REGISTERED CHARITY NUMBER 1129329
THE PARISH OF PENN STREET WITH
HOLMER GREEN PCC
Report of the Trustees and Unaudited Financial Statements
For the year ended 31 December 2023
Dashwoods Accountsnts Limited
31 Dashwood Avenue
High Wycombe
Bucks
HP12 3DZ

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
INDEX TO THE FINANCIAL STATEMENTS
Pag•
Report of the Trustees
1to5
Report of the independent examiner
statement of financial activities
Balance sheet
Notes to the financial staternents
9t012
Detailed ststement of financial activities
13to14

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
The Injstees present their report with the financial statements of th¢ charity for the year ended
31 December 2023. The trustees have adopted the provisions of the Ststement of Recommended Practice
(SORP)'Accounting and Reporting by Charities, issued in March 2005.
REFERENCE AND ADMINISTK4TIVE DETAILS
Registered Charlty nMmb¢r
129329
PriTrcipal address
The Parish Office
The Church Centre
Featherbed Lane, Holmer Green
High Wycombe
Buckinghamshire
HPIS 6XQ
Page I

REFERENCE A￿D ADmINISTRAT￿E DETAILS
Trustees
The members who served the PCC during the year were &s follows:
Incumbenl
Vacant
Wardens
Mr Rob¢rt Duerdoth
Mrs Vivienne Alexandra L¢i8hton-Jon¢s
Representatives on the
Deanery Synod.._
Mrs Vivienne Alexa[￿￿ Leighton-Jones
Mrs Joan Wainman
Mrs Jean Batch¢lor
Elected membets:_
Mr Michael Large (frotu April 2023)
Mr Leigh Potkin
Mrs Joan Toye
Mrs Mary Jay
Mrs Judy Knight
Mrs Ann Sollars
Mr Steve Busler
Lay Chair
Secret8ry
Pa8e 2

STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing Document
The PCC is controlled by its governing documenl a deed of tnjst and constitutes an unincorporated charity.
Penn Street with Holmer Green Parochial Church Council {PCC) has the responsibility of cooperdting with
the incumbent in promoting in the ecclesi&stical parish the whole mission of the church" p&storal,
evangelical, swial and ecumenical. The PCC also has the responsibility for the maintenance of Holy Trinity
church bLLildiD& at Penn Stree( and the building of Christ ChurclL Holmer Green, together with the Church
Centre and the land that formerly contsined Pat30nage HOL￿, also at Holmer Green.
Recrultrnent and appointment of new trustees
MembeTS are elected to the PCC at the Annual Parochial Church Meeting.
Inductlon and trainlng of new trustses
No fornmlised system of training is currently provided but training for specifjc d￿leS aTe provided on an
ad-hoc basis as rquiftd for example. safe-guarding requirement&
Organisatlonal structure
The ￿1] PCC met thirteen times during the year. three ofthese meetirAgs were EQMS.
The Standing Committee, which did not meet during the year, is authorised by the PCC to transact
the bwiness of the PCC betw¢en its meetin8s. subject to any directiorL8 given by the Council.
Risk Managernent
The trustees have a duty to identify and review the risks to which the PCC is exposed and to
ensure appropriate ￿ntrOl5 are in place to provide reasonable assurdnce against fraud and error.
It is confirnied that the major risks in connection with the church and its activities, as identified by th¢ PCG
have been reviewed and appropriate actions or procedures have been established to manage those risks.
Buildin￿ Contsnts and liability insurance are in pIace with the Ecclesiastical Insurance Group.
Page 3

ORTECTIVES AND ACTIVITIES
Public Worship
In-person services continue despite not having an incumballt for a full calendaryear. Utilising regular ministers
from ar¢as Olttside the Ewish services have continued unitetTUPted. Services are no longer posted on-line.
There is one Service Sunday, alternating between the buildings and style of worship.
There were services celebrdting Easter and ChTiStmas. with a Carol Service and
Christingle service. weddin￿ fimerals. baptisms and school services continu¢ this year.
Church attendance
Attendance for worship servica has been an average of 40 people Sunday
Mid-week ministri¢s continue unrestrfftcted.
A numb¢r of other regular groups of the church also continue to meet.
There are currently 78 people on thc electoral roll. of which 39 live in the parish.
Aetivities
Social and outreach a¢tivities continued this year. These include family socials.
church family BBQ. Chrsttnas Tree Festival outrea¢L quizzes, Summer Social.
Ther¢ has been on-lin¢ Bible Study, coffee mornings and Lent Course.
ACHIEVEMENT Al￿D PERFORWCE
Fund-raising activities.
Cream Teas continued throughout the Sunllner and the scheduled annual hiri￿ of Holy Trinity
continues. Holy Trinity has been used on more than one occasion as a tv filming location. The Church Centre
Ion8 lease continues aTKI there ate signs this will extend beyond two years. People continue their generous regular
8iving* p￿doMin4ntIY through the Parish Giving plarfomi. which also calculates and pays gift aid on
donattons in conjunction with HbKRC. Fund rnising continues albeit at a more modest level this ye￿.
We have a dedicated voluotary resource that is continually sourcing available grants and alternats funding.
A drive is under way to renov&ts I refurbish the organ in Holy Trinity. We are currently just under 500/0 of targeL
A quinquennial inspection previously delayed due to available funds was catTied out on both churches this year.
Any urgenl woft*s have been addressed and are being canied ou¢ other works are being scheduled with
approptiate grants And fimding being sourced.
Page 4

PUBLIC BENEFIT
The trustees consider that due regard has been taken in relation to guidance published by the
Charity Commission on public benefit.
FINANCIAL REVIEW
Reserves policy
It is the policy of the PCC to maintain the reserves at a level that will help it underpin rLs long-
tam con7mitsnents and to ￿loW it to continue its core activities. The Treasurer regularly ass¢sse5
the incoming resourccs profile and ¢ndeavours to maintain reserves to cover annual outgoing
Tesources of approximately £IOO,000 for the foreseeable firture in the event that incoming fi￿dS
becan]e uncertain. Although the PCC does not currently have positive reserYe4 due to historical
expenses relating to Parsonage House. it is reliant on the support of the Oxford Diocese to continue
tts orkrntions as it seeks to improve its financial position. Our income is now at & lev¢1 similar
to pr&pandemic levels and our bank baIaDce has increased from this time last year.
The PCC aspire to a reserve level of 25Yo of annual income.
Prlncipal funding sources
R¢guiar giving was circa £4,000 lower thall last year, both in person attd via the Parish
Giving website. Our overall income rose by just over £13.000 to £112.386 for the year. This was
elled mainty by Holy Trinity hiTings and ChuTch Cents? lettings. Expendittwe w85 ogain
approximately £4.000 higher than the previous year due to restarting charitable giving and
starting the organ renovation. Costs Continue to be monitored and reduced where po&sible.
The l(Kal parish ¢ounciJs colltinue to provide valuable supwrt wrth wts to aid the upke¢p of
the churchyards. The car¢ of th¢ general grounds is carri¢d out by a small team of parishioners
at Holmer Green. We continue to employ a contractor for the upkeep at Penn Street and
this now includes the grass cutting at Holmer Green.
In this time of fmancial difficulties the PCC is comtnitted to care￿IlY nwin8 CQSts so that we
can continue to provide support to worthy causes and to fjjrther the work of the church ill the local
area. The Parish Share w&s paid in full once again this year d¢spite being 570/0 of our totsl expenses.
FUTURE DEVELOPMEwrs
The plans to redevelop grounds at Holmer Green are moving forward and continue to b¢ managed
by th¢ Dio¢ese.
Future developments may include th¢ upgradin8 of the sound and acoustic systems and renovating
the Church Centre when funds allow.
Mr L Potkin - Trustee
Mr R Duerdoth - Trustee
Page 5

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
INDEPENDE￿ EXAMINER'S REPORT
To the mÈmbers of the PCC of the P8rothaial ParoGhial Church Counol ofthe Ecdesia8tical Parish of Penn Street
wtth Holmer Green.
I rèport lo tho trustees on rny examination of the accounts of the above d)aifty Cthe Tru$n for tt7e y￿r ¢nd8d
31 Decomber 2023.
Responsibiliti88 and b&8is of report
As the chanty tnjstoes of thè Tru3t, you are responsibl8 for the prepar*ion of the accounts in 8cGordance ￿1th the
rgquirements of the Charrties Act 2011 nhe Acr).
I report in respect of my examination olthe Trusys a￿UnIS carried out under section 145 of the 2011 Act 8nd In
carying otrt my examin*ion, I havè followed the applicable Directions given by the Charity Commi8sion under Sgchon
14515)(b) of the Act.
Independerrt examlnerfs statement
Your 8ttenlion is drawn to thè fact that the charity has prepared finan¢ial 8talements in a¢cordance wAth accounting and
reporting by Chartbes preparing Ihoir ¥cwnts in aeL0rdan￿ with the Financial Repotting Standard applicablÈ in the UK and
Repbulic of Ireland IFRS 1021 In PTefer8nce to the AtJxJunting and Reporting by Charitses.. Statom8nt of Recofflmended
Pr8Ctlre issued on 1 April 2CIJ5 which i¥ referred to in the exanl rggulations but has now been wtthdra*T).
l understand that this has been done in order for financial statsments to PTOVtde a true and f8ir v(ew In ace£*idanee wi
GeneraltyAccepled Acwjnting Pra¢tise effective for reporbng periods beginnlng on or after 1 January 2015.
I have completgd my exsminatson. I COnfi￿n th81 no materi81 m*ter3 h8ve corne to my attantion in connection wlh
the examination Wh￿ gives me cause to belleve that in, any materi* r8speGt.'
the ae£ounting records were not kept in acLordance with Beltion 130 ofthe Charili8s Ad,. or
the awunts did not accord with the accourrting records,. or
the accounts did not compty wth th• applicable requiremerrt8 concaming the fom and content of accounts
sel out in the Charithes (Accounts and Reports) Regulations 2008 olhÈr than any requtremenl that th¢ accounts
give a 'true 8nd fa¢ viewwhith is not a matter considered a8 Part of an independent 8xamination.
I hav9 no coneÈms and have (x)me a¢ross no other m8tters in C￿1)nectIon bwth the examlnalion to whth attention should
drdwn in this report in order to enablo a ptopor understanding of the accounts to be reached.
R Hawod FCCA
Dashwoods Accountants Limhed
31 Dashwood Avenue
High Wy¢ombe
Bucks
HP12 3DZ
Page 6

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
STATEMErir OF FINANCIAL ACTMTIES
YEAR ENDED 31 DECEMBER 2023
2023
Total
Funds
2022
Total
Fund8
Unre8trtctad
Funds
Fund$
INCOMING RESOURCES
10
Incoming rn$Our￿ frr)m generated funds
Voluntsry income
Activities for generating fvnds
Investment income
Incomlng r•Bourc￿ from charltabl8 adlviti•s
Charitable Aciivities
Other Incoming re8our¢
63,291
5,045
21.881
200
193
63.491
5,238
21.881
67.659
5,417
12,850
4.678
14,597
7.178
14.597
11.054
TOTAL INCOMING RESOURCES
109,493
2,893
112,386
97.264
RESOURCES EXPENDED
Costs of ggngrating funds
Costs of gen8rating voluntsry irttime
Chafftable activitie3
Charitable activtti8S
Govemanc8 ¢08ts
other r88ourco9 oxponded
11
438
438
692
100.gJ4
835
1,256
2.040
102.944
835
1,649
1110,061
1,028
393
TOTAL RESOURCES EXPENDED
103.434
2.433
105,867
101,781
NEf INCOMEI{EXPENDITURE)
6.059
6.519
{4,517)
Other recognised gain8lloBsg6:.
GainllLo$$e$l on investrnent assets
Transfer5 befvM8n funds
NET MOVEMEKf IN FUNDS
8,059
6,519
{4,517)
Funds brought fopNard
458.121
458,121
461,238
FUNDS CARRIED FORWARD
464,180
464,640
456.721
CONTINUING OPERATIONS
All incoming resour￿ and rwources expended ari$e from continuing athitias.

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
BALANCE SHEEr
AS AT 31 fECEMBER 2023
2023
Total
Fund8
2022
Total
Fund•
Funds
Fund8
FIXED ASSETS
Tangible assets
470.000
470,tY)O
470.(KIO
470.000
470,000
470.000
CURReKr ASSErs
Debtors and prepa￿Ents
Cash at bar*k and in hand
120
8,803
12.778
13,238
13.284
13,744
6.923
CREDrroRS:
Anmxrnts falling due wbthin 1 year
2,022
1.720
NET CURREKF ASSErs
11,262
460
11,722
5.203
LONG.TERM CREDITORS:
17.082
17.082
17.082
TOTAL NEf ASSET8
464.180
460
464,640
458,121
Rewe8ent8d by.
UNRESTRicfED INCOME FUNDS
RESTRICTED FUNDS
464.180
464,180
460
458,121
TOTAL FUND8
464.180
458,121
The finanual Statements V•Yre approved by th& Board ofTrustees on. .
on its b&h8lf ty.-
.and were 8luned
L Polkin. Tru8
Mr R Duordoth . Tnrnteo
The notes on pages 9- 14 fm an inbjrnl part of these accounts.
Page 8

THE PARISH OF PENN STREEf wtTH
HOLMER GREEN PCC
NOTES TO THE FIMANCIAL STATEMEiirs
FOR TtrE YEAR ENDED 31 DECEPIBER 2023
ACCOUNTING POLICIES
Ba818 of accountlno
statement5 have ai80 been prepared In 8curtsn￿ with the Churth Ac¢>)unting Regulations 2￿6 and
vthh tho Ststernert of Recofflm8nd8d PT8(lth'. Accounting and Repffj by CharltleB WBparJng Ihèlr
a(xounts in accudarKè vth thè Finandal Reporkng Standard appJi(*bb kn the UK Republlc of
Ireland IFRS 102) èffoctsve 1 janu￿ 2019 arvl wllh th8 Chathw Act 2011. Th8 finarsixal stotemen18
havè dep8rted from the Chothes IAc£ounts and Rawyt8) Regujatlons 2￿ onty to the exient wuired
to provide a Iwe and f8ir vlvw. Tlws d￿rture ha8 Invow frJllryhlng the Statem8nt of Recommènded
Practise for ¢harilles applywig FRS 102 r8therthan thg ver8lon ofth& Stat8menl of Recommended
bl
Volunthry Income
Collectlcffis are ￿gnUSed when recdvad by or on tehowof the PCC. The grft aid tsx
that Is redaimabk on tha￿ IB rwnised In the reBer¥es lo whkh th
vthen the tsx r•bate is roceNed Into thg bank a0￿￿rt.
Incom• from In¥•skn•nts
Dmdends arè ar4))urrted for vth8n and payable. and IrrtereBt entlllements are a￿0￿rted
for a5 they ac4Jua. Tax r8coverable on incimnp k8 rerthJnked onlyvhw
d) Grants
Grants are recogttsed Wh￿ p*J or r￿￿d.
•) Other Income
Funds raised by events are acc¢unted for gn)8&
Rental Inconw tr[￿ the lettsng of church prorthses IB reD)gnlwd when the rwjtsl is due.
Sa￿9 of books ota from the churth b(•)k81dl are aci¥)unt•d for gmss.
AJI ￿penditUTe 15 accourted for on an ac(•Jals bast8 aThJ has t*gn d888ffied under hoading8
kh aggregate all costs rekted to that cate90ry. Whero co8ts cannot be dlre¢* attnbutgj to
POrtKwlar hBadby. thay hava 8lkKat&J lo aclNltles on a ba8L4 c¢nslBtent use olthè
Co8t8 otg8￿[thg funds arg th08e costs ￿K￿rred in fvnd[0b￿ to 8eek 4ffAuntsry dona￿On6.
Charitabb a￿ grants made and ¢￿ts Incurred diredty in the of8xpand6tur8
un the d￿rity8 obJ8cllv88 and irK*Jde pro]￿¢ ManageM￿rt (¥rrted outfrom tho ch8rVs premises.
Govfjman￿ ￿)Sts indude those trthrred wilh the govemance ofth• d￿rIty and tts assets and
are prfmarty 0$$￿10￿d w#h tha comFllanc¢ ofuTh*knthn81 and stat￿ry ￿uIrement&
g) AotMtleB dl• rnlatlng to thè Twork of th• chureh
The dwsan parfjsh Shate is aco)unlgJ for %4thÈn paKI. th parlth 8har8 unp81d 8tthe
r en¢J Is not prnvkJ8d for th8n(xal statements as a Ilab￿ty on the ha￿n￿ sh98L

THE PARISH OF PENN STREET WITH
HOLMER GREEN PCC
NOTES TO THE FINANCIAL STATEMENT8 (COIITINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
h)
Tangiblè fixod
Dep￿at￿ is provlded at the foikMin9 anNal raies in orderto off each a89et ovèr it3
estimated uselul lif&
Equlpment
stralght line 25%
Fl*u￿8 & ffltings strawJht line 25%
upon tha radovoknwent and subsequent Sale of prop8ty on the land Ihat once WAS Parsonag8 House.
lThJividual rtems ofwuim a wrchase wtce of less than £2(XIO are written off w￿n
the a8set18 ac4uired.
CoM•crat0d larKI and Iwildlngj and mov•abl• clmrch Iwnishln
Consecral&J and bénefi￿1 propty is exduded from the aco)Lmts by $1012llal
of the Charrties Act 2011.
No valuè is placed on moveab]e thurch fvmishings which 8re held by the churthwardens on special
trust forthe PCC. These require a faculty for disposal slnce the PCC considers this to be inaliènable
Fffoperty. All experwjibjre incwrad during the year con8ecr8ied or beneficed bJilding5 and
moveable thurch fumishing3, whether maintenance or improvements. is written ¢)ff a8 expenditure
in the stat￿￿ of financial activit￿ arKI separately dl8do8ed.
J)
othor land and bulld5ngs
The Churth Centre, Holmer Grean is valued at its Fmstorical cost. The lan(1 that fomRdy contained
Parsonage House is shuwn at itg estimated market fdlue. No d•FKeci8ti'on 1$ charyd on either.
Taxation
The PCC is exempifrcrfn tsx on Is chaiitablè aebvitse8.
F￿)d accountlng
Unrestiithd ftmdg Can be uwj in xcrKdan￿ with the ch8rNat* obiectsves at the disuelion of
R8stri4*1 fund8 we funds whth are to be u8ed in acc¢)r(lance Mryth spedfic ￿trICt1)n$ imkxised by
donors orwhith have been fdised by the PCC for a particular wrpose. The Gost of ralsing arbj
adminlst8rtng such fund5 charged agalnst the unrestricted reserve.
Reallsgd and unmlisod galns
Urwealised gains and l¢)58es when fixed 388et inveslmerts are induded in the balance sheet
at rgvalued 3mounts or market value. They are indude(l in thè ststement of fir￿n￿al 8ctivitle8
a8 an incoming resource or addition81 depwtatirffi as approprth in the peri¢xl they artse. Realis8d
goi￿ and losses are re￿gniSed when an asset is disposed of.
ACTivmE8 FOR GENERATING FUND8
2023
2022
3.784
2,443
714
2,603
5.760
Bookslall
FurKlraising s(xxal eV￿rts
5.045
Pase 10

THE PARISH OF PENN STrEET wrrH
HOLMER GREEN PCC
NOTES TO THE FINANCk4L STATEMENTS {coMfiNUED}
FOR THE YEAR ENDED 31 DECEIABER X123
TANGIBLE FIXED ASSETS
Freehdd
Fixlures & Totals
Propty Equijment Ftibngs
COST
At 1 January2￿ 3rKI
31 D￿ernb9r 2023
470.OC(I
5S)
0 470,550
DEPRECIATION
At 1 January 2023 arKI
31 D￿mber 2023
NET BOOKVALUE
As at 31 De¢ember2(r23
470.1Y)J
0 470,OCrfJ
A8 at 31 Oecember2022
470.LKX)
0 470.C(#)
The n8t book value offreehold tw(4)erty 8tts ¢xrrent and prior year balance sheet date i8 ma(Je
up of£345,IMJO, bèing the ￿rry1￿j ￿ue oflhe Church Centr8, and the £125.(KIO. ￿"n9
(*rrying value of tho knd that Parsonage House on(* ¢)cryJpi&J.
is not practicabl8 to qLHnbfy the dSfferenL* the catyrrfJ value and market values but in
th8 tru8te88' opinK)n the m8rketV8Jues are not signfficanty dffterent from the car￿"ng values
within thè ￿Munts.
FIXED ASSEf IPlvESTMEtr￿s
None
re no irNesknent ae8ets Inside or outside the U
2022
120
CREDITORS
2023
Creditoramounts fallng due￿In on8
1022 1.720
Loans from Dic￿88•
17.082 17,082
Totsl Crwjitors
19.104 18.￿2
There18 no Interest payatle on th& loans to the DM)cese arvj Th) fixed Schad￿8. Ryyment 18 du8
upon ts re￿yek￿mnt and 5thw4uent8de of kyoperty ￿ the kgnd ItrHI one w Parsonage HcMJ8e.
PHge 11

THE PARISH OF PENN STREET WITH
HOLMER GREEN PCC
NOTES TO THE ANAMCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2023
DONATION8 AND GRANTS TO CHARITIES 2023
Oversea8 Home
se￿lar
Other
Tclal
Donations Donatiort6 Cl￿allonS Donations Donation8
PCC 2023
Mlssion Dlrect
Defibulator
Mercy Ships
200
200
1,256
193
193
Total donailon8 by PCC In 2023
393
1649
The followtrs were paid dir* from groups within ts thurch:
Penn Street I￿th Holmer Gre￿ PCC
800
800
Total donati(￿ by grou
800
800
Totsl don8tKM8
393
2056
2449
PaBe 12

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
DETAILED STATEMENT OF FINANCIAL ACTIVITIE3
YEAR ENDED 31 DECEMBER 2023
INCOMING RESOURCES
2023
Totsl
Funds
2022
Total
Funds
Unrestrlctad
Fund
R•Str￿ed
Fund•
Voluntsry Income
Bank standing orde
Income tax recx)verable- gift aid
Free will giving
ServKe collect￿n$
Donations. gfft days. per80nal gifts et(
Youth club
47.164
10,564
47,164
10,564
49.472
11,303
793
4.770
793
4,970
350
6.534
200
63.291
200
63,491
67.659
Actlvllles for go￿TatIng funds
Teas and otherfund raising
Cre￿n teas
Bookstall
Fundraising 8orA81 av8nis
-342
2,443
714
2,603
5,417
3,784
3.784
462
799
5.045
193
193
5,238
Invostmont Income
Church Centre letting8
Bank intertsl
Waykave
DwiderKls on War Bonds
21,850
31
21.850
31
12.850
21,881
21.881
12.850
Incomlng re4ourc08 from charlt•ble actmtles
Grants
1,100
Parochial foes paid to th8 PCC
3.578
4,678
2.500
3,600
3.578
7.178
6.419
4,635
11,054
2,5CKI
Othar Incomlng rMourc88
Insurance ¢laim$ and other incom?
Holy Trinty lettings
4,597
10,000
14.597
4.597
10,000
14.597
1,400
1,684
Total incomlTrJ r8fourc
109.493
2,893
112.386
Page 13

THE PARISH OF PENN STREET
WITH HOLMER GREEN PCC
DEfAILED STATEMEKf OF FINANCIAL ACTIVITIES
YEAR ENDED 31 DECEMBER 2023
10 RESOURCES EXPENDED
2023
Total
Funds
2022
Total
Funds
Unrestrlcted Restrlcted
Funds
Funds
Costs of goneratlng voluntary income
Bookstsll expenditure
438
Charltsble Actlvlli88
Insurance
Parish share
Church running expenses
Assistant staff 8xpenses
Upkeep of churchyard
Church Centre nrnlng o)sts
Small Hall
Fees to ODBF
Upkeep of services
Christ Church maintenance
Holy Trinity maintenance
Honoraria
Working expenses incumbent I derk
F￿draisI
YoLrth club
Social acbwties
6,018
80.134
4,137
6.018
60.134
4.137
5,726
63,771
1,633
14,677
780
14.677
17,509
118
2.040
2.748
5.161
502
1,293
4.766
5.161
3,166
105
180
10
2040
102944
100.061
Govemance Costs
Accountancy
Bank charges
756
79
128
835
1,028
Other resources expended
Overseas missions
Christian relief and development
Home missions and church sC￿￿leS
Secular Char￿85
Loan account
393
1.256
1,256
1.256
393
1,649
Total resoum expended
103,434
2.433
105,867
101,781
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