**Bamber Bridge Methodist Church Annual Report of the Church Council For the year ended 31 August 2025** 

**_____________________________________________________________________** 

## **Administrative Information** 

Bamber Bridge Methodist Church is situated in the centre of Bamber Bridge in the Preston Ribble Methodist.  The circuit is part of the Lancashire District. 

The correspondence address is The Methodist Church, Station Road, Bamber Bridge, Preston PR5 6ED. 

The Church was a charity excepted from registration with The Charity Commission (SI 2002 no. 1598), however, following the implementation of the Charities Act 2006 the church became a separately registered charity on 22 May 2009 with registration number 1129810. 

Church Council Members who have served from 1[st] September 2024 until the date this Report was approved are: 

Minister Rev’d Sharon Thraves Church Secretary Dr A Andrews Church Treasurer Mr D Evans Church Stewards Mrs D Jefferson Mr E Chatburn Mr G Poole Mrs C Poole Mr D Roscoe Mr J Jefferson Worship Leader Mrs K Roscoe Property & Finance reps Mr R Clapham Mr M Perry Pastoral Committee Mrs L Trafford Elected Members Mrs D Johnson Mrs A Boothroyd Mrs W Yates Safeguarding Mr J Jefferson Cradle Roll Secretary Mrs C Perry Circuit Representative Mrs Wendy Bennet 

1 



## **Structure, Governance and Management** 

The method of appointment of Church Council Members is set out in the Constitutional Practice and Discipline of the Methodist Church.  Any Church Member is entitled to offer themselves for election to the Church Council at the Annual Church Meeting which is usually held in May of each year.  Whilst there is at present no formal training other than in Safeguarding for the members of the Church Council those who have served on the Council for a number of years aid newcomers in understanding the procedures.  To serve on the Church Council the individual has to be a member of the Methodist Church and the process of church membership includes consideration of the distinctive nature of Methodism. All significant decisions relating to Church life require the agreement of the Church Council while the Minister of the Church has day-to-day responsibility for the pastoral life of the Church.  As part of the Preston Ribble Circuit, the Lancashire/North West England District and the wider Methodist Connexion the Church locally is bound by the Constitutional Practice and Discipline of the Methodist Church and therefore adheres to nationally agreed policies. 

## **Objectives and Activities** 

The Church Council has the responsibility of co-operating with the minister of the Church in promoting whole the Mission of the Church, pastoral, evangelistic, social and ecumenical.  The trustees organise the activities of the wider mission of the Church with consideration of the wider public benefit to the community at large by the provision of first-rate community facilities and the opportunities that these afford. 

These objectives are usually satisfied by offering varied forms of worship with 1 locally held service generally each Sunday with occasional Circuit or Mission Group services.  There is also locally a fortnightly lunch-time service on a Thursday.  The premises provide facilities for worship and other community based activities to operate in comfortable surroundings.  Additional services and study groups are held at other appropriate times of the year as the need arises.  Our aim is to provide fellowship in various ways mainly through  the Wellness Café which operates on a Wednesday and Thursday morning, an evening fellowship known as Lighthouse for younger children.  The minister of the Church has also shared responsibility for the pastoral oversight of the joint Methodist/Church of England School (Cuerden Church School) which operates from adjoining premises. 

The Minister also acts in conjunction with the other clergy in the village to foster Christian beliefs. 

The Church Council has maintenance responsibilities for the Church buildings together with a wider responsibility through the Preston Ribble Circuit and the Lancashire/North West England District. 

The church aims to provide a public benefit by providing opportunities for all within the community to access both the premises and the opportunities for worship, learning and mission afforded by the church both as a place and a people. 

## **Committees** 

The Church Council meets generally three times a year and operates as the managing trustee body. Additional support is provided through special interest groups as the need arises focusing on finance and property and pastoral aspects of Church life.  A leadership team consisting of the Church Stewards and other representatives meets to add direction to the activities of the church between meetings of the church council  Other groups reporting to the Church Council are established as the need arises. 

## **Financial Review** 

The income of the church declined slightly in the year as the continuing impact of general cost pressures affected the congregation and organisations using the premises. However, the outturn for the year showed a surplus on general funds of £36,171 following a reduction in the local church assessment. After a transfer to support the work of Churches Together In Bamber Bridge we ended the year with general reserves of £62,112.. 

This increase in reserves has eased the challenges of managing the varying requirements of the multiuser building with our partners in the venture, Cuerden Church School and Cuerden Nursery. 

2 



Significant additional income is still generated from external users of the facilities and this has remained broadly as in the previous year. 

## **Reserves Policy** 

The Church Council has adopted a policy that they will endeavour to hold in reserve on general account a sum (not invested in fixed assets) equivalent to between three and six months routine expenditure (approximately £18,750 to £37,500 ).  At 31 August 2024 free reserves stood at £62,112.  While the reserves at the end of the period were in excess of this the trustees are grateful for the decision of the Preston Ribble Circuit to reduce assessments across the circuit by 50% from the formula calculation to support the local mission of the various churches in the Circuit for one year.  The additional reserves may be utilised once the assessment returns to a normal level.  Should additional income be required then there is a history of sacrificial giving to fund additional activity. 

The Church Council aims to maintain reserves at the current level in order to maintain the premises in the best possible condition.  The quality of the premises is important in continuing to provide comfortable and welcoming facilities. Reserves are also required to meet the challenges of modern society.    As the building is in use 7 days a week throughout the year it is planned to maintain a level of reserves where a planned maintenance programme is possible with a rolling programme of redecoration and replacement of the furnishings and equipment to keep pace with the changing needs of the community. 

## **Risk policy** 

The major risks to which the charity has been exposed, as identified by the trustees, have been reviewed and systems have been established to mitigate those risks. 

The Church Council continues to keep all its risk policies under review and procedures are in place to improve the management of the risks as appropriate to the size and nature of the organisation.  Particular attention is to be placed on Health & Safety, Safe from Harm (Child  and vulnerable adults safeguarding) and Fire Hazards and written policies are updated to reflect the changed circumstances as guidance is received. 

## **Investment policy** 

Temporarily surplus funds have been placed on deposit with the Central Finance Board of the Methodist Church in order to obtain the best investment return whilst retaining access to the funds as required to meet the ongoing commitments of the church to fulfil its role in the community.  The general policy is to utilise suitable funds within the portfolio of the Central Finance Board of the Methodist Church for a secure investment return. 

## **Summary** 

Church Membership stands at approximately 100 active members.  The church is now reviewing its position to move forward and meet the further challenges of the 21[st] century. 

## **Responsibilities of the Church Council as Managing Trustees** 

The law applicable to Charities in England and Wales requires the trustees to prepare financial statements for each financial year which give a true and fair view of the Charity’s financial activities during the year and of its financial position at the end of the year.  In preparing these statements giving a true and fair view, the trustees should follow best practice and: 

- Select suitable accounting policies and apply them consistently; 

- Make judgements and estimates that are reasonable and prudent; 

- State whether applicable accounting standards and statements of recommended practice have been followed, subject to any departures disclosed and explained in the financial statements; and 

3 



- Prepare the financial statements on the going concern basis unless it is inappropriate to assume that the Charity will continue in operation. 

The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy the financial position of the Charity and which enable them to ascertain the financial position of the Charity and ensure that the financial statements comply with the Charities Act 2011.  They are responsible for safeguarding the assets of the Charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities. 

The financial statements are prepared using the format prescribed by the Methodist Church in the Standard Form of Accounts and comply with the Charities SORP. 

## **Independent Examiners** 

CWR served as independent examiners for the year. 

Signed on behalf of the Church Council 

Rev Sharon Thraves Minister Dated 26 February 2026 

4 



GHURGH
RECEIPTS AND PAYMENTS
ACCOUNTS
THE METHODIST CHURCH
STANDARD FORM OF ACCOUNTS
BAMBER BRIDGE METHODIST
Church
FOR THE YEAR ENDED
31 August 2025
PRESTON RIBBLE
Circuit
Circuit no.
21111
Registered Charity - Charity Registration number
If not a registered charity His Majesty's Revenue and
Customs Gift Aid number
(The HMRC number is equivalenl to a registered charity number in terms of evidence of charitable
status and may be used lo give to donors or grant funders wishing to see evidence of the organisation's
charitable status. Methodist charities in England and Wales that are not registered charities are
ex￿pted from registration under Statutory Instrument 2014 No.2421
1129810
Minister..
REVEREND SHARON THRAVES
Church Stewards:
ERIC CHATBURN
JOHN JEFFERSON
CAROL POOLE
GRAHAM POOLE
DONALD ROSCOE
Treasurer-
DAVID EVANS
BBMC chUrch-re￿Ipts-and-paYMents-202s_NOrMal
1 of5

BAMBER BRIDGE
METHODIST
ACCOUNTS FOR T14E YEAR ENDED 31 AUGUST 2025
Church
Unrestrlcted Restrlcted Totals thls
Funds
Funds
ear
Totals last
ear
SECTION A
a1
RECEIPTS
Note
a2
Offerinos and Tax recovered
Bank and CFB interest and
Investment income
43,809
112
43.921
50,808
a3
940
44
983
775
a4
Lettin
17,461
10,722
72,932
17,461
10,722
73,087
17,664
15,388
84,636
a5
Other receipts
TOTAL RECEIPTS
a6
156
la71
SECTION
b1
PAYMENTS
b2
Circuit Assessment or Share
24.320
1,615
24,320
1,615
10,026
52.473
1.500
6,329
b3
Donations
b4
Repairs and Maintenance
Ulililies (lnsuran￿5, watèr
cha
es healin
hlin
6.721
3,305
b5
1.366
73
1,439
6,863
b6
b7
Other payments
TOTAL PAYMENTS
2.738
36.761
100
2,838
40.238
2,354
69,519
b8
3,477
Ib9
SECTION C
NET RECEIPTSIPAYMENTS
c1
a6-b8
36,171
3,322
32,849
15.116
Total funds brought forward from
last year
25,999
6,903
32,902
Ic61
17.786
c3
Sub total
Ic1 +c21
62,170
3,581
65,751
32.902
c4
Transfers and adjuslmenls
57
57
c7
c5
TOTAL FUNDS AT END OF YEAR
Ic3+c41
62,112
3,638
65.751
Ic81
32,902
Ic61
SECTION D
FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
Ithese amounts arg not to be included In total receiptslpa
ments fi
ures above}
dl
Balance brou
hl forward from last
ear
d2
Offerin
sIGifts - received for external or
anisalions
d3
OfferingslGifts passed lo external organisations
d4
BALANCE STILL TO BE PAID
Id1+d2-d31
2of5
BBMC Church-frEcipts-and-paymcni>2025 Norniol

BAMBER BRIDGE METHODIST Church
SUMMARY OF CHURCH ACCOUNTS AND INTERNAL ORGANISATIONS REPORTING TO THE CHURCH COUNCIL
SECTION E
Please followthe Guldance Notes to com
Summ8ry ol Ihe Church accounts forthe yearended 31 August 2025 alld Inlemal Organisaiions reporbr4 10 ihe Churth Cour¢i11Church Meeling Noie that Ihefundsof
3n Internal OrganisalK?n would noTTnally be R251Dcled funds unless iiuuld ￿￿e81￿ shovm th81 theycould be used for any Methodisl purpose. This Seciion musl be
completed to airive ai ihe gross Income and exr*ndilureioL415 01 Ihe Church. Ilgro$s Income eX￿edStheAcCtuals threshold. then IhtAcuuals rnetw ￿ar£O￿nting
AND A DIFFERENT FORM mu51 be used lo rep￿t the accounis15ee Melhodi$iweDsiiei. please referio Ihe ouldance noies reaardiw wansfer5 betsveen the Distrlci
and conneGIEd Dislri¢i Oroanisalions.
INTERNAL
OROAN13AnONa
NetReceip
Pa menL•
Opening
bolpnce
ents
uDtrnenia
Cl¢*Dg baluncea
t3
e4
c6
e7
Sth ioial ol Inlemal
OroÈni#alions lunds
¢8
e12
Church accounts (totals
brought foTh¥ar¢l from payq
?- ¢ota15 colutnnl
cg
73,DB7
40.236
32,849
32.902
65,751
8Y CHURCH
73,087
40.238
32,84>
32,902
65,761
Contsnue on a 5¢parate Sheet
il necessary and bring tha
totals loAvard
TOTAL RECEIPTS
TOTAL
PAYMENTS
SECTION F
STATEMENT
ETS ANO LIABILlnES
OPENIN¢
BALANCES
CLOSING
BALANCES
CHURCH- CASH FUNDS HELO ¥t 31 Au
ust 2025
Cash In hand
30
33
8ènk Current Account
14.684
28.￿6
Bank De
siIAccounl
CertiBI Finance Board
17.109
38,240
Trustee5 forMelhodi$i Church P
Ol**r lund$
SUB TOTAL- church accounts
T¢Lg1 funds held by Inlernal Organ￿al￿n5 lihe clowDg
balance tol¥1 Irom 8b>vel le121
65,751
(¢81
TOTAL GASH FUNDS HeLts BY CHURCH
32,902
65.751
SECTION G
Al
1 Septembw 2024
Al
31 AugU512025
OTHER ASSETS and LIABILITIES
Invesirnents
Indud8 EndtrAmien
Land & Bufldi
See notes re Insurance v81ue
1 420 691
OtherA55ets
Loan
- slTh amouniout$t8ndin
ear end
f4 Indude only Fund5 held at Central Finarte Board
IS Indude only Fund5 held 81 TruslEe$fty Meihodisl Church Purposes
l any Dlher Invesimenls (r￿1 Ihecash element ol TMCP ￿515 accounts Ihits is indud8d In Ilr*f5
3015

Name of Church .
Declarations and Scrutiny
I confirm that these Receipt and Payment based accounts for the year to 31 August 2025 have been
prepared from the records of the Church and that they include all funds under the control of the
Church trustees.
Signature oftre2surer .
Date............
Name and address of treasurer DAVID EVANS
1 Edward Street, Bamber Bnridge, Preston Post Code PR5 6FB
Presentation to the Church trustees
I confirm that the annual rèport and accounts for the year ended 31 August 2025 were presented to
the meetinq of the Church trustees held on 26 February 2026
Signature of the Chair of the meeting
Name of the Chair ofthe meeting Rev S Thraves Date .
Independent Examiner'3 Report to the Trustees of the
BAMBER BRIDGE METHODIST Church
Charity Number 1129810
Responsibilitiès and basis of report
I report to the trustees on my examination of the accounts of the BAMBER BRIDGE METHODIST
Church for the year ended 31 August 2025 set out on pages 1 to3. As the Church's trustees, you
are responsible for the preparation of the accounts in accordan￿ with the requirements of the
Charities Act 2011 {'Ihe Act,).
I report in respect of my examination of the Church's accounts carried out under seclion 145 of Ihe
Act and, in carrying out my examination, I have followed all the applicable Directions given by the
Charity Commission under section 14515llbl of the Act.
delet8 or circle as appropriate
B8MC Churth.receipts.8n&paym2nts.2026 NLYM
4of5

Name of Church BAMBER BRIDGE METHODIST No 21111
Indgpgndont Examiner's St2t@m@nt
I have completed my examination. I confimi that no material matters have come to my attention
in connection with the examination (other than that disclosed below") which give me cause to
believe that in, any material respect:
the accounting records were not kept in accordance with section 130 of the Act., or
the accounts do not accord with the accounting records.
I have no cOn￿rnS and have come across no other matters in connection with the examination to
which attention should be drawn in this report in ord8r to enable a proper understanding of the
accounts to be reached.
I havelhave not" obtained independent verification of all investments with the Trustees for
Methodist Church Purposes or held in other trusts, bank balances and funds at the Central
Finance Board of the Methodist Church which are individually in excess of £10,000 (ten thousand
pounds) at the balance sheet date.
Signature of independent examiner
Naffte of independenl examiner
M•L4se
Relevant profegsional qLialification of independent examiner
sc. fwAf
Name of firm (where appropriate) CtsJ<
Address
lo M414￿1￿ Ptrt
Post Code
js
Date
9.06.ts>z6
delete or circle as appropriate
BBMC Church-receipts-and-paymenls-2025 Normal
5of5

GHURGH
RECEIPTS AND PAYMENTS
ACCOUNTS
THE METHODIST CHURCH
STANDARD FORM OF ACCOUNTS
BAMBER BRIDGE METHODIST
Church
FOR THE YEAR ENDED
31 August 2025
PRESTON RIBBLE
Circuit
Circuit no.
21111
Registered Charity - Charity Registration number
If not a registered charity His Majesty's Revenue and
Customs Gift Aid number
(The HMRC number is equivalenl to a registered charity number in terms of evidence of charitable
status and may be used lo give to donors or grant funders wishing to see evidence of the organisation's
charitable status. Methodist charities in England and Wales that are not registered charities are
ex￿pted from registration under Statutory Instrument 2014 No.2421
1129810
Minister..
REVEREND SHARON THRAVES
Church Stewards:
ERIC CHATBURN
JOHN JEFFERSON
CAROL POOLE
GRAHAM POOLE
DONALD ROSCOE
Treasurer-
DAVID EVANS
BBMC chUrch-re￿Ipts-and-paYMents-202s_NOrMal
1 of5

BAMBER BRIDGE
METHODIST
ACCOUNTS FOR T14E YEAR ENDED 31 AUGUST 2025
Church
Unrestrlcted Restrlcted Totals thls
Funds
Funds
ear
Totals last
ear
SECTION A
a1
RECEIPTS
Note
a2
Offerinos and Tax recovered
Bank and CFB interest and
Investment income
43,809
112
43.921
50,808
a3
940
44
983
775
a4
Lettin
17,461
10,722
72,932
17,461
10,722
73,087
17,664
15,388
84,636
a5
Other receipts
TOTAL RECEIPTS
a6
156
la71
SECTION
b1
PAYMENTS
b2
Circuit Assessment or Share
24.320
1,615
24,320
1,615
10,026
52.473
1.500
6,329
b3
Donations
b4
Repairs and Maintenance
Ulililies (lnsuran￿5, watèr
cha
es healin
hlin
6.721
3,305
b5
1.366
73
1,439
6,863
b6
b7
Other payments
TOTAL PAYMENTS
2.738
36.761
100
2,838
40.238
2,354
69,519
b8
3,477
Ib9
SECTION C
NET RECEIPTSIPAYMENTS
c1
a6-b8
36,171
3,322
32,849
15.116
Total funds brought forward from
last year
25,999
6,903
32,902
Ic61
17.786
c3
Sub total
Ic1 +c21
62,170
3,581
65,751
32.902
c4
Transfers and adjuslmenls
57
57
c7
c5
TOTAL FUNDS AT END OF YEAR
Ic3+c41
62,112
3,638
65.751
Ic81
32,902
Ic61
SECTION D
FOR INFORMATION ONLY: MONEY RECEIVED AND PASSED ON TO EXTERNAL ORGANISATIONS
Ithese amounts arg not to be included In total receiptslpa
ments fi
ures above}
dl
Balance brou
hl forward from last
ear
d2
Offerin
sIGifts - received for external or
anisalions
d3
OfferingslGifts passed lo external organisations
d4
BALANCE STILL TO BE PAID
Id1+d2-d31
2of5
BBMC Church-frEcipts-and-paymcni>2025 Norniol

BAMBER BRIDGE METHODIST Church
SUMMARY OF CHURCH ACCOUNTS AND INTERNAL ORGANISATIONS REPORTING TO THE CHURCH COUNCIL
SECTION E
Please followthe Guldance Notes to com
Summ8ry ol Ihe Church accounts forthe yearended 31 August 2025 alld Inlemal Organisaiions reporbr4 10 ihe Churth Cour¢i11Church Meeling Noie that Ihefundsof
3n Internal OrganisalK?n would noTTnally be R251Dcled funds unless iiuuld ￿￿e81￿ shovm th81 theycould be used for any Methodisl purpose. This Seciion musl be
completed to airive ai ihe gross Income and exr*ndilureioL415 01 Ihe Church. Ilgro$s Income eX￿edStheAcCtuals threshold. then IhtAcuuals rnetw ￿ar£O￿nting
AND A DIFFERENT FORM mu51 be used lo rep￿t the accounis15ee Melhodi$iweDsiiei. please referio Ihe ouldance noies reaardiw wansfer5 betsveen the Distrlci
and conneGIEd Dislri¢i Oroanisalions.
INTERNAL
OROAN13AnONa
NetReceip
Pa menL•
Opening
bolpnce
ents
uDtrnenia
Cl¢*Dg baluncea
t3
e4
c6
e7
Sth ioial ol Inlemal
OroÈni#alions lunds
¢8
e12
Church accounts (totals
brought foTh¥ar¢l from payq
?- ¢ota15 colutnnl
cg
73,DB7
40.236
32,849
32.902
65,751
8Y CHURCH
73,087
40.238
32,84>
32,902
65,761
Contsnue on a 5¢parate Sheet
il necessary and bring tha
totals loAvard
TOTAL RECEIPTS
TOTAL
PAYMENTS
SECTION F
STATEMENT
ETS ANO LIABILlnES
OPENIN¢
BALANCES
CLOSING
BALANCES
CHURCH- CASH FUNDS HELO ¥t 31 Au
ust 2025
Cash In hand
30
33
8ènk Current Account
14.684
28.￿6
Bank De
siIAccounl
CertiBI Finance Board
17.109
38,240
Trustee5 forMelhodi$i Church P
Ol**r lund$
SUB TOTAL- church accounts
T¢Lg1 funds held by Inlernal Organ￿al￿n5 lihe clowDg
balance tol¥1 Irom 8b>vel le121
65,751
(¢81
TOTAL GASH FUNDS HeLts BY CHURCH
32,902
65.751
SECTION G
Al
1 Septembw 2024
Al
31 AugU512025
OTHER ASSETS and LIABILITIES
Invesirnents
Indud8 EndtrAmien
Land & Bufldi
See notes re Insurance v81ue
1 420 691
OtherA55ets
Loan
- slTh amouniout$t8ndin
ear end
f4 Indude only Fund5 held at Central Finarte Board
IS Indude only Fund5 held 81 TruslEe$fty Meihodisl Church Purposes
l any Dlher Invesimenls (r￿1 Ihecash element ol TMCP ￿515 accounts Ihits is indud8d In Ilr*f5
3015

Name of Church .
Declarations and Scrutiny
I confirm that these Receipt and Payment based accounts for the year to 31 August 2025 have been
prepared from the records of the Church and that they include all funds under the control of the
Church trustees.
Signature oftre2surer .
Date............
Name and address of treasurer DAVID EVANS
1 Edward Street, Bamber Bnridge, Preston Post Code PR5 6FB
Presentation to the Church trustees
I confirm that the annual rèport and accounts for the year ended 31 August 2025 were presented to
the meetinq of the Church trustees held on 26 February 2026
Signature of the Chair of the meeting
Name of the Chair ofthe meeting Rev S Thraves Date .
Independent Examiner'3 Report to the Trustees of the
BAMBER BRIDGE METHODIST Church
Charity Number 1129810
Responsibilitiès and basis of report
I report to the trustees on my examination of the accounts of the BAMBER BRIDGE METHODIST
Church for the year ended 31 August 2025 set out on pages 1 to3. As the Church's trustees, you
are responsible for the preparation of the accounts in accordan￿ with the requirements of the
Charities Act 2011 {'Ihe Act,).
I report in respect of my examination of the Church's accounts carried out under seclion 145 of Ihe
Act and, in carrying out my examination, I have followed all the applicable Directions given by the
Charity Commission under section 14515llbl of the Act.
delet8 or circle as appropriate
B8MC Churth.receipts.8n&paym2nts.2026 NLYM
4of5

Name of Church BAMBER BRIDGE METHODIST No 21111
Indgpgndont Examiner's St2t@m@nt
I have completed my examination. I confimi that no material matters have come to my attention
in connection with the examination (other than that disclosed below") which give me cause to
believe that in, any material respect:
the accounting records were not kept in accordance with section 130 of the Act., or
the accounts do not accord with the accounting records.
I have no cOn￿rnS and have come across no other matters in connection with the examination to
which attention should be drawn in this report in ord8r to enable a proper understanding of the
accounts to be reached.
I havelhave not" obtained independent verification of all investments with the Trustees for
Methodist Church Purposes or held in other trusts, bank balances and funds at the Central
Finance Board of the Methodist Church which are individually in excess of £10,000 (ten thousand
pounds) at the balance sheet date.
Signature of independent examiner
Naffte of independenl examiner
M•L4se
Relevant profegsional qLialification of independent examiner
sc. fwAf
Name of firm (where appropriate) CtsJ<
Address
lo M414￿1￿ Ptrt
Post Code
js
Date
9.06.ts>z6
delete or circle as appropriate
BBMC Church-receipts-and-paymenls-2025 Normal
5of5