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2024-12-31-accounts

PARISH CHURCH OF ST AUGUSTINE OF CANTERBURY THORPE BAY

Registered charity number 1128847

Annual Report and Financial Statements of the

Parochial Church Council for the year ended 31[st] December 2024

Vicar

The Reverend David Willis 86 Tyrone Road Southend-on-Sea, SS1 3HB

Bankers Independent Examiner Barclays Bank PLC Mr Graham Lane FCA 127 High Street 43 Tyrone Road Southend-on-Sea, SS1 1LH Southend-on-Sea, SS1 3HE

Our website

www.st-augustines.info

The Parochial Church Council of St Augustine of Canterbury Thorpe Bay

Annual Report for the year ended 31[st] December 2024

Aim and Purpose

St Augustine’s Parochial Church Council (the PCC) has the responsibility of cooperating with the Incumbent, the Reverend David Willis, in promoting in the ecclesiastical parish, the whole mission of the Church, pastoral, evangelistic, social and ecumenical. As well as the Church itself, the PCC is also responsible for maintaining the Church Hall in Johnstone Road.

Objectives and Activities

The PCC of St Augustine’s Thorpe Bay, is committed to enabling as many people as possible to encounter God through worship, prayer, and community life, and to become part of the parish family. In planning its work, the PCC has taken full account of the Charity Commission’s guidance on public benefit, particularly in relation to the advancement of religion. Our worship and services put faith into practice through scripture, prayer, music, and sacrament. We seek to help people live out their Christian faith in everyday life through:

To facilitate this work, it is vital that we maintain the fabric of both the Church and the Hall.

Achievements and Performance

Worship and Prayer

Worship and prayer at St Augustine’s Church, Thorpe Bay, are rooted in the Anglican tradition, offering a rhythm of services that nurture both personal devotion and communal faith. The regular schedule includes Sunday Holy Communion at 8:00am (Book of Common Prayer), Parish Communion at 10:00am, and Evensong at 6:30pm. Midweek worship is normally Holy Communion on Wednesdays at 10:00am, along with Morning and Evening Prayer from Monday to Thursday at 8:30am and 5:00pm, respectively. The church also observes key liturgical seasons with special services during Holy Week, Easter, and Christmas, along with special services for occasions such as Mothering Sunday and Harvest Festival. During the year we held specific services with a focus on inviting members of the community who may not usually attend church. These included a Guest Service where the elements of the service were explained as we went along, and an informal Carol Singing event with mulled wine and mince pies. During December over 3,000 people attended a festive service including services for local schools and the Southend RNLI. During 2024, St Augustine’s hosted several Civic services on behalf of Southend City Council, an honour bestowed on us while Revd. Frank Smith (assistant clergy at St Augustine’s) was serving as the Mayor’s Chaplain. As well as our regular services, we enable our community to celebrate and thank God at the milestones of the journey through life. There have been 6 Baptisms, 4 weddings and 12 funerals during the year.

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St Augustine’s continues to be a place where people are invited to encounter God in worship and grow in faith together. In addition to services at St Augustine’s, the vicar took Easter and Christmas services in two local retirement homes, as well as assemblies and acts of corporate worship at three schools. Those who are unable to come to Church are not forgotten. The clergy and Lay Eucharistic Ministers exercise a ministry of visiting the housebound and taking communion to those at home and in hospital.

Deanery Synod

Three members of the PCC sit on the Southend Deanery Synod. This provides the PCC with a link with the churches around us, and also with the Diocese as a whole. It also receives reports from the General Synod. Speakers at the meetings during 2024 included the CEO of HARP (a local homelessness charity), the Diocesan Secretary (speaking about finance and funding), and the Diocesan Director of Education. The meeting provided much for members of the synod to talk about, reflect on, and take back to their PCCs and parishes.

Church Fabric

During the year, a range of works were carried out to maintain and improve the fabric and furnishings of St Augustine’s Church and Church Hall. In January, the interior of the church was redecorated, brightening the space considerably. The Quinquennial Inspection was completed in May 2024 and thankfully showed the church to be in good shape. A tree survey in July led to recommended works being carried out in October.

At the hall, the roof over the entrance was renewed, and leaks around the hall gutters were repaired. The surrounding boundary wall, including the section near the tree, was made safe in six places. Church hall improvements included stage curtain repairs, removal of pre-school items, clearing of the backstage area, and disposal of old sheds.

Plans for an annex to be built on the North side of the church have continued to progress throughout the year following advice from the Diocesan Office, and planning permission was submitted.

Mission, Evangelism, Fellowship, and Community Engagement

Helping those in need is a demonstration of our faith. During 2024, St Augustine’s maintained its giving to charities including the Royal British Legion, Christian Aid, and HARP (Southend’s leading Homelessness Charity). The latter of these was supported by the congregation and community through donations of food at Harvest, and toiletries on Mothering Sunday and Fathers’ Day. Our bi-monthly magazine, ‘Roundabout’, has a print run of some 300 copies and gives details of what is coming up, and reports on previous activities.

In May, June and July, St Augustine’s offered the Alpha Course as an introduction to the Christian Faith. The offer was taken up by 25 people of varying ages and prior involvement with the Church. Feedback from the course was very positive.

For the first time in many years, St Augustine’s offered a Summer Fete. It was held on the last Sunday in June and attracted many visitors from the local area. The mix of tea and cake, games, bouncy castles, hot food, stalls, tower tours, and live music meant the event was well enjoyed and raised in excess of £2,500 for church funds.

In October, St Augustine’s held a Harvest Supper and Quiz night which was attended by about 80 people from the church and community.

In December, in addition to all the services, St Augustine’s hosted a Christmas Friendship Tea with a special aim at reaching people who may otherwise have been on their own, the grieving, and those who are cared for and their carers. The event was support by funding from the Community Investment Board. Over 100 people enjoyed festive food and drink, live music, bingo, singing, and the opportunity to talk to local experts including a parish nurse, bereavement counsellors, and representatives of local charities such as Age UK.

Throughout the year, the church organised meals out at the local Golf Club and one of the Indian restaurants, as well as a special lunch in the church hall to celebrate our Patronal Festival.

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Other Activities

The PCC publishes in March each year, a separate document containing additional reports from the Churchwardens, the Parish Safeguarding Officer, The Deanery Synod Representatives, and the Electoral Roll officer. This document is available in church prior to the annual meetings and thereafter on the website or by contacting the Incumbent or PCC Secretary.

Financial Review

In 2024, we experienced a decrease in total incoming resources, which amounted to £137,621 compared to £195,560 in 2023. This decline was primarily due to reduced voluntary income and income from church activities. Despite this, the PCC maintained its commitment to various activities and services, with total resources expended reaching £159,274. The PCC’s unrestricted funds decreased from £79,693 at the start of the year to £64,334 by year-end, reflecting a net movement of -£21,653. Restricted funds also saw a slight reduction, ending the year at £1,035,495 compared to £1,038,493 at the beginning. The overall net assets of the PCC stood at £1,099,829 at the end of 2024, down from £1,118,186 in 2023. Investments at market value decreased to £41,349, and liabilities falling due within one year increased to £29,641 – including the £24,222 balance on the new Church seating which was delivered in early January 2025.

Overall, while the PCC faced financial challenges in 2024, it continued to support its mission, maintain its facilities, and engage with the community effectively. A stewardship campaign is planned for H1 2025, which, in conjunction with a review of resources expended, is intended to mitigate the risk of recurrence in future years.

The PCC extends its sincere appreciation to Colin Russell, who retired as PCC Treasurer this year after more than thirty years of exemplary service.

Reserves Policy

The PCC has resolved to maintain a balance on our General (unrestricted) Fund, which equates to at least one months’ unrestricted payments (£12,000) to cover emergencies.

Safeguarding

The PCC has complied with the duty under section 5 of the Safeguarding and Clergy Discipline Measure 2016 (duty to have regard to House of Bishops’ guidance on safeguarding children and vulnerable adults).

Volunteers

The members of the PCC would like to thank all the volunteers who work so tirelessly to make our Church a lively and vibrant community. Particular thanks go to our Churchwardens, Tricia Muzalewski and Paul Chisnell, and to the assistant clergy who have helped during the year, Revd. Frank Smith, Revd. Canon Michael Ballard, and Revd. Canon Stephen Burdett, as well as our Authorised Lay Preacher, Canon Linda Barnard.

Structure, Governance and Management

The method of appointment of PCC members is set out in the Church Representation Rules. The Council comprises the Incumbent, the Churchwardens, those elected to the Deanery Synod, and other members who are elected at the Annual Parochial Church Meeting, by those on the Electoral Roll. Members of the congregation are always encouraged to join the Electoral Roll, and to consider standing for election to the PCC.

The PCC members are responsible for making decisions on all matters of general concern and importance in the parish, and for all financial matters. The full PCC met six times during the year. The average level of attendance was 90%. Given its wide responsibilities, the PCC has a number of sub committees, each dealing with a particular aspect of parish life. These include a Church Hall Committee, a Building Committee, and an active Standing Committee which comprises the Incumbent, Churchwardens, Secretary and Treasurer.

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Administrative Information

The Church is situated on St Augustine's Avenue, Thorpe Bay, Southend-on-Sea, SS1 3JQ and is part of the Deanery of Southend, in the Diocese of Chelmsford. The correspondence address is 86 Tyrone Road, Southend-on-Sea, SS1 3HB.

The PCC is a body corporate (PCC Powers Measure 1956, and the Church Representation Rules 2022) and is registered charity number 1128847.

PCC members who have served from 1[st ] January 2024 until the date this report was approved were:

Ex Officio

Ex Officio
The Incumbent The Revd David Willis Chair
Churchwardens Dr Paul Chisnell
Mrs Patricia Muzalewski Vice Chair
Deanery Synod Reps Lay Canon Linda Barnard Authorised Lay Preacher
Parish Safeguarding Officeruntil 21 /4/24
Mr M Everett
Mr John Gray
Elected Members Mr John Biggs Member from 21/4/24
Mrs Barbara Black
Mrs M Brewer Member until 21/4/24
Mrs M Dugdale Parish Safeguarding Officerfrom 21 /4/24
Mrs Suzanne Dyer Secretaryfrom 21 /4/24
Mr Paul Dyer Treasurerfrom 21 /4/24
Mrs Susan Johnston Member from 21/4/24
Mrs Margaret Ridley Secretaryuntil 21/4/24
Mr Colin Russell Member until 21 /4/24
Treasureruntil 21 /4/24
Mr Ian Stobart
Mr Barrington Wadley-Smith

On behalf of the PCC

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Independent Examiner's Reportto The PCC ot St Augustine of Canterbury. Thorpe Bay forthe year ended 31st December 2024 The charity's trustees are responsible forth6 prep818tion of the accounts. The"¢h3rity's trustees consider that an audit is not required forthis year under 8ection 144 of the Charftles Act 2011 Ithe Ch8riti88 Act) and that an independent examination is needed. It is my responslbllityto: examine the acGounl8 und8r sectlon 145 of the Charitles Act. to lollow the procedures IBid down in the g8ner81 Directions given bythe Charity Commission lun(Jei sfjction 14515llbl of the Ch8rities Act, and to stat8 wh8ther partiGul8r matters have come to my atlention. My axaminallon wa8 c8iri8d OLrt in accordance vlirh general Diro¢tion$ given bythe Charlty Commission. An examlnation includes 8 review of th@ accounting records kept by the charity and a comparison of the accounts presented vdith those records. It also includes consid8ratior of any unu6ual items or disclosures in th8 accounts. Ènd Èeeklng 8xplanations from tho trust8a8 concernlng any 8uch matters. Tho proceduras und6rt8ken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whelh8r th8 accounts present a'truè and fair. view and the report Is Ilmited to those matters set out in the stat8m8nt below. In connection wth my examlnation. no material matters hav8 come to my att&ntlon whlch glv98 me ause to believe Ih8t in. any matcri81 respect.. accountlng records were not kept In accordance wlth ÉeGtlon 130 ot the Charltie8 Act or the accounts do not aGcord with the accounting reGords I h8V8 come acr088 no othèr m8tt8rs in connection with the examination to which attention should be drawn n ord8r to enable 4 proper under8t8nding of the accounts to be reached. HAM LANE FCA 43TYRONE ROAD SOUTHEND-ON-SEA SS13HE 27 Octob8r 2025

THE PAROCHIAL CHURCH COUNCIL OF ST AUGUSTINE OF CANTERBURY THORPE BAY

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31st DECEMBER 2024

INCOME & EXPENDITURE

2023
TOTAL
Note
INCOMING RESOURCES
153,966
Voluntary Income
2(a)
9,152
Activities for Generating Funds
2(b)
32,096
Income from Church Activities
2(c)
346
Interest Receivable
2(d)
195,560
TOTAL INCOMING RESOURCES
RESOURCES EXPENDED
757
Cost of Generation of Voluntary Income
3(a)
3,471
Fundraising Costs
3(b)
3,866
Grants
3(c)
160,588
Church Activities
3(d)
168,682
TOTAL RESOURCES EXPENDED
26,878
NET MOVEMENT IN FUNDS
834,610
BALANCE IN HAND AT 1st JANUARY 2024
300
REALISED GAINS ON INVESTMENTS
6,398
UNREALISED GAINS ON INVESTMENTS
250,000
UPLIFT IN INSURANCE VALUE CHURCH HALL
26,878
NET MOVEMENT IN FUNDS AS ABOVE
1,118,186
BALANCE IN HAND AT 31st DECEMBER 2024
Unrestricted
Funds
Restricted
Funds
Total
Funds
90,102 7,599
97,701
11,904
536
12,440
26,766
26,766
686 28
714
129,458 8,163 137,621
366
366
2,661 312
2,973
75 1,053
1,128
143,539
11,268 154,807
146,641
12,633 159,274
- 17,183
- 4,470 - 21,653
79,693 1,038,493
1,118,186
1,288
1,288
536
1,472
2,008
- 17,183
- 4,470 - 21,653
1,118,186 64,334
1,035,495
1,099,829

The notes on pages 9 to 14 form part of these accounts

A full comparative Statement of Financial Activities can be found in Note 11

7

THE PAROCHIALCHURCH COUNCILOF ST AUGUSTINE OFCANTERBURY THORPE BAY BALANCE SHEET AT 31st DECEMBER 2024 2023 i.ocKJ,000 Nole TANGIBLE FIXED ASSErs 1,032,2 CURRENT ASSErs 58.053 4,77S 1,542 59,834 124,204 Investmenis ai Markavalue leost£25.4091 Debtors & PTepayments ShortTeim Cash Deposits Cash at Bankand in Hand ros$ CuTr•ntA¥¥¢ts 41.349 7,687 46.570 97,174 6,018 Creditors- Ilabl￿tieS faUln8 duewtlhln a year 29.641 118,186 N•t Currqnt Ass¢ts 67.533 1,000,000 Flxed Assets as above 1.032.296 1,118.186 NET ASSETS 1.099,829 REPRESEtirED AS FOLLOWS 79,893 1.038,493 1,118,188 Unrestrlcled Funds Reslrlcled Funds 64.334 L035,495 io Approved by the PCC on 23rd October 2025 and signed on its behalf by: Revd DavldWIiU8lChalrl MrPaulDyov lTrv•surBrl The notes on pages 9 to 14 forni part ofthese accounts

THE PAROCHIAL CHURCH COUNCIL OF ST AUGUSTINE OF CANTERBURY THORPE BAY

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31st DECEMBER 2024

ACCOUNTING POLICIES

The financial statements of the PCC have been prepared under the current Church Accounting Regulations and in accordance with the current Charities SORP 2015. The financial statements have been prepared under the historic cost convention except for the Church Hall which is shown at the value for insurance purposes. The financial statements include all transactions, assets, and liabilities for which the PCC is responsible in law. They do not include the accounts of church groups that owe their main affiliation to another body nor those that are informal gatherings of church members.

FUNDS

Restricted Funds represent (a) income from trusts or endowments which may be expended only on those restricted objects provided in the terms of the trust or bequest, and (b) donations or grants received for a specific object, or invited by the PCC for a specific object. The funds may only be expended on the specific object for which they were given. Any balance remaining unspent at the end of each year is carried forward as a balance on that fund. The PCC does not usually invest separately for each fund. Unrestricted Funds are general funds which can be used by the PCC for ordinary purposes.

INCOMING RESOURCES

Planned giving, collections and donations are recognised when received. Tax refunds are recognised when the incoming resource to which they relate is received. Grants and legacies are accounted for when the PCC is legally notified as to its entitlement to the amounts due. All other income is recognised when it is receivable. All income is accounted for gross.

RESOURCES USED

Grants and donations are accounted for when paid over or when awarded if the award creates a binding or constructive obligation on the PCC. The diocesan parish share is accounted for when due. Amounts received specifically for missions are dealt with as restricted funds. All other expenditure is recognised when it is incurred and is accounted for gross.

FIXED ASSETS

Consecrated land and buildings are excluded from the accounts in accordance with the Charities Act. Movable church furnishings held by the vicar and churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property, listed in the church’s inventory which can be inspected. For anything acquired prior to 2000 there is insufficient cost information available and therefore such assets are not valued in the financial statements Subsequently no individual item has cost more than £5,000 so all such expenditure has been written off when incurred. The church seating was replaced in the year. Equipment used in the church and church hall is written off when purchased.

CURRENT ASSETS

Amounts owing to the PCC at 31st December in respect of fees rents or other income are shown as debtors in the balance sheet less provision for any amounts that may prove uncollectible. Short term deposits are sums standing to the credit of the PCC in the Central Board of Finance Church of England Deposit Funds.

9

2. INCOMING RESOURCES

2023
TOTAL
39,805
10,076
4,420
20,868
30,000
37,738
11,059
153,966
2,600
2,145
4,407
9,152
27,155
1,788
3,153
32,096
346
195,560
2(a) Voluntary Income
Planned giving - Gift Aid donations
Income Tax recoverable
Other planned giving
Plate collections including tax recoveries
Legacies
Sundry donations including tax recoveries
Grants

TOTAL 2023
Unrestricted
Funds
Restricted
Funds
Total
Funds
37,548
37,548
9,387
9,387
5,605
5,605
20,248
936
21,184
16,164 5,663
21,827
1,150 1,000
2,150
90,102 7,599
97,701
130,609
23,357
4,471
4,471
2,271
2,271
5,162 536
5,698
2(b) Activities for Generating Funds
Cost of Generation of Voluntary Income
Fundraising Costs
Grants
TOTAL 2023
11,904
536
12,440
8,762
390
22,133
22,133
1,732
1,732
2,901
2,901
2(c) Income from Church Activities
Church Hall lettings
Magazines (including advertisements)
Occasional offices

TOTAL 2023
26,766
26,766
32,096
2(d) Interest
Interest receivable
TOTAL 2023
686 28
714
330
16
TOTAL INCOMING RESOURCES
TOTAL 2023
129,458 8,163
137,621
171,797
23,763

10

3. RESOURCES EXPENDED

2023
TOTAL
79
678
757
1,220
2,251
3,471
560
391
2,915
3,866
85,883
1,648
76
23,933
5,173
11,163
2,863
1,522
185
172
285
1,105
24,013
1,250
827
127
235
128
160,588
168,682
3(a) Cost of generation of
voluntary income
Stewardship costs
Contactless costs and commission

TOTAL 2023
Unrestricted
Funds
Restricted
Funds
Total
Funds
154
154
212
212
366
366
214
543
1,220
1,220
1,441 312
1,753
3(b) Fundraising costs
100 Club costs and prizes
Costs pf other fundraising

TOTAL 2023
2,661 312
2,973
3,132
339
75
75
1,053
1,053
3(c) Grants
Overseas relief and development agencies
Home missions and Church societies
Secular-based charities

TOTAL 2023
75 1,053
1,128
75
3,791
85,214
85,214
1,216
1,216
41
41
20,754
235
20,989
3,978
1,731
5,709
2,053
5,181
7,234
2,137
941
3,078
3,134
3,134
1,084
1,084
46
46
250
250
1,154
1,154
22,872
22,872
2,155
2,155
81
81
133
133
241
241
176
176
3(d) Church Activities
Ministry: Diocesan quota
Ministry: Incumbent's expenses
Ministry: Vicarage costs
Church & Garden: running expenses
Church & Garden: general repairs
Church & Garden: major repairs
Cost of services
Hospitality & Fellowship
Publicity & Outreach
Youth & Junior Church
Organist & Locum
Parish Magazine
Church Hall: running expenses
Church Hall: major repairs & refurb
Printing, postage & stationery
Subscriptions
Website
Sundries

TOTAL RESOURCES EXPENDED
TOTAL 2023
143,539
11,268 154,807
146,641
12,633
159,274
141,603
23,658

11

4. STAFF COSTS

During the year the PCC employed an organist, verger, hall manager, hall caretaker, hall cleaners and church cleaner none of whom earned £10,000 or more. Organist’s fees for weddings and funerals are included in the fees charged to and are paid by those using the service and not the PCC.

5. FIXED ASSETS

. FIXED ASSETS
Market value at 1st January 2024
Additions
Balance at 31st December 2024
Freehold land
& buildings
Church Hall
Fixtures &
Fittings
1,000,000
32,296
1,000,000
32,296

The freehold land and buildings comprise the Church Hall. Following an insurance review in 2023 the trustees consider that the value on the open market is £1,000,000. The title is registered at HM Land Registry number EX859582 and the title deeds are held by the diocese. The church hall fixtures and fittings are written off in the year of purchase.

6. INVESTMENTS

Market value at 1st January 2024
Disposal Proceeds
Realised Gains
Unrealised Gains
Market value at 31st December 2024
Historical Cost
31st December 2024
31st December 2023
Unrestricted
Funds
Restricted
Funds
Total
Funds
29,214
28,839
58,053
- 20,000
- 20,000
1,288
1,288
536 1,472 2,008
11,038
30,311
41,349
5,814
19,596
25,410
16,171
19,596
35,767

7. ANALYSIS OF NET ASSETS BY FUND

2023
TOTAL
1,000,000
Fixed Assets
58,053
Investments (at market value)
61,376
Cash & bank balances
4,775
Debtors & prepayments
1,124,204
TOTAL
6,018
Current liabilities
1,118,186
FUND BALANCES
8. DEBTORS
2,103
Income Tax Recoverable
1,589
Hall Lettings
300
Incumbent's Float
150
Charities Trust Vouchers
50
Contactless Donations
583
Prepayments
4,775
TOTAL
Unrestricted
Funds
Restricted
Funds
Total
Funds
32,296
1,000,000
1,032,296
11,038
30,311
41,349
43,285
4,854
48,139
7,356
331
7,687
93,975
1,035,496
1,129,471
29,641
29,641
64,334
1,035,496
1,099,830
6,380 331
6,711
496
496
300
300
180
180
4,775 7,356 331
7,687

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9. LIABILITIES: AMOUNTS FALLING DUE WITHIN ONE YEAR

9. LIABILITIES: AMOUNTS FALLING DUE WITHIN ONE YEAR
1,738
Accruals and deferred income
4,280
Creditors for goods and services
6,018
1,610
1,610
28,031
28,031
6,018 29,641
29,641

10. STATEMENT OF FUNDS

0. STATEMENT OF FUNDS
Unrestricted Funds
Restricted Funds
Hall & Contents
Charities & Missions
Churchyard Fund
Fabric Fund: General
Fabric Fund: Buildings
Flower Fund
Music Fund
Fellowship Fund
Organ Restoration Fund
Proposed Annexe
Youth Activity
TOTAL FUNDS
Balance
1st Jan
Income
Expenditure
Transfers
Gains
Balance
31st Dec
79,693
129,458
146,641

1,824 64,334
1,000,000
1,000,000
2,272 1,365
907
235
235
-
1,246
2,031 2,155
1,122
4,952
230 5,182
-
- 516
516
-
221
221
961 3,086 3,134
913
11,961
610
12,571
17,782
28
820 18,630
1,135
46
42
1,131
1,038,493
8,163
12,633
1,472
1,035,495
1,118,186
137,621 166,466
3,296
1,092,637

The restricted funds held by the PCC during the year were as follows:

13

Prior Year: 2023 Balance
1st Jan
Income
Expenditure
Transfers
Gains
Balance
31st Dec
49,461
171,797 145,024

3,459 79,693
Unrestricted Funds
Restricted Funds
Hall & Contents
Charities & Missions
Churchyard Fund
Fabric Fund: General
Fabric Fund: Buildings
Flower Fund
Music Fund
Fellowship Fund
Organ Restoration Fund
Proposed Annexe
Youth Activity
TOTAL FUNDS
750,000
250,000
1,000,000
1 4,130
4,131
-
860 2,000 2,625
235
1,507
5,383
5,644
1,246
4,766
9,986
9,800
4,952
199
125
324
-
221
221
- 1,923
962
961
10,620
1,341
11,961
15,962
16
1,804 17,782
1,013
200
172
94 1,135
785,149
23,763
23,658
253,239 1,038,493
834,610
195,560
168,682
256,698
1,118,186

11. COMPARATIVE STATEMENT OF FINANCIAL ACTIVITIES 2023

Note
INCOMING RESOURCES
Voluntary Income
2(a)
Activities for Generating Funds
2(b)
Income from Church Activities
2(c)
Interest Receivable
2(d)
TOTAL INCOMING RESOURCES
RESOURCES EXPENDED
Cost of Generation of Voluntary Income
3(a)
Fundraising Costs
3(b)
Grants
3(c)
Church Activities
3(d)
TOTAL RESOURCES EXPENDED
NET MOVEMENT IN FUNDS
BALANCE IN HAND AT 1st JANUARY 2023
REALISED GAINS ON INVESTMENTS
UNREALISED GAINS ON INVESTMENTS
UPLIFT IN INSURANCE VALUE CHURCH HALL
NET MOVEMENT IN FUNDS AS ABOVE
BALANCE IN HAND AT 31st DECEMBER 2023
Unrestricted
Funds
Restricted
Funds
Total
Funds
130,609
23,357 153,966
8,762
390 9,152
32,095
32,095
331 16
347
171,797
23,763 195,560
214
543
757
3,132 339 3,471
75 3,791
3,866
141,603
18,985 160,588
145,024
23,658 168,682
26,773
105
26,878
49,461 785,149 834,610
300
300
3,159 3,239 6,398
250,000 250,000
26,773
105
26,878
79,693 1,038,493
1,118,186

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