
## **St Paul's with St Luke's, Chester** 

## **Agenda for Annual Meeting 2022** 

to be held at St Luke's Church, Huntington Road, Chester after the 10.30am service on Sunday 24 April 2022 

## **1 Annual Meeting of Parishioners** 

To elect two churchwardens 

## **2 Annual Parochial Church Meeting ("APCM")** 

(a) election of PCC members (who, until a fresh resolution or 2026, whichever comes first, retire annually)  NB the Vicar, churchwardens, and Deanery Synod reps are ex officio members of PCC 

(b) appointment of auditor 

(c) report on changes to the electoral roll 

(d) annual report on the proceedings of the PCC – which under M5 (3) must include a statement as to whether the PCC has complied with the duty to have regard to House of Bishops guidance on safeguarding. **INCLUDED BELOW** 

(e) financial statements of the PCC for the year ending 31 December preceding (which must be approved by the PCC and published 7 days before the APCM). **INCLUDED BELOW** 

(f) annual fabric report 

(g) report of proceedings of the Deanery Synod 

## (h) Campbell Hall **FINANCIAL STATEMENT INCLUDED BELOW** 

(i) Reports from other groups and activities 

(j) Any Other Business and questions. 

## (k) Closing Prayers 

[The appointment of sidespeople, Treasurer, Secretary, Electoral Roll Officer is a matter for the first PCC after the APCM.] 



## **2021 Annual Report and Accounts** 

## **for the Parochial Church Council of Chester St. Paul’s and St. Luke’s** 

## Aim and Purposes 

St. Luke’s Parochial Church Council (PCC) has the responsibility of cooperating with the incumbent, the Reverend Christopher Blunt, in promoting in the ecclesiastical parish, the whole mission of the Church, pastoral, evangelistic, social and ecumenical. The PCC of the church are also the managing trustees of the Campbell Community Hall, Boughton, Chester. 

## Objectives and Activities 

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. Luke’s. 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. Specifically, this has been achieved during 2021 by parallel in-person and live streaming all of our services (whether they have been led from church or home).  Our services and worship put faith into practice through prayer and scripture, music and sacrament. 

When planning our activities for the year, we have considered the 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: 

- Worship and prayer; learning about the Gospel; and developing their knowledge and trust in Jesus, including our “Kids Alive” children’s service, home group Bible studies and enquirer’s courses. 

- Provision of pastoral care for people living in the parish, including running  wellbeing courses. 

- Missionary and outreach work, including schools work, children’s and youth activities, community café and homeless drop-in. 

To facilitate this work it is important that we maintain the fabric of the Church of St. Luke’s. 

## Achievements and Performance 

2021 started with the third national lockdown (though communal church worship was exempt).  At St. Luke’s we made sure the church remained open throughout for Sunday services.  Using various different socially distanced seating arrangements including zoned seating, ventilation, one way system, contact tracing, recorded music without singing and an online option throughout, worship was provided that both allowed as much as the law at the time allowed as well as options for worship for those with different attitudes to risk. 

We continued to provide assemblies for local schools (Dee Banks, Huntington, Boughton Heath, Cherry Grove, Oldfield and Bishops High School).  These were in video format, only later in the year reverting to in-person assemblies and only in some of the schools.  Our Children’s and Youth Worker also helped to run a lunch club and wellbeing courses at Bishops High School. 

After the end of the third national lockdown hospitality was permitted to reopen outdoors. Throughout April we put up a marquee on the church car park and opened our community café.  It then moved indoors when permitted in May and remained open since then.  The (exempted)  baby group ran throughout the lockdown with the toddler group restarting when permitted.  Similarly, 



the drop-in run from the Campbell Community Hall reopened when permitted (initially for takeaway only). 

St. Luke’s achieved the required standard to get a bronze eco-church award (though have chosen not to register until the silver level is reached) and have included environmental themes in services in July (Tearfund/ Alpha Reactivate material) and held a COP26 service in November (using Tearfund video material). 

The second half of 2021 was primarily focussed on returning to a new normal for church life and culminated with well attended indoor, outdoor and pub carol services for Christmas. 

## Financial Review 

|Total receipts on unrestricted funds were £167,203 of which £110,108 were unrestricted voluntary|
|---|
|donations plus Gift Aid (the remainder being fees, trading activities, grants and reimbursements).|
|Restricted donations of £7,646 were also received and are detailed in the Financial Statements.|
|Gross receipts are roughly static compared to 2020.  This is represented by (approximately):|
|Unrestricted giving<br>+£4k|
|Restricted giving<br>-£5k|
|Fees<br>-£1k|
|Café Receipts (open many more months)<br>+£8k|
|Church projects (windows in 2020)<br>-£19k|
|Grants (furlough plus restart grants in 2021)<br>+£14k|



Total payments for 2021 increased compared to 2020 by approximately £8,000 to £183,238.  This increase is almost entirely attributable to the increased volume of café trading and hence staffing requirements.  In addition, approximately £9k was spent in 2021 from funds raised for the windows project in 2020, so gross payments are expected to reduce in 2022. 

The church’s main expenses are: parish share (£68k); tithed mission support (£15k); utilities, insurance, maintenance and cleaning (£12k); and staff salaries/ pensions etc (£58k). 

## Reserves Policy 

From one year to the next the PCC aims to carry forward between 3-6 months of operating costs. This is defined as no more than the lower of 50% of either the previous year’s total income or 50% of the previous year's combined Parish Share and staff wage bill plus £10,000 towards emergency maintenance.  And it is no less than 50% of the above figure. 

For the 2021 accounts this equates to between  £34,019 - £68,037.  The carry forward from 2021 was £48,015 plus £14,032 in investments, placing us near the top end of the range. 

## Structure, Governance and Management 

The method of appointment of PCC members is set out in the Church Representation Rules. At St. Luke’s the membership of the PCC consists of the incumbent (our vicar), churchwardens, the 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 / members of the congregation 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. New members receive initial training into the workings of the PCC. The full PCC met six times during the year.  The PCC has its statutory Standing Committee and one formal sub-committee, the Campbell Hall Management Committee, tasked with acting on the PCC’s behalf as management trustees for the hall.  These committees are responsible to the PCC and report back to it regularly, with their decisions being received by the full PCC on each meeting agenda and discussed as necessary. 

## Administrative information 

St. Luke’s Church is situated in Huntington, Chester. It is part of the Diocese of Chester within the Church of England. The correspondence address is St. Luke's Church, Chester Road, Huntington, Chester CH3 6BT. 

The PCC is a body corporate (PCC Powers Measure 1956, Church Representation Rules 2006) and a registered charity: 

Number: 1130604 Name: The Parochial Church Council of the Ecclesiastical Parish of Chester St. Paul's 

PCC members who have served at any time from 1st January 2020 until the date this report was approved are: 

Ex Officio members: Incumbent: The Reverend Chris Blunt (Chair) Wardens: Dr Dave Cooke-Fox Mr Clive Poyser Deanery Synod Rep: Mrs Vicky Williams Mrs Hazel Hildreth Co-opted Members: Secretary: Rev Steven Hildreth (until April 2021) Treasurer: Mr Ian Reece (until April 2021) Elected members: Dr Jeff Polton Mrs Dawn Greaves Dr Keith Gregory Mrs Tricia Gleave Mrs Joyce Evans Mrs Carrie Davies Mr Rich Simm Mr John Somerville Mr Ian Reece (since April 2021) Mr Paul Williams 

PCC Standing Committee: - This has the power to transact the business of the PCC between meetings, subject to any directions given by the Council, and comprises the Incumbent, 



Churchwardens, Treasurer and one member elected from the PCC (Paul Williams since April 2021) – 3 out of 5 is quorate. 

Independent Examiner: Mr. A. McGraa 18 Poulton Green Close Bebington Wirral CH63 9FS 

Bankers: Virgin Money NatWest Bank Santander 53, Lord Street, 33 Eastgate Street 59-61 Foregate St Liverpool Chester Chester L2 6PB CH1 1LG CH1 1YQ CCLA Investment Management Ltd 80 Cheapside London EC2V 6DZ 

The Revd Chris Blunt on behalf of the P.C.C.-  10 March 2022 



Recelpts & Payments Account
Financial Statement for the Year Endlnz 31 December 2021
Nots Unrestricted Restricted Totsl 2021
Totsl 2020
Funds
Funds
R•eèipts
R•c•ipts
Receipts
Receipts- Re8ularlPersonal GSvln8
Planned Giving
Open Plate
8equestS
Donations- Mission Support
Donations- Training Support
Donations- Saturday Drop In
Donations- General
Gift Aid & GASDS- Recovered
85.281.72
2,814.01
I,0￿.¢)0
85.281.72
2,814.01
I,OLK).IJO
3.636.1K)
3,636.00
9￿.00
900.00
39.00
39.00
0.00
4.022.LlJ
1 107.50
18 098.16
5.682.50 115.790.89
80,OC4J.52
1,736.23
5.068.00
1,200.C4J
487.90
3,350.00
24 928.99
116.771.64
4,022.C
16 990.66
110.108.39
Recelpt5- Fundlng Attlvltle5
Rental Income
Fees
DBF Grant- Fees
2,903.34
540.00
180.00
3,623.34
2,903.34
2,503.1)0
180.00
5,586.34
3.202.85
3,217.00
120.CM)
6,539.85
1,963.00
1,963.IXI
Re¢eipts- Church Groups
Acorns & Conkers
Children's Groups
Youth Weekends- Fees Received
Youth Work
Towers
Wednesday Community Lunch
507.S6
410.
0.00
507.56
410 CM)
266.57
258.21
809.00
630.CK)
7.05
0.00
0.00
1,554.61
0.00
0.00
630.
7.05
31.00
ICK).00
1,464.78
1,554.61
Reieipts- Community Café
Community Cafe- Cash & Card
22 314.77
12.314.77
22 314.77
O.IXl 22.314.77
14 192.03
14,192.03
Interest & Dividend Income
Deposit Account - Interest
Investment Fund - Dividends
4.57
356.58
361.15
0.00
4.57
356.58
361.15
54.32
344.34
398.66
Receipts- Projects
Cliuiili Wiiidvw Fun¥J
Min-y-Don Weekend
Christmas Lights
0.00
0.00
0.00
16,766.00
1,850.35
640.00
19,256.35
0.00
0.00
Receipts- Other
CWAC Business Recovery Grant
Grant- Diocesan Fund
Refund CampbelllH Gr Salary Costs
HMRC Job Retention Scheme
HMRC Tax Adjustment
16,335.00
16,335.00
0.00
%.199 19
o.oo
7.698.44
0.00
8.32
0.00 29,240.95
2,000.CN)
6.642.69
6.795.90
5.199.19
7,698.44
8.32
29,240.95
15,438.59
Total Recelpts Church
167,203.21
7.645.50 174.848.71
174.061.90
Contros
26.15
Total All Receipts
167,203.21
7,671.65 174,874.86
175.249.80

RKeipts & Payments Account
Financlal Statements for the Year Endlng 31 December 2021
Note Unrestrlrted Restrirted Total 2021
Totsl 2020
Funds
Funds
Paymènts
Payments
Payments
Payments- Dlocesan & aergy
Diocesan Parish Share & Deanery Costs
Diocesan & Other Fees
Clergy Expenses
Vir.arAg9 r.oiJncil Tax Watèr Telephone
68,131.S6
68,131.56
1.963.C
54.90
3 424.53
73.573.99
67,624.32
1,982.80
312.85
1.963.00
0.00
0.00
1.963.00
54.90
3 424.53
71,610.99
72.963.88
Payments- Donations
Annual Tithe & Others
Mission Support
Training Support
Saturday Drop In
15.388.75
0.00
4,486.00
1.150.00
15.388.75
4,486.00
1.150.00
46.50
Zl,071.25
16,C(J7.CK)
6,687.00
1,525.00
764.88
24,983.88
0.00
15,388.75
5,682.50
Pavments- Church Runnlnff Costs
Utilities- Water & Electricity
Insurance Cost5
Maintenance & CleaninB Materials
Service Costs
Books & Course Materials
Telephone Internet & Zoom Fees
Office suppliès & Copier Rental et
General Equipment Purchase5
Sub5cription5 & Licen5e5
RpfreshmÈnts
5,937.00
1,180.12
1.129.20
265.69
a5.8a
772.75
493.44
1,880.96
528.37
144.07
12,377.44
0.00
0.00
5,937.00
1,180.12
1,129.20
265.69
45.84
772.75
493.44
1,880.96
528.37
144.07
12,377.44
5,920.91
1,179.61
922.75
85.34
42.47
1.027.27
587.15
51.97
527.20
66.83
10.411.50
0.00
Paym•nts- Salari•s
Staff Salaries & Pension Provision IAIII
Payroll & Pension Administration IAIII
56.969.40
973.88
57.943.28
o.nn
0.00
56.969.40
973.88
57,943.28
49,152.34
938.70
50,091.04
Payments- Community Cafe
Purchase of Provisions & Card Fees
Equipment Purchases
6,703.39
14.44
6,717.83
G,703.39
262.26
6,965.05
4,936.80
338.11
5,Z74.91
247.82
247.82
Payments- Church Groups
Children'5 Work
Youth Weekends- Fee5 Paid
Youth Work
Wednesday Community Lunch
269.95
720.00
SAA.88
269.95
720.00
588.88
229.66
769.96
208.26
l(KJ.00
1,307.88
0.00
0.00
1,57S.83
I,S78.83
Payments- Projects
Window Refurbishmcnt
Min-y-Don Weekend- Part Payment
Min-y-Don Weekeiid - Refuiid
ChTlStm3s Lights 2020
0.00
0.00
0.00
0.00
8,928.00
8,928.00
0.00
8.490.00
875.00
162.CK)
519.46
9,447.46
519.46
9,447.46
9.527.IXI
Paymerts- Other
Training Courses
280.00
180.(KI
280.00
280.00
Total Payments Church
165,897.12
17,340.78 183,237.yo
174,560.09
Contras
26.15
26.15
1176.87
Total All Payments
165,897.12 17.366.93 183,264.05
175.736.96

Receipts & Payments At¢ount
Flnancial Statements for the Year Ending 31 December 2021
UnrÈstrirted
Restrlrt•d
Totsl 2021
Total 2020
Funds
Funds
Funds
Funds
Recelpts & Payments Bfwd
Total receipt5 at 31 Dec 2021
Total payments at 31 Dec 2021
Excess Payments over Retéipts
167,203.21
165 897.12
1,306.09
7,671.63
17 366.93
-9,695.28
174,874.86
183 264.05
4,389.19
175.24Y.80
175 736.96
487.16
Account ealan¢es
Opening Balances l Jan 2021
counts
Santander
Yorkshire Bk *
Nat West Bk
CCLA Deposit
Totsl Openln8 Balances l January 2021
Current Ac($
DEPD51t Ar
0.00
Total 2021
19,518.75
23,748.60
291.10
12 845.25
19,518.75
23,748.60
291.10
12 845.25
12,845.25
43,558.45
56,403.70
Transfers Between Funds
Opening Balances l January 2021
Transfer btwn Deposit Acc & Current Accs
Excess Payments over Receipts & Interest
Closlng Balances 31 December 2021
Current Accs
43.558.45
7,000.C
-8 393.76
42,164.69
Deposlt Acc
12.845.25
-7,000.
4.57
5,849.82
Totsl 2021
56.403.70
389.19
48,014.51
Account Balances
Closin8 Balances 31 Dec 2021
Acc¢unts
Santander
Virgin Money
Nat West Bk
CCLA Deposit
Totsl CIosln8 Balance$ 31 December 2021
Current A￿5
20,76G.78
21,060.81
337.10
Deposit Acc
Total 2021
20,766.78
21,060.81
337.10
0.00
42.164.69
5.849.82
48.014.51
CBF Investment Fund- Shares held 6fyJ with a bid value at 31112121 of £14,032.02 131112120 £12,268.02).
None Iraded during 2021.
Virgin Money- Yorkshire Bank has traded as Virgin Money sinte April 2021.
Annual Statement of Restrictèd Funds A¢cru•d at 31 D•¢¢mber 2021:_
Account
Note
Balance
01-Jan-21
10,164.7J
640.CQ
563.35
180.00
247.82
731.00
100.00
80.72
12,707.64
2021
Recelpts
2021
payments
-8,928.C(J
-519.46
Balance
31-Dec-21
1,236.75
120.54
563.35
180.00
0.00
731.
Ic¥J.cKJ
80.72
3,012.36
Church Window Fund
Church Christmas Lights
Min-y-Don Weekend (Net)
Heritage Funds- St Paul's Surveys
2016 Communlty Café Donations
Tower5 Group
Wednesday Community Lunch
Contras- Traidcraft
Total Accumulated Restrirted Funds
-247.82
-9,695.28

NOTESTOThE2
I ACCOUNTS
11 Donations-General & General Equipment Purchases- These ilems include contributions of £1.492 towardsl
and the purchase of two new rhurch laptops.
21 Gift Aid & GASDS Recovered showing under Restricted Funds ale amount5 asslgned to donatlons given
towards Mission Support. Training Support- Church Army. and The Saturday Drop-ln.
31 Rentals- Corvid 19.. Due io the non-use of the builijing during 2020121, the City of Chester Training R34d
were owed £1,034.91127 Week51 at Vi/21, as they paid in full for 2020. They resumed use in Au8USI 2021 with
thoir rentals bèin8 offset 38ain&t the sum owed. Similarlyi the Che*tcr L4dic5 Choir was £31J.3412 MonÉhsl.
This amount was offset against their 2021 rental5.
41 Church Wlndow Furbd 2020- E8,236 were rKeived from three grants and £8.S30 from individual donations
in 2020.
51 Christmas Lights 2020 - AII £640 recelved. wère from individual donations.
61 HMRcJob Reiention Scheme 2U21- The sums received were split between furloughed café staff (£5,048),
and the balonce1£2,GJO.441 toward5 the Cliildreii & Yvutli Worker and Cleaner where furloughed.
?) Contras- are designat￿ receipts and payments where the Parish has acted on behalf of other partSes but
(Jo not tofm part of the Parish funds and includes donations received during the year.
81 Salaries- All payments against this itern are amounts paid towa¥ds salaries, PAYE. National Insurance and
Statutory Staff Pension provision where applicable.
91 Min-y-Don Weekend Payment of £1.125 towards the postponed 2020 weekend lincludin8 the 2019 deposit)
Is bebng held by Min-v-Don aÉain5t a future date. A balance of £563.35 is being held by the parish.
DONATI
NS- The following Sums were donated durin8 2021. The itoli¢ised items ure not ¢onsideredport
of our unnual fithe Givirt9.
Mi<£lon Aviation Fellowship UK
CSCW- General
Church Army- Traini1)8 5uypurL
S¥turday Drop-ln Campbell Hall
Kintsugi Hope
Melane51an Slsters- Chapel
Tearfund
Compasslon
Link-up
6,5C
CSCW- It's Your Mov¢ Btsoklet
Christian Aid
Reach Merseysi¢e
Gideons/GOOD NEW5 Fow Everyo1)¢
Christion Aid {HarvestSeThKeJ
WAth Love
Christion Aid Envelope5 (Controsj
255
250
240
160
600
6C
51JO
343
100
26
400
360
Total Donatlttns
ISA14
IA
Gr05s Receipts Iinc Card Transaction51
Purtho5c of Provisions & Sundriej
SalaripE % %tJtiJtory Staff P@nsion
purlou8h- Job Retention Scheme
Fte5- Card Transa£tioi)S
Purchase of Equipment
lun-Dec Salary Payments offset against CWAC Grant
Equlpment Offset againsT 8alance of 2Ulb Lionations
22.314.77
-6,459.58
-26,006.74
5,048.00
-243.81
-262.26
3,657.50
247.82 Deficlt
-1,704.30
11 Accountlns 2021- The accounis have been prepared on a receipts and payments basis.
2} The Accounts 2021- The accounts for the year ending 31 December 2021 of the Parish of Chester St Paul
with St Luke were approved by the Parochial Church Council on 16th March 2022 and accordin8ly Signed on
their behalf by..

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
THE PARISH OF CHESTER ST PAUL wrrH ST LUKE
I report on the accounts for the year ended 31 De￿Inber 2021
Respoctlv• responslbilbties of th8 and tha Independent Examiner
The charity's Irustee5 are respon5ibl¥ for the preparation of the acGounts. The &￿TIty'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 examinatK)n is needed.
It 15 riiy resw)nsibillty to-
examine the acc#)unts under sedion 145 of the Chafltles Act,
to folh)w the pro￿(JureS laid dovm In ttie general DireGIiuflS glven by the Charity Commi3310n
(uriijer seGlion 145(5)Ib) of the Charities Act, and
to stste whether particular matters have come to my attentK)n.
Bas15 of indopendent oxamIne￿¥ statement
My examination was carried oul in accordan￿ generdl Directi￿5 glven by Ihe Charity
Comtnission. An examination includes a review of the accounting records kept by the charity and a
ojmparison of the accounts presented with those records. It also includes conslderation of any
unusual items or ¢Jisclosures In the a[￿unis", dll(I seeking explanations from the trustees conccming
any suGh matiers. The procedures undertaken do not provide all the eviden￿ that would be required
in an audit. and crjnsequently no opinion is given as to vmelher the aGcouriis" present a 'ttue and fairf
view and the report is limited to those matters set out in the statement below.
Independent examlnefs statement
In Gonnection with my examir)ation, rK) material matters have come to my attention glves me caus8
to believe that in. any malenal respecL
the accountlng recordt* wvre not kept in aGGordance with 8ection 130 of the CharitlO8 Act: or
the accounts did rKJt accord with the accounting ￿cords. or
the accounts did r￿t compty with the applicable requirements conceming the fvm and ￿Trtent of
ac(L)unts 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 riot a matter considered as part
of an independent examlnation.
I have not tx)me across any other matters In connection wlth the exarn1nat￿ tv Ythlch attenli(M should
be drayffl in this report in order to enable a proper understanding of the a{￿Unts to be reached.
Date 03 Febnjary 2022
Signed
E. M. McGraa
18, Poulton Green Close,
Bebington.
Wirral.
CH63 9FS

## **CAMPBELL  COMMUNITY  HALL** Receipts & Payments  Accounts Year Ending 31st December 2021 

|Currency - £||||
|---|---|---|---|
||**2021**|**2020**|**2019**|
|**INCOME**||||
|Hall Lettings - Chester Plus|3300|6600|6600|
|Hall Lettings - 3 The Mount|7800|7800|7800|
|Hall Lettings - Yoga|30|297|1296|
|Hall Lettings - City Church|4410|4778|6150|
|Hall Lettings - Soul Kitchen|572|676|240|
|Hall Lettings - Monday Club|0|100|100|
|Dance (Fallen Angels)|540|0|80|
|Campbell Hall Donations|1100|0|1290|
|Breakfast club Donations(Homeless)|1242|3411|3585|
|Waverton Evangelical Donations to Homeless|0|440|700|
|Insurance|10271|0|0|
|Karate Club|2089|702|0|
|Miscellaneous repayments|1198|1171|0|
|**TOTAL  INCOME**|**32551**|**25975**|**27841**|
|**EXPENDITURE:**<br>Caretaker<br>Insurance<br>Cleaning<br>Repairs & Maintenance,supplies- All<br>3 The Mount<br>1 The Mount<br>Fire Ext/ Supplies/Services/Alarm<br>Hall Electric (SSE,Hydroelectric)<br>Hall Gas (nPower, CNG)<br>Water<br>Breakfast Club expenses/Supplies<br>Auditor(Alan Mcgraa)<br>Donation to Chester Plus<br>Music Licence|5,199<br>1,887<br>1,398<br>10,777<br>671<br>2,995<br>1,294<br>2,198<br>717<br>91<br>2,436<br>60<br>-<br>104|6,686<br>1,711<br>1,250<br>2,624<br>594<br>-<br>662<br>1,086<br>2,182<br>461<br>2,365<br>60<br>1,100<br>159|6,091<br>1,678<br>1,873<br>5,151<br>633<br>-<br>926<br>1,325<br>1,617<br>875<br>3,678<br>60<br>500<br>256|
|**TOTAL EXPENDITURE**<br>SURPLUS / ( DEFICIT ) for Year<br>BALANCE  BROUGHT FORWARD|29828<br>2724<br>31756|20938<br>5037<br>26719|24663<br>3178<br>23541|
|**BALANCE CARRIED FORWARD**|**34479**|**31756**|**26719**|
|||||
|**Closing general fund  at year end for Homeless is**|**3581**|**4775**|**3289**|
|||||
|**Closing general fund at year end for Campbell Hall**<br>**30898**||**26981**|**23430**|





INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF
CAMPBELL HALL
I report on the accounts for the year ended 31 December 2021
Respective responsibilities of the Trustees and the Independent Examiner
The Members are responsible for the preparation of the accounts. The Members consider that an
audit is not required for Ihis year under section 144 of the Charities Act 2011 (the Charities Act) and
that an independent examination is needed.
It is my responsibility to..
examine the accounts under section 145 ofthe Charities Act,
to follow the procedures laid down in Ihe general Directions given by the Charity Commission
(under section 14515)(b) of the Charrties Act, and
to state whether particular matters have come to my attention.
Basis of independent examinefs 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 explanalions 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 examinerfs statement
In connection with my examination, no material matters have come to my attention gives me cause
to believe that in. any material respect,
the accounting records were not kept in accordance with section 130 of the Charities Art. or
the accounts did not accord with the accounting records". or
the accounts did not comply with the applicable requirements con￿MIng the fomi and content of
accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any
requirement that the accounts give a Irue and fairf view which is not a matter considered as part
of an independent examination.
I have not come across any other matters in connection wtth the examination to which attention should
be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Date 25 February 2022
Signed
A E M McGraa
18. Poulton Green Close,
Bebington,
Wirral.
CH63 9FS