REGJsfERED CHAIUTY NUMBER: 1128625
Report of the Tru$tee5 and
Un2udiled Fingntigl Staternents for the Year Ended 31 D¢¢emb¢r 2023
for
The Parochial Chureh Coun¢ll of Ibe
e¢¢l¢slgStical Parish of St Peter's
Bellgewortb
Boyd5 Accountants
Britannia Court
5 MOOT Street
Worcester
WoTces(ershiTe
WRI 3DB

The Parochial Church Council of the
ee¢le$lastieg1 Pgrlsh of St Peter'$
Bengeworth
Contents of tbt Flttajbelal Stliements
for the Year Ended 31 Decernber 21123
Page
Report of the Trustees
Indeptndellt ExAmiDer's Report
Statement of Finaneial AttiTrities
BalaNte Sheet
Notes to the Finantial Stltemtttts
5 to 10
Detxlled Statement of Financial Artlwitlts

The Parothi&l Church CouDcil of tbe
ecclesiastical Parish ofst Peter's
Btngewortb
R¢port of the Trustees
ror the Yeir Ended 31 De¢ember 2023
The tru51ees preseni iheir report with the fjnancial staternents of ihe ¢harity for the year ended 31 Ikr¢ThbeT 2023. The
trustees have adopted the provisions of Accollniing and Reporting by Charit1¢5.' Statement of Rttommended Practice
applicable io ¢harilies preparing their a￿0￿￿t5 in accoTdan¢e with the Financial Reporting StandaTd applicable in the
UK and Republic of IT¢land IFRS 1021 leffeciive l January 20191.
STRUCTURE.COVERNANCE AND MAiYAGEMENT
Coverning dotument
This charity is govemed under The Parochial Church Councils (Powers) Mvdsllre 1956 as aTnended and The Chur¢h
Repres¢ntation Rules (contained in Schedule 3 10 the Synodical Goverrllnent M¢asuTe 1969 ￿ amended)..
REFERENCE AND ADMINISTRATJVE DETAILS
Regislered Charity Dumber
128625
Principal 2ddress
St PeteT'S c.hurch
Port Street
F.vesham
Worce5teTshiTe
WRII 6DS
Trustee5
Rev Andy Smith
MT Peter Moore (resigned 2.4.231
Sandra Cockram
Jane RichaTds
Julie Westlake (resigned 2.4.23)
David Cockram
Michael Richard Fr¢¢T Iresigned 2.4.231
Rev Mark Binney Iresi8ned 2.4.231
HeatheT Uncles Iresigned 2.4.231
Mr Timothy Rokrt Clack lappointed 2.4.231
Mr Simon Cooper (appointed ?.4.231
Ms Margarei Wade (appointed 2.4.231
Independe￿t Examlner
Damien Chandler
Boyds A¢countanis
Britannia Court
5 Moor Street
Wor¢esteT
Worce5teTshiTe
Iwil 3DB
11.07.24.. ..
Approv￿ by order of the ￿8rd of trustees on ....................................
and signed on its behalf by..
Rev Andy Smith- Trustee
Page I

Independent Examlner's Report to tb¢ Trustees of
The PArochial Church Council ofthe
e¢¢leslastital Parlsh of St Peter'$
Bengeworth
Indepelldent exgminer's report to the trustees of The Parothial Church Council of the ecclesiastical Parish of st
Pet¢r's B¢￿EtwOrth
I report io the charity trustees on my ¢xamination of the accounts of The Par￿hla1 Church C¢M]ncil of the ecclesiastical
Parish of St Petef 5 Bengeworth lthe Trust) for ihe year ended 31 December 2023.
Re$ponsibililie$ and b#$i$ of report
As the charity trustees of the Trust you are r￿pOnsIble for the preparation of the accounts in accordance wth the
requirements of thc Charities Act 2011 I'the Aet'}.
I report in respect of my exatnination of the Trust's accounts carried out under Section 145 of the Act and in ¢anying out
my examination I have followed all applicable Directions wven by the Charity Commission under Section 14515}Ibl of
Ihe A¢t.
Independent ex9miner's 5tAtemeDt
I have completed my examination. l ¢onfirm that no material matters have ¢ome to my attention in connection with the
examination 8ivin8 me cause to believe th￿ in any material respect..
accounting re¢ords were k¢pt in r¢Sp￿ of the Twst as required by Section 130 of the A¢t; OT
the accounts do not accord with those T￿rdS., OT
the accounts do not cojllply with th¢ applicable rtyuiren]ents concerning the form and content of xcounts set out
in the Charities IAc£ounts and Reports) Regulations 2008 other than any rcquiremeni that the accounts give a
true atld fair View which 15 rtot a matter ¢onsideTed as part of an inde￿ndent e%amination.
T hav¢ no ¢oncems and hav¢ com¢ acTOSS no other matters in connection with the examination to which attention should
be dra%￿ in this Teport in ordeT io enable a prow understanding of ihe ac¢wnts io be Tea¢h¢d.
Dami¢n Chandl¢r
Boyds Accountants
Britsnnia Court
5 MIK>T Street
Worcester
Worcesiershir¢
IWII 3DB
Page 2

The PaTochiil Church Countil of the
¢¢¢l¢$igstieg1 P9ri5h of Sl Peter'5
Bengewort
Balgnee Sheet
31 Dttember 2023
31.12.23
Total
funds
31.12.22
Total
funds
Unrestricted
fi]nd
Resth¢ted
funds
Notes
CURRENT ASSETS
Investments
Cash ai bank
60,403
37.904
47,739
108,142
37.904
99,906
30.702
98 J07
47,739
146.046
130,608
CREDITORS
Amou¢)ts falling due within one year
1125)
NET CURRENT ASSETS
98,182
47,739
145,921
130,483
TOTAL ASSETS LESS CURRENT
LIABILITIES
98,182
47.739
145.921
130,483
NET ASSETS
98.182
47.739
145,921
130.483
FUNDS
Unrestricted fund5
Restri¢ted fiJnd$
10
98,182
47,739
85.744
44,739
TOTAL FUNDS
145,921
130,483
The finan¢ial statements were approved by the Board of Trust¢e$ and authori5ed for issue
11 . 07... 2f................ and were Sign￿ on its ￿half by..
on
Rev Andy Smith- Trustee
Mr Timothy Robert Clack- Truste¢
The not¢s forn) part of these financial st*ements
Page 4

The Paro¢hl&l Church Coun¢ll of the
eccle5iaStical Parish of St Peter's
B¢ll￿WOrth
S¢at¢m¢nt of FIn9￿claI Aelfvltles
for the Year Ended 31 December 2023
31.12.23
Total
nds
31.12.22
Total
fwids
Unrestricted
fund
Restricted
nds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legaci¢s
61,832
61,832
65.417
Charitable 8ctiYitie5
Church a¢tiviiies
16,178
16.178
18507
Other trading activities
Inv¢stmetrt income
Other income
736
2,029
47.632
736
3.144
47,632
860
2.920
15,474
Total
128.407
129,522
103,178
EXPENDITURE ON
Raising funds
1253
Charffttable attivities
Chur¢h a¢tiviti¢s
14,043
14.043
12J66
107.123
107,124
84,995
Total
121.166
121,167
98,614
Net gain51llo&sesl on investments
5.197
1,886
7,083
112268)
NET INCOMEIIEXPENDITURE)
12.438
3,(K)O
15,438
{7.71H)
RECONCILL4Tiof4 OF FUNDS
Total fvrtds brought forward
85.744
44.739
130.483
138,187
TOTAL FUNDS CARRIED FORWARD
98,182
47.739
145.921
130,483
The notes fom) part of these finan¢ia] ststements
Page 3

The Parochial Church Council of the
ecclesiasticgl P9rish of St Peler's
Bengewortb
Notes to the Fimanelil Statements
for the Year Ended 31 Deternber 2023
ACCOUNTING POLICIES
Basi5 of prep#rittg tht financial st*tsmtnt$
The financial stat¢Tn¢nis of the charity. which is a publtc benefit entity und¢T FRS 102. have been PTepaTed in
accoTdan¢e with the Charities SORP IFRS 1021 'Accounting and Reporting by Charities.. Statement of
Recommended P￿11¢¢ applicable to charities preparing their accounts in accordance with the Financial
Re]x)rting Standard applicable ID the UK and Republi¢ of Tieland IFRS 1021 leffe¢tive l January 20191,.
Financial Reporting Standard 102 The Financial Reporting Standard applicable in the UK and Republic of
Ireland, and the Charities Act 2011. The finatt¢ial ststements ha￿ been PTepared under the historicaj cost
convention.
These financial stateTnents have been prepared in a¢¢ordan¢e with the Church Ac¢ounting Regulations 21
using the Te¢¢ipts and payments basis except for shaTeholding5 are ac£ounts for using the valuation b&%is.
Inco￿¢
All income is recognised in the Statement oIFirt3n¢ia] Activities once th¢ charity has entitlement to the fvnds it
is probable that the incom¢ will be received and the arnount tan be m&￿ured relhably.
Expenditure
Lkabilitie5 are recognised a5 expEnditure as soon there is a legal OT constructive obligation ¢¢)mmitting the
charity to that expenditor¢, it is probable that a transfer of economic benefits will be required in ￿ttlement and
the amouni of the obligation can be measllred reliably. ExpendinJr¢ is accounted for on an actruals b&sis and has
been C1￿8lficd under headings that a￿egAte all cost related to the category. Where costs cannot be directly
attributed to particular headings they have been allrtated to activitie5 on a basis ¢0¢￿Istent with the use of
resources.
Taxatio
The charity 15 exe¥npt from tax on it5 charitable activiti¢S.
Fund aecountiNg
UnTestricted funds can be used in ￿¢ordanCe with the chaTitsble objectives at the discretion of the trustees.
Restricted fvnds Can only be used for parti¢ular restricted purp05¢S Wbthin the objects of the ¢harity when
authoris¢d by the Worcester Board of Finance.
OTHER TRADING ACTIVITIES
31.12.23
Total
fund5
31.12.22
Totsl
fijnds
Unrestyict¢d
fi￿d5
Restrided
fijnds
Parish lunches
Fares and sales
Other activitle5
165
165
530
621
621
736
736
860
Page 5
ntinued...

The Parocbial ChU￿b Coutt¢il of the
etcle5ia5tical Parish of St Peter's
Bengeworth
Note5 to the Fin8nci&l Ststem¢nts- eontlnued
for the Ye4r Ellded 31 December 2023
INVESTMENT INCOME
31.1223
Totsl
fvnds
31.12.22
T(>tsl
funds
Unrestricted R¢stri¢t&l
fvnds
fi￿d8
CBF school dep051t interest and divide￿j5
CBF deposil account interest
Inveslment account interest
1,201
190
1.839
1,839
1,642
2,029
3.144
2.920
TRUSTEES, RE1￿UNERATIoN AND BENEFITS
There were no tru5t¢¢s' remuneration or other benefits for the y¢aT ended 31 December 2023 nor for the year
enda 31 December 2022.
Tru$te¢5 expen5e5
Ther¢ w¢r¢ no trustees, w)enses paid for the year ended 31 December 2023 nor for the year ended
31 December 2022.
STAFF COSTS
The average monthly number of employee$ during ihe year was as follows..
31.12.23
31.12.22
Cleaner
Organisl
Administration
No employees re￿iVed emolwn¢nts in excess of £60.000.
COMPARAT￿Es FOR THE STATEMENT OF FINANCIAL ACTMTJES
Unrestricted
fund
Restricted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
65,417
65,417
Charitable gctlvltks
Church activitie5
18507
18,507
her trading artivities
Investment income
Other income
860
1,719
15.474
860
2,920
15.474
1,201
Tot#1
101,977
1,201
103,178
EXPENDITURE ON
Raising fvnds
1253
1253
Page 6
continued...

The Parothigl Church Countil of the
etcle5iastical Parish of St Peter's
Bengeworth
Notes to the Fingncial Ststernents- contiDued
ror the Year Ended 31 Decernber 2023
COMPARATTVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- eontinued
Unrestrided
liegtrieted
fund
fvnds
Total
funds
Charitible attivities
Church activities
12.366
12.366
her
84.995
84,995
Total
98,614
98,614
Net gainslllossesl on investtnents
17,3241
14,944)
112268)
NET INCOMEIIEXPENDJTUREI
13.9611
{3.743)
{7.704)
RECONCILIATION OF FUTrIDS
Tota] funds broughi forward
89,705
48.482
138.187
TOTAL FUNDS CARRIED FORWARD
85,744
44,739
130.483
CURRENT ASSET INVESTMENTS
31.12.23
31.12.22
CBF shares.. School
CBF deposit fvnd.. School
CBF shares.. P C C
CBF ShaTes.. Minister
40,780
6,959
59,001
1.402
37,245
7,494
53,887
1.280
108,142
99,9)6
CASH AT BANK
31.12.23
Total
fi]nds
31.12.22
Total
funds
Bank current awount
P C C dep051t a¢¢ouni
CThurch house c&sh current and deposit
19.331
6,130
12,443
10,679
5,939
14,084
Total
37,
30.702
Page 7
continued...

The P*roehial Chureh Coun¢ll of tbe
ettlesi8stlC81 PAri5b of St Peter's
BeDgeworth
Notes to the Fb)#n¢lal S¢gttm¢nts- contb)u¢d
for the Year Ended 31 December 21123
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.1223
31.12.22
Held for ASUM gThp churches
125
125
io.
MOVEMENT IN FUNDS
Net
movement
Én funds
At
31.12.23
At 1.1.23
Unrestrieted funds
Unrestricted
85,744
12.438
98,182
Restricted fund5
Rethcted
44.739
47,739
TOTAL FUNDS
130,483
15,438
145.921
Net movement in funds, included in the above are ￿ follows..
Incomitjg
resouTC£S
Resources
expended
Gains and
lo￿5
Mov¢ment
in funds
Unrestricted funds
Unrestricted
128,407
1121,1661
5,197
12.438
Restricltd fvnds
Restricted
1.886
3.000
TOTAL FUNDS
129,522
1121,1671
7,083
15,438
Comparntlves for movement In funds
Net
movement
in funds
At
31.12.22
At 1.1.22
Unrestricted fuDd5
Unrestricted
89.705
13.9611
85.744
Ile5tricteql fundy
Restrict
48,482
13.7431
44.739
TOTAL FUNDS
138,187
17,7041
130,483
Page 8
mtifjued...

The P#rotbi#l Chureh CouD¢ll of the
ectlesiastital Parish of St Peter'5
Beng¢worth
Note5 to the fin#nti*l Ststernents- ¢oDtimued
ror the Year Ended 31 Dettmber 2023
10.
MOVEMENT tN FUNDS- ¢ontinued
Comparativ¢ net movement in fjJnd& included in ihe above are &% follows..
In¢oming
Tesourccs
Resour¢¢s
expended
Gains and
Ios5e5
Movement
in funds
Unrestri¢t¢d f￿ndS
Unrestricted
101,977
198.6141
17.3241
13,961 }
Restricted fvthds
Restricted
1,201
{4,9441
13,743)
TOTAL FUNDS
103.178
198,614}
112.2681
17,704)
A current year 12 months and prior year 12 months combined position is a5 follows..
Net
rnovement
in fimds
At
31.12.23
Atl.1.22
Unrestritted fund5
UrtTestri¢t¢d
89,705
8.477
98,182
Restricted funds
Restricted
48,482
17431
47,739
TOTAL FUNDS
138,187
7,734
145,921
A cyuent year 12 months and prior year 12 months combined net movement in ftmds. in¢luded in the above are
&$ follows.
Incomin8
resovr¢¢s
Resource5
¢xpended
Gains arbd
losses
Movemertt
in funds
Unrestricted funds
Unrestriaed
230.384
1219,7801
12,1271
8,477
Restrirted fund5
Restricted
2.3 16
13.0581
1743}
TOTAL FUNDS
232,7(M)
{219.781 }
(5.1851
7,734
Page 9
ntinued...

The Parochial Church Council ofthe
eccle5iasticil Parish of St Peter's
Bengeworth
Notes to the Fingncial Statements- conti￿Ned
for the Year Ended 31 December 2023
RELATED PARTY DISCLOSURES
TheTe weTe no related pany transactions for the year ended 31 December 2023.
12.
CHURCH HOUSE DETAILED STATEMENT
Church Hous¢ fornis part of these5 accoutjts and iher¢fore is covered by the independent examiners rerK>rt
Income
Lettings
5,798
ExpenditUTe
Water
Lighting and heating
Insurance
Repair and maintenance
Cleaning
1.055
1284
1,002
2.682
1.416
7.439
11.641)
{1.641)
14,083
12,443
12.443
Ordinary deficit forthe year
Deficit
Cash at bank at l January 2023
Cash ￿ Bat￿ at 31 De¢¢mber 2023
Ordinary fur¥J5
12.443
Page 10

The Parothial Church Council of tht
eccle51aStital Parish of St Peter's
Bengtworth
Detalled Stalement of Financial Aetivfftties
for the Ye8r Ellded 31 Dettmber 202J
31.12.23
Total
nds
31.12.22
Total
fitnd5
Unrestricted
funds
R¢stricl¢d
fvnds
INCOME AND ENDOWMENTS
Don#tlOllS gnd leg4¢ies
Planned giving
Loose plate
Tax recovered
Donations
Jtshn MaThn's Charity
30.001
4.284
8,125
30.001
4.284
8,125
23,650
4.179
9.401
220
27.967
19,422
19.422
61,832
61.832
65,417
Other trading activit5es
Parish lunches
Fare5 and sales
(hher activities
165
165
530
621
621
736
736
860
lovestment income
CBF school deposit interest and dividends
CBF dq)osit account interest
Invcstment account inleTe5t
1,201
77
1,642
190
1.839
1,839
2.029
3,144
2.920
Cbarit&ble aetivlties
W & F and otheT fees including stipendiary
Comrnunity use of church house
Youth Club
IOJ80
5,798
10,380
5,798
7.626
9,681
1,200
16,178
16,178
18.507
Other income
Mission
Antenna
Miscell&neou5
School bibles
50
9.53 1
5,893
37,422
.327
1,883
37.422
8,327
1,883
47.632
47,632
15,474
Total incoming rttourtt$
128,407
129,522
103,178
EXPENDITURE
Other trading gttivities
Parish magazine expenses
Carried forward
78
78
ThES pw does not fonn part of the siatutory firkancial ststen)ertiS
Page 11

Tht Paro¢hiAI Church Council of tbe
ecclesiastlegl Parish ofst Prter's
Bellgtwortlb
Detailed Staternent of Fblanciil Activitles
for the Year Ended 31 Dettmber 21)23
31.12.23
To
funds
31.12.22
Total
fund5
Unre5tri¢ied
funds
Restri¢ted
funds
(hbtr tradlng Activl¢k5
Brought fonvard
Ukraine Appeal
78
1.175
1,253
Chgrit8ble getivides
Mi5s10n
Charities (including Ministe¢s dI￿Tell01)ary
fimd)
1.970
1,970
25
25
1,995
l.995
Other
Wages
Parish shar¢
Building maintenance
InsurnH¢e
Utililies
Maintenance of systems and fÈttings
New equipment
Consumables
ChuT¢h ho￿¢ expenses
OtheT (including visiting clergy)
Pmi5¢s general
17,183
25,000
4.673
6.736
37,294
2,187
406
4,052
7,439
609
1,544
17.183
25,0(K)
4,673
6.736
37,294
2,187
13,693
25.IKM)
3,135
6.lY>
16,796
2219
4,052
7,439
609
,545
4.797
2,498
3,003
107,123
107,124
84,995
Support eosts
Governante costs
A¢countan¢y
w￿ding and fi]neTal pa)qnenis
Secretsrial and admin Charges
Bank charges and Commission
Other {including Missionerl
600
5.231
3.685
193
2,339
600
4.903
2,669
248
3,946
5231
3,685
193
2?39
12,048
12,048
12,366
Totsi resources expended
121,166
121.167
98,614
Net iJ)eome
7.241
8,355
4,564
This page not form part of the statutory financial statements
Page 12