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2023-12-31-accounts

ST PETER’S CHURCH, BURNHAM ANNUAL REPORT & ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2023 – FINANCE SECTION

Financial Review

2023 was a mixed year, with improvements in our income in some areas, but there were declines in other areas.

The income we have earned from Fundraising activities has declined this year (£6,749 vs £7,810) although there were fewer trips this year, which did contribute to the decline. The Social and Fundraising committee have lots of great ideas for this year and we thank them for all their hard work. We have continued to see an increase in the income from Cornerstone Hire this year of (£10,188 vs £6,991), which has helped our overall position.

There has again been a decline in overall Planned Giving this year (£43,653 vs £46,902), the giving from the Planned Giving Scheme (PGS) has decreased this year and there has been a reduction the number of donors by the end of the year. This is the best way of making regular contributions as the PGS Administrator also makes monthly Gift Aid claims which greatly aids our cashflow. There has been an increase in the collection at services, which is good.

Other Gift Aid income on general giving has remained consistent with last year.

The amounts paid over to external organisations has remained consistent with last year, please see page F8 for more details, and it is good that we as a Church can support this.

Parish Share – this was paid in full, and we received the 1% reduction for paying by direct debit, thus the net parish share paid was £68,478. Our Parish share for 2024 remains unchanged from last year and we receive a 10% reduction whilst we are in vacancy.

The General Fund shows a current year deficit of £2,990, which is a marked improvement on last year; we have charged expenditure we can to the Endowment funds, where we are allowed, and even with the income we earn from these funds we are spending more than we earn. We are fortunate to have the reserves that the Endowments have provided.

One specific area of concern remains our Energy costs, in last year’s report I noted that our annual energy costs, were due to increase by around £10k, in fact the increase was slightly higher and our costs for the year were £17,912. We utilise the Parish Buying Energy Basket which negotiates Gas and Electricity prices on behalf of many parishes and there has been a reasonable decrease in the prices going forward, so the costs for 2024 are likely to be in the region of £13,000.

Endowment Funds

Endowment fund investments are all in CBF Church of England Funds managed by the Diocese. During the year we have seen a further increase in the income earned of £884 (£27,371 v £26,487). Like all investments the value of the underlying assets can rise and fall in line with market conditions and investment yields are not guaranteed.

Page F1

ST PETER'S CHURCH, BURPIAM ANNUAL REPORT & ACCOUNTS FOR ThE YEAR END￿ 31ST DECEMBER 3)23_ FINAN(E SECTION Deiignatsd Fund• Funds deslgnated by the PCC in order that donati(￿ suth as legaues or other non4Jeneral income iV￿j are avalable for purchases or Unex[Ed￿ events. Re8eNes Pollcy Str￿1d the ofevery PCC to ty to nntaln a bakn on unrKed funds to at ast three month's unrestrlcted payments. It would be hekl to smooth out fludu8tbns In cash th)w and to meet emeryJen¢ies. OurerKloMnent ￿rKI8 only be ￿nt ￿ SP￿ tsms Ixrt do give us a buffer we can relyonforthe time being. Christopher Knight PCC Treasurer Page F2

ST PET&YS CHU￿￿ BURPW)A ANNUAL REpaRT & ACC(XINTS FOR THE YEPR 315f tECWS1 X)23- FINANCE SECTION bd9Pgndent Examlnovs Roportlo tho MWnbersll￿ of St Pet￿8 Churd4 Bumhwn, Parochial Church Councll I report on the accounts for the year ended 31 # December 2023, vthlch are set out on pages F4 to F8. Respe¢dve rgsp¢)n8lblllUas of th& aThl kmkpendent Examlmr The charlty's trustees conslder that an audtt Is not requtred for thls year under sectlon 144(2) of the Charliles Ad 20111ts 2011 Act) and thatan lndeperthexaMr￿ion Is rwled. It Is my re8ponslbllFty Io: examlne the accounts under 8ectk)n 145 of the 2011 Art ftjllow the procedures lald down In the Genernl Dlredlons gtven by the Charfty Commlsslon sertton 14515)(b) ofthe 2011 Ac. and stats whether partknjlar matter8 have c￿0 to my attenffm. Basls of Independent EMmln•V8 r•p￿t My examlnatlon was carrfed out In accordance wlth the General DlrectEons glven by the Charfty Commlsston. An examlnalon Indudes a revlwN of the aLwunting re￿rdS kept by the charlty and a CoMparf￿n of the accounts presented with remrd& It also Ind￿leS o)nslderaOon of ary unusual ftem8 or dl8c108ure8 In the acc¢Junts, and seeklng expknnatlons from the management comm￿8 concemlng any 8uch matters. The procedures undertaken do not provlde all the evldence that would be requlrod In a full a￿1( and conse<weW I do not express an aLKIft oplnkxi on ts a(wunts. Ind•p•nd•nt •xamln•Ps thtsm•nt In connedon wlth my examlnallon, no matter has come to my attenlon: whlch glves me reasonable cause to belleve that In any materlal re8PeQt the requtr9m￿t&. to keep accountlng records In accordance wtth sedlon 130 of the 2011 Act. or to prepatg accounts, whk accord wlth these accounfjng record8 have not been met; or towhlch, In my oplnlon, attenkn ba In orderto ￿ble a woperuThler&andlng of the accountsto be reached. TIM Berg, FCA Bumham, BUckk￿h4M9h1re Date.. H.,J

ST PETER’S CHURCH, BURNHAM ANNUAL REPORT & ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2023 – FINANCE SECTION

Financial Statements for the year ended 2023 Receipts and Payments Accounts

Note
RECEIPTS
Voluntary Receipts
Planned Giving
Collections at Services
All other giving/voluntary
receipts
5a
Gift Aid Tax Recovered
Activities for Generating
Funds
5b
Investment Income
5c
Church activities
5d
Sub Total
Church Groups (own
bank account)
4
Total Receipts
PAYMENTS
Church activities:
Parish Share
Clergy & Staffing Costs
Church Running Expenses
5e
Fundraising Costs
Mission Giving &
Donations
5f
Church Groups (own
bank account)
4
Total Payments
Excess of receipts over
payments
Transfers between funds
Cash at bank & in hand at
1st January
Cash at bank & in hand at
31 December
Restricted
Endowment
TOTAL
TOTAL
General
Designated
Funds
Funds
2023
2022
£
£
£
£
£
£
41,205
41,205
43,653
9,205
9,205
6,973
4,324
5,969
10,293
17,722
11,293
1,095
12,388
11,745
Unrestricted Funds
66,027
0
7,064
0
73,091
80,093
16,902
16,902
14,801
127
27,371
27,498
26,575
5,601
1,539
7,140
11,105
88,657
1,539
7,064
27,371
124,631
132,574
0
620
620
320
88,657
2,159
7,064
27,371
125,251
132,894
68,478
68,478
75,418
16,863
3,146
20,009
19,982
4,104
625
31,343
36,072
37,810
2,939
2,939
3,010
210
592
5,871
6,673
6,551
92,594
592
6,496
34,489
134,171
142,771
225
225
760
92,594
817
6,496
34,489
134,396
143,531
(3,937)
1,342
568
(7,118)
(9,145)
(10,637)
947
(947)
0
0
(2,990)
395
568
(7,118)
(9,145)
(10,637)
(9,388)
1,526
4,544
91,506
88,188
98,825
(12,378)
1,921
5,112
84,388
79,043
88,188

Page F4

ST PETER’S CHURCH, BURNHAM

ANNUAL REPORT & ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2023 – FINANCE SECTION

STATEMENT OF FINANCIAL ASSETS

Cash at bank and in hand at 31st December 2023 2022
Barclays Current Account 1 1,351 8,685
Barclays Current Account 2 500 980
Natwest Current Account 3,879 4,705
Natwest Business Reserve 1,551 1,582
CBF Deposit Fund 70,345 74,171
Sub Total - bank accounts 77,626 90,123
Cash in hand 0 0
Uncleared cheques 0 (3,470)
Sub Total 77,626 86,653
Church Groups (own bank account) 1,671 1,476
Other Monetary Assets 257 59
Other Monetary Liabilities (511) 0
TOTAL CASH AT BANK/IN HAND 79,043 88,188

INVESTMENT ASSETS

INVESTMENT ASSETS
Balance Unrealised
Investment
Balance
B/fwd Gains/(losses) C/fwd
Endowment Funds £ £ £
Perpetual
The Churchyard Trust 1,621 172 1,793
J H Painter Bequest 581,625 62,171 643,796
583,246 62,343 645,589

Page F5

ST PETER’S CHURCH, BURNHAM

ANNUAL REPORT & ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2023 – FINANCE SECTION

Designated Funds
Little Angels
Puppets for All at St
Peter’s
Environmental Grants
Total Designated
Funds
Endowment Funds
Burnham Church
Estate Charity
The Churchyard Trust
J H Painter Bequest
CBF Deposit Fund
LPWS - VAT Grants
Restricted Funds
Outward Giving
Church Expenditure
Balance
Balance
b/f
Receipts
Payments Transfers
c/f
0
1,539
(592)
(947)
0
1,276
620
(225)
1,671
250
250
1,526
2,159
(817)
(947)
1,921
3,036
4,476
(5,460)
2,052
113
60
(250)
(77)
86,305
19,628
(28,779)
77,154
457
2,164
2,621
1,595
1,043
2,638
91,506
27,371
(34,489)
0
84,388
4,544
5,164
(4,621)
5,087
0
1,900
(1,875)
25
4,544
7,064
(6,496)
0
5,112

Page F6

ST PETER’S CHURCH, BURNHAM

ANNUAL REPORT & ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2023 – FINANCE SECTION

5 Receipts & Payments Analysis

Unrestricted Funds Unrestricted Funds Restricted Endowment Endowment TOTAL TOTAL
General Designated funds funds 2023 2022
RECEIPTS
All other giving/voluntary £ £ £ £ £ £
5a Receipts
Gift Aid Envelopes 1,613 1,613 1,501
Other Donations 2,711 1,520 4,231 8,805
Outward Giving 4,449 4,449 7,416
4,324 0 5,969 0 10,293 17,722
5b Activities for Generating Funds
Fundraising Activities 6,714 6,714 7,810
Cornerstone Income 0 0 0
Hire of Cornerstone 10,188 10,188 6,991
16,902 0 0 0 16,902 14,801
5c Investment Income
CBF Deposit Fund 2,164 2,164 965
Bank Interest 42 42 3
Monkhouse Bequest 85 85 85
Burnham Church Estate 4,476 4,476 4,452
Churchyard Trust 59 59 58
Painter Endowment Fund 19,629 19,629 19,280
LPWGS 1,043 1,043 1,732
127 0 0 27,371 27,498 26,575
5d Church activities
Little Angels 1,539 1,539 1,718
Grants 0 2,278
Parochial Church Fees 5,601 5,601 7,109
5,601 1,539 0 0 7,140 11,105
PAYMENTS
5e Church Running Expenses
Annual Fees/Licences 665 665 240
Church Repairs & Maintenance 5,669 5,669 16,091
Deanery Share 0 0
Insurance 3,870 3,870 3,492
Office Costs 1,962 1,000 2,962 5,444
Service Costs 221 3,376 3,597 3,751
Telephone/Internet/Postage 1,131 1,131 1,215
Utilities 625 17,428 18,053 7,527
Other 125 125 50
4,104 0 625 31,343 36,072 37,810

Page F7

sr P￿ERE CHURCH. BURNHPM ANNUAL REPORT & Accoumfs FOR THE YEIR ENDED 31 DECEM8ER 2023- FINPthICE SECTION ST Not8$ I¢￿tinued) UnT8slrthJ Furth Restth &NSJwnwt TOTPL TOTAL Genwal Dostranated lu)d8 fvrvJ$ 3)23 2022 51 Ml••l¢n, Gl¥lng •nd Don•tlon• B08Utllul G81¢. Lèso Brit￿h H8ari FouThJath)n Rwnb Grove Concor Cwg 1,271 135 171 Chibjron's Sxknty Pancro#lc C8ncer Pastoral Car8ffi18thh M08ti1 Church8s Togeth•r Eco Church Turkoylsyrla EArthquak• Ukr8ino Lituo Angg Unlock Inclu$No Church rtham Care & Sharo Banovoknnl Furnj 1212 1,212 821 1.410 509 51 51 569 918 231 ccis Contro Poht 70 5.871 141 6.783 210 6.673 Approvod by the Parothlal Churth Coundl on 218tMarth, 2024, and Slgned on Its behalfby.. Mr Petef Lewls IPCC Lav Mr Chrtstopher Knllht IPCC TreaSU￿rI Pale F8