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2023-12-31-accounts

THE PARISH OF ST THOMAS, MELLOR

ANNUAL REPORT AND FINANCIAL STATEMENTS

For the year ended 31 December 2023

The Parochial Church Council of the Ecclesiastical Parish of Mellor

REGISTERED CHARITY NUMBER 1130414

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF MELLOR

CONTENTS OF THE ANNUAL REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2023

Trustees’ Annual Report 4-12
Independent Examiner’s Report 13
Statement of Financial Activities 14
Balance Sheet 15
Notes to Financial Statements 16 – 25

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Administrative Information

PRINCIPAL OFFICE The Mellor Centre, Church Road, Mellor SK6 5LX COUNCIL MEMBERS Incumbent Vacancy – Up until 30[th] June 2023 Rev Andrew Tawn – from 1[st] July 2023 Reader David Shercliff

Reader

Churchwardens Rachel Howling (Until May 2023) Chris Mann (Until April 2023) Alex Eggeman (From May 2023) Mary Heijbroek (From May 2023) Deputy Churchwarden Judith Shiel (Until May 2023) Rachel Howling (From May 2023)

Mary Heijbroek

Representative on Mary Heijbroek the Diocesan Synod Representatives on Judith Shiel the Deanery Synod Mary Heijbroek Elected PCC Members Ian Dayes Alison Dowdeswell Julie Elliott (Hon. Secretary) Richard Elliott (Hon. Treasurer) William Heijbroek (Until May 2023) Kate Higgins David Horsfall Clare Jackson (Until May 2023) Sylvia Knight (From May 2023) Kathryn Maxwell Angie Stanton (From May 2023) Emma Wilson Sian Yeowell (From May 2023)

BANKERS

INDEPENDENT EXAMINER

NatWest, Hazel Grove (B) Branch, 180, London Road, Hazel Grove, STOCKPORT SK7 4DH Katherine Scott, BA(Hons) FCA 1, Landseer Drive, Marple Bridge, Stockport SK6 5BL

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Trustees’ Annual Report and Accounts for the Parochial Church Council

of St Thomas’ Church, Mellor, for the year ending 31 December 2023

Principal Aims and Purposes

St.Thomas’ Parochial Church Council (PCC) has the responsibility of cooperating with the incumbent, in promoting in the ecclesiastical parish, the whole mission of the Church, pastoral, evangelistic, social and ecumenical. The PCC is also specifically responsible for the maintenance of St Thomas’ Church and of the Mellor Centre complex.

The PCC is committed to enabling as many people as possible to worship at our church and to become part of our parish community at St Thomas. The PCC maintains an overview of worship throughout the parish and makes suggestions on how our services can involve the many groups that live within our parish. Our services and worship put faith into practice through prayer and scripture, music and sacrament.

Objectives and Activities

When planning our activities for the year, we have considered the Charity Commission’s guidance on public benefit and, in particular, the supplementary guidance on charities for the advancement of religion. In particular, we try to enable ordinary people to live out their faith as part of our parish community through:

To facilitate this work, it is important that we maintain the fabric of the Church of St. Thomas and the Mellor Centre.

Achievements and Performance

2023 was a year of change and renewal. Our activities returned to a normal pattern following the disrupted years of the pandemic and activities in both the Church and the Mellor Centre increased in both number and in terms of the number of people attending.

We began 2023 without an incumbent but were delighted Reverend Andrew Tawn was appointed as our vicar and was installed on 12[th] July 2023. Thanks to the work of Churchwardens and with the support of visiting priests, regular services were maintained throughout the vacancy.

A decision was taken during 2023 to re-name the Parish Centre as The Mellor Centre. This has no effect on the relationship between the Centre, the PCC and the Church.

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Deanery Synod

Two members of the electoral roll sit on the Deanery Synod and are ex-officio members of the PCC.

This provides the parish with an important link between the parish and the wider structures of the church.

Churches together in Marple area

St Thomas’, Mellor continues as an active member of Churches Together in Marple and members of the congregation attend joint services and events throughout the Marple area.

In 2023 our churches were once again able to participate in a Good Friday pilgrimage walk to the cross on Cobden Edge and St. Thomas hosted the Easter morning ecumenical Dawn Service and breakfast in the Mellor Centre, attended by around 45 people.

Worship and Prayer

Our normal pattern of services continued throughout 2023. This included a said communion service at 8.30 and a sung Parish Communion service at 10am every Sunday and a said communion service on Wednesday mornings. An evening service also takes place every Sunday with this a service of Evening Prayer on three Sundays each month and a Choral Evensong once a month.

We are grateful to the Live Streaming Team who have enabled our services to be made available on line to those in our wider community who are unable to attend Church. We know that this service is particularly welcomed by those who are housebound and unable to visit St Thomas’. The on line services have also been accessed by residents of Mellor Nook, our local care home. A dedicated team of people are working to continually improve the quality of the live streaming as we feel as a community that it is important to try to reach as many people as possible in their homes and to support people through daily prayer and also regular Sunday worship.

We held an All Souls’ service in church in November to remember the departed, which was well attended. We also held the traditional Advent and Nine Lessons and Carol services and two crib services on Christmas Eve aimed at children and young people. Our Easter and Christmas services were very well attended.

We have been keeping in regular contact with people we know have not been accessing services online via phone calls and cards. Our prayer team have been producing seasonal prayer resources which have been delivered to people around the parish and also Mellor Nook Care home.

Seasonal prayer resources have been available for people to take away to use at home. People have left messages of thanks that they are able to go into church and spend time in prayer. Many thanks to the team of volunteers who have decorated the Church with flowers and have made the church so especially beautiful for Easter, Harvest Festival, Remembrance and Christmas.

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Our Monday morning Prayer Group has been able to meet up regularly and offer a quiet space to hold us all in prayer.

Also, since October 2021 we have also been developing, on the second Sunday evening of each month, a Contemplative Evening Prayer Service which meets in the Mellor Centre. Thanks go to all the team involved for their ideas and creativity and for offering a welcome breathing space.

It has been a pleasure to continue to welcome baptism families. Our thanks go to Catherine Starling who has been an invaluable support in contacting baptism families before and after baptism services.

We also had the pleasure of welcoming wedding couples and their families and friends into church to celebrate their weddings. Thank you to Margaret Lowe and the weddings team for helping to make each wedding day very special for couples.

Over the last year we have been supporting families who have experienced bereavement in the last 12 months. Many thanks to Judith Shiel and Margaret Leng who are our Bereavement team and have been keeping in touch with families after the funeral service via phone calls and sending out cards.

We have continued as active members of Churches Together in Marple, an interdenominational network of local churches. Members of St Thomas’ attend services and events promoted by the network and on Easter Day we host an annual daybreak Communion Service, followed by breakfast in the Mellor Centre.

Our active Toddler Group has continued to meet throughout the year. Thank you to Helen Kennedy for continuing the Toddlers Group and to all the members of the team for making Toddlers such an enjoyable experience for many young children and their carers.

Many thanks also go to Margaret Williams and Margaret Leng, editors of our Outlook Parish Magazine, which has been produced throughout the year. Thank you to the team of people who produce the booklet and who have distributed it around the parish. Many people who are unable to leave their homes for whatever reason have greatly appreciated receiving the magazine, seeing a friendly face and keeping in touch with the life of the church.

During 2023 our choir were invited to sing at Wells Cathedral. They were very well supported by family, friends and members of the congregation. They were all exceptionally enjoyable events. Many thanks to Dr Tom Howling, John LeGrove and all the choir for bringing this all together.

In 2022 we formally applied to become members of the Inclusive Church Network. Our application was accepted and during 2023 we have been exploring what being an Inclusive Church means for us at St Thomas Church. Thank you to Dave Shercliff for leading and coordinating the Living in Love and Faith Course which helped many members of the Church Community to explore issues of faith, relationships, marriage and sexuality.

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Pastoral Support

Many thanks to the members of our pastoral team who have been keeping in touch with people around the parish through visits and phone calls. Throughout the year prayer packs have been delivered to people who are unable to access online services and/or unable to leave their homes.

At Christmas time our baptism families received a Christmas story book and a Christmas card and on Valentine’s Day our wedding couples received a card from St Thomas’ Church to let them know that they were all in our thoughts and prayers.

Many thanks to all who attend our growing Knit and Natter group on Thursday mornings and to Catherine Starling and Maggie Williams who organise this. This is a very popular group who offer friendship and kind advice to all would be knitters. Catherine et al have been busy knitting little angels to give out to baptism families to welcome them to Mellor Church. On the second Monday of each month our Coffee and Chat group has continued, which welcomes all people.

Charitable Fundraising

Some members of the congregation have continued to support our nominated charities by planned regular giving to our restricted charity fund. The charities supported in 2023 were Educaid, Mission for Seafarers, UNHCR and the Haematology and Transplant Unit at Christie Hospital. Other special collections for charities during the year were Mission to Seafarers on Sea Sunday and The Wellspring and Wood Street Mission at Christmas. At Harvest 2023 gifts of tins and other non-perishable foods were donated to Wellspring and during Advent people donated toys to help support the work of Wood Street Mission in Manchester.

Other Fundraising Activities

In June 2023 we were able to hold our traditional Church Fête for the first time since 2019. This also coincided with the Mellor Well Dressing. The fête was very popular and on the same day an evening event was held with local bands performing. Many thanks to all the people involved in organising and bringing all these events together.

Church Buildings /Graveyard

Many thanks to the teams of people who help maintain our church buildings and the graveyards. The churchyard has needed extra care over the last year and thanks goes out to the graveyard maintenance team for all your help in trying to keep on top of the care of the graveyard.

Thanks go in particular to William Heijbroek, David Horsfall and the rest of the Church fabric team for the time and effort they have given to plan further improvements to the Church porch and work to improve fire safety and all the other often unseen jobs needed to keep the church building in good repair.

During 2023 the Church suffered a break in which damaged the “Whittam Window”. A temporary repair has been made and discussions continue regarding how best to effect a permanent replacement.

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Health and Safety

The Health and Safety Officer, together with a churchwarden, undertake an annual inspection of the church, churchyard and Mellor Centre. Ian Dayes is our Health and Safety Officer and reports regularly to the PCC

Safeguarding Children and Vulnerable Adults

The PCC has complied with the duty under section 5 of the Safeguarding and Clergy Discipline Measure 2016 (duty to have regard to House of Bishops’ guidance on safeguarding children and vulnerable adults). Kathryn Maxwell is the Parish Safeguarding Officer (PSO) and has attended a Diocesan training course on good safeguarding procedure and practice. The PSO is a member of the PCC and reports to the PCC at each meeting. All office holders and PCC members are required to undertake the appropriate level of safeguarding training. A report on systems and procedures is given to the PCC annually. This includes ensuring that any organisation or group that uses our premises has in place proper policies and procedures.

Financial Overview

The financial position of the PCC is set out in the financial report.

The PCC works to Financial Regulations which set out arrangements for the approval of expenditure and reporting arrangements. The systems of internal control, reviewed this year and set out in the Regulations, are designed to provide reasonable but not absolute assurance against material misstatement or loss.

The PCC set a budget for the year for the general fund with an expected deficit of £6,660. This reflected uncertainty regarding the extent to which regular giving might increase during the year as well as likely cost increases for oil, electricity and salaries.

The PCC made the decision in the early part of 2023 that, in light of the overall financial position it did not feel able to return to paying the full requested level of Parish Share. The PCC kept this matter under review throughout the year but continued to pay at a rate of 1.25 of a standard share. This meant that in 2023 a total gross contribution to the diocese of £85,425 was made during the year. The reductions in the level of Parish Share made over 2021, 2022 and 2023 means that, in common with many other parishes, St Thomas has a debt to the diocese.

These decisions were taken to strike a balance between, on the one hand, the desire of the PCC to make as full a contribution as it can to supporting the work of the Church across the diocese while on the other, also ensuring that its long term financial position is sustainable.

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Position at Year End

The statement of financial activities shows total funds held of £409,764, a decrease of £5,310 from the previous year. Depreciation (on the cost of the work carried out on the Mellor Centre Building) in the notional value of the Mellor Centre building and a deficit on the general fund was counterbalanced by increased interest received (interest rate on CBF at 5.25%) and an increase in the value of shares. Before transfers, the statements show an overall deficit of £28,920 on unrestricted funds, which includes a deficit of £14,395 on the general fund and a deficit of £14,525 on the Mellor Centre designated fund.

A transfer was made from the Friends of Mellor Parish Centre to Parish Centre designated fund to meet the deficit and a transfer of £1,221 of total funds raised, from the Rose Queen Fund reduced the deficit of the general fund to £13,414 leaving £24,003 in unrestricted reserves. The PCC policy on reserves is to hold between three and six months of unrestricted expenditure should be between £39,241 and £78,483 based on 2023.

It should however be noted that following a successful appeal at the end of the year, the forecast financial position for 2024 is more optimistic with a number of new commitments to either increase the level of regular giving or to begin to give regularly. The Church has also received a number of significant recent donations. We are therefore optimistic that reserves will return to a higher level at the end of the current year.

Unrestricted Funds

General Fund: Income

Income from regular giving via standing order was slightly higher than in 2022 at £44,975. Open plate collections, including those at weddings funerals and baptisms were similar to 2022 at £4,842. Donations from individuals at £12,619 were £4,500 higher than in 2022, mostly due to Rev Andrew’s successful appeal in October 2023. Regular donations to church continue to be received through the card reader situated in church.

No legacies were received into the Church’s accounts during 2023.

Tax recoverable on gift aid on eligible giving represents a significant component of income and amounted to £13,043 in 2023.

The annual fete in June was very well attended and raised £12,991 on the day with a net profit, after expenses, of over £10,000.

Income from fees at over £8,000 was similar to 2022.

General Fund : Expenditure

The Parish Share represents the largest element of expenditure. As explained above the PCC took the decision to pay the Parish Share at a reduced level of £85,425 during 2023 compared with the diocese’s requested level of £99,000. This is only the third year that we are aware of when we have not paid the share at the requested level. The Treasurer has corresponded

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with the diocese about the position and the PCC agreed to keep the situation under review during the year.

Running costs of the Church and The Mellor Centre increased during the year. The increase in electricity prices following the end of a 3 year fixed electricity tariff during the year meant that the amount spent increased.

Designated Fund:

The Mellor Centre: The Centre’s lettings income was stable during the year at over £19,000 . The Centre incurred significant costs as a result of damage to the oil pipe supplying the heating system. At the time of writing discussions are still continuing with the Church’s insurers over which of these costs will be reimbursed. As a result the year end accounts show that the Centre ended the year with a deficit of £14,524 which was met by a transfer from the Friends of Mellor Parish Centre.

Restricted Funds

The Friends of The Mellor Centre were able to hold a full programme of events. Profit from these and income from subscriptions, donations and gift aid amounted to £10,390 After the transfer to the Parish Centre designated fund, the fund ended the year at £29,281.

Charity Fund: The PCC agreed to continue to support the same charities in 2023 as in 2022 pending a review of the Charity Fund Scheme which it intends to undertake in 2024. The Charities supported comprise: Educaid, the Mission to Seafarers, the United Nations High Commissioner for Refugees (UNHCR) and the Haematology and Transplant Unit at Christies. With tax recoverable on gift aid a total of £1,341 was shared between the charities.

Defibrillator Fund: A fund was established in 2022 to support the purchase, installation and maintenance of a defibrillator to serve the Mellor Centre and the Church. This was installed in 2022. At the end of 2023 the Fund has a balance of £1,193 to support the machine’s future maintenance costs.

Organ Fund: The regular tuning and maintenance of the organ took place and £537 was spent on organ maintenance during 2023. Following the PCC’s decision in 2021 to allocate £15,000 from Margaret Myatt’s legacy, to a fund to support the upkeep of the organ in accordance her wishes, there is a balance of £16,056 in the fund.

Organ Scholar Fund: 2023 was the third year that a recurring grant was awarded by the John Pilling Trust to support our organ scholars. £3,600 was received in 2023 supporting Nathan Monk and Eleanor Rosser over a three year period. The PCC is very grateful for this contribution to the musical life of the Church. The Fund held £2,200 at year end.

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Moor End Sunday School Fund: Funds were used for costs associated with children’s activities, education and mission. Contributions were made to support some costs of the choir visits. A proportion of the salary of the Director of Music, Tom Howling, is also funded by the Moor End Sunday School Fund. The value of the shares held in the fund increased by 9.4% to £97,655 during the year and the total fund value at year end was £102,285.

Churchyard Fund: Expenditure from the Churchyard Fund slightly exceeded income and the cash funds held ended at £10,400. This figure incorporates the donation in memory of Ann Hearle which is being used to improve safety and accessibility of the churchyard. Share value increased by 9.4% to £19,124 meaning the overall fund value is £29,524.

Church Building Fund : Total expenditure on the church building was £962 during the year. Regular donations and contributions from the Patrons including Gift Aid this year amounted to £4,740. Interest accrued amounted to £960. Therefore, overall the value of the church building fund increased by around £3,500 to £17,567 during the year.

Investment Policy

It is the policy of the PCC to invest funds in ethical sources and to minimise investment risk. Accordingly, surplus funds are invested with the CBF Church of England Funds based in London.

Structure, governance and management

The Parochial Church Council is a corporate body established by the Church of England. The PCC operates under the Parochial Church Council Powers Measure. The Parochial Church Council forms the Board of Trustees of St Thomas’ Church, Mellor and is responsible for the overall governance of the charity including the approval of any expenditure. The churchwardens, who are also trustees, have the legal ownership of all the moveable furniture and ornaments of the church. The Parochial Church Council is part of the Chadkirk Deanery in the Diocese of Chester and the Province of York.

The PCC is a Registered Charity, number 1130414. The elected trustees are appointed by the Annual Parochial Church Meeting (the APCM) to which all persons on the Electoral Roll are invited and are entitled to vote. The APCM also appoints representatives on Deanery Synod for 3 years; they also serve on the PCC as trustees. Deanery Synod appoints representatives on Diocesan Synod, who also serve on the PCC as trustees. An Annual Meeting to elect churchwardens is also held and the two churchwardens elected; the vicar and lay readers also serve on the PCC as trustees.

Churchwardens are elected annually and other trustees are normally appointed for three years except when filling vacancies for part-expired terms. Trustees can be re-elected for a second three-year term but may not serve more than two consecutive three-year terms. Up to two trustees may be co-opted for the period to the next Annual Parochial Church Meeting, or for part of that period.

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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. All new trustees are inducted into the work of the Parochial Church Council by existing members.

During the year 2023 the PCC met on ten occasions. These meetings are held in the Mellor Centre with arrangements made for those members, who are unable to attend a particular meeting in person, to join by Zoom.

Statement of Trustees’ Responsibilities and Governance

The trustees are responsible for their Annual Report and the preparation of the financial statements in accordance with applicable law and generally accepted Accounting Practice. In preparing these financial statements the trustees should follow best practice and:

The trustees are responsible for keeping proper accounting records which are such as to disclose, with reasonable accuracy, the financial position of the charity at any time and enable them as trustees to ensure that the financial statements comply with charity law. The trustees are also responsible for safeguarding the charity’s assets and ensuring their proper application in accordance with Charity Law, and hence for taking reasonable steps for the prevention and detection of error, fraud and other irregularities.

This Annual Report was approved by the PCC on 29[th] April 2023.

Reverend Andrew Tawn Chair of Mellor PCC

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INDEPENDENT EXAMINER’S REPORT TO THE TRUSTEES OF THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF MELLOR

I report on the accounts for the year ended 31 December 2023 set out on pages 14-25.

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year (under Section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is required.

It is my responsibility to:

Basis of independent examiner’s report

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures 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 no opinion is given as to whether the accounts present a ‘true and fair view’, and the report is limited to those matters set out in the statements below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention

(1) which gives me reasonable cause to believe that, in any material respect, the requirements

have not been met; or

(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Katherine Scott BA (Hons) FCA 1 Landseer Drive

Marple Bridge Stockport Cheshire SK6 5BL

Date: …………………………

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF MELLOR

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2023

Unrestricted
funds
Designated
funds
Restricted
funds
Total
funds
Prior
year
total
funds
Donations and legacies
71,196
1,877
11,058
84,132
86,178
Other trading activities
22,955
435
15,252
38,642
39,804
Investments
832
6,651
7,483
4,623
Income from charitable activities
8,228
19,230
18,838
46,296
37,794
Other income
3,183
4,528
7,710
5,196
Total income
106,394
21,541
56,327 184,262
173,596
Raising funds
4,999
11,006
5,213
21,217
21,284
Expenditure on charitable activities
115,098
435
30,165 145,699
155,119
Other expenditure
692
24,736
11
25,438
15,376
Total expenditure
120,789
36,177
35,389 192,355
191,779
Net income / (expenditure)
resources before transfer
(14,395)
(14,636)
20,938
(8,093)
(18,183)
Gross transfers between funds - in
1,221
14,525
15,746 8,106
Gross transfers between funds - out
(15,746) (15,746) (8,106)
Gains/losses on investment assets
10,042
10,042
(14,241)
Gains on revaluation, fixed assets,
charity's own use
(10)
111
(7,360)
(7,259)
Net movement in funds
(13,184)
7,874
(5,310)
(32,424)
Total funds brought forward
37,188
377,886 415,074
447,498
Total funds carried forward
24,004
385,760 409,764
415,074
71,196
1,877
11,058
84,132
86,178
22,955
435
15,252
38,642
39,804
832
6,651
7,483
4,623
8,228
19,230
18,838
46,296
37,794
3,183
4,528
7,710
5,196
106,394
21,541
56,327 184,262
173,596
4,999
11,006
5,213
21,217
21,284
115,098
435
30,165 145,699
155,119
692
24,736
11
25,438
15,376
120,789
36,177
35,389 192,355
191,779
(13,184)
7,874
(5,310)
(32,424)
37,188
377,886 415,074
447,498
24,004
385,760 409,764
415,074

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF MELLOR

BALANCE SHEET

AT 31 DECEMBER 2023

Class and code
Description
As at
31/12/2023
As at
31/12/2022
Fixed assets
6431
Parish Centre
178,647
186,007
Total Fixed assets
178,647
186,007
Current assets
6501
Nat West Current Account
3,438
2,677
6502
Nat West Fees Account
1,739
6
6503
Nat West Lettings Account
2,575
2,321
6504
Mellor Choir Account
3,606
1,527
6505
Friends of Mellor Parish Centre
244
718
6508
Mellor Church Women's Evening Fellowship
3,079
2,490
6509
NatWest Charity Fund
(54)
6510
CCLA (CBF) deposit account
90,684
102,739
6515
Moor End Sunday School Fund Deposit
3,609
4,786
6516
Moor End Trust Income Shares
97,655
89,257
6526
Churchyard Income Shares
19,124
17,480
6590
Cash in hand
869
819
Z05
Accounts Receivable
5,380
4,568
Total Current assets
231,948
229,389
Liabilities
6601
Loans received
(388)
(268)
6699
Agency collections
831
202
Z04
Accounts Payable
388
388
Total Liabilities
831
323
Net Asset surplus (deficit)
409,764
415,074
Reserves
Excess/(deficit) to date
(8,093)
(25,840)
Z01
Starting balances
415,074
455,155
Z02
Other gains/(losses)
10,042
(14,241)
Z03
Gains/(losses) own use
(7,259)
Total Reserves
409,764
415,074
Represented by Funds
General (Unrestricted)
24,004
37,188
Designated
Restricted
385,760
377,886
Total
409,764
415,074
178,647
186,007
231,948
229,389
(388)
(268)
831
202
388
388
831
323
409,764
415,074
(8,093)
(25,840)
415,074
455,155
10,042
(14,241)
(7,259)
409,764
415,074
24,004
37,188
385,760
377,886
409,764
415,074

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THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF MELLOR

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2023

1. ACCOUNTING POLICIES

Basis of preparation

The PCC is a public benefit entity within the meaning of FRS 102. The financial statements have been prepared under the Charities Act 2011 and in accordance with the Church Accounting Regulations 2006 governing the individual accounts of PCCs, and with the Regulations’ ‘true and fair view’ provisions, prepared under FRS 102 (2015) as the applicable Accounting Standards and the 2015 version of the Statement of Recommended Practice, Accounting and Reporting by Charities (SORP (FRS 102)).

Accounting convention

The financial statements have been prepared under the historical cost convention, with the exception of investments which are included at market value.

Incoming resources

Voluntary income and capital sources

Collections are recognised when received by or on behalf of the PCC. Planned giving receivable under Gift Aid is recognised only when received. Income tax recoverable on Gift Aid donations is recognised when the income is recognised. Grants and legacies to the PCC are accounted for as soon as the PCC is notified of its legal entitlement, the amount due is quantifiable and its ultimate receipt by the PCC is reasonably certain.

Sales of books and magazines

from the church bookstall are accounted for gross.

Other income

Rental income from the letting of church premises is recognised when rental is due.

Income from investments

Dividends are accounted for when due and payable. Interest entitlements are accounted for as they accrue.

Gains and losses on investments

Realised gains or losses are recognised when investments are sold. Unrealised gains or losses are accounted for on revaluation of investments on 31 December.

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Resources expended

Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all cost related to the category. Where costs cannot be directly attributed to particular headings, they have been allocated to activities on a basis consistent with the use of resources.

Activities directly relating to the work of the church

The diocesan parish share is accounted for when due. Any parish share unpaid at 31 December is provided for in these accounts as an operational (though not a legal) liability and is shown as a creditor in the balance sheet. Grants offered subject to conditions which have not been met at the year end date are noted as a commitment but not accrued as expenditure.

Tangible fixed assets

Consecrated property and moveable Church furnishings

Consecrated and beneficed property of any kind is excluded from the accounts by s.96(2)(a) of the Charities Act 1993.

Moveable church furnishings held by the vicar and churchwardens on special trust for the PCC, and which require a faculty for disposal, are accounted for as inalienable property unless consecrated. They are listed in the church’s inventory which can be inspected (at any reasonable time). For inalienable property acquired prior to 2000 there is insufficient cost information available and therefore such assets are not valued in the accounts. Items acquired since 1 January 2000 have been capitalised and depreciated in the accounts over their currently anticipated useful economic life (initially over fifty years) on a straight line basis. The 2009 improvements to the car park are being depreciated over their anticipated useful economic life of ten years.

All expenditure incurred in the year on consecrated or beneficed buildings, individual items under £1,000 or on the repair of moveable church furnishings acquired before 1 July 2000 is written off.

Other fixtures, fittings and office equipment

Equipment used within the church premises is depreciated on a straight line basis over four years. Individual items of £1,000 or less are written off when the asset is acquired.

Investments

Investments are included at cost or market value at 31 December.

Current Assets

Amounts owing to the PCC at 31 December in respect of fees, rents or other income are shown as debtors less provisions for amounts that may prove uncollectable. Short term deposits include cash held on deposit with the CBF Church of England Funds or at the bank.

Taxation

The charity is exempt from tax on its charitable activities.

Page 17

Fund accounting

Unrestricted funds represent the funds of the PCC that are not subject to any restrictions regarding their use and are available for application on the general purposes of the PCC.

Restricted funds can only be used for particular restricted purposes within the objects of the charity. Restrictions arise when specified by the donor or when funds are raised for particular restricted purposes.

The accounts 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 affiliation to another body or those that are informal gatherings of church members.

Page 18

2. Analysis of income

Unrestricted Designated Restricted
This
year
Last
year
Regular Giving
44,975
50
450
45,475
45,038
Plate collections
2,905
2,905
4,709
Tax recoverable on Gift Aid
13,043
298
1,830
15,171
14,932
Collections at
weddings/funerals/baptism
1,937
1,937
203
Donations individuals
7,732
1,225
3,662
12,619
8,145
Patrons Scheme
1,230
1,230
1,690
Donations Charity Fund
1,076
1,076
1,521
Donations organisations
558
305
80
943
944
Church box
46
46
177
Legacies
6,904
Subscriptions
2,730
2,730
1,915
Donations and legacies Totals
71,196
1,877
11,058
84,132
86,178
Fund-raising
1,346
127
15,034
16,508
14,908
Fete
12,991
12,991
13,884
Magazine - sales
4,892
4,892
5,002
Magazine - advertising
3,625
3,625
4,995
Publications - income from sales
101
101
63
Parish Centre - fund raising
308
218
525
400
Fundraising - events
84
Mellor Rose Queen - Fundraising
470
Other trading activities Totals
22,955
435
15,252
38,642
39,804
Investment income - dividends
3,192
3,192
3,175
Bank and building society interest
832
3,459
4,291
1,449
Investments Totals
832
6,651
7,483
4,623
Income from Parish Office activities
71
71
817
Fees for weddings/funerals/burials
8,157
8,157
8,642
Fees - other
448
Income from choir activities
18,838
18,838
8,501
Parish Centre - regular letting
12,794
12,794
12,401
Parish Centre- occasional letting
3,983
3,983
4,592
Parish Centre - wedding letting
2,350
2,350
1,500
Parish Centre- conference letting
102
102
892
Income from charitable activities
Totals
8,228
19,230
18,838
46,296
37,794
Recurring grants
600
600
600
Non-recurring one-off grants
30
3,000
3,030
3,426
Children - Edale trip
1,490
1,490
1,170
Children's Work
928
928
Insurance claims
999
999
Re-imbursement of Vicarage Oil
663
663
Other income Totals
3,183
4,528
7,710
5,196
Income and endowments Grand
totals
106,394
21,541
56,327
184,262
173,596
44,975
50
450
45,475
45,038
2,905
2,905
4,709
13,043
298
1,830
15,171
14,932
1,937
1,937
203
7,732
1,225
3,662
12,619
8,145
1,230
1,230
1,690
1,076
1,076
1,521
558
305
80
943
944
46
46
177
6,904
2,730
2,730
1,915

71,196
1,877
11,058
84,132
86,178
1,346
127
15,034
16,508
14,908
12,991
12,991
13,884
4,892
4,892
5,002
3,625
3,625
4,995
101
101
63
308
218
525
400
84
470

22,955
435
15,252
38,642
39,804
3,192
3,192
3,175
832
3,459
4,291
1,449

Page 19

3. Analysis of expenditure

Fundraising expenses
Publications
Fete expenses
Parish Centre - oil
Parish Centre - electricity
Parish Centre - insurance
Parish Centre - maintenance
Parish Centre - water
Raising funds Totals
Church - water
Church - oil
Church - electric
Church - heating maintenance
Church - electrical maintenance
Church - other maintenance
Church - waste removal
Church - churchyard maintenance
Church - fire safety
Church - window cleaning
Church - insurance
Church - sundry fees and
expenses
Office - Stationery
Office - Postage
Office - Photocopier
Office - IT
Office - Website
Office - telephone and broadband
Salaries
Giving to missionary societies
Giving - relief and development
Home mission
Secular charities
Clergy routine expenses (travel
etc)
Vicarage - Council Tax
Vicarage - Water
Vicarage - maintenance and other
Governance costs
Education and training
Education and training - volunteers
Depreciation
Vestry Venturers
Children - Edale
Children - Children's work - other
Guest organist
Organ Maintenance and Repair
Choir Fees
Choir Robes
Choir Music
Choir Expenditure
Mission - goods and services
411
4,698
5,109
5,827
100
100
4,488
4,488
3,589
3,473
3,473
3,165
2,116
2,116
1,671
2,908
2,908
2,466
2,446
515
2,960
4,458
64
64
108

4,999
11,006
5,213
21,217
21,284
97
2,069
2,069
2,751
567
567
471
634
634
12
710
962
1,673
11,366
250
1,210
1,210
2,020
260
260
238
165
165
55
2,554
2,554
2,456
1,179
1,179
1,920
1,734
1,734
1,324
70
70
8
3,811
3,811
4,925
528
65
593
1,260
130
130
258
612
612
618
7,880
1,217
9,096
8,643
335
335
462
335
335
10
360
360
914
4,305
4,305
4,900
399
399
215
2,050
2,050
1,772
416
416
643
257
257
176
61
61
118
33
33
7,360
145
145
1,298
300
1,598
1,018
1,534
1,534
171
40
40
(30)
537
537
446
528
528
415
435
435
383
27
27
17,189
17,189
9,420
12
12
278

Page 20

Churches Together and Deanery
subs
98
Mission - Marriage preparation 14
Worship - Service books, leaflets 68 30 98
Worship - Candles, wine, wafers 81 81 99
Worship - flowers, palms, etc 45 480 525 436
Church Music Licences 610 610 557
Worship - other expenses 80 80 1,194
Worship - food and drink 291 291 107
Worship - other consumables 85
Payment to visiting priests 930
Parish share 85,425 85,425 82,936
Magazine - production 66 66 93
Organ Scholar 1,200 1,200 850
Parish Centre - Licences 370 370 377
Expenditure on charitable
activities Totals 115,098 435 30,165 145,699 155,119
Vicarage Oil (to be re- funded) 663 663
Bank Charges 29 1 11 40 93
Parish Centre - Electrical
Maintenance
498 498 482
Parish Centre - heating
maintenance
8,828 8,828 725
Parish Centre - salaries 13,033 13,033 11,453
Parish Centre - cleaning 625 625 627
Parish Centre - window cleaning 165 165 215
Parish Centre- fire safety 591 591 259
Parish Centre - IT 928 928 252
Parish Centre - other support costs 69 69 1,149
Parish Centre - Conference 120
expenses
Other expenditure Totals 692 24,736 11 25,438 15,376
Expenditure Grand totals 120,789 36,177 35,389 192,355 191,779

Page 21

4. TANGIBLE FIXED ASSETS

Cost
At 1 January 2023 and 31 December 2023
Depreciation
At 1 January 2023
Charge for year
At 31 December 2023

Net Book Value
At 31 December 2023
At 31 December 2022
Freehold
Property
£
327,065
141,058
7,360
148,418
178,647
186,007
Fixtures and
Fittings
£
46,068

46,068

-

46,068

-

-
Totals
£
373,133
187,126
7,360
194,484
178,647
186,007

Page 22

5. CHARITABLE GIVING 2023

5(a) Charity Fund

Four charities were chosen for support during the year 2023. The total amount raised was as follows:


General donations

Tax recoverable on Gift Aid

2023

£
1,076
265
1,341
2022
£
1,521
328
1,849

These funds were distributed at the Year End as follows:


Mission to Seafarers

UNHCR

Haematology and Transplant Unit (The Christie)
Educaid

£
335
335
335
335
£1,341

5(b) Grants to Charity from other restricted Funds:

Mellor Rose Queen: RNLI £ 2035.44 and Seashell Trust, £814.18. Women’s Evening Fellowship: Walthew House, £ 645 and The Christie, £140. Friends of Mellor Centre: NSPCC, £132

5(c) Special Collections

Special Collections are agency collections and do not form part of the accounts.

Christmas Special Collection for the Salvation Army raised £87.20 Sea Sunday collection for Mission to Seafarers raised £114 Christian Aid £87.20 Chester Clergy Family Charitable Trust: £393.54 Wellspring: £157.15 Wood Street Mission: £73.15

Page 23

6. Fund movement summary

Fund

Opening Incoming Outgoing Transfers Gains/Losses Journals Closing

----- Start of picture text -----
|||||||| |---|---|---|---|---|---|---| |Defibrillator| |Restricted|1,631|76|515|1,193| |Sub-totals|1,631|76|515|1,193| |FoMPC| |Restricted|33,416|10,735|345|(14,525)|29,281| |Sub-totals|33,416|10,735|345|(14,525)|29,281| |Mellor Flower Group| |Restricted|349|590|480|459| |Sub-totals|349|590|480|459| |Organ| |Restricted|15,870|722|537|16,056| |Sub-totals|15,870|722|537|16,056| |Organ Scholar| |Restricted|(200)|3,600|1,200|2,200| |Sub-totals|(200)|3,600|1,200|2,200| |Ukraine Appeal| |Restricted|2|2| |Sub-totals|2|2| |General| |Unrestricted|37,188|106,394|120,789|1,221|(10)|24,004| |Sub-totals|37,188|106,394|120,789|1,221|(10)|24,004| |Church Building| |Restricted|13,034|5,495|962|17,567| |Sub-totals|13,034|5,495|962|17,567| |Church Yard| |Restricted|28,125|965|1,210|1,645|29,524| |Sub-totals|28,125|965|1,210|1,645|29,524| |Moor End Sunday School| |Restricted|93,790|2,823|2,726|8,398|102,285| |Sub-totals|93,790|2,823|2,726|8,398|102,285| |Charity| |Restricted|1,341|1,341| |Sub-totals|1,341|1,341| |Parish Centre| |Designated|21,541|36,177|14,525|111| |Sub-totals|21,541|36,177|14,525|111| |PC Building| |Restricted|186,007|(7,360)|178,647| |Sub-totals|186,007|(7,360)|178,647| |Rose Queen| |Restricted|539|5,204|3,867|(1,221)|654| |Sub-totals|539|5,204|3,867|(1,221)|654| |Choir| |Restricted|2,132|19,124|17,278|3,978| |Sub-totals|2,132|19,124|17,278|3,978| |Toddlers| |Restricted|689|928|859|758| |Sub-totals|689|928|859|758| |Women’s Evening Fellowship| |Restricted|2,503|4,722|4,069|3,156| |Sub-totals|2,503|4,722|4,069|3,156| |Totals|415,074|184,262|192,355|(7,360)|10,143|409,764|

----- End of picture text -----

Page 24

7. FUND DETAILS

The PCC General Fund is unrestricted. Designated Funds are funds created by the PCC at its discretion.

Mellor Parish Centre (The Mellor Centre) is a designated fund.

The PCC has no endowment funds.

The restricted funds comprise:

Title of Fund

Purpose

Charity Fund Charity Donations Church Building Fund Maintenance of Church Churchyard Fund Maintenance of Churchyard Defibrillator Fund Funding a Defibrillator Friends of Mellor Parish Centre Fund Maintenance and Running of Centre Mellor Choir Fund Furtherance of choir activities Mellor Flower Group Provision of floral displays Mellor Rose Queen Fund Nominated Charity Mellor Toddler Group Parent and baby group activities Moor End Sunday School Income Fund Furtherance of Education Organ Fund Maintenance of Organ Organ Scholar Grant for organ scholar Parish Centre Building Fund Parish Centre building Ukraine Appeal Fund Donations to Ukraine Women’s Evening Fellowship General interest group

8. TRUSTEES REMUNERATION AND BENEFITS

There were no trustees’ remuneration or other benefits for the year ended 31 December 2023.

Trustees’ expenses

Trustees are reimbursed for expense items incurred.

Page 25

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