SL Mickael ald All Angels Cbllrt￿ Cl*Th'erdom
Annual Report
and
Financial StatemeDts
ofthe
PanKbial Church Council
for the year ended 31 December 2024
Period of Intrrrtgnum
Mr Richard BU￿tr
58. Kingfth Ck)se
Warwick
CV34 SGD
awity Numb¢r 1129532

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS, CLAVERDON
ANNUAL REPORT FOR 2024 (contlnued)
Background
The Parochial Churth Council (PCC) is a group of people appointed from our church communty as
trustees. working with our incumbent. to promote the whole mission of the Church of St Michael and All
Angels, Claverdon - pastoral. evangelist5c, social and ecumenical. The PCC also has responsibility for
the upkeep and management of Claverdon Church Centre.
Membershlp
Members of the PCC are either ex officio or elected by the Annu81 Parochial Church Meeting (APCM),
which this year took place on 15" April 2024. in accordanc￿ with the Church Representation Rules.
During the year. the following served as members of the PCC:
IncumbenL'
Va<xnt
Churchwarden..
Jonathan Evans
Representative on
the Deanery Synod:
Sue Jacques
Elected Members:
Sandra Aitken
Steve AiU(en
Ann Anthony
Alison Bird
Richard Bonsall
David Eastham
Andrea Gardner
Penny Hanson
Ingrid Ridley-smith (appointed 15 April 2024)
Julia Waldron
Co￿pIed Member.
Revd Philip Hanson
The PCC met five times during 2024. At each PCC meeting, reports were received from its committees
and treasurer.
Commlttees
The PCC operates with a number of commlttees, which meet between full moetings of the PCC:
F8bric Committee.. chaired by Richard Bonsall. responsible for the fabric of the Church and the Church
Centre. the churchyard, the floodlighting. the dock. the bells, Church deaning. Church flowers and
Church noticeboards.
Worship Committee.. chaired by Rev Phil Hanson, oversees the pattems of worship and music in church
services.
Mi&sion and Giving Committee.. chaired by Sue Jacques, devises and (xjordinates activities and fund-
raising events to promote chosen charities and other good causes.
Church Attendance
There were 92 Indi￿ldualS on the Church Electoral Roll in April 2024. The average attendance on a usual
Sunday for 2024 was 35 {2023: 34).

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS. CLAVERDON
ANNUAL REPORT FOR 2024 (contlnued)
Flnanclal Revlew
The financial results for 2024 are summarised on page 4. Nel resources decreased during the year by
(£13,137) as follows:
Deficit from week-l￿Week aclivlties:
- Church
- Church Centre
Church Centre Renewable Energy Project
(5.164)
(6.278)
(11.553)
Offset by:
Surplus frDm Parish News
Grant to supp)rt Children's & Youlh Work
Income from investments
1,466
5,000
3.392
Net Dec￿ase in Resources
£13.137
The total deficil from week-tfrweek activities of (£11,442} compares with (£14.763) in 2023, an
improve￿nt of £3.321. Aiding this improvement was an increase of £2.388 {6.OY.) in regular and
planned unrestricted giving, reversing the t￿nd of recent years - thanks not only to the generosity of our
congregation, but also to the growth in the church community over the year, which saw the completion of
a very successful Alpha course.
Costs have continued to be kept under tight control. In particular. savings were made in the cost of
operating the Church Centre by ceasing the Church Centre manager post, with the Parish Secretary now
in charge of booklngs. However. now approaching its 50. birthday, the Church Centre will require
conslderable expenditure on mainlenance and renewal In particular the heating system. In line with
the Church of England's Net Zero tsrgel. a project has been establlshed lo Install heat pumps to replace
the old oll-flred boilers, for which plannlng permlsslon is still awaited. Preliminary work was undertaken
during the year in readiness, costlng some £11.553. The overall cost of the project will be In excess
£50.000 vthile promises for over half of this have already been obtained from grant givers. further
fundraising will need to tske place to reduce the call on PCC funds.
The Diocesan P8rish Share payable to the Coventry Di(xese for 2024 was £39.480 - a surn payable
despite being In interregnum - with a further 50A increase agreed for 2025.
In 2023 we reported that the PCC had reluctsntly decided to cease giving grants to charits'es and other
good causes dlrectjy from PCC funds. but rather to arrange specific fundraising activities. It is pleasing
to report that the sums ralsed In thls way amounted to £6.720, donated to a variety of charities at home
and abroad.
Overall net PCC funds decreased by £6,977 {2023: increase of £12,146). assisted by an increase of
£6,160 {3.30/ts) in the market value of our investments. It is encouragin9 lo report that the value of our
investrnenls is now higher than in 2021. having recovered from the market shocks in 2022. The balance
sheet on page 5 shows total bank and cash balances al 31 December 2024 of £17.945 (2023: £28,802)
and total Ilquld financial assets of £211,026 (2023: £215.723).
In summary. activltles Sn 2024 produced another week-to-week operat5ng deficit, but at a lower level than
In the past elght years. Encouraged by the efforts and Insplralion of so many of our congregatlon in
wantlng our church to grow In every sense, our aim Is to contlnue thls Improvlng trend. The PCC
remalns confident In our ablllty, wlth God's good grace. to conlinue our mlsslon for the Church here in
Claverdon.

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS, CLAVERDON
ANNUAL REPORT FOR 2024 (contlnued)
Annual Revlew
A summary report of Ihe activities of the Church in 2024 has been prepared and is to be presented at the
APCM on 28° April 2025. Copies are also available in th8 Church to 811 parishioners and upon request to
any other interested paty.
Rlsk Management
The PCC recognises its responsibillti88 fof m8n8glng rfsk.
Princip81 Risks and Uncert81nti8s
Although as with many charitable organlsatlons. the majority of the PCCS Income Is th8 result of
voluntsry giving and is therelore subject to y8ar-on-y88r fluctuallons caused by levels of church
membershlp and other more general 8corM)mlc factor8, we do tJJrrently beneflt from the cushlon of
having strong fin8nrial resorves to f811 back on if times become dlfficult. In addltlon, we h8ve good
financial controls and authorisatlon and review procedures in pla￿ to ensure that we manage our
finances wisely. All this leads us to condude that any financial risks that W8 are currently exposed to are
not of a s￿nifiCant nature.
Operations
All our church premises and grounds are maintsined to a high standafd 8nd each year slgnlfic2nt funds
are expended in order to ensure that our church remains a well maintained and safe place to
congregate.
Children's & Youth Wo
The health, safety and prolectlon of chlldren, young people and vulnerable adults is reganJa# as being of
paramount importance to Claverdon PCC. We have adopted arKI operate a formal polw for the
safeguarding of chlldren and vulnerable adults, in line with Diocesan guidelines. Continual review ol our
safeguardlng polia8s. procedur8S and practice is ongoing and overseen by the PCC'S safeguarding
representative who reports on these matters to each of our PCC meetings as a standard agenda item.
The PCC remalns commltted to contlnuou8 Improvement In the developm8nl and practical appllcatlon of
our safegu8rdlng polldes.
Unlted Beneflce
Sl Mlch8el and All Angels, Claverdon,18 a Unlted Bthfice wlth ￿ Salnts, Preston BagoL Our
Incumbent Is 8180 the Prlest-In£harge of St Peterfs. w￿ttOn Waw8n and Sl John the 88Ptlst, Aston
Cantlow.
On beh81f of the PCC
Jonathan Evans
April 2025

PAR(XHIALCHURCH OF ST MICHAELAND ALLANGELS. CLAVERD(*I
STATEMENT OF FINANCIALACTMTES FOR THE YEAR ENDED 318T DECEMBER 2024
Unr••trlci•d
R••trlcl•d End(r￿n•￿t
Tot•1 Fund•
Not•
FuThl•
Fund•
2024
2023
INCOMING RESOURCES
Incx)mlng Resou￿e8 from donorn
Other ¥oluntsry Incoff￿n9 rnsource¥
kncomlng R080urc•8 Irom
operallng a¢UvltyoJ
- to lurlh•r th• Cound1￿ obloc1iv••
- to ggnoralo fvnd•
Incom6 trom Invo8lmonl8
TOTAL INCOMING RESOURCE3
21a)
2(b)
63.823
6.840
70.663
5,000
71,048
3.000
21¢)
2(d)
21•)
7.072
22,819
2,087
100,801
7.072
22.619
3.392
108.746
4.017
25.038
3,382
106.4a5
1,305
1.305
6.840
RE8¢XIRCES EXPENDED
3(0)
100
6.720
6,820
1.187
£Uvlll•• dlr•(*y r•l•Ong
tho work olth• Chun
Church manooemenl Bnd admlnl8tr•lJon
TOTALRE80URCES EXPENDED
31b)
3(¢1
100.822
13.889
114,791
372
101.194
13,869
121,083
102,895
8.317
112.199
7.092
NET RE81JJRCE8 INCREA8E IIEXPENDEDI
(14.190)
12521
1.305
113.137)
15.7141
13A•4 IILO83) ON INVE8ThIENT3- 4wv••M••d
2.931
1.578
1.651
8.160
17.880
NET AIOVEIJENT IN FUNDS
1112591
1,326
2.956
16,9771
12,14
BALANCE8 BROUGHTFORWARO
AT- 1 January2024
BALANCE8 CARRED FORWARD
AT- 3100￿mb*r 2024
133.368
143.586
61,477
338.409
328.263
122.107
144.892
04A33
331A32
338.409

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALLANGELS. CLAVERDON
BALANCE SHEET AT 31 DECEMBER 2024
Note
2024
2023
FIXED ASSETS
Tangible fixed assots
Investrnent assets
5(a)
5(b)
112.641
193.081
305.722
112.641
186.921
299,562
CURRENT ASSETS
Debtors
14,961
17.945
32.906
16,074
28.802
44.876
Cash at bank and in hand
LIABILITIES; Amounts falling
due wSthin one year
7,196
6.029
NETCURRENT ASSETS
25,710
38,847
NET ASSETS
331A32
338.409
FUNDS
Unrestricted
10(8)
10{b)
10(c)
122.107
144.892
64,433
331 A32
133,366
143,566
61,477
338.409
Restricted
Endowment
Approved by the Parochlal Church Council and slgned on Its behalf by:
C.JL (Lfkns
Jonathan Evans
Churchwarden

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS, CLAVERDON
NOTES TO THE FINANCIAL STATEMENTS
For tho year ended 31 December 2024
ACCOUNTING POLICIES
The financial statements have been prepared in accordance with Ihe Church Accounting Regulations 2006
and Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities
preparing their accounts in accordance with FRS 102 - (Charities SORP (FRS 102)) and the Charities Act
2011.
The financial slatements have been prepared under the historical cost convention except for the valuation of
investment assets which are shown at market value. The financial statements include all transactlons, assets
and liabilities for which the PCC is responslble In law.
The primary objective of the charity is to promote the gospel of our Lord Jesus Christ according to the doctrine
and praciice of the Church of England. The charity meels the definitlon of a public benefit entity under FRS
102. There are no material uncertainties about the charity's ability to CA)ntinue as a going concem.
Funds
G8ner81 funds represent the funds of the PCC that are not subject to any restrictj'ons regarding thelr use and
are avallable for application on the general purposes of the PCC. Funds designaied for a particular purpose
by the PCC are 81so unrestrlcted.
The funds of the PCC have been approprlalely analysed and the statement of financial activities has been
prepared in accordance with this analysis.
Incomlng r080urco8
Volunt8ry Income and capit81 sources
Collections are recognised when recelved by Of on behalf of the PCC. Planned giving receivable under gift aid
is recognised only when received. Income tax recoverable on gift aid donations is recognised when the
donation Is recognised.
Grants and legades to the PCC are accounted for only when received.
Funds raised from sales are 8ccounled for gross.
Other income
Rentsl Income from lettlng the Church Centre Is recognlsed when the renlal Is due.
Income fmm Inveslments
Dlvldend8 and Interest are accounted for when recelvable. Tax recoverabl8 on such Income Is recognised in
the same accountlng year.
G8lns 8nd losses on Investments
Unreallsed galns or losses are accounted for on revaluatlon of Investments at 31 December.

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS, CLAVERDON
NOTES TO THE FINANCIAL STATEMENTS (contlnued)
For the year anded 31 December 2024
Resources exponded
Grants and outrward gI￿ng are accounled for in the SOFA when paid, unless an obligation, whether
constructivo or legal. exits to the recipienl in accordance with the Ch8ritles SORP and FRS 102.
Activities directly re18ting to Ihe work of the Church
The diocesan quota is ac(x)unted for when payable.
Flxed assets
Consecr8t8d18nd 8nd buildings. mov98ble church fumlshings and th8 Church Centr8.
Consecrated and beneficed propety is excluded from th8 accounts by Sectlon 10(2)(c) of the Charities Act
2011.
Moveable church fumlshlngs held by the Vicar and Ihe Churchwardens on 8pedal trust for the PCC. and
which require a faculty for disposal, are accounted for 8s Inallenable propety unless consecrated. They
are Ilsted in the Church's Inventory which can be inspected (at any reasonable tlme). For Inalienable
property acquired prior to 2000 there Ss insuffictent cost infomation available and therefore such assets are
not V81ued in the financial ststements. No inalienable property was acquired in 2024.
All experKliture Incurred in the year on consecrated or beneficed buildings is written off.
The Church Centre Ss Included at estimated original cost.
Other fixtures. r￿ingS, office equipment and chuthyard machlnery
Freehold land is nol depreciated.
Equipment used within the Church Centre is depredated on a straight-line basis as follows.
Fumiture
100A per annum
Computers and printer
20% per annum
Audio equipment
150A per annum
Churchyard machinery is depredated on a stralght-line basis al 15% per annum.
Investments
Investments are valued at m8rket value at 31 December.
Current as•ots
Amount8 owlng to the PCC at 31 December In respect of rents or other Income are shown as debtors.
Short-temi deposlts are held on deposlt wlth the Central Board of Finance of the Church of England.

PAROCHIAL CHURCH COUNCIL OF ST MICHAELAND ALL ANGELS. CLAVERDON
NOTES TO THE FINANCIAL STATEMENfd IcontlrnJ•d)
For th• y•ar •nd•d 31 D•c•mb•r 2024
2 INCOMING RESOURCES
Unrestrlcled
Fund8
Restrlcled Endowmenl
Totsl Funds
Funds
Funds
2024
2023
P18nned Ol￿ng.
Gift Ald don8llon8-regular
Glft Ald dona1lonj￿ne off
Income lax rocovorabl
33,322
4.054
10.574
3,0
38,322
4.054
11,918
120
32.444
12.821
12,333
120
1.344
120
Youth and famlly mlnlity SUPPOrt
Othèr pljnned glvlno
Coll•dlonJ
.733
2.981
330
8.733
5.337
330
7,223
3,415
1.283
1,609
71,046
2.376
Maoazlne donatlon8
Sundry don8lon8
3,849
63,823
3,849
70,663
6,840
2(b)
Legaoes
Grants
3.000
5.000
5.000
5.000
3,000
7,072
7.072
7.072
7,072
4.017
4,017
M8gazlno 8dv•rO•omonl•
Roodllghln9
Other Church C•ntr• l•ttin91
Sales and otherfvndral8lng events
6,879
6.879
8.793
40
15,257
483
15.257
483
17,635
570
22,819
22.619
25.038
Olvld8nd• and Int8r881 re¢fjlvod
2,087
1.305
3,392
3,382
TOTAL INCOMING RESOURCES
100,601
6.840
1,305
108,746
100.485

PAROCH14L CHURCH COUNCL (%ST M￿NAELAND ALLANGELS. CLAVERDIJY
NOTE5 TO THE rnANCIAL STATEMENTS (c(mtlrw•d)
For y••r •nd•d 31 D•c•fflb•r 2024
3 RESOURCES EXPENDED
Unf8$trlclod
Funds
Re8trlct8d Endowment
Funds
Funds
Totsl Fund•
2024
2023
31•) Gr
Mls8lon8ry and thafltsblo glving:
Churth ovorJea8'.
MI￿lOnary sodeles
TelSef and devolopmenl B98nd0•
Horn8 misslon3 and Othgr Churth Sode¥8s
SecAJlar ch8rits.es
3.950
815
626
1.329
6.720
3,950
815
626
1.429
6.820
298
420
481
(121
1.187
31b)
Mlnl8ty'.
DSocasan Parlsh Share
Vicarfs expenses
Mlssion & outreath ctists
Youlh and tsmily mlnlsty c¥sls
Chur(* runnSng ¢￿ts
Churth malnknn8nc4
Upkeep ol servlces
Upkeep ol churchyard
Expendlknre on magazlne
Church Centre runnlng costs
Malor repalr8. re￿4￿ments and Improvernents
- Churth Centr8 Renew8ble Energy PrDJod
39.480
39,480
37.600
979
209
20.509
5,031
5,870
637
683
5,409
25.768
141
141
8.942
8.300
4.863
1.431
1206
5.743
21.535
8.822
6.300
4.611
1.431
1.206
5,743
21.535
120
252
11,553
100.822
11.553
101.194
372
102.695
3(cl
06pred8ts.on
Bank Ch8rges
Prtnting and Slationery and sundryexpense8
Church offlce expenses
PCC admlnlstrab've salarles
Parfsh bookeeping costs
201
201
1.322
1.195
10.675
476
260
299
1,322
1,195
10.675
476
13.869
7.011
163
8,317
13,869
TOTAL RESOURCES EXPENOEO
114,7•1
7.092
121A83
112.199

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS, CLAVERDON
10
NOTES TO THE FINANCIAL STATEMENTS (contlnued)
For Ihe year ended 31 December 2024
4 TRANSACTIONS wrrH PCC MEMBERS AND OThER RELATEO PARTIES
No PCC member received any remuner8llon nor relrnburnomenl olexpenses except Ihose that were dSrecUy and wholly
attributsble to PCC acdvllles.
5 FIXED ASSETS FOR USE BY THE PCC
Fr••hold Land
& Church
C•ntr•
E4wlxn•nt k) CIMKch
C•rtr•
G•rd•n
wlwn•nt
Tot•1
Audlo
COST
Al 1 January 2024
Addlllons
Al 31 Dec•mbef 2024
112.641
3.552
7,410
2,574
126,177
112.641
3,552
7.410
2,574
126.177
DEPRECIATION
Al 1 J8nu8ry 2024
Charge for year
Al 31 December2024
3,552
7.410
2.574
13.536
3,552
7.410
2,574
13.536
NET BOOK VALUE At 31 0e(*mber 2024
112.641
112.641
Al31 D9￿mber 2023
112.641
112.641
The glebe field Is freehold land 8nd Is sts(6d atcost of£6.64112023 £6.641).
At 310•c•mb•r
M•rk•t Va
2024
Unh
2024 2023
Co•t
2024
2023
2023
G•n•r•l Fund•
Accumul8Uon 8h8re8 In CBF ColE In¥e8lmenl fund 4202 4162
26.376
24.854
6.187
6.167
Income 8h8reJ In CBF ColE Invo•trnonlfvnd
3212.7 3.212.7
74.287
100.862
72.824
97,478
40,672
46,839
40.672
46.839
R••trlct•d Fund•
Accumulatlon 6hai08 In C8F COE InveBtrn8nlfvnd 513.9 617.9
32.251
30.925
7.833
7,833
Endowm•nt Fund•
Accumulalion Jhares In COIF Inve8trnenl fvnd
48.9
48.9
12215
11,624
217
217
Income 8h8rn8 In COIF Inveslmenl fund
2,363 2,363
47.953
60,168
46.894
58.518
2245
2,482
2.245
2,462
Total Inv•stm•nl•
193,081
186,921
57,134
57.134

PAROCHIAL CHURCH COUNCILOF ST M￿HAELAND ALLANGELS, CLAVERDON
NOTES TO THE FINANCIAL STATEMENTS (¢onllnu•d)
For the y•ar •nd•d 310•c•mb•r 2024
6 ANALYSIS OF NET ASSETS BY FUND
Unr••trkt•d
FurKI•
R••trkt•d
ETh*>¥nn•nt
Furn1•
Total
Fixed assets
Current assets
Currenl Ilabilib'es
Fund balan(￿S
100,662
28.641
{7.196)
122.107
144,892
60.168
4265
305.722
32.906
(7,196)
331,432
144.892
64.433
7 DEBTORS
2024
2023
Debtors for goods and ser¥ic•s
(Jherdebtors (induding tsx recoverable)
2.185
12.776
14,961
873
15.201
16.074
8 UABILMES: Amounts f•lllffj on• y•ar
Ac(xuals and doferred Inco
7,198
7.198
6.029
6.029

PAROCHIAL CHURCH COUNCILOF ST IAICHAEL AND ALL ANGELS. CLAVERDCIY
12
NOTES TO THE RNANCIAL STATEMENTS Icontknu•d)
For th• y••r •nd•d 31 D•¢•mb•r 2024
9 8TAFFING COSTS
In 2024 the PCC employed Ihrno part4me stsff - the parloh ￿(Zel8ry. a youtr) wortar, and a daanèf at tho Churth C8ntrg.
In tho earty partofthe year 8 posltton responsible IDr the adrnlnistralon ofthe Chur(* Centro wa• made redundanL
Totsl gross 88lary costs lorthe yearwer8 £20.030 {2023.' £28283)
10 FUND DEfAIL8
lal The unre8tn'cted fund• ￿MPri•8 the genernl tund ollhe PCC and olhof tsndJ do￿gnal￿d by tho PCC
IDr part'cular PUfPOSeJ •• bllows:
General fund
122,107
N￿8". TIKI fuTrJ¥ h11t￿￿ u"gw4f hgv• bo￿ c4ThL*JtsI *KI dBckneAJ
"Gar￿81 FuThf fwe atQ40.
(bl The r8stri¢ted funds comprise.
Capltsl c•st olchurti Centre
Capllal cost of Glebg Field
Casoe legacy
106.000
6.641
32,251
144,892
The Casme Legatys use Is restricled to tha mainlananco oflhe thurchb bells.
Ic) Tha 6ndowmontfundJ of£64,433 comprlse the Readlng Room Fund1£12215}and The Malthew8 Charlty {£52218).
Under a Chadty Commlsslon (￿Or. lh8 proceeds 01ih8 old Roadlng Room wero Investad and have *)
bo ac￿MUlated for80 years from 1981.
The Matlhews Chadty1$ 8 chorlty (¥08lad by John Mathew8 In 1526 by hl8wiII.1118 roglsiered with lh8
Charlty Cornmls8ion. its trustees belng Claverdon PCC. Its lunds aro used frx repalrs and mainknnance
oftho Parfsh Church olCla¥erdon.
11 CLAVERDON SUNOAY SCHOIX FUND
The Cloverdon Sunday S(*ool Fundlg a Ly)nneded charity. Its trustses afe tho Minlsler and
Churchwardens olclaverdon. Its bgnefidarle8 arn the parlsh88 ofclavenlon. Pfesbn Bagot and
Norton Lindsey. Durfng 2024 the Fund madg grnnls 01£5,(X)O tr> Cla¥0￿10n PCC {2023: NII)
to help 8UPPOrt youth and chlldfen's wolk wlthln th• partah.
12 A qulnguennlal revlow ofth• Churth fabrtc k)ok pla￿ In 2024. Tharn worv no rnaj￿ iknrns ol concem Idenlified.

PAROCHIAL CHURCH COUNCIL OF ST MICHAEL AND ALL ANGELS, CLAVERDON
INDEPENDENT EXAMINER'S REPORT TO THE PCC OF
ST. MICHAEL AND ALLANGELS, CLAVERDON
I report on the financial statements of the PCC for the year ended 31 December 2024. which are set out on
pages 4 to 12.
13
Respectlvè responslbllltles of trustees and examlner
The members of the PCC are responsible for the preparation of the financial statements. The members of
the PCC consider that an audit is not required for this year (under Section 145(1) of the Charities Act 2011
("the 2011 Act-) and that an independont ex8mination Is needed.
It Is my responsibility to:
examine tho financial statements under Sectlon 145 of the 2011 Act:
to follow the procedures laid down in the General Directions given by the Charlty Commlssloners
(under Section 145(5)(b) of the 2011 Act): and
to slate whether particular matters have come to my attention.
Basls of Ind•pend•nt examlnar's report
My examination was carried out in accordance wilh the General Directions given by the Charity
Commission. An examination includes a review of the accounting records kept by the PCC and a
comparison of the accounts presented with those records. It also includes consideration of any unusual
items or disclosures in the financial statements and seeking explanations from you as trustees conceming
any such matters. The procedures undertaken do not provide all the evidence that would be required in an
audit. and consequently no opinion is given as to whether the financial statements present a "true and fair
vie4rf and the report is limited to those matters set out in the statement below.
Independent examlnerfs statement
In conneclion with my examination, no matter has come to my attention:
{1)
which gives me reasonable cause to believe that in any materlal respect the requlrements
to keep accounting records in accordance with sectbon 130 of tha 2011 Act; and
to prepare financ581 statements which accord woth the accountlng records and comply with
the accounting requirements of the 2011 Act have nol been met,. or
(2)
to which, In my opinion, attention should be drawn in order to enable 8 proper understanding of Ihe
financial statements to be reached.
Mr Rlchard Butler
58. Kingfisher Close
Warwick
CV34 SGD