,431
9,669
-
129,100
NET INCOME/(OUTGOING)
RESOURCES before other
Recognised gains and losses
2,831
45,137
-
47,968
Other recognised gains/losses
Gains/Losses on investment assets
1,432
8,313
2,072
21,947
Net movement in funds
4,263
53,450
2,072
59,785
RECONCILIATION OF FUNDS
Total funds brought forward
181,002
196,640
37,330
414,972
Movement
4,263
53,450
2,072
59,785
TOTAL FUNDS CARRIED FORWARD
185,265
250,090
39,402
414,972
2019
Total
Funds
£
122,363
19,861
2,903
26,257
57,289
228,673
74
122,802
27,860
150,736
77,937
11,817
99,884
315,088
99,884
474,757

DROITWICH SPA PCC

BALANCE SHEET

5

AT 31[ST] DECEMBER 2020

2020 2019
UnrestrictedRestrictedEndowment Total Total
Funds Funds Funds Funds Funds
Notes £ £ £ £ £
CURRENT ASSETS
Debtors: amounts falling due
within one year 9 7,403 - - 7,403 14,822
Investments (shares) 8 15,433 95,425 39,403 150,261 138,443
Cash at bank and in hand 10 165,817 166,203 - 332,020 263,955
188,653 261,628 39,403 489,684 417,220
CREDITORS
Amounts falling due within
One year 3,022 11,905 - 14,927 2,248
TOTAL ASSETS LESS CURRENT LIABILITIES 185,631 249,723 39,403
474,757
414,972
FUNDS
OPENING BALANCE 181,002 196,640 37,330 414,972 315,088
MOVEMENT:Net Income/Outgoing 2,831 45,137 - 47,968
77,937
Gains/Losses on Investments1,432 8,313 2,072 11,817 21,947
CLOSING BALANCE 185,265 250,090 39,402 474,757 414,972

The financial statements were approved by the Board of Trustees on .......................................... and were signed on its behalf by:

............................................................................

Trustee

DROITWICH SPA PCC

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020

6

1. ACCOUNTING POLICIES

Accounting Convention

The financial statements have been prepared under the historical cost convention, with the exception of investments which are included at market value, as modified by the revaluation of certain assets and in accordance with the Financial Reporting Standard for Smaller Entities (effective April 2008), the Charities Act 1993 and the requirements of the Statement of Recommended Practice, Accounting and Reporting by Charities.

Incoming Resources

All incoming resources are included on the Statement of Financial Activities when the PCC is legally entitled to the income and the amount can be quantified with reasonable accuracy.

Resources Expended

Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category. Where costs cannot be directly attributed to particular headings they have been allocated to activities on a basis consistent with the use of resources.

Fund Accounting

Unrestricted funds represent the funds of the PCC that are not subject to any restrictions regarding their use and are available for application on the general purposes of the PCC. Other funds which are designated for a particular purpose by the PCC are also unrestricted.

Parish Share

The Parish Share represents the amounts paid to the Diocese of Worcester (‘Diocese’) in order to fund ministry in the Diocese of Worcester. The Diocese requests an amount each year, however this is not a legal debt. It is the Parish intention to pay the amount in full, however it currently does not have sufficient funds to do so. As the debt is not legally enforceable and the Parish has not made a formal legal commitment to pay the requested amount for Parish Share to the Diocese, the Parish Share recognised in the Income and Expenditure account represents the cash paid to the Diocese.

Reserves

Reserves are held to ensure that planned and committed expenditure over the next five years can be met. Unrestricted funds not invested in tangible fixed assets (the free reserves) are held to meet a minimum of six months budgeted expenditure and to enable the PCC to fulfil its planned and committed expenditure over the next five years which are not covered by restricted funds.

2. ACTIVITIES FOR GENERATING FUNDS

Fundraising
Lettings
Printing
2020
£
795
9,250
447
10,492
2019
£
6,178
12,086
1,597
19,861

7

DROITWICH SPA PCC

NOTES TO THE FINANCIAL STATEMENTS – CONTINUED FOR THE YEAR ENDED 31[ST] DECEMBER 2020

3. INVESTMENT INCOME

3. INVESTMENT INCOME
Dividends
Interest
4. CHURCH ACTIVITIES - Income
Fees and expenses
Charity Collections
5. OTHER INCOME
Insurance claims
Miscellaneous
2020
£
1,719
640
2,359
£
19,806
94
19,900

2020
-
-
-

2019
£
1,778
1,125
2,903
2020
2019
£
25,151
1,106
26,257
2019
57,235
54
57,289




2019 Insurance claims - £53,605 relating to theft of silverware from St Andrews. £3,630 relating to theft of lead from St Nicholas’ roof.

6. CHURCH ACTIVITIES – Expenditure
Parish Share
Insurance and utilities
Church and Churchyard maintenance
Music/Organ
Other
£
35,000
25,041
23,403
2,248
11,919
97,611
2020
2019
£
35,000
26,544
36,971
8,767
15,520
122,802

Churchyard Maintenance includes £8,000 for emergency removal of fallen tree in St Mary’s Churchyard.

2019 Church maintenance includes £17,677 repairs to St Nicholas’ roof following lead theft.

7. TRUSTEES’ REMUNERATION AND BENEFITS

There were no trustees’ remuneration or other benefits for the year ended 31[st] December 2020 nor for the year ended 31[st] December 2019.

8

DROITWICH SPA PCC

NOTES TO THE FINANCIAL STATEMENTS – CONTINUED FOR THE YEAR ENDED 31[ST] DECEMBER 2020

8. CURRENT ASSET SHARES INVESTMENTS

MARKET VALUE
At 1stJanuary 2020
Revaluations
At 31stDecember 2020
Listed
Investments
£
138,443
11,818
150,261

There were no investment assets outside the UK.

9. DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR

Other debtors
Prepayments
Gift Aid tax recoverable
10.CASH AT BANK AND IN HAND
Lloyds Current A/c
Santander A/c
Petty Cash
CCLA Reserves
2020
£
580
123
6,700
7,403
2020
£
178,682
1,610
389
151,340
332,021
2019
£
5,052
661
9,109
14,822
2019
£
110,445
2,721
89
150,700
2019
£
5,052
661
9,109

14,822
263,955

9

DROITWICH SPA PCC

DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2020

INCOMING RESOURCES
Voluntary Income
Planned giving
Gift Aid tax recoverable
Donations, wall safe
Unplanned giving
Grants and legacies
Activities for generating funds
Fundraising events
Lettings
Printing
Investment income
Dividends
Interest
Incoming resources from charitable activities
Charitable collections
Fees and expenses
Other incoming resources
Insurance Claims
Miscellaneous income
Total incoming resources
2020
£
76,401
17,117
4,245
2,311
44
,243
144,317
795
9,250
447
10,492
1,719
640
2,359
94
19
,806
19,900
-
-

-
177
,068
2019
£
72,740
20,927
9,232
11,306
8
,158
122,363
6,178
12,086
1
,597
19,861
1,778
1
,125
2,903
1,106
25
,151
26,257
57,235
54
57,289
228
,673
2019
£
72,740
20,927
9,232
11,306
8
,158
122,363
6,178
12,086
1
,597
19,861
1,778
1
,125
2,903
1,106
25
,151
26,257
57,235
54
57,289
228
,673
2019
£
72,740
20,927
9,232
11,306
8
,158
122,363
6,178
12,086
1
,597
19,861
1,778
1
,125
2,903
1,106
25
,151
26,257
57,235
54
57,289
228
,673

DROITWICH SPA PCC

DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2020

10

RESOURCES EXPENDED
Costs of generating voluntary income
Fundraising costs
Charitable activities
Grants to Missionary Societies/Charities
Outreach
Parish Share
Clergy expenses
Insurance
Church utility expenses
Upkeep of Church services
Church maintenance
Churchyard maintenance
Vergers, organ repairs and music
Stationery and ofce expenses
Post and telephone
Other resources expended
Secretarial and Book-keeping
Professional fees
Hospitality and gifts
Publicity and communications
Computer Costs
Parish Centre and other costs
Total resources expended
Net income/(expenditure)
2020
£
72
10
1,126
35,000
4,399
15,200
9,841
416
5,701
17,702
2,248
3,981
1
,987
2020
£
72
10
1,126
35,000
4,399
15,200
9,841
416
5,701
17,702
2,248
3,981
1
,987
2019
£
74
1,117
1,264
35,000
4,443
14,998
11,546
4,744
24,127
12,845
8,767
3,112
840
122,803
12,798
2,666
36
243
3,918
8
,198
27,859
150
,736
77
,937
97,611
12,200
15,076
-
391
502
3
,248
31,417
129
,100
47
,968

This Detailed Statement does not form part of the statutory financial statements.

11

DROITWICH SPA PCC

REPORT OF THE TRUSTEES AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020

1

DROITWICH SPA PCC

CONTENTS OF THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020

PAGE
Report of the Trustees 3
Independent Examiner’s report 4
Statement of Financial Activities 5
Balance Sheet 6
Notes to the Financial Statements 7 to 9
Detailed Statement of Financial Activities 10 and 11

2

DROITWICH SPA PCC

REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31[ST] DECEMBER 2020

The trustees present their report with the financial statements of the charity for the year ended 31[st] December 2020. The trustees have adopted the provisions of the Statement of Recommended Practice (SORP) ‘Accounting and Reporting by Charities’ issued in March 2005.

REFERENCE AND ADMINISTRATIVE DETAILS Registered Charity Number

1128487

Principal Address

The Parish Centre St Andrew’s Street Droitwich Spa Worcestershire WR9 8DY

Independent Examiner

Laurie Evans Associates 31 Newland Road Droitwich Spa Worcs. WR9 7AG

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing Document

The charity is controlled by its governing document, a deed of trust, and constitutes an unincorporated charity.

Risk Management

The trustees have a duty to identify and review the risks to which the charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against fraud and error.

ON BEHALF OF THE BOARD:

............................................................................. Trustee

Date: ....................................................................

3

DROITWICH SPA PCC

INDEPENDENT EXAMINERS REPORT

* TO BE ADDED ***

4

DROITWICH SPA PCC

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31[ST] DECEMBER 2020

Unrestricted
Restricted Endowment
Funds
Funds
Funds
Notes
£
£
£
INCOMING RESOURCES
Incoming resources from
generated funds
Voluntary income
102,814
41,503
-
Activities for generating funds
2
10,492
-
-
Investment income
3
2,039
320
-
Incoming resources from
charitable activities
Church activities
4
6,917
12,983
-
Other incoming resources
5
-
-
-
Total incoming resources
122,262
54,806
-
RESOURCES EXPENDED
Costs of generating funds
Costs of generating voluntary
income
72
-
-
Charitable activities
Church activities
6
87,942
9,669
-
Other resources expended
31,417
-
-
Total resources expended
119,431
9,669
-
NET INCOME/(OUTGOING)
RESOURCES before other
Recognised gains and losses
2,831
45,137
-
Other recognised gains/losses
Gains/Losses on investment assets
1,432
8,313
2,072
Net movement in funds
4,263
53,450
2,072
RECONCILIATION OF FUNDS
Total funds brought forward
181,002
196,640
37,330
Movement
4,263
53,450
2,072

TOTAL FUNDS CARRIED FORWARD
185,265
250,090
39,402
2020
Total
Funds
£
144,317
10,492
2,359
19,900
-
177,068
72
97,611
31,417

129,100
47,968
11,817
59,785
414,972
59,785
474,757
2019
Total
Funds
£
122,363
19,861
2,903
26,257
57,289

228,673
74
122,802
27,860

150,736
77,937
21,947

99,884
315,088
99,884

414,972

5

DROITWICH SPA PCC

BALANCE SHEET AT 31[ST] DECEMBER 2020

2020 2019
Unrestricted Restricted Endowment Total Total
Funds Funds Funds Funds Funds
Notes £ £ £ £ £
CURRENT ASSETS
Debtors: amounts falling due
within one year 9 7,403 - - 7,403 14,822
Investments (shares) 8 15,433 95,425 39,403 150,261 138,443
Cash at bank and in hand 10 165,817 166,203 - 332,020 263,955
188,653 261,628 39,403 489,684 417,220
CREDITORS
Amounts falling due within
One year 3,022 11,905 - 14,927 2,248
TOTAL ASSETS LESS CURRENT LIABILITIES 185,631 249,723 39,403 474,757 414,972
FUNDS
OPENING BALANCE 181,002 196,640 37,330 414,972 315,088
MOVEMENT: Net Income/Outgoing 2,831 45,137 - 47,968 77,937
Gains/Losses on Investments
1,432
8,313 2,072 11,817 21,947
CLOSING BALANCE 185,265 250,090 39,402 474,757 414,972

The financial statements were approved by the Board of Trustees on .......................................... and were signed on its behalf by:

............................................................................ Trustee

6

DROITWICH SPA PCC

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31[ST] DECEMBER 2020

1. ACCOUNTING POLICIES

Accounting Convention

The financial statements have been prepared under the historical cost convention, with the exception of investments which are included at market value, as modified by the revaluation of certain assets and in accordance with the Financial Reporting Standard for Smaller Entities (effective April 2008), the Charities Act 1993 and the requirements of the Statement of Recommended Practice, Accounting and Reporting by Charities.

Incoming Resources

All incoming resources are included on the Statement of Financial Activities when the PCC is legally entitled to the income and the amount can be quantified with reasonable accuracy.

Resources Expended

Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category. Where costs cannot be directly attributed to particular headings they have been allocated to activities on a basis consistent with the use of resources.

Fund Accounting

Unrestricted funds represent the funds of the PCC that are not subject to any restrictions regarding their use and are available for application on the general purposes of the PCC. Other funds which are designated for a particular purpose by the PCC are also unrestricted.

Parish Share

The Parish Share represents the amounts paid to the Diocese of Worcester (‘Diocese’) in order to fund ministry in the Diocese of Worcester. The Diocese requests an amount each year, however this is not a legal debt. It is the Parish intention to pay the amount in full, however it currently does not have sufficient funds to do so. As the debt is not legally enforceable and the Parish has not made a formal legal commitment to pay the requested amount for Parish Share to the Diocese, the Parish Share recognised in the Income and Expenditure account represents the cash paid to the Diocese.

Reserves

Reserves are held to ensure that planned and committed expenditure over the next five years can be met. Unrestricted funds not invested in tangible fixed assets (the free reserves) are held to meet a minimum of six months budgeted expenditure and to enable the PCC to fulfil its planned and committed expenditure over the next five years which are not covered by restricted funds.

2. ACTIVITIES FOR GENERATING FUNDS

Fundraising
Lettings
Printing
2020
£
795
9,250
447
10,492
2019
£
6,178
12,086
1,597
19,861

7

DROITWICH SPA PCC

NOTES TO THE FINANCIAL STATEMENTS – CONTINUED FOR THE YEAR ENDED 31[ST] DECEMBER 2020

3. INVESTMENT INCOME

Dividends
Interest
4. CHURCH ACTIVITIES - Income
Fees and expenses
Charity Collections

5. OTHER INCOME
Insurance claims
Miscellaneous
2020
£
1,719
640
2,359
2020
£
19,806
94
19,900

2020
-
-
-
2019
£
1,778
1,125
2,903
2019
£
25,151
1,106
26,257
2019
57,235
54
57,289

2019 Insurance claims - £53,605 relating to theft of silverware from St Andrews. £3,630 relating to theft of lead from St Nicholas’ roof.

6. CHURCH ACTIVITIES – Expenditure
Parish Share
Insurance and utilities
Church and Churchyard maintenance
Music/Organ
Other
2020
£
35,000
25,041
23,403
2,248
11,919

97,611
2019
£
35,000
26,544
36,971
8,767
15,520
122,802

Churchyard Maintenance includes £8,000 for emergency removal of fallen tree in St Mary’s Churchyard.

2019 Church maintenance includes £17,677 repairs to St Nicholas’ roof following lead theft.

7. TRUSTEES’ REMUNERATION AND BENEFITS

There were no trustees’ remuneration or other benefits for the year ended 31[st] December 2020 nor for the year ended 31[st] December 2019.

8

DROITWICH SPA PCC

NOTES TO THE FINANCIAL STATEMENTS – CONTINUED FOR THE YEAR ENDED 31[ST] DECEMBER 2020

8. CURRENT ASSET SHARES INVESTMENTS

MARKET VALUE
At 1stJanuary 2020
Revaluations
At 31stDecember 2020
Listed
Investments
£
138,443
11,818
150,261

There were no investment assets outside the UK.

9. DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR

Other debtors
Prepayments
Gift Aid tax recoverable
CASH AT BANK AND IN HAND
Lloyds Current A/c
Santander A/c
Petty Cash
CCLA Reserves
2020
£
580
123
6,700
7,403
2020
£
178,682
1,610
389
151,340
332,021
2019
£
5,052
661
9,109
14,822
2019
£
110,445
2,721
89
150,700
263,955

10. CASH AT BANK AND IN HAND

9

DROITWICH SPA PCC

DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2020

INCOMING RESOURCES
Voluntary Income
Planned giving
Gift Aid tax recoverable
Donations, wall safe
Unplanned giving
Grants and legacies
Activities for generating funds
Fundraising events
Lettings
Printing
Investment income
Dividends
Interest
Incoming resources from charitable activities
Charitable collections
Fees and expenses
Other incoming resources
Insurance Claims
Miscellaneous income
Total incoming resources
2020
£
76,401
17,117
4,245
2,311
44,243
144,317
795
9,250
447

10,492
1,719
640
2,359
94
19,806
19,900
-
-
-
177,068
2019
£
72,740
20,927
9,232
11,306
8,158
122,363
6,178
12,086
1,597
19,861
1,778
1,125
2,903
1,106
25,151
26,257
57,235
54
57,289
228,673

10

DROITWICH SPA PCC

DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2020

RESOURCES EXPENDED
Costs of generating voluntary income
Fundraising costs
Charitable activities
Grants to Missionary Societies/Charities
Outreach
Parish Share
Clergy expenses
Insurance
Church utility expenses
Upkeep of Church services
Church maintenance
Churchyard maintenance
Vergers, organ repairs and music
Stationery and office expenses
Post and telephone
Other resources expended
Secretarial and Book-keeping
Professional fees
Hospitality and gifts
Publicity and communications
Computer Costs
Parish Centre and other costs
Total resources expended
Net income/(expenditure)
2020
£
72
10
1,126
35,000
4,399
15,200
9,841
416
5,701
17,702
2,248
3,981
1,987

97,611
12,200
15,076
-
391
502
3,248
31,417
129,100
47,968


2019
£
74
1,117
1,264
35,000
4,443
14,998
11,546
4,744
24,127
12,845
8,767
3,112
840
122,803
12,798
2,666
36
243
3,918
8,198
27,859
150,736
77,937

This Detailed Statement does not form part of the statutory financial statements.

11