PLUME AVENUE, COLCHESTER, UNITED REFORMED CHURCH CHARITY
Registered Charity No. 1130594
ANNUAL REPORT and ACCOUNTS TO
31 DECEMBER 2023
CONTENTS
| Reference and administrative information | 1 |
|---|---|
| Report of the Elders' meeting | 2-6 |
| Statement of financial activities | 7 |
| Statement of assets and liabilities | 8 |
| Notes to the financial statements | 9-11 |
| Independent Examiner's report | 12 |
PLUME AVENUE UNITED REFORMED CHURCH (including Plume Avenue, Colchester, United Reformed Church Charity)
REFERENCE AND ADMINISTRATIVE INFORMATION AS AT 31 December 2023
Registered Number: 1130594 Address: Plume Avenue United Reformed Church 18 Plume Avenue Colchester333 Essex CO3 4PQ Contact Details: Tel: 01206 564154 Web site: www.plumeavenuechurch.org.uk Members of the Elders’ Meeting (the Charity’s Trustees): Minister Vacant Elders David Anderson Elizabeth Bird Marie Forsyth Church Secretary: Elizabeth Bird Independent Examiner: Mr. Thomas Green 13 Rainsborowe Road Colchester CO2 7JT
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PLUME AVENUE UNITED REFORMED CHURCH (including Plume Avenue, Colchester, United Reformed Church Charity Registered No 1130594)
This report includes information required by the Charities (Accounts and Reports) Regulations 2008 and the Statement of Recommended Practice for Accounting by Charities 2005 as applicable to charities entitled to prepare accounts on the receipts and payments basis. It also incorporates the reference and administrative information on Page 1.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Plume Avenue United Reformed Church is a local church of the United Reformed Church in Great Britain, and is a member church of Eastern Synod of the Church.
Plume Avenue, Colchester, United Reformed Church Charity, was first registered as a charity on 17 July 2009. The members of the Elders’ Meeting are recognised as the charity trustees and all trustees listed on Page 1 served throughout the year covered by this report. An AGM was held in June 2023 where Elizabeth Bird was reappointed as Church Secretary and Paul Hampshire was reappointed as Church Treasurer. David Anderson, Elizabeth Bird and Marie Forsyth were re-elected to the elders meeting at the AGM.
The activities of Plume Avenue URC are overseen by the Elders’ Meeting of the church in accordance with the provisions of The Structure of the United Reformed Church determined by the General Assembly of the United Reformed Church, and supplemented by the constitution of Plume Avenue URC. The governing document of the registered charity is a statement adopted by the Church Meeting on 16 March 2009. The Elders’ Meeting is also responsible for the financial administration of the church and the care and maintenance of church premises and the manse. It is assisted in the administration of the church buildings, the manse and financial matters by a Finance Group and a Property Elder. The Church Meeting (of all members wishing to attend) gives general guidance on the life and work of the church.
The members of the Elders’ Meeting have been the Interim Moderator when available and the serving Elders of Plume Avenue URC as elected by the members of Plume Avenue URC in Church Meeting. Elders serve for 2 years, retire by rotation and are eligible for re-election, but would not normally be expected to serve more than six years consecutively before taking a break of at least one year. Those who oversee the various areas of church life are invited to join the elders on a quarterly basis to provide oversight of church life through updates and discussions. The church’s Senior Youth & Young Adults Worker also supports that meeting.
The Elders’ Meeting met twelve times during the year, and the Church Meeting took place four times.
The Elders met with the Synod Moderator, our Interim Moderator Reverend David Sebley and the Tiptree eldership on 21 February 2023 to begin the processes of exploring how a partnership might be formed between the two churches. Following this meeting both the Plume Avenue and Tiptree church meetings voted unanimously to form the partnership. This enabled us to write the profiles to enable the ministerial vacancy to be declared in September 2023.
OBJECTIVES AND ACTIVITIES
As a local congregation of the United Reformed Church, Plume Avenue URC seeks to advance the
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Christian faith through its activities and the facilities offered to the community by its building. Its mission statement is “To know Jesus and make Him known”.
The Elders’ Meeting is aware of the Charity Commission’s guidance on public benefit in “The Advancement of Religion for the Public Benefit” and has regard to it in the administration of the church.
The Elders’ Meeting believes that the church provides benefit to the public by:
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Providing resources and facilities for public worship, pastoral care and spiritual, moral and intellectual development, both for the congregation and for anyone else who wishes to benefit from what the church offers.
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Promoting Christian values and service by members of the congregation to the community, to the benefit of individuals and society as a whole.
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Providing premises for use by the local community and by community groups including a daily preschool nursery.
REVIEW OF ACTIVITIES AND ACHIEVEMENTS
Although 2023 was our second complete year without a minister we have continued to grow both numerically and spiritually, welcoming new people to our church and allowing both ongoing and new activities to start and flourish. The feeling of family, noted as we returned after the Covid-19 pandemic, has continued which has allowed more people to feel able to contribute to the life of the church in many ways. We continue to give thanks for the highlights and aspects of church family life over the year.
The church continued to open as a safe warm space on Monday mornings following the launch in December 2022. This continued beyond the winter as the benefits of a place for people to meet and chat was recognised, the activity being renamed Coffee and Cake. Alongside this a toddler group started in April 2023 which has flourished, with the parents also enjoying the provisions of Coffee and Cake, creating a community atmosphere.
The Bible Study homegroup on Zoom has continued to meet regularly, following a series of courses on RightNow media. Other homegroups have also continued meeting on a face-to-face basis at different times of the day and week. Our Wednesday and Saturday prayer meetings on Zoom continue to be well supported. A Men’s Group meet fortnightly on Monday afternoons, alternating between bible study sessions and “chat and chill”, also organising men’s breakfasts and curry nights.
During Lent we followed the Purpose Driven Life book by Rick Warren which proved a real challenge for many folk, in a positive way. Over Holy week we held a time to hear and reflect on some of the scriptures each evening between Palm Sunday and Maundy Thursday. On Maundy Thursday we gathered together to share a meal and Communion while on Good Friday we joined our friends at Prettygate Baptist Church for a walk of witness behind the cross and a united service. Easter Sunday included a Café Church celebration with an Easter Egg Hunt for the children and young people and, in the afternoon, we joined again with Prettygate Baptist Church to hold an Easter Egg Hunt Trail around the neighbourhood for the community attended by several families.
On the Sunday of the weekend of the Coronation of King Charles III, we held a Community Coronation Party following our Café Church service and lunch.
At the end of July we streamed the morning and evening sessions of the New Wine conference. We
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also streamed the Sunday morning celebration which replaced our service that morning. This was a real time of blessing with over 60 people engaging with the conference and hearing some really good teaching. It was good to be joined by some members of our partner church at Tiptree URC for New Wine and also a fish and chips lunch on the Saturday.
We were able to gather enough volunteers together to run a holiday club for children on each of the Mondays during the school summer holiday. We had 25 children attending, some attended every week, others were only able to attend for some of the time around family holidays. It was a real time of blessing for both the children and those leading. Alongside the holiday club the toddler group continued to be open and the Coffee and Cake sessions continued. Parents stayed on the premises during the holiday club and some took their younger children to the toddler group whilst others enjoyed the coffee and chat. The church was really animated each Monday morning.
Some of the youth group went to the Youthscape Satellites young people’s conference at Shepton Mallet, Somerset, thanks to the group of volunteers that enabled this to happen. They seemed to really enjoy their time away and made a promotional video to encourage others to go next year.
A Youth “Drop-In” centre project was started in September on Monday afternoons thanks to funding from grants from the URC and other agencies. This is attended by both youth who do not attend church activities and those that do, supported by a leadership team of volunteers from the church. Mondays remain such a wonderful “mission” focused day with the toddler group, Coffee and Cake, Men’s Group and the Drop-In centre all taking place.
Our Harvest offerings were really generously supported and we were able to take 139.45 kg provisions to the Colchester Foodbank as well sending them £119. This is in addition to the weekly donations which are made which average 30 – 35 kg.
Our thanks go to Pam Soames for organising the Operation Christmas Child Shoebox appeal. We dedicated over 70 boxed on Remembrance Sunday.
We held another Ladies’ Advent Retreat Day at Assington Hall in December, led by Charity Quin, which was very well received by the 25 ladies that attended. We are very grateful to Charity for her prayerful leadership.
As part of our outreach at Christmas, we again joined with Prettygate Baptist Church to put on a Nativity trail for the community while we also reintroduced a Christmas Eve midnight communion service supplementing the Carols by Candlelight as an opportunity to share the true meaning of the season with our visitors. We also held our community Christingle service on Christmas Eve afternoon led by Rachael Coombes. The Senior Youth & Young Adults Worker led an all-age instant nativity service on Christmas Eve and David Anderson led the Christmas Day service.
The local primary school asked to return to the church during December; this was a wonderful opportunity to be able to share with the children the real meaning of Christmas. The Carols by Candlelight service always seems to be popular and, like the Christingle and midnight service, is a wonderful opportunity to share the true meaning of the season with our visitors who we pray may be encouraged to join us on other occasions in the New Year.
During the year we welcomed 4 people into church membership and dedicated 2 children. We held services of thanksgiving for the lives of 3 of the church congregation.
We are extremely grateful to our Interim Moderator, Rev David Sebley for his guidance and
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leadership which has been so supportive. We are also very grateful to everyone who has engaged with serving at and attending services and helping with activities over the year.
There are a few people who we should name for all they have done and continue to do going forward, at the risk of omitting someone from the many that work so hard.
We are so grateful to Andrea Anderson for all she does, in the background, to oversee the pastoral care of the church fellowship, supported by many people who help to look after the church family pastorally. The safeguarding team of Maz Rattray and Matthew Lewis have provided sensitive oversight to the welfare of all of the church across the age groups.
Thanks too to David Anderson who has provided essential guidance to ensuring the buildings are maintained and kept safe. We are also very grateful to Paul Hampshire (church treasurer), David Bird (finance convenor) and the Finance team.
We are appreciative of Marie Forsyth who brings a logical voice to the elders and leadership meetings and is always willing to help in so many ways. We are also extremely grateful to Mike McCullagh who has led so many services over the ministerial vacancy period.
Jo Barnard-Edwards has provided wonderful support with some of the church administration including the rotas. The technology team ensure our sound and streaming systems are available for so many activities under the comprehensive guidance of Matt Nash for which we are very grateful. Our thanks too to the worship leaders and worship groups for all their faithful service each week. Also to our junior church, youth and Girls’ Brigade teams serving the children and youth areas of church life.
Thanks especially go to Joe Robbins for all his dedication as our youth worker and to Rachael Coombes for her work leading the junior church. We also thank Esther Warner who has set up the toddler group with such energy and commitment. In addition, we are so grateful to all those who continue to lead the homegroups, bible study and prayer meetings.
Many folk are involved in stewarding, serving refreshments, serving as duty elders and leading prayers and readings during our services and we are grateful to you all. Thank you too to those who have helped with providing food and refreshments for our social events and Coffee and Chat.
As we go forward, we thank God for His provision over the last year and for the ways the Holy Spirit has led us through some quite tough times. We look ahead to continuing to seek Lord’s vision and direction for us as a church family both as to who we are and where we are going. We also look forward to the potential call of a new minister in God’s timing.
FINANCIAL REVIEW
The accounts on pages 8 to 12 set out the financial transactions for the year to 31 December 2023. The Trustees give thanks to God for His provision and, as always, pray for discernment on how the church can be good stewards of these monies.
The year-end position (an overall surplus of £7,332) is significantly in excess of our original budget which projected a breakeven position and also higher than an updated forecast surplus made in September 2023 of £3,109. The main reason for this is that our overheads have been much lower than expected because of a faulty electricity meter. This has been reported to the supplier several times over a lengthy period but it continues to understate our usage. Our general giving has also increased relative to the budget, reflecting the increasing regular congregation.
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The surplus of £7,332 means that the General Fund balance has increased to £28,913, which is in excess of the reserves target. The Trustees have recognised that we have been grateful that the Eastern Synod of the URC has allowed us to reduce our Ministry and Mission (M&M) Fund contribution in recent years, including into 2024. As a result, the Trustees have been pleased to make an additional contribution to the M&M Fund of £3,500, payable in ten monthly instalments over 2024. This is in addition to our agreed contribution to the M&M Fund for 2024.
In addition to general giving, significant donations have been made during the year by the congregation to separate restricted funds set up to fund a youth worker, bolstered by grants from the Eastern Synod of the URC, and to receive rental income from the Manse which is being let whilst we are without a minister. The Manse rents are being retained to enable the Manse to be renovated ahead of the arrival of a new minister. We also have a restricted fund to support the members and adherents of the church in financial need called the Fellowship Fund.
10% of the General Fund direct giving and bank interest is transferred to our Tithe Fund which makes grants to individuals in Christian ministry work, Christian organisations which the church wishes to support and emergency and relief works. £5,650 was distributed from the Tithe Fund during 2023 (2022: £5,640). We see this as part of our faithfulness to the Bible’s teaching on giving.
The Church is dependent on the congregation for its income, and it is clear that the financial situations of individuals and families in the fellowship has been affected by the difficult economic conditions over recent years such that meeting our financial commitments and aspirations remains a challenge.
RESERVES POLICY
The Trustees decided in March 2013 that the church should aim to hold about 1.5 months’ expenditure (at that time c£10,000) as a reserve. At 31 December 2024 the cash balance on the General Fund was £25,413. This balance represents 5.8 months’ total payments (2022: 4.4 months) based on 2023 actual expenditure. Adjusting the expenditure for the actual M&M pledge for 2024 would reduce this to 5.0 months’ expenditure.
The Trustees continue to welcome the level of reserves remaining in excess of the minimum creating a degree of stability for the General Fund to provide protection against the uncertainties of outturn in uncertain economic times. They will continue to encourage regular giving from within the church family to enable the church to meet its commitments and aspirations.
Signed on behalf of the Elders’ Meeting by Elizabeth Bird, Church Secretary
PLUME AVENUE UNITED REFORMED CHURCH
STATEMENT OF FINANCIAL ACTIVITIES (Receipts and Payments Account) FOR THE YEAR ENDED 31 DECEMBER 2023
| Restricted TOTAL General Designated Funds 2023 Note £ £ £ £ Receipts Incoming resources from generated funds: Voluntary income 6 59,735 350 20,954 81,039 Activities for generating funds 7 11,909 9,341 9,000 30,250 Investment income 8 333 0 0 333 71,977 9,691 29,954 111,622 Other incoming resources 9 0 1,300 11,550 12,850 Total receipts 71,977 10,991 41,504 124,472 Payments Charitable activities: URC Ministry & Mission Fund 3 25,200 25,200 Ministerial costs -URC minister on-costs 1,723 1,723 Ministry costs -Youth worker 30,635 30,635 Ministry costs -Soul Survivor/Satellites Areas of church life: Worship 704 704 Prayer 0 0 Outreach 1,674 1,674 Venue 0 0 Discipleship 1,042 1,042 Pastoral 103 103 Children's work and organisations 176 176 Youth work 1,285 1,285 Social 162 162 Publicity & Communication 444 444 Licences and fees 2,749 2,749 Women's Ministry 407 407 Contingency 84 84 Church administration 2,499 2,499 Church overheads and property 14,066 26,053 40,119 Bank account fees 85 85 Grants payable and restricted donations passed on 4 0 5,650 2,595 8,245 Governance costs 5 150 150 Total payments 52,552 31,703 33,229 117,485 Net receipts/(payments) before transfers 19,425 -20,712 8,275 6,987 Transfers between funds Tithe Fund 2.2 -6,333 6,333 0 0 Maintenance Fund 2.2 -4,760 7,705 -2,945 0 Replacements Fund 2.2 -1,000 1,000 0 0 Total transfers -12,093 15,038 -2,945 0 Net increase/decrease in funds 7,332 -5,674 5,329 6,987 Total cash funds b/fwd 1 January 2023 21,581 16,628 33,268 71,477 Total cash funds c/fwd 31 December 2023 £ 28,913 £ 10,954 £ 38,597 £ 78,464 £ (Note 2.2) (Note 2.3) Unrestricted Funds |
TOTAL 2022 £ 82,291 21,309 65 |
|---|---|
| 103,665 17,132 |
|
| 120,797 | |
| 37,800 1,392 28,585 230 452 0 1,238 0 1,294 24 390 1,247 495 300 2,560 407 298 1,228 16,191 90 10,991 168 |
|
| 105,380 | |
| 15,417 | |
| 0 0 0 |
|
| 0 | |
| 15,417 56,060 |
|
| 71,477 | |
The Statement of Assets and Liabilities on Page 8, and Notes on Pages 9 to 11, form part of these financial statements
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PLUME AVENUE UNITED REFORMED CHURCH
STATEMENT OF ASSETS AND LIABILITIES AS AT 31 DECEMBER 2023
| Restricted General Designated Funds £ £ £ Bank balances CAF Bank Barclays Total monetary assets 31 December 2023 28,913 10,954 38,597 Other current assets Gift Aid Tax recoverable 2,605 0 1,061 Current liabilities- creditors payable within one year: Overheads (utilities) 1,636 0 0 Other normal charitable expenditure 0 0 0 Unrestricted Funds |
TOTAL 2023 £ 51,252 27,212 78,464 3,665 1,636 0 |
TOTAL 2022 £ 44,972 26,505 |
|---|---|---|
| 71,477 3,007 7,468 0 |
The church monies are not held in segregated accounts.
Other assets used for church purposes
The church building and the manse are vested in URC Eastern Synod Trust as trustees and are not church assets. They are held for the benefit of Plume Avenue URC in accordance with the statutory trusts applicable to URC properties under the URC Acts.
For insurance purposes the church buildings are insured by the church for £3,956,837 and the manse for £658,164 (standard policy cover). The church contents are insured by the church for £208,903 and leased equipment for £6,624. Audio visual and computer equipment is insured by the church for £77,777.
APPROVED by the Elders Meeting (Trustees) held on 15 April 2024 and signed on their behalf by Elizabeth Bird, Church Secretary
The notes on pages 9 to 11 form part of these financial statements
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PLUME AVENUE UNITED REFORMED CHURCH
NOTES TO THE STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 DECEMBER 2023
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1 ACCOUNTING POLICIES The financial statements have been prepared in accordance with the Charities Act 2011, using the Receipts and Payments basis available to small charities, and the United Reformed Church guidance.
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2 FUND ACCOUNTING
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2.1 Unrestricted funds may be used by the church for any of its ordinary purposes.
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2.2 Designated Funds represent unrestricted funds set aside by the church for specific designated purposes; they can be transferred back into general funds at the church's discretion.
During 2023 the church operated three Designated Funds as follows:
Tithe Fund - this receives a tithe of 10% on the General Fund direct giving and bank interest; this money is used to make grants to individuals in Christian ministry work, Christian organisations which the church wishes to support, and emergency and relief works. The Fund is administered by the Tithe Group.
Maintenance Fund - this is established to fund the maintenance of the church and manse premises; it receives regular budgeted transfers from the General Fund. It has also received transfers from the Manse Lettings Fund to meet costs of maintenance at the Manse. The maintenance is supervised by the Property Group working with the Property Steward.
Replacements Fund - this is established to fund replacement of major church items such as carpets and seating, which will cost greater amounts than can be provided for out of one year's income. It is the Trustees' intention to see this fund built up to a realistic figure for its purposes. The Replacements Fund was used to provide some of the initial funding for the Building Community Project in 2017 as part of the remit of that project was the replacement of seating and carpets. The closing balance on the Building Community Project fund (£306) was repaid to the Replacements Fund in 2021.
| The movements on the Designated Funds during the year were: Total Total Tithe Maintnce Replcmts 2023 2022 £ £ £ £ £ Balance b/fwd 1 January 2023 1,025 8,752 6,852 16,628 15,988 Donations 250 100 0 350 0 Other incoming resources (insurance claim) 1,300 0 1,300 70 Grants received 9,341 0 9,341 750 Transfer from Manse Letting Fund 2,445 0 2,445 0 Transfer from Gifts Fund 500 0 500 0 Transfer from General Fund 6,333 4,760 1,000 12,093 12,659 7,608 27,198 7,852 42,657 29,467 Grants (see Note 4 and below) -5,650 0 0 -5,650 -5,640 Payments out 0 0 0 0 -1,090 Maintenance works: church 0 -23,160 -448 -23,608 -5,393 Maintenance works: manse 0 -2,445 0 -2,445 -716 Balance c/fwd 31 December 2023 £ 1,958 £ 1,592 £ 7,404 £ 10,954 £ 16,628 The Tithe Fund grants were made as follows: The Maintenance Fund payments were: Regular: Church: CYO 1,800 Flat roof repairs 14,952 Beacon House 900 Car park wall 2,850 CAP Colchester Debt centre 900 Warm Hub 1,865 IJM 900 Electrical 1,440 Col Foodbank 450 IT/Audio 816 Kenyan School 450 Fire alarm/extinguishers 774 Total regular gift commitments £ 5,400 Boiler maintenance & servicing 292 Grass cutting 140 One off: Miscellaneous 32 DEC Syria/Turkey 100 £ 23,160 Worldvision 150 Total one off gift commitments £ 250 Manse: Boiler maintenance & servicing 1,434 £ 5,650 Fence replacement 896 Gas safety check 115 £ 2,445 |
The movements on the Designated Funds during the year were: Total Total Tithe Maintnce Replcmts 2023 2022 £ £ £ £ £ Balance b/fwd 1 January 2023 1,025 8,752 6,852 16,628 15,988 Donations 250 100 0 350 0 Other incoming resources (insurance claim) 1,300 0 1,300 70 Grants received 9,341 0 9,341 750 Transfer from Manse Letting Fund 2,445 0 2,445 0 Transfer from Gifts Fund 500 0 500 0 Transfer from General Fund 6,333 4,760 1,000 12,093 12,659 7,608 27,198 7,852 42,657 29,467 Grants (see Note 4 and below) -5,650 0 0 -5,650 -5,640 Payments out 0 0 0 0 -1,090 Maintenance works: church 0 -23,160 -448 -23,608 -5,393 Maintenance works: manse 0 -2,445 0 -2,445 -716 Balance c/fwd 31 December 2023 £ 1,958 £ 1,592 £ 7,404 £ 10,954 £ 16,628 The Tithe Fund grants were made as follows: The Maintenance Fund payments were: Regular: Church: CYO 1,800 Flat roof repairs 14,952 Beacon House 900 Car park wall 2,850 CAP Colchester Debt centre 900 Warm Hub 1,865 IJM 900 Electrical 1,440 Col Foodbank 450 IT/Audio 816 Kenyan School 450 Fire alarm/extinguishers 774 Total regular gift commitments £ 5,400 Boiler maintenance & servicing 292 Grass cutting 140 One off: Miscellaneous 32 DEC Syria/Turkey 100 £ 23,160 Worldvision 150 Total one off gift commitments £ 250 Manse: Boiler maintenance & servicing 1,434 £ 5,650 Fence replacement 896 Gas safety check 115 £ 2,445 |
The movements on the Designated Funds during the year were: Total Total Tithe Maintnce Replcmts 2023 2022 £ £ £ £ £ Balance b/fwd 1 January 2023 1,025 8,752 6,852 16,628 15,988 Donations 250 100 0 350 0 Other incoming resources (insurance claim) 1,300 0 1,300 70 Grants received 9,341 0 9,341 750 Transfer from Manse Letting Fund 2,445 0 2,445 0 Transfer from Gifts Fund 500 0 500 0 Transfer from General Fund 6,333 4,760 1,000 12,093 12,659 7,608 27,198 7,852 42,657 29,467 Grants (see Note 4 and below) -5,650 0 0 -5,650 -5,640 Payments out 0 0 0 0 -1,090 Maintenance works: church 0 -23,160 -448 -23,608 -5,393 Maintenance works: manse 0 -2,445 0 -2,445 -716 Balance c/fwd 31 December 2023 £ 1,958 £ 1,592 £ 7,404 £ 10,954 £ 16,628 The Tithe Fund grants were made as follows: The Maintenance Fund payments were: Regular: Church: CYO 1,800 Flat roof repairs 14,952 Beacon House 900 Car park wall 2,850 CAP Colchester Debt centre 900 Warm Hub 1,865 IJM 900 Electrical 1,440 Col Foodbank 450 IT/Audio 816 Kenyan School 450 Fire alarm/extinguishers 774 Total regular gift commitments £ 5,400 Boiler maintenance & servicing 292 Grass cutting 140 One off: Miscellaneous 32 DEC Syria/Turkey 100 £ 23,160 Worldvision 150 Total one off gift commitments £ 250 Manse: Boiler maintenance & servicing 1,434 £ 5,650 Fence replacement 896 Gas safety check 115 £ 2,445 |
Total 2022 £ 15,988 0 70 750 0 0 12,659 |
|---|---|---|---|
| 29,467 -5,640 -1,090 -5,393 -716 |
|||
| 16,628 | |||
| 14,952 2,850 1,865 1,440 816 774 292 140 32 |
|||
| CYO 1,800 Beacon House 900 CAP Colchester Debt centre 900 IJM 900 Col Foodbank 450 Kenyan School 450 Total regular gift commitments £ 5,400 One off: DEC Syria/Turkey 100 Worldvision 150 Total one off gift commitments £ 250 £ 5,650 |
|||
Wherever possible maintenance work is done with our own labour, saving considerably on the costs.
| The Replacement Fund payment was: | ||
|---|---|---|
| Freezer replacement | £ | 448 |
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PLUME AVENUE UNITED REFORMED CHURCH
NOTES TO THE STATEMENT OF FINANCIAL ACTIVITIES - continued (Receipts and Payments Account) FOR THE YEAR ENDED 31 DECEMBER 2023
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2 FUND ACCOUNTING - continued
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2.3 Restricted Funds represent donations or grants received or invited for a specific purpose. These funds can only be spent on the specific purpose for which they were given. Any balance remaining unspent must be carried forward as a balance on that fund for future payment on that specific purpose, or returned; it cannot be absorbed into general funds.
During 2023 the church operated five Restricted Funds as follows:
Designated Gifts - at different times of the year monies are raised in the church to support specific projects. Therse are passed on as soon as practicable but there is usually a balance at the end of December relating recent gifts.
Youth Worker - during 2015 the church launched an appeal towards the appointment of a new youth worker which took place in July 2015. The designated gifts fund already held funds which had been paid in respect of a youth worker which were transferred to this fund. The contract of the Youth Worker has been extended for a further three years from both 2018 and 2021.
Church Weekend Away - following a church weekend away in 2008, a separate fund was set up for these monies.
Fellowship Fund - in response the lockdown of 2020 during the Covid-19 crisis the church established a fund to help demonstrate the love of Christ through practical, tangible generosity. The fund is to support the members and adherents of the church who are in financial need. It is funded by gifts received from members and adherents of Plume Avenue Church as well as other sources of generosity including a grant from Essex County Council and is administered by a team comprising two members of the congregation, agreed by the Trustees, together with one Trustee.
Manse Letting - As the church has been without a minister from July 2022, the Manse has been let to tenants from August 2022. The rent is currently being held in a restricted fund such that it can be used to refurbish the Manse ahead of the arrival of a new minister in the future. This fund has been used to reimburse the Maintennace Fund for any maintenance expenditure on the Manse incurred during the letting period. The future allocation of the proceeds of this fund will be kept under review when it reaches an appropriate level relative to the costs of the refurbishment.
The movements on the Restricted Funds during the year were:
| Youth Church Gifts Worker Weekend £ £ £ Balance b/fwd 1 January 2023 909 12,128 409 Direct income/giving 1,394 17,046 0 Gift Aid refunds 0 2,514 0 Grants received (see Note 7) 2,000 7,000 0 4,303 38,688 409 Gifts passed on -1,995 0 0 Fellowship Fund payments made 0 0 0 Expenditure 0 -30,635 0 Transfer out to Maintenance Fund -500 0 0 Grant unused returned 0 0 0 Transfer out to Replacements Fund 0 0 0 Balance c/fwd 31 December 2022 £ 1,808 £ 8,053 £ 409 |
Fellowship Fund £ 1,271 0 0 0 1,271 0 -600 0 0 0 0 671 |
Manse Letting £ 18,550 11,550 0 0 30,100 0 0 0 -2,445 0 0 27,655 |
Total 2023 £ 33,268 29,990 2,514 9,000 74,772 -1,995 -600 -30,635 -2,945 0 0 38,597 £ |
Total 2022 £ 11,889 38,397 5,549 9,749 |
|---|---|---|---|---|
| 65,584 -15,688 -1,575 -26,803 0 -850 -306 |
||||
| 20,362 |
- see Note 4
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PLUME AVENUE UNITED REFORMED CHURCH
NOTES TO THE STATEMENT OF FINANCIAL ACTIVITIES - continued (Receipts and Payments Account) FOR THE YEAR ENDED 31 DECEMBER 2023
3
MINISTRY & MISSION FUND
The church contributes to the central URC costs of training and providing ministers (including the centralised payment of stipends, pension contributions and other benefits for ministers), running the denomination, and the wider mission of the national Church. In 2023 that annual budget amounted to £18.7 million (2022: £20.5 million) and 87% (2022: 79%) is provided through the Ministry & Mission Fund contributions from churches.
This church's FairShare calculation made by Synod for our contribution to this Fund for 2023 was £46,838 (2021: £55,536); however we agreed to pay £25,200 (2022 £37,800) based on our budget for 2023 which was anticipating breaking even which such a contribution reflecting a significant income reduction following the Covid 19 pandemic. As the church has made a surplus in excess of the budget it will make an additional payment to the M&M Fund in 2024 in respect of 2023 of £3,500.
| The contributions actually made by the church were as follows: | 2023 | 2022 | ||
|---|---|---|---|---|
| £ | £ | |||
| Payments made in the year (see Page 7) | 25,200 | 37,800 | ||
| Deduct: Additional payment for previous year made in the year | 0 | 0 | ||
| 25,200 | 37,800 | |||
| Add: Additional payment for the year made after year end | 0 | 0 | ||
| Contributions for the year | £ | 25,200 | £ | 37,800 |
- 4 GRANTS PAYABLE AND RESTRICTED DONATIONS PASSED ON
| Restricted TOTAL General Designated Funds 2023 £ £ £ £ CYO 1,800 0 1,800 Youth Drop In Project 0 1,481 1,481 Beacon House 900 0 900 CAP Colchester Debt centre 900 0 900 IJM 900 0 900 Fellowship Fund 0 600 600 Col Foodbank 450 119 569 Kenyan School 450 0 450 Kenya Cost of Living 0 290 290 Other Tithe Fund payments (see Note 2.2) 250 0 250 Other Restricted Fund payments (see Note 2.3) 0 105 105 £ 0 £ 5,650 £ 2,595 £ 8,245 (Note 2.2) (Note 2.3) [Totals 2022 0 £ 5,640 £ 5,351 £ 10,991 ] 5 GOVERNANCE COSTS Restricted TOTAL General Designated Funds 2023 £ £ £ £ Membership Certificates/Marriage Book 0 0 0 0 Accounts examination 150 0 0 150 £ 150 £ 0 £ 0 £ 150 £ 6 VOLUNTARY INCOME Tithes and offerings (£966 per week; 2022: £929) 50,211 0 0 50,211 Special offerings and donations 0 350 18,440 18,790 Income tax refunds under Gift Aid 9,525 0 2,514 12,038 £ 59,735 £ 350 £ 20,954 £ 81,039 £ 7 ACTIVITIES FOR GENERATING FUNDS Church lettings 1,112 0 0 1,112 Nursery (pre-school) 10,797 0 0 10,797 Grants received for Youth Worker from URC Eastern Synod 0 7,000 7,000 Grants received for roof repair from URC Eastern Synod 0 9,341 0 9,341 Mission Grant from URC Eastern Synod 0 0 2,000 2,000 £ 11,909 £ 9,341 £ 9,000 £ 30,250 £ 8 INVESTMENT INCOME Bank interest £ 333 £ 0 £ 0 £ 333 £ 9 OTHER INCOMING RESOURCES Manse letting rent 0 0 11,550 11,550 Insurance claim due to damage to car park wall 0 1,300 0 1,300 Insurance claim due to loss of income (Covid 19) 0 0 0 0 £ 0 £ 1,300 £ 11,550 £ 12,850 £ Unrestricted Funds Unrestricted Funds |
TOTAL 2022 £ 68 100 |
|---|---|
| 168 | |
| 48,298 20,587 13,406 |
|
| 82,291 | |
| 925 10,091 9,543 0 750 |
|
| 21,309 | |
| 65 | |
| 12,600 70 4,462 |
|
| 17,132 |
Page 11
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF PLUME AVENUE, COLCHESTER, UNITED REFORMED CHURCH CHARITY (Registered Charity No. 1130594)
I report on the accounts of Plume Avenue URC for the year ended 31 December 2023, which are set out on pages 7 to 11.
Respective responsibilities of the Trustees and the 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 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.
It is my responsibility to:
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examine the accounts under section 145 of the Charities Act,
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follow procedures laid down in the general Directions given by the Charity Commission (under
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section 145(5)(b) of the Charities Act), and
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state whether particular matters have come to my attention.
Basis of Independent Examiner's statement
My examination was carried out in accordance with 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 the 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 statement below.
Independent Examiner's statement
In connection with my examination, no matter has come to my attention which gives me reasonable cause to believe that in, any material respect, the requirements:
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to keep accounting records in accordance with section 130 of the Charities Act; and
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to prepare accounts which accord with these accounting records and comply with the accounting requirements of the Charities Act have not been met.
Signed by the Independent Examiner:
Date:10 April 2024
Thomas Green 13 Rainsborowe Road Colchester CO2 7JT
Page 12