The Parochial Church Council of The Ecclesiastical Parish of St Peter & St Paul, Mansfield
Annual Report and
Financial Statements
for the year ended 31st December 2022
1
Index
| Annual Report | 1 - 7 |
|---|---|
| Independent Examiner’s Report | 8 |
| Statement of Financial Activities | 9 |
| Balance Sheet | 10 |
| Notes to the Financial Statements | 11-19 |
2
Administrative information
The Parochial Church Council (PCC) of the Ecclesiastical Parish of St Peter & St Paul, Mansfield is registered as a charity, number 1130303. Its working name is St Peter & St Paul’s PCC, Mansfield.
The Parish Church of St Peter & St Paul, including its principal office, is situated in Church Side, Mansfield, Nottinghamshire, NG18 1AP. It is part of the Diocese of Southwell & Nottingham within the Church of England.
The charity trustees are members of the PCC who are either ex-officio or elected by the Annual Parochial Church Meeting in accordance with the Church Representation Rules. PCC members who have served from 1st January 2022 until the date on which this Report was approved are:
Ex Officio members:
Incumbent Rev Dr C J Phillips Curate Rev P A Scott Associate Priest Rev Dr J Curry Churchwarden Mr K Allsop Mrs T Barnes (from 22.05.22) Reader Miss M S Tate
Representatives on the Deanery Synod Ms J McIntyre Mrs C Mackie (from 22.05.22) Elected Members: Mrs J E Allen Miss S E Clarkson Mr J E Hooton (Treasurer) Mr M Jones (Deputy Churchwarden from 22.05.22) Mr M Newman (Deputy Churchwarden) Mr G Parker Ms C J Ramsdale Mr I A Robinson (Vice Chairman, Deputy Churchwarden) Mrs J L Robinson Mr V H Slaney Mrs H Parker (from 22.05.22, Treasurer from 27.09.22) Mrs L Alvey (from 22.05.22)
Co-opted members: None
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Structure, governance, and management
The charity is governed by the Parochial Church Council Powers Measure (1956) as amended and Church Representation Rules.
The method of appointment of PCC members (charity trustees) is set out in the Church Representation Rules. At St Peter & St Paul’s Church the membership of the PCC consists of the incumbent, licensed clergy, churchwardens, reader representative, Deanery Synod representatives and members elected by those members of the congregation who are on the electoral roll of the church. All those who attend our services are encouraged to register on the electoral roll and stand for election to the PCC.
The PCC members are responsible for making decisions on all matters of general concern and importance to the parish including deciding on how the funds of the PCC are to be spent. The full PCC met 6 times. There was an average attendance of 16 (average membership 18).
Given its wide responsibilities the PCC also operates through several sub-committees, which meet between full meetings of the PCC. They report back to the full PCC and all matters are discussed where necessary.
Standing Committee
This is the only committee required by law. It has power to transact the business of the PCC between its meetings, subject to any directions given by the Council. The Standing Committee met 6 times during the year on Zoom.
Centre Management Committee
manages all aspects of St. Peter’s Centre.
Ministry team
discusses worship and organises services. It deals with parish ministry including pastoral care.
Social Committee
plans events to encourage fellowship and raise income
Vision Team
Maintains our focus on the 4 priorities of our Vision
Aim and purposes
St. Peter’s PCC has the responsibility of co-operating with the Incumbent in promoting in the ecclesiastical parish the whole mission of the Church, pastoral, evangelistic, social, and ecumenical.
The PCC is also responsible for the maintenance of St Peter’s Centre, Church Side, Mansfield.
The PCC also supports the relationship between the church and St Peter’s Church of England Primary Academy.
Objectives and activities
The PCC is committed to nurturing people in the Christian faith and enabling as many people as possible to worship and become part of our parish community at St Peter’s. The PCC oversees worship throughout the parish and aims to involve the many groups that live within our parish. Our services and worship put faith into practice through word, sacrament, and prayer.
When planning activities, the Incumbent and the PCC have considered the Charity Commission’s guidance on public benefit and the specific guidance on charities for the
4
advancement of religion. We try to enable ordinary people to live out their faith as part of our parish community through:
-
Worship, prayer, and small groups, learning about the Gospel and developing their knowledge and trust in Jesus.
-
Provision of pastoral care for people living in the parish and on its electoral roll.
-
oMission and outreach work.
To facilitate this work, it is important that we maintain the fabric of the Church of St Peter and St Paul and St Peter’s Centre.
Public benefit
St. Peter and St. Paul’s is a charity below the audit threshold. The above religious activities conform to the guidance of the Charity Commission on charities for the advancement of religion, showing identifiable benefits to the wider public in that they are all open to any members of the public who wish to join. In normal times it is believed that they may be encouraged by means of wide publicity in the surrounding area, including circulation of the monthly magazine, online communication and social events.
Achievements and performance
Worship and prayer
The PCC is keen to offer a range of services during the week and over the course of the year that our community find beneficial and spiritually fulfilling. Regular services are held, either in church or electronically, on Sunday, Wednesday, and Thursday. We hold regular informal worship events which are suitable for people of all ages and all stages of faith. In 2022 we held St Peter’s Praise services online, monthly ‘Everyone Together’ (all-age) services and café Church worship on several occasions.
On 1st January 2021 there were 162 people on the Electoral Roll, of whom 115 did not reside in the parish. 7 names were removed during 2022, all due to death. On 31st December 2022 there were 155 people on the Electoral Roll, of whom 111 did not reside in the parish. The average weekly attendance, counted during October, was 65 adults and 2 children in-person plus an average of 61 online views, although this number rose when counting special services like schools, baptisms, and funerals.
As well as our regular services, we enable our community to celebrate and thank God at milestones of the journey through life. Through baptism we thank God for the gift of life, in marriage public vows are exchanged with God’s blessing and through funeral services friends and family express their grief and give thanks for the life which is complete in this world and to commend the person into God’s keeping. In 2022 we have celebrated 24 baptisms, 3 weddings and 13 funerals at church with a further 32 held at the Crematorium or Cemetery.
The continuing challenges of 2022 meant that some of our usual “special” services could not be held. St Peter’s Academy and King Edward’s School were not able to make most of their usual visits for Easter and Harvest however, we were glad to welcome both schools back for Christmas. Despite these difficulties, the clergy supported school worship by giving assemblies either in person or online.
St Peter’s was pleased we could once again offer a full programme of in-person and online worship over Holy Week.
Deanery Synod
Two members of the PCC have sat on the deanery synod. This provides the PCC with an important link between the parish and the wider structures of the church.
5
The Church buildings
We have traditionally kept the church open six days a week, to enable the community to visit for private prayer. This changed during lockdown and the church building is now open to the public every Wednesday and Thursday mornings, in addition to other ad hoc occasions during the week.
The church building is kept in a good state of repair. Surveys take place at five-yearly intervals and such maintenance and repair work as is advised is carried out on a planned basis. A reserve fund is maintained to enable such work to be paid for without having to make urgent financial appeals. A separate report on the church Buildings and Ornaments will be made at the Annual Meeting.
St Peter’s Centre is also maintained in a planned way based on architect’s reports. An employed manager along with several willing volunteers, to whom we are greatly indebted, enable us to maximise income from letting rooms. Spaces in the car park are also let. Income from both sources goes towards the costs of running St Peter’s Centre to enable it to remain open for use by the church groups and our community. The use of the Centre had been temporarily impacted by restrictions put in place because of the Covid-19 pandemic however, during 2022 it has started to thrive again.
Pastoral care
Some members of our parish are unable to attend church due to sickness or age. They are offered visits and holy communion at home or in hospital by the ministry team. Some members of our electoral roll have also been supported by telephone, regular mailings and online contact. We also welcome many ad hoc visitors who make contact in search of spiritual support.
St Peter’s Centre is used by several groups connected with our church including Sunday Kids, Scouts, Guides, CAMEO, Mothers Union, Drama and Social groups.
Mission and Evangelism
St Peter’s supports the Hall Homeless Project, which reaches out to the homeless and vulnerable of our community. St Peter’s Foodbank (a satellite site of Sherwood Forest Foodbank in Mansfield Woodhouse) operates from the church building every Wednesday. In November 2022, we launched a weekly ‘Warm Space’ called Wednesday Warm Welcome, which offers free drinks and snacks in a warm, friendly environment.
A monthly parish magazine is delivered to subscribers and copies are sent to a local newspaper and two radio companies and are available in Mansfield library, St Peters Centre and in our church. The magazine keeps subscribers informed of important matters affecting our church and includes articles that help develop our knowledge and trust in Jesus.
Ecumenical relationships
Links with the members of the parish of St Mark, Mansfield have continued. Rev Caroline Phillips and Rev James Curry led worship at each other’s churches each quarter. Our church is a member of Churches Together in Mansfield, and we were pleased to host the annual ecumenical service for the Week of Prayer for Christian Unity once again, following a break due to the pandemic.
6
Finances
During 2022 total incoming resources amounted to £202,405. Resources expended totalled £192,760 resulting in net incoming resources of £9,645. There was a sale of shares in November to supplement the general account and a decrease on the book value of fixed and investment assets and so there was a net decrease of £41,605.
Included in the overall results the General Fund showed a deficit of £18,759. It was for this reason that a sale of share holdings was undertaken in November to supplement the general reserves going in to 2023 bringing the General Reserve to £11,663.
The trustees acknowledge that the value of the investments were significantly impacted by the economic crisis during 2022 as a result of the war in Ukraine, political instability and the cost of living crisis. These circumstances are likely to continue during 2023 and as such are actively considering ways in which we can bolster our income. This has included the launch of an online giving campaign. It is also intended that a Promise Programme will be held later this year.
Reserves
The charity needs reserves to enable it to continue to meet its ongoing commitments. The policy of the trustees is to maintain sufficient reserves to fund the fixed assets of the PCC and to provide adequate working capital. Voluntary income and fundraising can be both unpredictable and variable whilst expenditure tends to continue at a steadily increasing level.
The trustees are aware that, in being responsible for the continuing maintenance of listed buildings (both St Peter & St Paul’s Church and St Peter’s Centre), significant expenditure can arise at short notice. The trustees must plan to meet such expenditure and therefore sums are set aside to meet future major expenditure on the fabric of the church building and St Peter’s Centre building.
The level of total reserves is appropriate to the current situation and requirements of the charity. This policy is reviewed annually.
The trustees declare that this report has been approved by the Parochial Church Council.
Signed on behalf of the charity’s trustees.
Rev. Dr. C Phillips
Rev Dr Caroline Phillips (Chair)
H. Parker
Heather Parker (Treasurer)
26th March 2023
7
The Parochial Church Council of The Ecclesiastical Parish of St Peter & St Paul, Mansfield
Independent examiner’s report to the trustees of (parochial church council) of The Ecclesiastical Parish of St Peter & St Paul, Mansfield – charity number 1130303
I report to the trustees on my examination of the accounts of The Ecclesiastical Parish of St Peter & St Paul, Mansfield (“the Charity”) for the year ended 31[st] December 2022.
Responsibilities and basis of report
As the trustees of the Charity you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).
I report in respect of my examination of the Charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner’s statement
I have completed my examination.
I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
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accounting records were not kept in respect of the Charity as required by section 130 of the Act; or
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the accounts do not accord with those records; or
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the accounts do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair view’ which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Signed: R Shaw
Name: Richard Shaw
Relevant professional qualification or membership of professional bodies: Association of Chartered Certified Accountants (ACCA)
Address: Beeley Hawley & Co., 42-44 Nottingham Road, Mansfield, NG18 1BL
Date: 19 May 2023
8
Statement of Financial Activities for the year ended 31[st] December 2022
| Unrestricted Designated Restricted Endowment 2022 2021 |
|
|---|---|
| Incoming resources Incoming resources from generated funds Voluntary income 2a 72,269 22,911 - - 95,180 190,845 Activities for generating funds 2b 1,065 10,361 - - 11,426 52,757 Investment income 2c 27,921 1,218 2,116 - 31,255 27,407 Church Activities 2d 4,040 60,504 - - 64,544 5,974 Total income 105,295 94,994 2,116 - 202,405 276,983 Resources used Costs of generating voluntary income 3a 97 - - - 97 198 Fundraising trading: cost of goods sold and other costs 3b 4,811 - - 4,811 3,082 Investment management costs 3c 3,591 - - 3,591 6,486 Charitable activities 3d 120,373 62,718 464 - 183,555 224,407 Governance costs 3e (8) 423 291 - 706 2,335 Total expenditure 124,054 67,952 755 - 192,760 234,264 Net income / (expenditure) resources before transfers (18,759) 27,043 1,361 - 9,645 42,719 Transfers Gross transfers between funds - in 254 350 - - 604 37,395 Gross transfers between funds - out (350) (254) - - (604) (37,395) Other recognised gains / losses Gains/losses on revaluation of investment assets 7 15,000 (38,257) - (19,452) (42,709) 65,906 Gains/losses on investment assets - 6,459 - - 6,459 - Net movement in funds (3,855) (4,659) 1,361 (19,452) (26,605) 108,624 Total funds brought forward 15,518 338,730 315,952 645,248 1,315,447 1,206,823 Total funds carried forward 11,663 334,071 317,313 625,796 1,288,843 1,315,447 |
The notes on pages 11 to 19 form part of these accounts
9
Balance Sheet
| At | At |
|||||
|---|---|---|---|---|---|---|
| **Unrestricted ** | **Designated ** | **Restricted ** | Endowment | 31/12/2022 | 31/12/2021 | |
| £ | £ | |||||
| Fixed assets | ||||||
| Tangible Assets 6 |
- | - | 100,000 | - | 100,000 | 100,000 |
| Investments 7 |
- | 112,893 | - | 625,796 | 738,689 | 789,939 |
| - | 112,893 | 100,000 | 625,796 | 838,689 | 889,939 | |
| Current assets | ||||||
| Debtors 9 |
5,837 |
3,883 | - | - | 9,720 | 11,279 |
| Cash At Bank And In Hand |
10,498 | 222,094 | 217,313 | - | 449,905 | 424,339 |
| 16,335 | 225,977 | 217,313 | - | 459,625 | 435,618 | |
| Liabilities | ||||||
| Creditors: | ||||||
| Amounts Falling | ||||||
| Due In One | 4,672 | 4,799 | - | - | 9,471 | 10,109 |
| Year | ||||||
| 10 | ||||||
| 4,672 | 4,799 | - | - | 9,471 | 10,109 | |
| Net current assets |
11,663 | 221,178 | 217,313 | - | 450,154 | 425,508 |
| Net assets | 11,663 | 334,071 | 317,313 | 625,796 | 1,288,843 | 1,315,447 |
| Total Funds | 11,663 | 334,071 | 317,313 | 625,796 | 1,288,843 | 1,315,447 |
Approved by the Parochial Church Council on 26th March 2023 and signed on its behalf by:
Rev. Dr. C Phillips
Rev Dr Caroline Phillips (Chair)
H. Parker
Heather Ruth Parker (Treasurer)
The notes on pages 11 to 19 form part of these accounts
10
St Peter & St Paul’s PCC, Mansfield
Notes to the Financial Statements for the year ended 31[st] December 2022
1. Basis of preparation and Accounting policies
These financial statements have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant notes to these financial statements.
The financial statements have been prepared in accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities preparing their financial statements in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and with the Charities Act 2011.
The financial statements include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of church groups that owe their main affiliation to another body, nor those that are informal gatherings of church members.
Funds
Endowment funds are funds, the capital of which must be maintained. Income arising from investment of the endowment may be used either as restricted or unrestricted funds depending upon the purpose for which the endowment was established.
Restricted funds represent (a) income from trusts or endowments which may be expended only on those restricted objects provided in the terms of the trust or bequest and (b) donations or grants received for a specific object or invited by the PCC for a specific object. The funds may only be expended on the specific object for which they were given. Any balance remaining unspent at the end of each year must be carried forward as a balance on that fund. The PCC does not necessarily invest separately for each fund. Where there is no separate investment, interest is apportioned to individual funds.
Designated funds are general funds which have been allocated by the PCC for a particular purpose but may, subject to resolution of the PCC, be re-allocated for a different purpose.
Unrestricted funds are general funds which can be used by the PCC for ordinary purposes.
Incoming resources
These are recognised and included in the Statement of Financial Activities (SOFA) when:
-
the charity becomes entitled to the resources;
-
the trustees are virtually certain they will receive the resources; and
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the monetary value can be measured with sufficient reliability.
Where incoming resources have related expenditure (as with fund-raising income) the incoming resources and related expenditure are reported gross in the SOFA.
Grants, legacies and donations are only included in the SOFA when the PCC has unconditional entitlement to the resources. Planned giving, collections and donations are recognised when received.
Where moneys are collected on behalf of other charities and are immediately paid over, both receipts and payments are excluded from these statements.
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Income tax recoverable on Gift Aid donations is recognised in the same accounting period as the gifts to which they relate.
Dividends and interest are accounted for when receivable. All incoming resources are accounted for gross.
Resources expended
Liabilities are recognised as soon as there is a legal or constructive obligation committing the PCC to pay out resources.
Grants and donations are accounted for when paid over, or when awarded, if that award creates a binding or constructive obligation on the PCC. The diocesan parish share is accounted for when due. All other expenditure is generally recognised when it is incurred and is accounted for gross.
Fixed assets
Consecrated and benefice property is not included in the accounts in accordance with s.10(2)(a) of the Charities Act 2011.
Movable church furnishings held by the vicar and churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property, listed in the church’s inventory, which can be inspected (at any reasonable time).
Freehold properties held for the PCC's own use are carried in the balance sheet at the trustees’ best estimate of fair value on the open market as at the year end. Freehold land and freehold buildings are dealt with separately. In view of the considerable restrictions on the use of the buildings, their situation within a Conservation area, their Grade II Listed status and the PCC’s policy of maintaining the building the PCC has determined that both the annualised and cumulative depreciation provisions are immaterial and so no depreciation is charged. An annual review for any identifiable impairment of each asset’s service potential is made and any significant reduction in the asset’s value is written off in the Statement of Financial Activities.
Equipment costing or valued at £1,000 or more when acquired is depreciated on a straightline basis over 4 years. Individual items of equipment with a purchase price of less than £1,000 are written off as acquired.
Investment assets are included in the balance sheet at the trustees’ best estimate of their fair value on the open market. Any gains or losses arising on annual revaluation are transferred to the Statement of Financial Activities.
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| General Designated Restricted 2022 2021 45,220 - - 45,220 47,882 3,156 - - 3,156 3,735 13,728 - - 13,728 14,679 5,734 - - 5,734 4,292 3,524 2,101 - 5,625 15,497 505 1,000 - 1,505 15,320 266 19,810 - 20,076 89,028 - - - - 316 136 - - 136 95 72,269 22,911 95,180 190,844 1,065 5,357 - 6,422 4,750 - 5,004 - 5,004 18,078 1,065 10,361 11,426 22,828 13,764 - - 13,764 14,535 6 1,218 1,386 2,610 176 14,150 - 730 14,880 12,695 1 - - 1 1 27,921 1,218 2,116 31,255 27407 - 51,090 - 51,090 22,669 - 9,414 - 9,414 7,261 4,040 - - 4,040 5,974 4,040 60,504 64,544 35,904 105,295 94,995 2,116 202,405 276,983 |
||
|---|---|---|
| 2 Income 2a Voluntary Income Planned giving (bank) Planned giving (envelopes) Tax refunds Collections (open plate) Donations Grants Legacies Subscriptions Candle box 2b Activities for Generating Funds Fund-raising Trading Sales 2c Income fromInvestments House rents Bank interest Dividends Interest on short term deposit 2d Church Activities Centre room rents Car park rents Church Fees Incoming Total |
13
| General Designated Restricted 2022 2021 |
General Designated Restricted 2022 2021 |
|
|---|---|---|
| 3 Expenditure 3a Costs of Generating Voluntary Income Stewardship expenses 97 - - 97 198 97 97 198 3b Fundraising Trading Costs Fund raising and trading costs - 4,811 - 4,811 3,082 4,811 4,811 3,082 3c Investment Management Costs Investment Property Costs 3,591 - - 3,591 6,486 3,591 3,591 6,486 3d Charitable Church activities Donations - overseas relief - - - - 15 Donations - home mission - - - - 50 Donations - secular charities - - - - 250 Diocesan Parish share 81,372 - - 81,372 56,628 Ministry expenses 1,645 - - 1,645 1,427 Volunteers expenses 635 - - 635 280 Church running and maintenance 24,785 - 344 25,129 18,682 Service Expenses 2,273 1,045 120 3,438 4,858 Mission costs - 50 - 50 20 Group activities - - - - 517 Centre running costs - 18,391 - 18,391 80,772 Salaries 7,853 41,987 - 49,840 56,024 Administration 1,809 1,245 - 3,054 4,884 120,373 62,718 464 183,555 224,407 3e Governance costs Independent Examination fee -8 - - -8 400 Architect fees - 423 291 714 1,935 -8 423 291 706 2,335 Expenditure Total 124,054 67,952 755 192,760 234,264 |
||
| 97 97 198 |
||
| - 4,811 - 4,811 3,082 |
||
| 4,811 4,811 3,082 |
||
| 3,591 - - 3,591 6,486 |
||
| 3,591 3,591 6,486 |
||
| - - - - 15 - - - - 50 - - - - 250 81,372 - - 81,372 56,628 1,645 - - 1,645 1,427 635 - - 635 280 24,785 - 344 25,129 18,682 2,273 1,045 120 3,438 4,858 - 50 - 50 20 - - - - 517 - 18,391 - 18,391 80,772 7,853 41,987 - 49,840 56,024 1,809 1,245 - 3,054 4,884 |
||
| 120,373 62,718 464 183,555 224,407 |
||
| -8 - - -8 400 - 423 291 714 1,935 |
||
| -8 423 291 706 2,335 |
||
| 124,054 67,952 755 192,760 234,264 |
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4 Staff Costs
| 4 Staff Costs | ||
|---|---|---|
| 2022 | 2021 | |
| Salaries | 47,561 | 52,818 |
| Social Security Costs | 1,627 | 2,296 |
| Pension Costs | 652 | 910 |
| 49,840 | 56,024 |
Average Number of Full Time equivalent employees in the year 3.16 2.65
During 2022 the PCC employed an office secretary, centre manager, centre caretaker and assistant caretaker.
There were no employees with emoluments over £60,000. There were no other disclosable transactions in respect of PCC members or persons closely connected with them or other related parties. No adjustment has been made for any holiday pay due to employees but not taken at the year end. Holiday pay accrues over a 12 month period ending on 31st March. Holiday is taken at times which are mutually agreed and these are normally spread over the year. In the opinion of the PCC any holiday which has accrued but not yet been taken at any time is immaterial.
5 Related Parties
A small immaterial portion of the expenses paid to the incumbent may have related to her services as chair of the PCC. No other payments or expenses were paid to any other PCC member, persons connected with them or related parties.
6 Tangible Fixed Assets
| Cost/valuation Valuation at 1st January 2022 at 31st December 2022 Depreciation at 1st January 2022 charge for the year at 31st December 2022 Net book value at 1st January 2022 at 31st December 2022 |
Freehold Freehold Land Building £ £ 50,000 50,000 |
Equipment Total £ £ 100,000 |
|---|---|---|
| 50,000 50,000 |
0 100,000 |
|
| 50,000 50,000 |
0 0 |
|
| 0 0 |
||
| 0 100,000 0 100,000 |
||
| 50,000 50,000 |
The freehold land and building comprise St Peter's Centre, Church Side, used as a community centre and church hall.
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7 Investment fixed assets
| Property, 4 Baums Lane, Mansfield Property, 85 Delamere Drive, Mansfield 13534.23 CBF Investment fund shares 5463.96 CBF Investment fund shares 1496.42 CBF Investment fund units 81 CBF Investment fund units 71.06 CBF Investment fund units Movements in the year Market value at 1 January 2022 Disposal Proceeds Realised gain Net (loss)/gain on revaluation Market value at 31 December 2022 |
Original cost £ 32,898 22,380 149,132 65,302 3,082 457 375 |
2022 2021 Market Income Original Market value cost value £ £ £ £ 111,100 6,564 32,898 107,500 201,000 7,200 22,380 182,200 279,636 10,304 149,132 316,945 112,893 3,797 73,843 144,691 30,918 686 3,082 35,043 1,674 37 457 1,896 1,468 56 375 1,664 |
2022 2021 Market Income Original Market value cost value £ £ £ £ 111,100 6,564 32,898 107,500 201,000 7,200 22,380 182,200 279,636 10,304 149,132 316,945 112,893 3,797 73,843 144,691 30,918 686 3,082 35,043 1,674 37 457 1,896 1,468 56 375 1,664 |
|---|---|---|---|
| 273,626 | 738,689 28,644 282,167 |
789,939 | |
| 2022 £ 789,939 (15,000) 6,459 (42,709) 738,689 |
2021 £ 724,033 65,906 789,939 |
8 Leases
The investment properties at 4 Baums Lane, Mansfield and 85 Delamere Drive, Mansfield are let through agents on shorthold tenancies. The gross rents receivable at 31st December 2022 were £550 and £630 per calendar month respectively
9 Debtors
| Debtors Prepayments 0 Liabilities: amounts falling due within one year Creditors Accruals |
2022 2021 £ £ 9,720 10,919 - 360 9,720 11,279 |
|
|---|---|---|
| 2022 2021 £ £ 9,470 9,701 - 408 9,470 10,109 |
10 Liabilities: amounts falling due within one year
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11 Fund Details
| Fabric fund- (income restricted for fabric repairs) 1496.42 CBF Investment fund units Hameyer Trust fund- (income designated for service expenses) 81 CBF Investment fund units PCC Capital fund- (income unrestricted) Property - 4 Baums Lane Property - 85 Delamere Drive 13534.23 CBF Investment fund shares SDBF Chancel fund- (income restricted for chancel repairs) 71.06 CBF Investment fund units Children fund- (capital and income restricted for children) Cash at bank and in hand Fabric fund- (capital and income restricted for fabric repairs) Short-term deposits Cash at bank and in hand PCC Capital fund- (income unrestricted) Property - St Peter's Centre SDBF Chancel fund- (accumulated income restricted for chancel repairs) Short-term deposits Special Projects fund- (fund raising for defibrulator) Cash at bank and in hand |
2022 2021 £ £ 30,918 35,043 1,674 1,896 111,100 107,500 201,000 182,200 279,636 316,945 1,468 1,664 |
|---|---|
| 626,224 645,248 |
|
| 2022 2021 £ £ 6,183 6,303 210,559 209,604 - -571 100,000 100,000 415 366 156 250 |
|
| 317,313 315,952 |
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12Movement of the major funds General fund Incoming resources Transfers in Resources used Net movement in fund Balance brought forward Balance carried forward Centre management fund Incoming resources Transfers in Resources used Net movement in fund Balance brought forward Balance carried forward Fabric fund Incoming resources Transfers in Resources used Loss/Gain on revaluation Net movement in fund Balance brought forward Balance carried forward PCC Capital fund Transfers out Loss/Gain on revaluation Net movement in fund Balance brought forward Balance carried forward Special Projects fund Incoming resources Resources used Transfers out Net movement in fund Balance brought forward Balance carried forward |
Unrestricted Designated Restricted Endowment Funds Funds Funds Funds 2022 2021 £ £ £ £ £ £ 105,295 - - - 105,295 112,588 14,904 - - - 14,904 2,495 (124,054) - - - (124,054) 103,291 |
|---|---|
| (3,855) - - - (3,855) 11,792 15,518 - - - 15,518 3,726 |
|
| 11,663 - - - 11,663 15,518 |
|
| - 67,356 - - 67,356 58,765 - - - - 26,081 - (62,702) - - (62,702) 17,555 |
|
| - 4,654 - - 4,654 (32,709) - 72,720 - - 72,720 105,429 |
|
| - 77,374 0 - 77,374 72,720 |
|
| - 86 2,067 - 2,153 10,999 - - - - - 8,819 - - (541) - (541) (2,076) - - - (4,125) (4,125) 4,386 |
|
| - 86 1,526 - (2,513) 22,128 - 13,081 209,033 35,043 257,157 235,029 |
|
| - 13,167 210,559 30,918 254,644 257,157 |
|
| - (15,000) - - (15,000) 0 - (16,798) - (36,786) (53,584) 61,074 |
|
| - (31,798) - (36,786) (68,584) 61,074 - 144,691 100,000 606,645 851,336 790,262 |
|
| - 112,893 100,000 569,859 782,752 851,336 |
|
| - 20,521 - - 20,524 89,049 - - (94) - (94) 0 - - - - - 0 |
|
| - 20,521 (94) - 20,427 89,049 - 90,253 250 - 90,503 1,454 |
|
| - 110,773 156 - 110,929 90,503 |
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13 Contingent liability
Note: The fabric fund Restricted Total of £210,559 includes £180,876 remaining from a single legacy received in 2009. At the date of these accounts the application of this amount is yet to be agreed.
The freehold of St Peter’s Centre was purchased on 8 November 2002 at a cost of £102,825. The deed of transfer contained a provision that if, prior to 8 November 2082, planning permission is granted for use of the property other than as a community centre and church hall, then an additional sum would be payable to the vendor calculated at 60% of any resultant increase in value.
19