TAFF TrIENALLT MINISTRY AREA
FINANCIAL sTATEM￿Ts
YEAR ENDED 31 DECEMBER 2024
ROBERT HUGFI LIMITED
CHARTERED ACCOUNT21NTS
CARDIFF

TAFF WENALLT MINISTRY AREA
FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
Content5
Report and Staternent of the Trustees,
Responsibilities
Independent Examiner, s Report
io
statement of Financial Activities
11
12
Balance Sheet
13
14
Notes to the Financial Statements
15
28

TAFF WENALLT MINISTRY AREA
REPORT AND STATEMENT OF THE TRUSTEES
YEAR ENDED 31 DECEMBER 2024
'L'he tinancial statements have been prepared in accordance with the
accounting policies set out in note I to thc account8 and cornply with
the
charity, s trust deed,
the Charities Act 2011,
Accounting and
Reporting by Lharities: Statement of Recomr(Lended Practice ISORP} and the
Church in Wales Accounting Regulations.
BEFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity Number
1130040
Registered Charity Address
The ReLLoLy
6 Penlline Road
Whitchurch
Cardif f CF14 2AD
Trustees and Members of the ￿nistry Area Council
The Ministry Area Council IMAC) is the body containing the trustees of
the Ministry Area (MA) .
With the exception of the Clergyi the mernbers serve for l year,
from the Annual Vestry AGM.
Ministry Area Council Membership (Trustees) .
Lay Chair
Jayne Lewis
Secretary
Heather Jones
Also St Nary, s representative and
Property Liaison Of f icer
Clergy
The Rev'd John Davis
The Rev'd Peter Mortitner
The Rev, d Ilnna Harwood
The Rec, d Andrew Highway
The Rev'd Benedict YaLeb
The Rev'd Henry Grover
Geof f rey Foot
Ministry Area Leader
Team Vicar
Team Vir.Ar
NSM vicar
Assistant Curate
Assistant Curate
Lay Reader
Church Warden appointed by incumbent
Alun Jones
Ministry Area Leader's Warden, also St Mary, s Church
Trcaaurer
Ministry Area Church Warden elected
Kath Lawley
Ministry Area People, s Warden
Elected Church Representatives
Jaynp. L@.wis
Val Bradshaw
All Saints, Llandaff North, alao Lay Chair
All Saints, Rhiwbina
Heather Jones
Nick Goss
St. Mary's, also Property Liaison Officer
St. Thomas,

TAFF WENALLT MINISTRY ARE
REPORT AND sTATE￿￿￿T OF THE TRUSTEES
continued)
YEAR ENDED 31 DECEbf8ER 2024
Saf eguarding Of f icer
c.athryn Barr
Lay Pastoral Visitors Leader
Kath Lawley, also Church WGrden elected
Mlnistry Area Treasurer
John FIAI I
Seconded Members
David Gill
Treasurer, St Thomas, Church
Simon Magee
John HclLtL
Treasurer, All Saints, Church, Llandaff North
Treasurer, All Saints, Church, Rhiwbina
Independent Examiner
Robert Elugh, BSC.
FCA
15 Dan y Bryn Avenue
Radyr
Cardiff CF15 8DD
The Taff Wenallt ￿nIstrY Area
Governing Document and Organisational Structure
The Church in Wales is a Province within the Anglican CoTtmuninn anrl
seeks to advance the Christian religion through worldwide mission.
The Taff Wenallt Ninistry Area is part of the Diocese of Llandaff and
includes f our churches:
St Mary's in Whitchurch, St Thomas, in
Birchgrove. Al I Saints, in Rhiwbina, and All oaints, in Llaiiddff
North.
Induction and Training of New Trustees
There is no forrrkal inducEion trainingi trustees are already rnembers of
the church and so are aware of the goals and aims of the church.
Their
roles and responsibiliti63..8 are cotnmunicated verbally and through the use
of leaflets from the Charity Commission.
OBJECTIVES AND ACTIVITIES
Objectives and Auos
It is the responsibility of the MAC and the incumbent to work together
and cooperate in all matters OE CUIiLern and importance to the Ministry
Area for the promotion of the mission of the Church, pastoral,
evangelistic, social and ecumenical in the Ministry Area.
As required by the Charities Act 2011, the MAC has given diie regard to
guiclance published by the Charity Commission in respect of the
operat.ion of the public bencfit requirement.
Tlie activltles
undertaken to fulfil the MAC, s purposes for the public benefit are
described and detailed hereunder.

TAFF WENALLT MINISTRY AREA
REPORT AND STATEbfENT OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
Charitable Activities and Main Achievements
Main Activitios
The Taf f wenallt ￿nistry Area
The main activities of the Ministry Area during the year have been to
tell the joytul story of Jesus and spread the Gospel to the people of
hitchurch, Rhiwbina, Birchgrove, and Llandaf f North.
We continue to provide pastoral support and prayer for our
comrnunities, visit the sick, and continued to provide worship,
weddings, baptisms, and funerals for those who live in our areas.
We have actively engaged with young pp.npl?. by visiting loral schnnls
and setting up youth groups that Meet weeklyi and by holding regular
Messy Church serviceb.
Whilst Services continued in the individual churches, there were
several occasions wheii Lhe wlirile Luiigieg¢ltion of the Ministry Area
carne together to celebrate, and such Services were held in each church
during the year.
The Ministry Area continued to use online streaming of Services, to
reach as many people as possible in order to continue its mission. Our
online services have bccn viewed around the world, and we regularly
engage with more than 1000 people a week via social media.
The Lay Pastoral Visiting team continued their highly valued horne
visits, delivering the sacraments, offering prayers and offering a
chance to talk.
A vibrant Mother, s Union IMU) continues.
Charitable activity continued
incorne raised for rnany local, national
and international charities, including Christian Aid, and refugee
projects. Particular effort was put into raising funds to support the
people of Ukraine.
Food and liuuseFiul(l iLeffls and clothing were collected weekly to support
food banks, homeless and disadvaniaged people.
A newsletter was published online regularly and distributed, by a
small team, to as many people as possible via hard copy and ernail.
The Mini-
-try Area ha3 sought to support the Corr￿UnItY by joining with
COTnrnunity activities, such as hosting a stall at the annual sulluner
fair and by holding cor(munal carol singing.
Our rnission is to be a light in the darkness, offering hope, love and
practical care in Jesus, name.
Up to date information about Taff Wenallt Ministry Area and it, s
constituent churches can be found in the Ministry Area website:
htt
//twma. church/

TAFF WENALLT MINISTRY ABEA
REPORT AND STATEME￿￿ OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
Charitable Activities and Main Achievements
Main Activiti@s
All Saints , B￿1wbIna
The hall continues to run at a profit, thanks to the efficiency and
enLliusiasm of our Hall Manager.
The new church boiler was installed and working most efficientlyi
offering a warrn place for the congregation and our outreach projects.
The
boiler
room has
been
cupboards.
re-furbished,
stocked with
racking and
Appeal.
All was paid for by the generous response to our Gift Day
The
Committee
rneet
f undraising events.
regularly to
monitor
f inances
and
organise
UNICEF Clean Water Appeal, which has been replaced by WASH (Water,
Sanitation and Hygiene) ,
overseas rnission.
Fidb proved to be an excellently supported
chutneys .
The income is from the sale of jam.s. marmalades and
Future plans will be the development of the church as a dernentia
f riendly warm place.
st Mary. s
st Mary's was part of the Churches Unlocked festival in June 2024 and
we opened the Tower for Tower Tours five tirnes throughout the year. We
hosted 5eveLdl bLhool vlsits, and continue with our comrnunity
partnership between St Mary's and the Additional Learning Necd- Unit
at Whitchurch High School. They have held a craft fair in the church
hall, as well as an exhibition of photographs. Further events are
planned.
In Nr)vember 2024 we hosted thc town's Act of ReMe[[￿raIlLe
and we have
opened a Parents and Tot's group alongside our Youth Club in the
church hall.
st Thomas,
The ernphasls this year has involved further upgrading of essential
facilities in the church hall togp.tr.her with minor repairs to thc
church. Where finance is concerned preparations have been undertaken
in readiness to merge all finance functions into one central rninistry
area account along with the three other churches in the Ministry Area.
Improved facilities in the churili liall inclucle new heating boilers and
separate hot water boiler together with the removal of the external
chimney vent and repairs to the roof. The new heating improvernents
also include WiFi control of the use of heat that is controlled
externally to ensure heat is not wasted when not required.

TAFF WENALLT MINISTRY AREA
REPORT AND STATEMwf OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
Charitable Activities and Main Achievements
Main Activities
st ThollLa3' (continued)
The fire alarrn control board has been upgraded and also operates via
WiFi. Reydirs have been conducted to the fire doors and external fire
exit door.
The church hall continues to be well used providing rnuch welcome
income for the Church
Other activities have included tundraising for Christian Aid and the
annual collection point for Samaritan, s Purse Chri-
-tmas Child ohoebox
appeal. Accordia Choir held a concert in the church to raise funds for
Papyru3, a teenage suicide prevention charity.
The congregation of the church has continued to grow with weekly
attendancebJ regularly in the Lliirties. We are starting to attract
young families and there is a very well used childrp.n' s area at the
back of the church. The children are encouraged to participate in the
nnduct of services and their presence 15 a gLeat joy to the
congregation.
All Saints, Llandaf£ North
With an average weekly attendance of 21, the members of All Saints
Llandaff North are working very hard towards keeping the church
viable, increasing costs of heating the church, building repairs,
boiler repairs etc. requires comtnitment to giving and, where possible,
increasing our wg.p.kly giving to enable u- to continue.
OUL rnetnbers of Sunday School are regular attendees for Sunday morning
activities, and although they are low in number, their enthusiasrn is a
pleasure to watch as they offer their own interpretations of God's
work, which is taught by Mrs Marylin Davidson and parental helpers.
Outreach..
we continue to make regular collections of donations for
the following groups
The Rainbow of Hope
Ty Bronna
The Shoebox Appeal
gpecial thanks again 3hould be made Lu Mrs Marilyn Davidson who is our
ain point of contact and so eagerly arranges the collection and
distribution of donations.
We have experienced a number of set backs in the past 12 rnonth£,
unclerfloor leak at the West door area caused considerable darnage to
flooring and required pipe repair and restoration of Llie flooring
burglary through the vestry window caused damage, however there were
no iterns stolen other than a few coins from the votive collection box
and damage to a wall mounted collection box. Repairs have been
cornpleted and there have been no further issue.

TAFF WENALLT MINISTRY AREA
REPORT AND STATE￿￿￿1 OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
Charitable Activities and Main Achievements
Main Activities (continued)
All Saints, Llandaff North (Cont￿lled)
Funds have been allocated Eor a replacement boiler for tme main
Church.
The Church Hall has undergone a vast improvernent in décor and plans
are continuinq for the Childrens, playgroup to be run rlijring Morning
sessions, this is organised by Mrs Debbie Percival.
Working together as part of the Taff Wenallt Ministry Area, we
continue to grow and support each other, sharing fellowship as we
celebrate services at other churches in our ministry area.
We otter our thanks to the parishioners, members of the Clergy and Lay
TJlturgy who support us with Prayer, guidance, advice, and
encouragement, as we continue to spread a joyful story.
Public Benefit
The benefit to the public is a feeling of spiritual stability and
freedotn within the Ministry Area for the benefit of all God, s people.
This is exerci.86>d t.hrough tne provision of regular public worship and
pastoral work, including visiting the sick and bereaved,. the teaching
of Christianity through sermons and small groups, and the taking of
ssernblies in local schools,. the promotion of Christianity through
staging special services.
Each church has a hall where activities takp_ plRc.o. for older people,
uniformed organisations for young people, and other groups for people
of all ages.
The churches are welcotning spaces and we offer free, fast broadband
connection-
in two of our churches.

TAFF WENALLT blINISTRY ABEA
REPORT AND STATEMENT OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
FINANCIAL BEVIEW
State of Af fairs
The results for the year are set out in the statements of financial
activities on pages 11 and 12.
12023: surpl.ii.s £2, 093)
The deficit for the year was £33,790
The financial position at the end of the year is set out in the balance
sheets on pages 13 and 14.
{2023: £995, 9131
The net assets at the year end were £962,123
Fixed Assets
The movetnent in fixed assets is shown in note 9 to the accounts on page
21. At the year end LEie accounting net book value of fixed assets held
was £689, 069 12023: £698, 605)
Investments
The movernent in investments is shown in note IQ to the accounts on page
22.
At the year end the value of investments held was £100,381 12023:
£93,763)
The investment is in The Church in Wales CoTnmon Investrnent Fund which is
collective
investment
scheme
LliaL
was
established
by
'I'he
Representative Body of the Church in Wales (The Representative Bc)dyl,
under a scherne approved by the Charity Collmissioners on 11 Decernber
2008, for the investment of monies belonging to or benefiting any
charity for which the Representative Body is Trustee.
The Reprp.gp.ntative Body is the Tru-
-tce of the Common Investtnerit Fuijd,
and has appointed its Investntent Committee to oversee the Fund.
The
Investrnent CoTtmittee meets four tunes a year, receives quarterly reports
from the Fund Manager, and monitors the strategy and performance of the
Fund.
The Common Investment nind is managed by the Fund Nanager in accordance
with an Investrnent Management Agreement, and is administered by the
staff 0£ the Representative Body.
The Fund is suitable for investment by Areas where long term capital
growth and a reasonable level of incorne and income growth are desired,
and is not suitable for money that is liable to be needed in the near
future.
Ministry Area funds and trusts from bequests and legacies can be
invested in the Fund.
Trusts held in the Fund are distinguished between expend2blp. and non-
expendable trusts.
In most cases income frorn expendable trusts
2c.rrued and either reinVe￿ted or paid out to tFie Area.
trust income is usually distributed on a quarterly basis.
Non-expendable

TAFF WENALLT MINISTRY ABEA
REPORT AND STATEMEwf OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
Investments (contxnuad)
The Fund is considered to be a medium to long term investrnent vehicle
for trusts and parish tunds, and has the following aims and objectives:
To achieve a balance between sustainable levg1..8 of inc.otne and
capital growth,.
To optirnise total returns without undue risk-
To operate within the constraints of the Church in Wales, Ethical
nvestrnent Policy.
Reserv¢as Policy
This is
surnrnary of the Ministry Area Reserves Policy,
intended to facilitate an understanding of the policy.
and is
information is found within the main policy document.
Background
Def inition
Th?.
Charity Commission
def ines
rC￿erveS
a3
- that
part
charity's unrestricted funds that is freely available to spend on any
of the charity's purposes"
The reserves policy should assist in the
objective and airn of the Bp.np.fice.
Purpose of Reserve
The reserve fund serves several purposes:
To £acilitate short term smoothing when monthly incorne falls
short of expenditure.
To
f acilitate
paying the
'Parish'
Share by rnaking
up the
shortfall when one church has insufficient funds to contribute.
To support emergency and urgent needs that arise from time to
time.
other potential benefits of a reserve fund include:
Funding routine maintenance.
Reducing the annual quota for each church.
Suppor Liiig church led initiatives and projects.
Surplus of funds
If there is a surplus the Ministry Area Committee will be asked to
determine priorities. One option would be to reduce the quota for each
church.
Monitoring and review
The finance cornmittee will review the reserve balances every quarter.
Annually the finance committee will review the arnounts held in reserve
and report to the MAC. Annually the finance collllnittee will review the
reserves policy and make recommendations to the MAC.

TAFF TrIENALLT MINISTRY AREA
BEPORT AND STATEMENT OF THE TRUSTEES (continued)
YEAR ENDED 31 DECEMBER 2024
statement of Trustees, Responsthilities
Financial statements are required to be prepared for the Ministry Area
for each financial year which give a true and fair view of its state of
affairs at the balance sheet date and of the incorne and expenditure for
the year then ended. These financial statements are required to be
examined by
independent
examiners
and
parishioners.
COPle3
made
available
to
In preparing these financial statements the trustees will
have due regard to:
selecting
suitable
consistently
applying
mdkiiig judgements and estimates that are reasonable and prudent
observing applicable Ar.r.ounting Standards
preparing the financial statements on a going concern basis
The trustees
{who are tnembers
of the Ministry Area Council)
are
responsible also for keeping proper accounting records which disclose
with reasonable accuracy Llie financlal position of the Ministry Area and
for safeguarding its assets.
accounting
policies
and
them
The above report ha-
Recommended Practice
been prepared in accordance with tlle Statement or
Accounting and Reporting by Charities.
pproved by and signed on behalf of the Board of TLubLeeb.
Trustee
Date

INDEPENDENT EXAMINERS, PEPORT TO THE TRUSTEES
TAFF WENALLT MINISTRY APE
YEAR ENDED 31 DECEMBER 2024
I report on the accounts of the Taff Wenallt Ministry Area which are set
niit. on pages 12 to 29 and which have been prepared in acco£ddIlLe with
the accounting policies set out on pages 16 to 19.
Res
ective res
onsibilities of Trustees and Inde
endent Examiner
The trustees (who are also members of the Ministry Area Council) are
responsiblp fnr the preparation of the account-
The trustees consider
that an audit is not required for this year (under section 144121 of the
Charities Act 2011 (the 2011 Act) ) and that an independent examination
is needed.
Having
bdtisfied myself that an audit is not required,
responsibility to:
exarnine the accounts {under section 145 of the 2011 Act),
to follow the procedures laid down in the general Directions
given by the Charity Comrnission (under section 145151 Ibl of the
2011 Act)
and
to state whether particular matters have come to my attention.
Basis of o
inion
it is rny
My examination was carried out in accordance with the general Directions
given by the Charity Cornmis.qion.
An examination includeo a review of
the accounting records kept by the charity and a comparison of the
account5 pLeseiiLed with those records.
of any unusual
items or disclosures
It also includes consideration
in the accounts,
and seeking
explanations from you as trustees concerning any such matters. The
procedures undertaken do not provide all the evidence that would be
required in an audit, and consequently nn opinion is given as to whether
the accounts present a true and fair view and the report is limited to
those matter3 8et out in the sLdLement below.
inion
In connection with my examination, no matter has come to rny attention:
which gives me reaTrJonable cause to believe that in any material
respect the requirernenES:
to keep accounting records in accordance with section 130 of the
2011 Act," and
to prp.pare accounts which accord with the accounting reLvrds and
comply with the accounting requirements of the 2011 Act
have not been met; or
to which, in rny opinion, attention should be drawn in order to
enable a proper understanding of the financial statements to be
reached.
Robert Hugh,
15 Dan y Bryn
FCA
Independent Examiner
enue, Radyr, CARDIFF CF15 8DD
Date:
22 (VI￿j2D?5

TAFF 14ENAILT MINISTRY AREA
STATEMENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31 DECEMBER 2024
2024 SOFA
Notes
Unrestricted Designated Restricted
funds
funds
funds
Total
2024
INCOME & ENDOTrIMENTS
Dviiations and legacies
Income f rom c.haritable
activities
Trading activities
Investments
166, 471
1, 036
61
167, 568
8,207
96,465
20,981
8,207
100,215
23,033
889
2,861
2,052
Total income
292,124
1, 925
4,974
299, 023
EXPENDITURE ON:
Rai3ing funds
Expenditure on
charitable activities
2,264
2,264
303, 159
20,000
11, 955
335, 114
Total expenditure
303, I_sg
20.000
14,219
337,378
NET INCOME (EXPENDITURE)
(11,035}
(18,075)
(9,245)
(38,355)
TRANSFERS
Gross transfers between
funds
36, 620
(33,0031
{3, 6171
OTHER RECOGNISED GAINS/
(LOSSES)
Gains/ (_'. oss?.8) on
revaluation of
invebtrnents
10
4,565
4,565
25,585
(51,078)
(8,2971
(33,790)
Reconciliation of funds .
Total funds brought
forward
16
253, 501
55,237
687, 175
995, 913
TOTAL FUNDS CARRIED
16
279,086
4,159
678,878
962, 123
11

TAFF WENALLT MINISTRY AREA
STATEMENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31 DECEMBER 2024
2023 SOFA
Notes
Unre8tricted Designated Restricted
funds
funds
funds
otal
2023
INCOME & ENDOTrIMWTS
Donations and legacies
Incorne f rorrL charitabLe
activities
Trading activities
Investtnents
151, 408
13,396
164,804
6,578
87,949
3,870
6,578
90,098
15,536
1, 508
9,720
641
1, 946
Total income
249,805
11,228
15, 983
277,016
EXPENDITURE ON:
Raising funds
Expenditure on
charitable activities
262,076
16,205
278,281
Total expenditure
262,076
16,205
278,327
NR T INCOME (EXPENDITUDE)
(12,271)
11,182
{222}
11,311)
TRANSFERS
C.7ross transfers betwccn
f unds
(44,802)
138
44,664
OTHER BECOGNISED GAINS/
(LOSSES)
Gains/ (losses) on
revaluation c)f
investments
10
4,404
4,404
157,0731
11,320
48,846
3,093
Reconciliation of funds .
Total funds brought
f orward
16
310, 574
43, 917
638,329
992,820
TOTAL FUNDS CARRIED
FORWARD
16
253, 501
55,237
687, 175
995, 913
12

TAFF WENALLT MINISTRY AREA
BALANCE SHEET
31 DECEMBER 2024
2024
Vnrestricted De$i9nated R•$tricted
funds
fund8
Total
funds
2024 BALANCE SHEET
Note8
FIXED ASSETS
Tangible f ixed asset
Invp. qtments
181,786
507,283 689,069
100,381 100,381
10
181,786
607, 664 789, 450
Debtors and prepayments 11
18,175
Cash at bank and in hand 12 100, 178
18,175
71,214 175,551
4,159
118,353
4,159
71,214 193,726
LESS: CURRENT LIABILITIES
Creditors and accruals
Loan frorn the
Representative Body
13
17,903
17,903
3,150
3,150
21,053
?.1, n53
NET CURSENT ASSETS
97,300
4,159
71,214 172,673
NET ASSETS
16 279,086
4,159 678,878 962, 123
Unrestricted f unds
Restricted funds
16 279, 086
16
4,159
283,245
678, 878 678,878
NET ASSETS
16 279,086
4,159 678,878 962,123
The financial statements on pages 12 to 29 were approved by the
Board of Tru3tees.
Trustee
Date
13

TAFF WENALLT MINISTRY AREA
BALANCE SHEET
31 DECEMBER 2024
2023
Tmrestrictsd De¥i¢wwted Restricted
fLmds
Total
2023 BALANCE SHEET
Notes
FIXED ASSETS
Tangible f ixed asset
Investments
190,451
508, 154 698, 605
93,763 93,763
10
190,451
601,917 792,368
CURRENT ASSETS
Debtors and prepayments 11
Cash at bank and in hand 12
17,020
60,306
4,129 21,149
81, 129 196, 672
55,237
77,326
55,237
85,2i8 217, 821
LESS . CURBENT LIABILITIES
Creditors and accruals
Loan f rom the
Representative Body
13
11,126
11,126
3,150
3,150
14,276
14,276
NET CUBRENT ASSETS
63,050
55.237
85,258 2C).3, 545
NET ASSETS
16 253,501
237 687,175 995,913
Unrestrict_g.d funds
Restricted funds
16 253, 501
16
55,237
308,738
687, 175 687,175
ET ASSETS
16 253, 501
55,237 687,175 995, 913
14

TAFF WENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
AccouwrING POLICIES
Sumllwry of signif icant accounting policies
accounting estuftates
and key
The
principal
accounting policies
applied
in
the
preparation of these f inancial statements
are
set
uut
below.
These policies have been consistently applied to
all the years presented, unless otherwise stated.
statement of compliance
The acrniints IEinancial statements) have bccn prepared in
accordance with Accounting and Reporting by Charities:
SLaLernent of Recommended Yractice ( SORP I
the provisions
of The Charities Act 2011 and the Church
in
Wales
Accounting Regulations.
b)
Basis of preparation
The accounts have been prepared under the hlstorical cost
convention with items recognised at cost or transaction
value unless otherwise stated in the relevant note{sl to
the￿e accounts.
Going concern
The financial statements have been prepared on the going
concern basis.
The trustees assess whether the use of going concern is
appropriate,
whether
there
are
any
material
uncertainties related to events or conditions that may
cast significant doubt on the ability of the charity to
continue as a <Joing concern.
The trustees make this
assessment in rp.spect of a period of one year frorn the
date of approval of the financial statements.
Classif ication of funds
d)
Funds are classified according to the manner in which
they are allowed to be spent.
Unrestricted funds deal with funds that can be spent
generally for furthering the religious and charitable
work of the Rectorial Benefice.
Designated funds are funds which have been set aside for
specific purposes but which can be returned to the
General Fund at any time if the trustees bo decide.
Restricted funds are funds whose use is restricted
according to the terms on which they were received.
Further details of each fund are described in note 16.
15

TAFF WENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
Incomo and ExPen￿ture
All known income and expenditure is reflected in the
consolidated staternent of f inancial activities.
Incoming resources
All incorning resources are included on the Staternent
of Financial Activities when the charity is legally
enEltled to
the
income
and the
quantif led with reasonable accuracy.
amount
can
Donations and lègaeies
Donations ale recognised when the charity has been
notified in writing of both the amount and settlement
date.
In the event that the donation is subject to
conditions that iequire a level of perforrnance by the
charity before the charity iq entitled to the funds,
the income is deferred and not recognised until either
those condition8 are fully met
or the fultilment of
those conditions is wholly within the control of the
charity and it is probable that these conditions will
be fulfilled in the reporting period.
Def erred income
Deferred incorne represents amounts received for future
periods and is released to incoming resources in the
period for which it has been received.
only deferred when:
Such incorne is
The donor specifies that the grant or donation must
only be used in future accounting periods," or
The donor has imposed conditions which tnust be met
bef ore the charity has unconditional entLtlernent.
Expenditure
All expenditure is recognised once there is a legal
or constructive obligation to that expenditure, it is
probable settleTnent is requi rpd and tFLe amount can be
measured reliabl y.
All costs are allocated to the
applicablc expenditilLe heading that aggregate sirnilar
costs
to that
category.
Where
costs
cannot be
directly attributed to particular headings they have
been allocated on a basis consistent with the use of
resources.
16

TAFF TrIENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMEwrs
YEAR ENDED 31 DECEMBER 2024
Charitable activities
Charitable expenditure comprises those costs incurred
by the charity in the delivery of its activities and
services for its benef iciaries.
It includes both
Gosts
that
can
be
activities
and those
allocated directly
to
such
costs
of
an
indirect
necessary to support them.
nature
Support costs
Support costs include central functions and have been
allocated to
activi ty
cost
categories
on
consistent with the use of resources.
ba313
Governance costs
The3e include the ivbts attributable to the charity's
compliance
with
constitutional
and
requirements,
statutory
strategic
including
independent
examination,
management
and
trubLees'
reirnbursed expenses.
meetings
ancl
f )
Tangible fixed assets
L)epreciation is provided on the c05t of tangible fixed
assets, apart from freehold propertyi at the following
rate in order to write off the cost of each asset, less
estimated residual value over its estullated useful life.
Church halls
BeTief ice of fice
Of f ice equipment
Of f ice f urniture
Chasubles and frontals
over 2 0 years
over 20 years
256 reducing balance method
256 reducing balance rnethod
IO% reducing balance rnethod
g)
Inves tments
Investments are stated in the balance sheet at their mid
market value at the balance sheet date.
All movements
in value arising from investment changes or revaluation
are recognised in the statement of financial activities.
Gains or 1033es on investnienLs disposed ol are calculated
as the difference between the disposal proceeds and the
carrying value of the investment.
Gains or losses on investments revalued are calculated as
the ditterence between the carrying value at the
beginning of the year and the end of the yea£.
17

TAFE TrIENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMEWTS
YEAR ENDED 31 DECEMBER 2024
h)
Debtors
Debtors are amounts due for merchandise sold or services
performed in the ordinary course of business.
Debtors
price.
rocognised
initially
at the
transaiLivii
They are subsequently measured less provision for
impairment .
A provision for the impairment of debtors is
established when there is objective evidence that the
charity will not be able to collect all
amounts due
accoLdiIig to the original terms of the receivables.
Cash and cash equivalents
Cash and cash equivalents comprise cash on hand and call
deposits, and otb.er short term highly liquid investrnents
that are readily cuiivertlble to a known amount of cash
and are subject to an insignifir.ant risk of change in
value.
Cre￿tOrS
rreclitors are obligations to pay £ui goods or services
that have
been
acquired
in
business trom suppliers.
the ordinary
courso
Accounts payable are classif led
as current liabilities if the charity does not have an
unconditional right, at the end of the reporting period,
to defer settlement of the creditor for at least twelve
months
the
reporting
aate.
If theLe
an
unconditional right to defer settlement for at least
Lwelve
months
atter
the
reporting date,
presented as non-current liabilities.
they
are
Creditors are recognised initially at the transaction
price and subsequently measured at amOrtI￿Cd cost Using
the ef f ective interest method, where applicable.
TAXATION
No taxation is payable by the charity for the year as it
is able to make use of the tax exemptions on income and
capital gains available to charities.
18

TAFF TrIENALLT MINISTRY ABE
NOTES TO THE FINANCIAL STATEME￿Is
YEAR ENDED 31 DECEMBER 2024
3. DONATIONS AND IEGACIES
Unrestrict. Desig. Restrict.
funds
funds
funds
Total
2024
Total
2023
Givingi of ferings,
donations & appeal3 12Jft454
HMRC receipts and
gift direct
Legacies
Non-recurring grants
1,036
126, 551
127, 684
29,903
2,441
8,673
29,903
2,441
8,673
33,457
1,000
2,663
166, 471
1,036
61
167.568
164, 804
4 . INcC￿E FROM CHARITABLE ACTIVITIES
Unréstrict.
funds
Desig. Restrict.
funds
funds
Total
2024
ToEal
2023
Wedding4T funeral.
burial and other
fees
8,207
8.207
6, 578
OTHER TRADING ACTIVITIES
Unrestrict. Desig. Restrict.
funds
funds
funds
Total
2024
Total
2023
Fund ra1￿Ing and otheL
f unds generated
Hall and building
33,231
rental incorne
share rebate
889
2.861
.36. q81
21,479
53,241
9,993
53,241
9, 993
45,606
23,013
96,465
889
2,861
IOQ,215
90,098
. INVESTMENTS
UnrÈ3trict. Desig. Restrict.
funds
funds funds
Total
2024
otal
2023
Inveb Lment income
Bank interest
Rent f rorn investment
property
30
5,0?.1
2,052
2,082
5,021
1,974
3,842
15, 930
15,930
9, 720
20,981
2,052
23,033
15,536
19

TAFF WENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
7 . EXPENDITURE ON CHARITABLE ACTIVITIES
Unrestriet. Desig. Restrict.
funds
funds
funds
Total
2024
Total
2023
Maintenance
of ministry..
156, 162
15, 115
Clergy expenses
156, 162
15, 115
151, 705
12,074
Maintenance
of service8:
Vergcr, Choir,
music and organ
other maintenance
of services
11, 875
181
12,056
4.Qll
649
649
4,367
General Area
expenses .
Salaries and tees
Depreciation
Other general Area
expenses
18,179
6, 030
18,179
9,536
24,259
10,615
3. 506
11,218
11,218
11,149
Maintenance of
churches:
Light, heaE & water
Insurance
Repairs and
maintenance
8,376
4,253
8,376
4,253
10,713
4,135
15,777
4,983
3, 900
24,660
7,419
Maintenance of
property:
Light, heat and
water
Insurance
Najor building
repairs
Repairs and
Illdintenance
Other maintenance
of property
12,093
7,246
12,093
7,246
14,544
5,780
13, 343
10,000
1,860
25,203
io, ooi
5, 017
15, 018
5,575
7, 956
7,956
8,589
ssion
4,886
2,508
7,394
3,392
303, 159
20.000 11,955
33.fj,114
278,327
NET INCOMING (OUTGOING) RESOURCES
Net resources are stated after charging:
2024
2023
Ind¥pviiiJent examlnatlon fees
Accountancy f ees
Depreciation
owned assets
1,850
2,250
9,536
1,750
2,150
10,615
20

TAFF WENALLT MINISTRY ARE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
TANGIBLE FIXED ASSETS
Chasubles,
f rontals ,
of f ice
equipment,
fixtures &
f ittings
Freehold
property
Total
Costs-
At l January 2024
Additions
Di3P03als
734, 714
127,867
862,581
At 31 Decentser 2024
734, 714
127, 867
862,581
Depreciation:
At l January 2024
Charge f or year
On disposals
75,133
3,404
88,843
6, 132
163,976
9,536
At 31 Decernl)er 2024
78ii37
94,975
173,512
Net Book Value:
At 31 December 2024
656, 177
32,892
689, 069
At 31 Decernber 2023
659,581
39, 024
698, 605
The fixed asset balances wprp. as follows: unrestricted fund
£181,786 12023: £190,451) and restricted fund £507,283 12023:
£508, 1541
The freehold properties of the Benefice
(now Ministry Slreal
were
professionally valued during the year ended 31 DeceTnber 2004 and
these revaluations were reflected in the finann.ial statements during
that year.
The properties currently owned were valued at £635, 000 at that date.
The value of these properties was increased by £499,550 over cost
with the creation of a revaluation reserve.
21

TAFF WENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
10.
2024
2023
Valuation at l January
CTF income received
CIF income paid out
Surplus on revaluation
93, 763
2, 053
91,542
1,946
(4,1291
4,404
4,565
Valuation at 31 Dece￿)er
100,381
93,763
Represented by:_
hares in Coll￿On Investment Fund
Cash awaiting investrnent
87,909
12,472
83,343
10,420
100,381
93, 763
Shares in Common Investment Fund are valued at mld-market
price on 31 DeCen￿er. All investments related to
restricted funds in both 2024 and 2023.
11.
DEBTORS AIID PBEPAYMwrs
2024
2023
Debtors and accrued income
Prepayments
15,494
2,681
18,865
2,284
18,175
21, 149
Debtors and prepayments were as follows: unrestricted
funds £18,175 {2023: £17,0201 and restricted funds £nil
12023: £4,129)
12.
Cash and bdILk balances were as lollows: unrestricted
funds £104,337 (2023: £115,543) and restricted funds
£71,214 (2023: £81,129)
13.
CREDITORS AND ACCRUALS
2024
2023
Creditors
Accruals
11,539
6,364
6,441
4,685
17.903
11,126
Creditors and accrual- were as follow5: unLestiicLed
funds £17, 903 12023: £11,126) and restricted funds £nil
(2023: £nil)
22

TAFF TrJENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
14.
ANALYSIS OF NET ASSETS BETWEEN FUNDS
Tangible
fixed assets
and investments
Net
current
assets
Total
Restricted funds
Unrestricted funds
607, 664
181,786
71,214
122,512
678, 878
283,245
189,450
193,726
962,123
Unrealised gaiiib
included above
Freehold property
Investments
499, 550
41.864
499,550
41,864
Total unrealised gain3
at 31 Decernber 2024
541,414
541,414
15.
2024
2023
Ministry Area
SL Mary, s Church
St. Thornas, Church
All Saints, Church
All Saints, Church Llandaff North
Central
829,517
60,871
16,243
45, 978
9,514
837,736
63, 696
58,133
26,062
10,286
962, 123
995, 913
23

TAFF WENALLT MINISTRY AREA
NOTES TO THE FINANCIAL sTATEmE￿rs
YEAR ENDED 31 DECEMBER 2024
16.
Current Year
Balance
01.01.24
Incoming Resources
resources expended
and reval .
T/fers
Balance
31.12.24
Unrestrictéd
funds . _
General f und
253, 501
Designated fund 55, 237
292,124
1, 925
(303,159) 36, 620
{20,000) 133, 0031
279,086
4,159
.Br)8. 738
294,049
1323, 1591
3, 617
283,245
RestLicted funds . _
Central .
Freehold prop. 490, 669
490, 669
Area Of f ice
16,479
18281
15, 651
Disposal of
properties
22,403
22,403
Investrnents
96, 501
6,553
13. 916)
99, 138
Youth club
1,295
220
{620)
895
Hand Bell
Ri ngers
441
441
st Thomas, .
Church hall
refurbishment
239
(239)
Friends
1, 18?.
(1,182)
Charities
358
60
(250)
168
St Mary's:
Church hall
ref urbishrnent
1,271
953
Maintcnance
Churchyard
716
Church & hall 47,721
716
41,478
16,243)
Investments
1.177
65
1.24?.
Charities
2,249
2,249
Balance c/fwd: 682, 260
7.339
{9,6801
(3, 916) 676,003
24

TAFF 14ENALLT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMEwrs
YKAR ENDED 31 DECEMBER 2024
Current Ygar
Balance
Incoll￿ng ResouLces
resources expended
and reval .
T/£eTS
Balance
31.12.24
01.01.24
Restricted
Funds (eontl d) .
Balance b/fwd 682, 260
7,339
19,6801
(3, 916)
676,003
All Saints,
Cliurch build.
1,860
(2,0781
655
Clearwater proj .
646
728
11,650)
276
Organ fund
2,000
2,000
Hand bell
Ringers
806
(441)
(356)
(9>
Ukraine
370
53
1455)
32
Bequests and
collections
220
220
687, 175
9,539
(14,2191 {3,617)
678, 878
Total f unds
995, 913
303, 588
{337,378)
962, 123
25

TAFF WENAILT MINISTRY AREA
NOTES TO THE FINANCIAL STATEMEwrs
YEAR ENDED 31 DECEMBER 2024
16.
Previous Year
Balance
01.01.23
Incoming Resources
resources expended
and reval .
T/fers
Balance
31.12.23
Unrestrictsd
funds ". -
General f und
310,574
Designated fund 43, 917
249, 805
11,228
(262,076) (44,802) 253,501
(46)
138
55,237
354,491
261.033
1262,122) (44, 664) 308,738
Restricted funds . _
Central .
Freehold prop. 491, 675
{1,006) 490,669
Area Of f ice
17,986
11.5071
16, 479
r)i.qposal of
properties
22,403
22,403
Invest.rnents
90,427
6, 074
96,501
Yvuth club
1,295
1,295
st Thomas, .
Church hall
ref urbishment
15211
760
239
Friends
658
24
500
1,182
Grants
500
1500}
Charities
238
120
358
st Mary, s:
Church hall
ref urbishrnent
1,775
(504)
1,271
Maintenance
Lhurchyard
ChLirch & hall
1,292
1,274
8,375
(1,8501
16,637)
716
47, 121
45, 983
Investments
1,190
62
(75)
1, 177
Organ fund
970
(970)
Grants
1.500
1,290
{2,790}
Charities
2,216
1213}
246
2,249
Balance c/fwd: 632, 830
18,514
114,097}
45, 013
682,260
26

TAFF WENALLT MINISTRY AIIEA
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
Previou8 Year
Balance
01.01.23
Inc(Jlling Resources
resources expended
and reval .
T/fers
Balance
31.12.23
Restricted
Funds (contl d) .
Balance b/fwd 632, 830
18,514
(14,097) 45,013
682,260
All Saints, .
Church build.
873
873
Clearwater proj .
294
1,078
1726>
646
Organ fund
2,000
2,000
Hand bell
Ringers
845
13YI
806
Ukraine
1,267
657
12,069)
515
370
Bequests and
collections
220
138
{138)
220
638,329
20,387
116,205)
44,664
687,175
Total funds
992,820
281, 420
1278,3271
995,913
17.
MINISTRY AREA ACCUMUIATED FUND
2024
2023
C7P.ne.ral reserves-
Balance b/fwd
Deflcit £or the year
459,064
(38,355)
460,375
(1,311)
Balance c/fwd
420,709
459, 064
Revaluation reserve=
Balancè b/£wd
Revaluation during year
536,849
4,565
532, 445
4,404
Balance c/fwd
541,414
536,849
Cornbined reserves
962,123
995,913
27

TAFF TrIENALLT MINISTRY ABE
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER 2024
18.
ANALYSIS OF NET CASH AND BANK FUNDS
At a January
2024
At 31 December
2024
Cashf low
Cash at bank and
in hand
196, 672
121,1211
175, 551
196, 672
(21,121)
175,551
At a January
At 31 December
2023
Cashf low
2023
Cash at bank and
in hand
214,765
(18,093)
196, 672
214,765
{18,093)
196, 672
19.
CAPITAL COMMITMEwrs
There were no capital COn￿￿LtMentS at 31 DeCell￿er 2024
12023
nil)
20.
CONTINGENT LIABILITIES
There were no contingent liabilities at 31 December 2024
(2023
nil)
28