The Parish of Bush Hill Park St. Mark & St Ste
hen Enfield
ANNUAL REPORT OF THE PAROCHIAL CHURCH COUNCIL
for the
earA
ril 2024 to March 2025
Dear Brothers and Sisters in Christ,
It is with gratitude and reflection that I present this Chairman's Report for the Annual
Parochial Church Meeting IAPCMI of St Mark and St Stephen Bush Hill Park. Over the past
year, we have continued to witness God's faithfulness in our parish as we strive to serve our
community and grow as a church family. This report highlights key aspects of our shared life,
mission, and rninistry.
Admlnlstrative Inforrnatlon
The following PCC members have served in the current year, following their election at the
APCM in April 2024 to serve the joint single PCC of the united Parish of Bush Hill Park, St Mark
and St Stephen:
Incumbent: Revd Prebendary Dr Amatu Christian Iwuagwu
Wardens
Maria Hohenkirk, Janice Dickson (also Parish Safeguarding Officer),
Karen Lo (also Parish Treasurer), Helen Bridge
Elected Members:
Maureen Banks
Eka Benson
Ngozi Ekomaru (Ex Officio - Deanery Synod representative)
Elisabet Ekpenyong (Ex Officio- Deanery Synod representative)
Gail Judd (Children'5 Champion)
Chioma Olebara (vice chair)
Obinna Opurum (Deputy Assistant Warden)
Wilhelmina Pig8Ott (Deputy Assistant Warden)
Brian Reed
Ann Reid {PCC Secretary)
Elsie Rigden
The following Licensed Ministers are ex-officio members of the Parochial Church Council..
Mthr Claire Betts
Princess Christian-lwuagwu
Rev'd Kechi Onwuka

Structure Governance and Mana
ement
The method of appointment of PCC members to the PCC is set out in the Church
Representation Rules. Elections for all posts take place annually with the exception of the
Deanery Synod Representatives, who are elected every three years. All church attendees are
invited to register on the Electoral Roll and stand for election to the PCC.
The PCC has met 7 time5 since its election in April 2024, with meetings scheduled every 8
weeks,
Parish Mlsslon and Vlslon
At the heart of our parish Ilfe is our commitment to misslon. The PCC continues to function
as both a governing body and a mi55ion team, seeking to discern how best to serve the needs
of our community while remaining faithful to our calling as disciples of Christ. Mother Claire,
in collaboratlon with Fr Amatu, has led the development of our M155lon Actlon Plan (MAP),
aligning with the wider Church of England's Vision for 2030 and incorporating ideas generated
from our PCC Away Day In 2022. The plan is both extensive and ambitious, but it provides a
clear direction for deepening discipleship, outreach, and engagement with the wider
community.
One of the significant goals withln our MAP is 8rowlng the church by 1% over the next 34
years, a vision championed by Fr Amatu. This goal is not just about increasing numbers but
a150 about strengthening discipleship and engagement within our congre8atlon and the wider
parish. Several initiatives have already been actioned, includin8 the Palm Sunday Parade, the
revlval of Sunday School, and the repalr of our church or8an. These steps are part of a
broader effort to ensure that our parish remains a place of worship• community, and
welcome.
Therne of the Year
Each year, we seek to ground our ministry in a thematlc focus that reflects our Journey as a
faith community. For 202S, our theme is "Bulldlng a Llfe of Peace and Steadfastness through
Love for God'5 Word", inspired by Psalm 119.165: "Great peace hove those who love your
law, ond nothing can make them stumble." This theme calls us to deepen our engagement
with Scripture. grow in faith, and foster a sense of peace and resilience in our church and
wider community. Through our worship, teachin& and mission initiatives, we are committed
to nurturing a church family that is spiritually rooted and steadfast in its faith.
Common Fund and Diocesan Acknowled
ment
This year, we were delighted to receive a letter from Blshop Sarah and Oliver Home, the
Diocese's General Secretary, expressing their gratitude for our parish's contribution to the
Common Fund. They, alongside the Blshop of Edmonton, have shared their appreciation with
the PCC and members of our congregation. recognising our commitment to supportlng the
wider mission of the Church of England in London. This affirmation encourages us to

continue our faithful stewardship and generosity, knowing that our contributions play a vital
role in sustaining the ministry of the diocese.
New Servlces and Communit En
ement
This year has seen the introduction of new services designed to enrich our worship life and
provide different expression5 Of faith for our diverse congregation. We have been especially
encouraged by the Introduction of family-frlendly services and opportunitie5 for greater lay
involvement in worship. These services are helping to build bridges between different
generations and offer more ways for people to encounter Christ in our community.
Our commitment to workln8 With the wlder communlty remains strong. A particular
highlight has been welcoming the Brltlsh Leglon into our church space, further strengthening
our role as a centre for community activity and support. We recognise the importance of
fostering relationships with local group5 and organisations, ensuring that our parish remains
at the heart of community life in Bush Hill Park.
New Hall M
na
erA
olntment
We are pleased to report that our new Hall Manager, Ken Cope, started his role this year and
has settled in very well. We are already beginnin8 to reap the fruits of this appolntrnent, as
Ken brin8s both practical expertise and a deep understanding of church life. Coming from a
church background at our nelghbouring parlsh, St Mary Magdalene, where he currently
oversees their treasuryi Ken brings a wealth of knowledge in website deslgn, He is currently
helping us bulld a new, Modern website that aligns With our mission actlon plannlng needs.
This development will be a key tool in enhancing our comrnunication and outreach, ensuring
that our online presence effectively reflects the life and mission of our parish.
Growin
the Church Youn
er
One of the recurring themes in our discussions as a PCC has been how to "grow the church
younger., We have been delighted to see the enthusiasm of our young people, particularly
in their involvement as servers In our Sunday servlces. We are grateful for Mark Dowsett's
ongoing work Sn training and mentorlng our young servers, equipping them to take an active
role in worship and leadership.
Additionally, we continue to build on our relationship with local prlmary schools, both
through clergy visits and through the schools visiting our churches. These interactions are a
key part of our mission to engage with children and young families, ensuring that the message
of Christ reache5 new generations. The PCC will remain committed to finding innovative ways
to foster youth engagement and discipleship in the coming year.
Farewell and Welcome

As a church famlly, we acknowledge and glve thanks for the contributions of all who have
serrfed our parish in variou5 capacities. Thi5 year, we Say farewell to Kechl, who has stepped
down from their role. We express our sincere gratitude for their service, dedication, and the
many ways in which they have enriched our church communlty. We pray for God's continued
blessings upon them in their future endeavours.
We were also delighted to welcome An8el Dlnev to the PCC in January 2025. We look forward
to Angel's contributions and involvement in the ongoing mission and governance of our
parish.
Pastoral Offices
The ministry of the Parish also extends to many people on an occasional basls, Here are last
vear's figures.
Offlce
Baptism
Marriages
Confirmation
Funera15 Including Interment of Ashes
St Mark's (SM) and St Stephen's (SS)
To take
lace on 141h September 2025
LookSn
Ahead
As we move forward into the comln8 year, we do so with a deep sense of hope and
commStment. Our focus remalns on deepenlng dlsclpleshlpp expandlng our outreach, and
ensurln8 that our church remalns a welcomlng place lor all. We will continue to build upon
the initiatives already in motion, particularly in supporting our youth, f05tering greater
community engagement, and growing together in faith.
None of thls would be possible without the dedication of our clergy. lay leaders, PCC
members, and every member of our congregation who gives their time, talents, and prayers
to the life of our church. I want to express my deepest thanks to each of you for your
unwavering support and faithfulness in our shared ministry.
As we reflect on the past year and look to the future, may we continue to walk forward in
faith, guided by God's grace, and committed to the mission entrusted to us.
Concluslon
The PCC looks forward to consolidating what we have achieved in this year. Members are
grateful for the support of other Parishioners in their work and will continue to rely on their
help as we work to put our Mission Action Plan in place. Finally, on behalf of the Parish I
would like to express appreciation for the contribution of those who have stepped down frorn
their roles and we thank them for all their work while they have served on the PCC.

Wlth every blessing,
Approved by the PCC and signed on their behalf by Revd Prebendary Or Amatu Christian
Iwuagwu
Signature
27th March
025

Inde
dent exami
Bush Hill Pa
Enfield
srn
rt to tho Parochial Church Council
pcc
of St Marys and St ste hen's church
This report on the financial statements of the PCC for the year ended 31st December 2024, as set out,
is in respect of an examinats.on carried out in accordance wth the Church Accounting Regulations
2006 ('the Regulations,) and seth.on 43 of the Charittes Act 1993 {Ihe Act).
Respectivo rnsponslbllftles of the PCC and the examlner
As member of the PCC you are responsible for the preparation of the financial statements. You
consider that the audit requirement of the Regulations and section 43(2) of the Act do not apply. It
is my responsibility to issue this report on those financial statements in accordanr2 with the terms of the
the Regulations .
Ba816 of th18 report
My examinats'on ￿eS carried out in accordance with the General Directions given by the Charity
Commission under seth'on 43(7)(b) of the Act and are found to be in the Church Guidance, 2006
edition, issued by the Finance Division of the Archbishops, Council. The examination includes a
review of the accounts'ng records kept by the PCC and a comparison of the accounts with those
records. It also includes considering any unusual items or disdosures in the financial statements and
seeking explanations from you as trustees conceming any such matters. The procedures undertaken
do not provide all the evidence that would be required in an audit, and consequentty I do not
express an audit opinion on the view given by the accounts.
Independent oxamln•rfs 8tatement
In connection with my examinalion, no matter has come to my attention:
1 which gives me reasonable cause to believe that in any material respect the requirements
to keep accounting records in accordance with section 41 of the Act; and
b. to prepare financial statements which accord with the accounting records and
comply with requirements of the Act and the Regulation
have not been met or
2 to which, in my opinion, attention shouFd be drabvn in order to enable a proper
understanding of the accounts to be reached
Signed:
Date: 3 1
/1/J¢4-.
Print Name:
Address.. 7. k41 LL i LEA/1
A/ /& 6J/F

Ma￿5
Sle
Hlll Parf( Enf*kl
Totsl
Funds
coml
Voluntsry recepts
Volunlary recelpts (R)
stalulory fee8
Tax recoverable
Flu￿ ralslng acttvm
Grant
ReGeipts from church kttw
28,591
420
3,474
1.807
1.649
3.474
4.497
2.128
17.634
45.023
76,624
178,733
99.036
194,367
193.sfl
420
74,72S
57.903
Churth and mlnisty expel
Other churth rxdlnary eypw
churdi ordlnary (R)
Church hail expen8es
Property expense
Charftabta dc*)atkn
5S167
55.167
1,011
38.789
1.011
38.880
9.257
38.789
7.432
2.474
172.447
2.474
1n.458
1.011
182,841
21,520
-24,726
4.108
L888 dgpredallon
Net Income after depr*SaU
Inry)m8 from Inv68trnont
Inter¢81 rn¢dvable
N•t Incom• lor th• yw
-24,728
-29218
1,117
1,491
820
1.203
1.117
1.491
-27.195
2024
867.411
692.137
300.000
992.137
Tanglble a88•ts
967,411
38.510
28.835
21.424
28.51ts
93.683
143.602
Debtols
Cash deposlt
Cash
163.435
10
21.721
21,451
Less rxedltW8 due
11
17.117
20,5S1
168.039
1.135.450
144.502
1.136,639
813,378
1,810
ReseNe- unresl
12
13
14
15
812,780
1.219
Endovoment. rnstsided
21,451
21,451
1.136.639
Approved by PCC on ISVK ry(4 and SW on I￿ behawby
Chawrmson:.

St
Fin
and
tste
urth PPC
r ended
ush Hi
ccounll
The finan¢ial Statem￿ ofthe P8mthl81 Churdl CoutKai (pcc) for St Marts (SM) and St Stephen'$ (SS) have
been prepared in aGcordanc¥ wilh FRS 102. Th8 Hnanciol Rerthtll￿ Standard AppllL¥bl8 in tho UK and
Repubuc of Ireland ' and the requirements of Companies Act 20(ffj. t￿*itti Church Accounting
Regulations 20C6 and ¥eclK)n 43 of thfr Charthe¥ Act 1993.
Unr6strict8d funds reprnsent the fund5 ofth8 PCC that are a¥81kb￿ applK**)n purpose.
Restri¢*ad lund¥ repre8entthe funds oftt￿ PCC that orn donated forlho wllcatton of 8pe¢lk purpose.
In
mln
Voluntsry receipts. granL 8latutory fee& investrmrt IncLYno arKI IFtsrest orn r•Lwnlsed when receN•d.
Tax refund. fund raising actwite8. church1gtting• churth ham * ar8 rocfjgni58d kn Sf b rec￿¥th.
All Irb¢ome re80urcAs aro accounted for grosa.
All expèndttures are ger￿alty reeognL8ed th It Is and ¥1 forwoJ8.
Consecrat8d proprty Is not InchK￿ In tho accounts In *lth S.96 (21 afthè Chath Act 1993.
Tangible flxed 88s•ts are Induded at cost or v8luakn Iw *r6dth.
Depredatlon Is recognised so ￿ to wrlte off the ofth? assets on a stra*hl Ilno ba8iB owrtho
oxp¢¢ted useful eCOrw￿ Ilfe as follm..
Fro•hold propety.- over 50 yaars
Offlc4 8qulpment: . over 4 yearn
In*8bment18 VAlu8d ￿ mortetvalu• as at 31st D•c*nber 2008.
In
Unroslrided
Funds
2024
Unrestrldad Rutrl¢tad
FurKI•
Fund¥
2023
2023
Fund8
2024
Covenants and planr•d gMrvJ
Non planned gmng
Donatk*n and baquoaths
14,591
7.607
3.290
19,743
5.287
1,561
26,591
2b
420
420
1.000
1,000
Non ￿anned givlng
2c
4,580
678
Weddlng al￿ fvngrnl
Baptism and banns
3.474
4,497
4,497
Gfft ald
1.807
1.807
L￿hts of the
Easterlund raising
Jumble sale
Christmas fund rnislng
Sales
1,128
373
1,124
111
2.126
page 2

PPC B h Hill
Enfreld
Financial
Funds
2024
Funds
2024
Funds
2023
Funds
2023
London dio(*8
17,634
Rental income- churth
Rental Inc4)m8- SM hall
Rental inc(xne. curate
2.180
2,000
24,000
19,023
24,800
2h
Church hall- on￿ff let
Churth hall- without musi¢
Church hall- wlth musi
9.318
53.018
36,700
99,036
9,134
40,642
26,848
76,624
Mini8ty expon$e8
Vicar arKI vicarage exw)8es
Dir. of M1881on- PA
Repairn & maintenanco
Upkgep of services
Perfomlng rights
Churthyard and mmorial
Light, heat and watsr
Insurance
1.193
4,193
15,557
5,236
15,750
7.817
4,099
527
3,244
27.669
12,175
74,725
14,456
11.763
London diocesan fund
London dlocesan relum6
General and admin e>p8
Phom and intsmet
Postsge & stationary
Accounlancy
Major repairs- church
Major repairs- chL¥¢h equipm￿1
37,000
1,360
3,837
1,155
119
1,739
9,190
3,503
57,9)3
2.315
378
2.239
7.070
55.167
3¢
Upkw- Memrial garden
Church repair and maintanar￿a
Organ r•palr
SurKlay school
776
420
91
1,011
776
hu
Ligh( heat 8nd watsr
Repairs & maintenanc*
General expenses
Phone and intemet
Postag8 & stslionary
Insurance
Cleaning ar*d matsrial8
Major wo￿5
Perfomiing Fights
13264
7,476
2,738
1.795
146
174
258
2.207
12.624
2,674
11,756
11,874
334
38.860
38.789
page 3

M, fk's and
Flnan
al
hen's chu
hHillP
Unrestricted
Funds
Re5tri¢ted
Fund8
2023
Fund8
2024
2024
Agent f6e5
General exp8nS8
Insuran¢e
Repalrn & maintenan(*
2.976
n4
3,732
7,432
5.707
9,257
Nightingale Trust
Donation$
Church miss￿nary Souety
Noahs A
North London Howkfj
170
350
400
41J)
The reclplents ofthe donatloro bo de(aded by PCC rn￿.
CCLA cash d8PO8it fund SM
1.117
820
155
187
HMRC interest
CCLA cash d8po•tt SM
CCLA cash deposit SS
320
1.2Q3
2024
2024
2024
Land &
t￿Ildi
Total
Cost or valuation
As at 1st January 2024
Addition8
As at 31st December 2024
1.(M)O.ocKI
22,546 1,022,546
22 546 1,022,546
AS at 1st January 2024
Charge for the year
at 31st Doeambw2U
320,000
20.C4XI
340.01))
10.409
330,409
24,726
355,135
15,135
As at 31st D￿Mb￿r 2023
As at 31st Decanber 2024
12,137
7.411
692.137
667,411
860.000
Land arKI t￿ilding vthich ¢￿p[l8&S of th8 thurth h￿118 Induded this w as atthe rna￿8t value of
2024
6b
Cost or revalualion
As 8t 1st January 2024
Addition and disposal
Revaluation gain
As at 31st December 2024
300,000
300.000
how was premously shry*n at cost in 1W2 aNI 18 induded thts year as at the Ma￿et value of
Decembor 2008.
page 4

Mark,
Flnan
St ste
urthP
Bush Pa
Unrestrided
2023
2024
Tax recoverable
Fund raising a¢tNit
ChLtrch hall letting
Church tettir
6,993
5,186
11,114
375
6,318
375
Vicarage
Churth
Hall
Property. curate hou
16,993
1.572
616
38.510
4,718
2,424
598
21,424
2024
Depostt- CCL4 SS
DeposÈt- CCLA SM
Balance 88 at 31$t Dec
22,501
6,334
28,835
22,501
6,014
28,515
2024
2023
Barclays bank
Santsrthr bank
2,418
1.247
93.663
2024
2023
10
Balan¢e as at 1st Jan. SM
Investment income
TransfeTr•d 10 bonk ¢urr•nt account
BalanL% OS at 31st Dec
21.451
1,117
21A51
820
420
21,451
21.721
Investment repreaents the Mt procoeds from tho salo of St Frnnds Hall {M8r¢h 1978). tt is currontty
In￿Sted In tho C8F Church of England Inveskn8nt Fund. Incom• from the Inv￿￿n0n1 of £8471s tran•f8rted to
the Church's current bank account for ordI￿ry Church purpose. Th8 inw8bn8nt of £21,451 bs r•8trict•d to the
malnl8nan¢¢ ol the ¢hurch bulhdlng *thil81 the Investi￿ of £27015 unre*rlthd.
Unr•8trfcA•d
2023
2024
11
dh
Ministry e￿n
Churth letting in advance
Church hall letting
hl
570
2,140
211
Church
Hall
11.537
14.106
1,684
20,551
17.117
Year 2024
Year 2023
12
Balance as at 1st Jan
AdJus1m￿t 2023
Net in¢ome
Baknce as at 31$1 t￿G
813.m
834.$01
8296
-27.419
813.378
812,780
The adjustment of£6296 is a re￿1581 of SM thurth (¥itaf*J kn T*thkh wa¥ expensed on year 2022.

'￿￿3 and St S
enl
rth PPC Bush Hli I Park
31$tDe
ber 2024
As*1st
January
2024 Net Inaxne
A8at318t
2024
13
SuTrJay Schoo￿ St Stephen
Kttchen dishwasher- Sl M
Vesty upkee* SL Stephw>
Organ• St. Stephen
91
810
810
2b83c
1,810
1,011
1.219
Year 2024
Year 2023
14
Balan¢e as at 1st Jan
t mo¥ementforthe
8olanGe 88 at 31st D
Yew 2024
Year 2023
15
Church of England Investsnerrt fvnd
as at 1st Jan
Net movement for the
Balan(* as at 318t DeG
21.451
21,451
21.451
21.451
Inve¥￿t r8prw8rts ts rnt pro¢8eds from IM of St Fr8nd8 Hall IM•rch 1978) ty SM
Ye¥r 2024
Year 2023
18
88lance as at 181 Jan
Baby Shower
1111th blrthday 96ft
L•adernhW) l••m lunch
Donatlon
Balanc• 8$ at 31st D•c
1.T13
40
47
100
1,778
20
1.412
17
Clorgi gypense¥ *•r• ggreed by the PCC and rweM*d annuaw. Th•rn is a Pr￿)￿nt of £427 to a PCC
p•g• 8

Inde
dent exami
Bush Hill Pa
Enfield
srn
rt to tho Parochial Church Council
pcc
of St Marys and St ste hen's church
This report on the financial statements of the PCC for the year ended 31st December 2024, as set out,
is in respect of an examinats.on carried out in accordance wth the Church Accounting Regulations
2006 ('the Regulations,) and seth.on 43 of the Charittes Act 1993 {Ihe Act).
Respectivo rnsponslbllftles of the PCC and the examlner
As member of the PCC you are responsible for the preparation of the financial statements. You
consider that the audit requirement of the Regulations and section 43(2) of the Act do not apply. It
is my responsibility to issue this report on those financial statements in accordanr2 with the terms of the
the Regulations .
Ba816 of th18 report
My examinats'on ￿eS carried out in accordance with the General Directions given by the Charity
Commission under seth'on 43(7)(b) of the Act and are found to be in the Church Guidance, 2006
edition, issued by the Finance Division of the Archbishops, Council. The examination includes a
review of the accounts'ng records kept by the PCC and a comparison of the accounts with those
records. It also includes considering any unusual items or disdosures in the financial statements and
seeking explanations from you as trustees conceming any such matters. The procedures undertaken
do not provide all the evidence that would be required in an audit, and consequentty I do not
express an audit opinion on the view given by the accounts.
Independent oxamln•rfs 8tatement
In connection with my examinalion, no matter has come to my attention:
1 which gives me reasonable cause to believe that in any material respect the requirements
to keep accounting records in accordance with section 41 of the Act; and
b. to prepare financial statements which accord with the accounting records and
comply with requirements of the Act and the Regulation
have not been met or
2 to which, in my opinion, attention shouFd be drabvn in order to enable a proper
understanding of the accounts to be reached
Signed:
Date: 3 1
/1/J¢4-.
Print Name:
Address.. 7. k41 LL i LEA/1
A/ /& 6J/F

Ma￿5
Sle
Hlll Parf( Enf*kl
Totsl
Funds
coml
Voluntsry recepts
Volunlary recelpts (R)
stalulory fee8
Tax recoverable
Flu￿ ralslng acttvm
Grant
ReGeipts from church kttw
28,591
420
3,474
1.807
1.649
3.474
4.497
2.128
17.634
45.023
76,624
178,733
99.036
194,367
193.sfl
420
74,72S
57.903
Churth and mlnisty expel
Other churth rxdlnary eypw
churdi ordlnary (R)
Church hail expen8es
Property expense
Charftabta dc*)atkn
5S167
55.167
1,011
38.789
1.011
38.880
9.257
38.789
7.432
2.474
172.447
2.474
1n.458
1.011
182,841
21,520
-24,726
4.108
L888 dgpredallon
Net Income after depr*SaU
Inry)m8 from Inv68trnont
Inter¢81 rn¢dvable
N•t Incom• lor th• yw
-24,728
-29218
1,117
1,491
820
1.203
1.117
1.491
-27.195
2024
867.411
692.137
300.000
992.137
Tanglble a88•ts
967,411
38.510
28.835
21.424
28.51ts
93.683
143.602
Debtols
Cash deposlt
Cash
163.435
10
21.721
21,451
Less rxedltW8 due
11
17.117
20,5S1
168.039
1.135.450
144.502
1.136,639
813,378
1,810
ReseNe- unresl
12
13
14
15
812,780
1.219
Endovoment. rnstsided
21,451
21,451
1.136.639
Approved by PCC on ISVK ry(4 and SW on I￿ behawby
Chawrmson:.

St
Fin
and
tste
urth PPC
r ended
ush Hi
ccounll
The finan¢ial Statem￿ ofthe P8mthl81 Churdl CoutKai (pcc) for St Marts (SM) and St Stephen'$ (SS) have
been prepared in aGcordanc¥ wilh FRS 102. Th8 Hnanciol Rerthtll￿ Standard AppllL¥bl8 in tho UK and
Repubuc of Ireland ' and the requirements of Companies Act 20(ffj. t￿*itti Church Accounting
Regulations 20C6 and ¥eclK)n 43 of thfr Charthe¥ Act 1993.
Unr6strict8d funds reprnsent the fund5 ofth8 PCC that are a¥81kb￿ applK**)n purpose.
Restri¢*ad lund¥ repre8entthe funds oftt￿ PCC that orn donated forlho wllcatton of 8pe¢lk purpose.
In
mln
Voluntsry receipts. granL 8latutory fee& investrmrt IncLYno arKI IFtsrest orn r•Lwnlsed when receN•d.
Tax refund. fund raising actwite8. church1gtting• churth ham * ar8 rocfjgni58d kn Sf b rec￿¥th.
All Irb¢ome re80urcAs aro accounted for grosa.
All expèndttures are ger￿alty reeognL8ed th It Is and ¥1 forwoJ8.
Consecrat8d proprty Is not InchK￿ In tho accounts In *lth S.96 (21 afthè Chath Act 1993.
Tangible flxed 88s•ts are Induded at cost or v8luakn Iw *r6dth.
Depredatlon Is recognised so ￿ to wrlte off the ofth? assets on a stra*hl Ilno ba8iB owrtho
oxp¢¢ted useful eCOrw￿ Ilfe as follm..
Fro•hold propety.- over 50 yaars
Offlc4 8qulpment: . over 4 yearn
In*8bment18 VAlu8d ￿ mortetvalu• as at 31st D•c*nber 2008.
In
Unroslrided
Funds
2024
Unrestrldad Rutrl¢tad
FurKI•
Fund¥
2023
2023
Fund8
2024
Covenants and planr•d gMrvJ
Non planned gmng
Donatk*n and baquoaths
14,591
7.607
3.290
19,743
5.287
1,561
26,591
2b
420
420
1.000
1,000
Non ￿anned givlng
2c
4,580
678
Weddlng al￿ fvngrnl
Baptism and banns
3.474
4,497
4,497
Gfft ald
1.807
1.807
L￿hts of the
Easterlund raising
Jumble sale
Christmas fund rnislng
Sales
1,128
373
1,124
111
2.126
page 2

PPC B h Hill
Enfreld
Financial
Funds
2024
Funds
2024
Funds
2023
Funds
2023
London dio(*8
17,634
Rental income- churth
Rental Inc4)m8- SM hall
Rental inc(xne. curate
2.180
2,000
24,000
19,023
24,800
2h
Church hall- on￿ff let
Churth hall- without musi¢
Church hall- wlth musi
9.318
53.018
36,700
99,036
9,134
40,642
26,848
76,624
Mini8ty expon$e8
Vicar arKI vicarage exw)8es
Dir. of M1881on- PA
Repairn & maintenanco
Upkgep of services
Perfomlng rights
Churthyard and mmorial
Light, heat and watsr
Insurance
1.193
4,193
15,557
5,236
15,750
7.817
4,099
527
3,244
27.669
12,175
74,725
14,456
11.763
London diocesan fund
London dlocesan relum6
General and admin e>p8
Phom and intsmet
Postsge & stationary
Accounlancy
Major repairs- church
Major repairs- chL¥¢h equipm￿1
37,000
1,360
3,837
1,155
119
1,739
9,190
3,503
57,9)3
2.315
378
2.239
7.070
55.167
3¢
Upkw- Memrial garden
Church repair and maintanar￿a
Organ r•palr
SurKlay school
776
420
91
1,011
776
hu
Ligh( heat 8nd watsr
Repairs & maintenanc*
General expenses
Phone and intemet
Postag8 & stslionary
Insurance
Cleaning ar*d matsrial8
Major wo￿5
Perfomiing Fights
13264
7,476
2,738
1.795
146
174
258
2.207
12.624
2,674
11,756
11,874
334
38.860
38.789
page 3

M, fk's and
Flnan
al
hen's chu
hHillP
Unrestricted
Funds
Re5tri¢ted
Fund8
2023
Fund8
2024
2024
Agent f6e5
General exp8nS8
Insuran¢e
Repalrn & maintenan(*
2.976
n4
3,732
7,432
5.707
9,257
Nightingale Trust
Donation$
Church miss￿nary Souety
Noahs A
North London Howkfj
170
350
400
41J)
The reclplents ofthe donatloro bo de(aded by PCC rn￿.
CCLA cash d8PO8it fund SM
1.117
820
155
187
HMRC interest
CCLA cash d8po•tt SM
CCLA cash deposit SS
320
1.2Q3
2024
2024
2024
Land &
t￿Ildi
Total
Cost or valuation
As at 1st January 2024
Addition8
As at 31st December 2024
1.(M)O.ocKI
22,546 1,022,546
22 546 1,022,546
AS at 1st January 2024
Charge for the year
at 31st Doeambw2U
320,000
20.C4XI
340.01))
10.409
330,409
24,726
355,135
15,135
As at 31st D￿Mb￿r 2023
As at 31st Decanber 2024
12,137
7.411
692.137
667,411
860.000
Land arKI t￿ilding vthich ¢￿p[l8&S of th8 thurth h￿118 Induded this w as atthe rna￿8t value of
2024
6b
Cost or revalualion
As 8t 1st January 2024
Addition and disposal
Revaluation gain
As at 31st December 2024
300,000
300.000
how was premously shry*n at cost in 1W2 aNI 18 induded thts year as at the Ma￿et value of
Decembor 2008.
page 4

Mark,
Flnan
St ste
urthP
Bush Pa
Unrestrided
2023
2024
Tax recoverable
Fund raising a¢tNit
ChLtrch hall letting
Church tettir
6,993
5,186
11,114
375
6,318
375
Vicarage
Churth
Hall
Property. curate hou
16,993
1.572
616
38.510
4,718
2,424
598
21,424
2024
Depostt- CCL4 SS
DeposÈt- CCLA SM
Balance 88 at 31$t Dec
22,501
6,334
28,835
22,501
6,014
28,515
2024
2023
Barclays bank
Santsrthr bank
2,418
1.247
93.663
2024
2023
10
Balan¢e as at 1st Jan. SM
Investment income
TransfeTr•d 10 bonk ¢urr•nt account
BalanL% OS at 31st Dec
21.451
1,117
21A51
820
420
21,451
21.721
Investment repreaents the Mt procoeds from tho salo of St Frnnds Hall {M8r¢h 1978). tt is currontty
In￿Sted In tho C8F Church of England Inveskn8nt Fund. Incom• from the Inv￿￿n0n1 of £8471s tran•f8rted to
the Church's current bank account for ordI￿ry Church purpose. Th8 inw8bn8nt of £21,451 bs r•8trict•d to the
malnl8nan¢¢ ol the ¢hurch bulhdlng *thil81 the Investi￿ of £27015 unre*rlthd.
Unr•8trfcA•d
2023
2024
11
dh
Ministry e￿n
Churth letting in advance
Church hall letting
hl
570
2,140
211
Church
Hall
11.537
14.106
1,684
20,551
17.117
Year 2024
Year 2023
12
Balance as at 1st Jan
AdJus1m￿t 2023
Net in¢ome
Baknce as at 31$1 t￿G
813.m
834.$01
8296
-27.419
813.378
812,780
The adjustment of£6296 is a re￿1581 of SM thurth (¥itaf*J kn T*thkh wa¥ expensed on year 2022.

'￿￿3 and St S
enl
rth PPC Bush Hli I Park
31$tDe
ber 2024
As*1st
January
2024 Net Inaxne
A8at318t
2024
13
SuTrJay Schoo￿ St Stephen
Kttchen dishwasher- Sl M
Vesty upkee* SL Stephw>
Organ• St. Stephen
91
810
810
2b83c
1,810
1,011
1.219
Year 2024
Year 2023
14
Balan¢e as at 1st Jan
t mo¥ementforthe
8olanGe 88 at 31st D
Yew 2024
Year 2023
15
Church of England Investsnerrt fvnd
as at 1st Jan
Net movement for the
Balan(* as at 318t DeG
21.451
21,451
21.451
21.451
Inve¥￿t r8prw8rts ts rnt pro¢8eds from IM of St Fr8nd8 Hall IM•rch 1978) ty SM
Ye¥r 2024
Year 2023
18
88lance as at 181 Jan
Baby Shower
1111th blrthday 96ft
L•adernhW) l••m lunch
Donatlon
Balanc• 8$ at 31st D•c
1.T13
40
47
100
1,778
20
1.412
17
Clorgi gypense¥ *•r• ggreed by the PCC and rweM*d annuaw. Th•rn is a Pr￿)￿nt of £427 to a PCC
p•g• 8