Christlhurch
BAYSTON H ILL
Annual Report and Financial Statements of the Parochial
Church Council of
Christ Church, Bayston Hill
For the year ended 31" December 2023
Charity reglstratlon number.. 1130869

DIOCESEOF
J LICHFIELD
The Parochlal Church Council of Christ Church, Bayston Hlll
st
Trustees, Annual Report for the year ended 31 December 2023
Charity registration number.. 1130869
Objectives and Activities
The Parochial Church Council of Christ Church (the PCC) has the responsibilty of co-operating with
the incumbent. the Reverend Peter Hubbard. in promoting in the ecclesiastical parish, the whole
mission of the Church. pastoral, evangelical, social and ecumenical. The PCC is also spiiitually
responsible for the maintenance of the church.
The PCC Is commltted to enabling as many people as FX)ssible to worship al our church and to
become part of our parish community at Christ Church. 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. scripture. music
and sacrament. Also, through non sacramentsl activities of hospitality and fellowship we aim to reach
non churched members of the community.
Public Benefit
The trustees of the PCC are aware of the Charity Commission's guidance on public benefrt in The
Advancement of Religion forthe Public Benefit and have had regard to it in their administration of the
Charity. The trustees believe that. by promoting the work of the Church of England in the
Ecclesiastical Parish of Christ Church it helps to promote the whole mission of the Church (pastoral.
evangelistic, social and ecumenical) more effectively, wtthin the Ecclesiastical Parish, and that in
doing so it provides a benefit to the public by..
Providing facililies for publi¢ worship. pastoral care and spiritual, moral and intellectual development, both
for its metnbers and for anyone who wishes to benefit from what the Church offers,. and
Promoting Christian values and service by members of the Church in and to their communiti8S, to the
benefit of indNiduals and society as a whole.
The PCC recognises the role that volunteers play in the life of the church. There are so many areas
where volunteers work incredibly hard to provide support. comfort, activities and prayer to a wide
body of people. both within the church congregation and to the wider community. The PCC is
extremely grateful to the many selfless individuals who give their Ilme, energy 8nd expertise to
support these activities.
Achievements and Perforniance
The church contlnued to meet together, with live streamed services as well as 9am and 1 Oam face-
to-face services. There has been a joint service twice a month at 10am, which had more of a family
feel. as well as the lively All Age Service at 10:45 on the third Sunday of the month. There is a
Page I

rolling program of activities for children every Sunday, including a group forthe youth on the secorml
Sunday of the month.
Coffee in the Living Room and Sunbeams (Toddlerlpre school group) have continued to re￿1ve
good numbers in attendance. We continued to run and host the Food Hub each Monday in 2023 as
well.
In January of 2023, we began ourfirst 'warm space. once a week. We invited anyone in the village
to ccme and join us for refreshments on a Thursday moming and ran this for three months. In May.
we also joined with the village in celebrating the King's Coronation which was a great success.
Additional detail of the work and progress of the wide range of activrties can be found in the booklet
that accompanies the TAR at the APCM.
Financial Review
The year has ended with a deficit of £24,998. The loss was due to a massive redU￿10n in givings
as several large people who had donated in the past left the church.
The Church faces many financial challenges moving foward into a new year. Creative ways of
raising additional funds and saving costs will need to be sought and applied.
Reserves Policy
It is PCC policy to try to maintain a balance on free reserves (net current assets) which equates to
at least three months unrestricted payments. This is equivalent to £34,429. It is held to smooth out
fluctuations in cash flow and to meet emergencies. The balan￿ of the free reserves at the year-end
was £20,672.
Safeguarding
The PCC believe they have fulfilled their duty under section 5 of the Safeguarding and Clergy
Discipline Measure 2016 (duty to have due regard to House of Bishops, guidance on safeguarding
children and vulnerable adults).
Reporting Serious Incidents
A Serious Incident is an adverse event, whether actual or alleged, which results in or risks
significant harm to the charity's beneficiaries, employees, office holders, volunteers or to others who
encounter the charity through its work, loss of the charitys money or assets, damage to the
chartty's property or hami to the charity's work or reputation.
The trustees are not aware of any Serious Incidents in the last year
Fundraislng
The PCC takes it fundraising responsibilities seriously and is very grateful to all donors-whether
regular or occasional - for their support of the church and church events. PCC supporters are
never taken for granted. The PCC take full responsibility for fundraising and do not use commercial
crganisations or professional fundraisers. All money raised is either by donations, fundraising
events, special appeals and legacies for which the PCC are most grateful. We are able to hire out
our premises for the benefit of the village. and hope to cover costs, with any surplus being poured
back into our funds.
Page 2

Volunteers
The members of the PCC would like to thank all the volunteers who work so hard to make our
Church a lively and vibrant community. Our especial thanks go to our church wardens, Mr John
Ashton and Mr James Hindson, who have worked so tirelessly on our behalf, Mr Keith Winter who
has helped us all understand the church's accounts and its finances. and Mr Dave Watts who has
once again taken on the book keeping of Christ Church.
Future Plans
The PCC regularly reviews its work and progress against the three main areas identified in its
Mission Action Plan (Up, In, Out). Where there is good progress, this is celebrated and further
opportunities for development are identified. Where there is r)ot such good progress. barriers to this
are identified or changes are made to the ways in which the objectives are addressed.
In March of 2024. the PCC enjoyed an away day, where the focus of the day was looking over the
Mission Action Plan and setting some clear objectives for us to keep working towards.
Risk Management
The Church Wardens carry out regular Health and Safety Reviews and regularly inspect premises
for potential hazards. We have safeguarding policies in pla￿ for child protection and for work with
vulnerable adults, including rigorous DBS checking of staff and volunteers. Our insurances are
reviewed annually to ensure adequate cover. An informal review of any new risks which may impact
the work of the Church in the Parish is ongoing.
Structure, Governance and Management
The PCC is a Body Corporate established by the Church of England and is a Charity registered with
the Charity Commission. The PCC is govemed by the Parochial Church Council Powers Measure
{1956) as amended that came into effect on 2nd January 1957, and the Church Representation
Rules (contained in Schedule 3 to the Synodtcal Govemment Measure 1￿9 as amended}.
The method of appointment of the PCC members is set out in the Church Representation Rules.
The Council comprises the Incumbent, the Churchwardens, a representative of the Readers, those
elected to the Deanery Synod. and other members who are elected at the Annual Parochial Church
Meeting, by those on the Electoral Roll. The PCC members receive training from courses run by
the Diocase. Members of the congregation are always urged to join the Electoral Roll, and to stand
for election to the PCC.
The PCC members are responsible for making decisions on all matters of general concem and
importance in the parish, and for all financial matters. The PCC meet 5 times a year. Given Its
responsibilities, the PCC has a number of sub committees, each dealing with a particular aspect of
parish life. These include. Mission and Outreach (MAG). Buildings and Finance. Each reports back
to the PCC with the minutes of their meetings.
Related Parties
Donations from Related Parties
Donations from related parties during the year totaled £5.480. All these donations were re￿iVed
without conditions.
Remuneratlon paid to Trustees
Page 3

None of the trustees has been paid remuneration or has received other benefits from an
employment with their charity. No pension or other benefits have been paid except for exI￿nseS
incurred by him for this work The work he completes as treasurer is voluntary.
Expenses pald to Trustees
Trustee expenses do NOT include reimbursement of out-of-pocket expenses i.e., where the twstee
buys goods on behalf of the PCC.
No Trustee expenses have been incurred during the year.
Reference and Administrative detalls
The Church is situated in Glebe Road, Bayston Hill, Shrewsbury and is part of the Deanery of
Shrewsbury, in the Diocese of Lichfield. The correspondence address is the Glebe Road. Bayston
Hill, Shrewsbury, Shropshire SY3 OPZ. Registered charity number 1130869. Our website address
is: https.I￿.baystonhIllchurCh.OrgI
PCC members who have served from 1 St January 2023 until the dale this report was approved
v￿re.
Ex Officio Members
The Incumbent
Non-stipendiary
Associate Minister
Churchwardens
The Reverend Peter Hubbard (Chainnan)
The Reverend Ursula Pencavel
Mr John Ashton
Mr John Farrow
Mr lan Peake
Ms Pauline Jackson
Mrs Sarah Edwards (Secretary)
Mrs Sue Horobln
Mr Keith Winter (Treasurer)
Miss Naomi Hubbard
James Hindson
Deanery Synod Reps
Elected Members
Names and addresses of advlsers
Bank
HSBC. Princess House, 33 High Street, Shrewsbury. SY1 1SL.
IndependentExaminer
Lichfield Di0￿san Board of Finance,
St. Mary's House, The Close. Lichfield, WS13 7LD.
Approved.by the PCC on
202Sand signed on its behalf by..
Keith James Winter FCA (Treasurer)
Page 4

Independent Examiner's report to the trusteeslmembers of The PCC of Chrlst Church
Bayston Hill
Registered charity number: 1130869
I rqK)rt on the accounts for the year ended 31 December 2023 which are set out on the following pages.
Res
etive res
onsibilitics of the Trustees and Inde
ndent Examiner
The charity's tTUStees are r¢sponsible for the preparation of the accounts. The charity's t￿Ste¢S consid¢r that
an audit is not required for this year under Sectton 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 ACL
to follow the procedures laid down in the General Directions given by the Charity Commission (under
section 145{5)(b} of the Charities Act, and
to stale wh¢th¢r particular matt¢rs bav¢ com¢ to my att¢ntion.
B2sls of Inde endent Examiner's Statement
My examination was Ca￿le￿ out in accordance with the General Directions given by the ch￿]tY 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 trustee8 conL'erning any such matters. The proceduTes undertaken
do not provid¢ all the evidence that would be required in an audit. and consequently no opinion is given as to
whether the accounts pr¢s¢nt a 'trne and fair" view and the report is limited to those matt¢rs s¢t out in the
statement below.
Inde
ndent Examiner's Statement
In connection with my examination, no material matters have come to my attention which gives me cause to
believe that in any material respect:
accounting records were nut kept in accordance with section 130 of the Charities Act or
the accounts do not accord with the with the accounting records
the accounts do not comply with the applicable requirements concerning the fonn and content of
accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement
that the accouLits give a true and fd. it view which is not a matter considered as part of an independent
exarninatAOn.
J have come across no other matters in connection with the examination tu which attention should be drawn,
in order to enable a proper understanding olthe accounts to be reached.
si￿ed. ..
Jonathan Hill FCMA CGMA
Lichfield Diocesan Board of Financ¢
St Marys House, Th¢ Close, Lichfi¢ld. WSI 3 7LD
Date:
Page 5

The Parochial Church Council of Christ Church, Bayston Hlll
Financial Statements for the Year Ended 31 December 2023
Accounting Policies
The PCC is 3 public benefit entity within the meanin8 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" provi5ion5. They
have also been prepared In accordance with the Charities SORP {FRS 1021.
The financial statements have been prepared under the historical cost convention with items recognised at
cost or transaction value unless otherwise stated in the relevant notes to these accounts. The financial
statements include all transactions, assets and liabilities for which the PCC is responsible in law. They do not
include the accounts of church groups that owe their main affiliation to another body nor those that are
informal gatherings of Church members.
There may be minor discrepancies in the totals as the pence are not belng shown.
Cashflow Statement
The Charity has taken advantage of the exemption in FRS102 from the requirement to produce a Cash flow
statement on the grounds that the income does not exceed £500,000.
Going Concern
There are no rnaterial uncertainties related to events or conditions that cast significant doubt on the
charity's ability to continue as a going concern.
Actounting Estimates and Prior Year Errors
No changes to accounting estimates have occurred in the reporting period.
No material prior year errors have been identified in the reporting period.
Descrlptlon of Funds
Unrestrlcted funds are income funds of the PCC that are available for spendlng on the general purpose5 of
the PCC, including amounts designated by the"PCC for fixed assets for Its own use or for spending on a future
project and whlch are therefore not Included In Its "free reserves" as disclosed in the trustees, annual report.
Restrlcted funds comprlse of two elements:
a) Income from trusts or endowments which may be expended onlyon those restritted objects provided in
the terms of the trust or bequest
bl donations or grants received for a specific object or invited by the PCC for a specific object. The funds mav
only be expended on the specific object for which they were Biven. Any balance remaining unspent at the
end of each year must be carried forward as a balance on that fund. The PCC does not usually invest
separately for each fund. Where there is no separate investment. Interest is apportioned to individual funds
on an average balance basis.
Page 6

Endowment funds are restricted funds that must be retained as trust capital either permanently or subject
to a discretionary powerto spend capital as income, and where the
use of any income or other benefit derived from the capital may be restricted or unrestricted. Full details of
all their restrictions are shown in the notes to the accounts.
Income
Planned giving, collections and donations are recognised when received or when the PCC becomes entitled
to the resource and the monetary value can be measured with sufficient reliability, Tax refunds are
recognised when the incoming resource to which they relate is received. Grants and Legacies are accounted
for when the PCC is legally entitled to the amount5 due and the monetary value can be measured with
sufficient reliability. Dividends are accounted for when receivable, interest is accrued. All other income is
recognised when it is receivable. All incoming resources are accounted for gross.
Expendfture
Grants and donation5 are accounted for when paid over, or when awarded, if that award creates a binding
or constructive obligation on the PCC. The diocesan parish share is accounted for when due. Amounts
received specifically for mission are dealt with as restricted fund5. All other expenditure is generally
recognised when it 15 incurred and is accounted for 8ros5.
Governance and Support Costs
Support costs should be allocated between governance costs and other support. Governance costs
comprise all costs involving public accountability of the PCC and Its compliance with regulation and good
practice.
Support costs include central functions and have been allocated to activity cost categories on a basis
con515tent with the use of resources e.g., by allocating staff costs by time spent and other costs by their
usage.
Flxed AssÈts
Consecrated and benefice property is not included in the accounts by s.1012)lal&lCI of the Charities Art
2011.
Moveable church furnishings held by the Vicar and Churchwardens on special trust for the PCC and which
require a faculty for disposal are inalienable property, listed in the Church's inventory, which can be
insperted lat any reasonable timel. For anything acquired prior to 2000 there is insufficient cost information
available and therefore such assets are not valued in the financial statements.
No depreciation is provided on buildings as the currently estimated residual value of the properties is not
less than their carrying value and the remaining useful life of these assets exceeds 50 years, so that any
depreciation charges would be immaterial.
The solar panels are deprecated on a straight line basis over 12 years.
Investments
Investments in quoted shares, traded bonds and similar investments are valued initially at cost and
subsequently at market value at the year end. Investments held for re-sale are treated a5 current asset
investment5.
Debtors
Page 7

Debtors are measured on initial recognition at settlement amount. Subsequently they are measured at cash
expected to be received.
Creditors and Accruals
Creditors are measured at settlement amounts less any trade discounts. Accruals are measured on best
estimate of the amount required to settle the obligation at the reporting date.
Page 8

CHRIST CHURCH BAYSTON HILL
ACCOUNTS FOR THE YEAR ENDED 31 DECEMBER 2023
Statement of Flnanclal Actlvities
Unrnstrlcted Rgstricted Endowmont
fund8
funds
funds
Total
nds
Prlor year
lolal
fund8
RK•lpt•
D￿all¢￿ and ￿9acAeS
102056.
5.783.00
lo8,639.￿ 114,643.03
Inc￿￿8 from charitable activiiTèB
11,595.50
1&1.00
11,730.50
9,489.50
other trading act
29.00
29.00
815.80
Investments
734.13
734.13
97.49
Oth8r Or￿M9
3,504.10
575.CK)
4,079.10
4,226.67
Total Incomè
118.719.72
8A93.00
12J,212.72 129,272.19
Paytmnts
Raising funds
1,837.27
1,83727
720.66
Eynditure on charitsble ethlll8È
130.718.78
5269.42
135,988.20 125.994.23
Cther eyperxlhure
11,162.02
11,162.02
7.59120
Total expendlture
143,718.07
5.20DA2
148,987A9 134,306.19
Not Incom• l (•xp•ndlture) resoufcel
b•foM transfer
{24.898.35)
1,223.58
123,r14.n) 15,034.00)
Transfers
Gross transfgTr bets￿en fvnd8. In
12,444.00
Gross transfers befvfftn funds- out
1435.93)
1435.93) 112.444.00)
Oth•r r•¢ognl•ed galn8 1108B68
Gainskns8s on Investment 8g88ts
Galns on revaluation, fixe(l assgt
charltyb own u8e
N•1 mov•m•nt In fundg
124434281
1.659.51
123,774.771 (5,034.00)
Total funds broughtforward
4739Q73 24M79.05
72,173.78 77,207.7
Total lund8 ￿rI1*d fon*wd
21,860A5 28,538A6
48,399.01 72,1n.78

CHRIST CHURCH BAYSTON HILL
BALANCE SHE
31 DECEMBER 2023
R•preRnted by
Unrn•trr¢t•d
General lund
20,672.94
20,672.94 47,393.23
Do$1gnai•d
Brfen G￿lI11aM
Gfft Day 2017
198.501
198.501
{98.501
Gift Day 2020
Mockley
Margaret Clfv8r
lary Flavel
Worshlp PC
1.286.01
1.286.01
èncy collection
Blinds ForThtr Fwr
Boller Re*ement[￿>22)
4,088.64
4.088.64
4,088.64
ChSldren8 Mwlsty
9,244A1
9,244.81 to.107.23
Chrl3tma8
1,00725
1.00725
1.007.25
Coffee In LI￿ng R￿M
1.785A1
1.785.81
I,585￿1
tlec0rnll￿ Furnl
2.198.43
2,198.43
1.W2.50
Emity Cwrnp
724.00
724.IXJ
224.
Hope For Chlkyrén
Mlg8ionerWor8hip Director
cars oi8cTr￿on8ry Fund
743.13
743.13
1,e08.13
Wed(8nd Away
Worshlp PC
2.451.00
2.451.00
Y(th Events
679.45
679.45
679.45
Youth MiThsty
3.616.04
3,616.04
3,616.04

T¢tsl fund•
11,860A5 ￿,538,51
48,399A)1 72,172.78
swofft•nt of Flmrtgthl ACll¥lll*i.T•t•l vi
Incorn•.-125212.F2
Cxwndi¢LTe.'141917.49
st•t•m•nt 01 Fln4hcl•l AdMtl•frFw#* Forwud ￿ Funds (arrt•4 Fow•rd
Ortyjim Frxwar
Fund5 CJrn¢d F¢wArd
15
Balance Sheet detsiled
Doscrfptlon
A88t
A8at
31M212023 3111212022
Cla¥s and Code
Fix•d assets
Kitchtrn
6432
Sc4ar Ponels
7,203.00
6433
New boller
17.143.fy)
20,CW.C(I

Total Flxod asB•ts
17.143.00
27,203.00
Cuffent a￿•1¥
01748513
B8nk deposl a[￿U￿
48.118.36
46,567.23
31748491
Bank crnl ￿CoUnt
11.265.91
11,749.44
6510
CCLA{CBFI deposh account
160.SII
16cl.go
CSH
Cash A¢wJnl
1fj0.69
160.69
IDS
IDS- 42 Lock Road
11.57
1.57
IDS2
IDS Curntss Houso 15 Glebe Road
825.00
825.00
Z05
Ac(wnts Roc8lrdble
5,$51.00
25.900.00
Tot•1 Curront
06,983.43
86,2M83
Ll3bllltl•s
Solar P￿815 ban
4.68525
12.599.tKI
Unpr8senl8d Chewes 2015 CuThent I￿)Unt
Unpresented Chewes f￿3ndIa￿
KItc￿n Loan
6605
Solar Panel LO￿ Credlor 2016
5.$44.92
5,344.W2
6606
Kmchen Loan uedllw 2016
6607
Creijknrn 2015
7.950.00
3,944.15
Boller Loan
15.771.42
BoNeT LcAn Crgdltor 2022
2,8cKI.00
20,(￿).00
186&531
(635.281
ArLowts Pa￿￿48
41.26
41.26
Totsl LIabIll￿
35,727A2
41294.05
Met $Ufplus Id•fldt)
48.3W.01
71173.78
Exce￿(de￿(¥ll lo
{23.774.77)
22WO.51
Z01
starting balan¢es
72,173.78
49,593.27
Z03
Ga￿SlI10$SeSI oft reval Off￿e￿ a88ets
Total Rwrws
48,399.01
72,17178
R•rmented by Fund•
General Iunrestthledl
20,672.94
47,393.23
De￿onated
1.187.51
198.501
Re8trf¢ted
26.538.
24A79.05
Total
48.399.01
72,173.78

Fixod AH•t'.1714J.QQ
Cyrttrtt A￿￿1..16913.4j
Lkntyliity'.J$7Z7.41
statement of Assets and Liabilities (by code)
Class and nomlnal cod
Gènaral De8lgnatod Ro6tricted Endowm•nt
Total
Last
yoar
Flxed ￿••I-Tangible A••ots
6432.. Solar Panel$
7,203.
6433.. New botl¢r
17.143.LK)
- 17,143.1)0 20,(M)J.LKJ
Total 17.143.00
- 17.143.00 27.203.00
cUrr•ntA￿•t- Cash At BankAnd In Hand
01748513: Bank deposit a￿oUnt 29,639.78
18.478.58
- 48.118.36 46,567.23
31748491.. Bank cumnt aceount 7.331.45
1.187.61
2.746.95
11.285.91 11,749.44
6510.. CCLA ICBF) dep￿tt
a¢coun¢
180.90
100.90
160.
CSH.. Cash Account
126.69
160.69
180.69
IDS.. IOS- 42 Eric Lcck Road
(235.93)
1,137.50
901.57
901.57
IDS2: IDS Curates Hwse 15
Glebe Road
825.
825.00
825.th)
TotAI 37,022.89
1,187.01 23,222.03
- 61A32.43 60.364.83
Curr•ntA#set. Debtorn
Z05.. AcLounts Receivable
3.1(Q.00
2.451.00
5,$51.W 25,9[￿.

Total 3,11)0.00
2,451.00
5.551.00 25.90Q.I)o
LlobllSty-Agen¢yAtcounts
86g9..Agency colleci•)ns
(865.53)
{865th1 1635.28}
Total
1865.53)
(865.531 {835.28)
Uablllty. Creditorn: Amwnts falling du• aft•r mcn than one year
6601: Solar Panels loan
4.685.35
4,685.35 12,599.00
6608.. Boiler L￿n
15.771.42
15.771.42
Total 20A56.77
- 20,456.77 11599.IXI
Uablllty. Cr•ditorn: Amwnts Falling Du• In One Year
6605.. Solw Panel Loan Crwjilor
2016
5.344.92
5.344.92 5.344.92
8607: credito￿ 2015
7,950.00
7,950.00 3,944.15
6609.. Boiler Loan Cre(litor 2022 2.800.00
2,800.(X) 20,0(X).00
Z04". A¢counls Payabje
41.26
41.26
41.28
Total 1&136.18
- 11136.18 29.330.33
N•t total a88•ts 20.672.H
1.187.51 28,538.56
. 48,399.01 72.173.78
ReP￿ent￿ by
General IUnTèStricl&Jl
20.672.94
- 20ffi72.￿ 47,39323
D8skJnated- GD17
(98.50)
198.501 198.50)
DesknoW- Wor8hSpPC
1,286.01
1286.01
Restrl¢ted- BOi￿r
4,088.64
4,088.64 4,088.64
Rest￿- Chlklrgn$
9,244.81
9.244.81 10,107.23
Restrktsd- Christmo$
I,IK17.25
1,00725 1.007.25
1,785.81
1.785.81 1.585.81
Re8tricled- Crun
724.CKI
724.00
224.CQ
Rèstrkted. DecorallL
2.19B.43
2.198.43 1.962.50
Re3trided- Discrelion
743.13
743.13 1,608.13
Resbl¢ted- W￿shIppc
2.451.00
2.451.00
Restrlcted. Youth
3.616.04
3,616.04 3.616.04
Restrlded- YotthEvgnt
679.45
79.45 679.45
Totsl 20.672.94
1.187.51 26.538.58
- 48.391.01 72,173.78

statem•nt of A5￿ts and Ll*IMt1•5 (by cod•l.Il•t total4Jsets
Gehwai..20672.94
DtttyTraged..It17.51
Re5trkted'.2053U.56
St•t*m•ht •f Awts and Ll•blM¢th* (èy od4￿ R•pf•s•nt• •y
fAner•l IUr•rnStrl¢t4dl'.Z06n.v
oes1￿oftd- GD17..1->ga.50
D•%lqnat•d. WorshipPC..1286.01
Restrl¢ted. eouei..4cBu.b
Reitrirted- ChildrenJ'.9144.11
Restr*ted- Chthtmas'.1007.25
R•slrtk4. Coffev'.1115.$1
R•5tvlct•d- Crump.'724.00
ft•&trici•d- D1Jcrni￿￿.'74J.1Y
Rest￿¢*d. W0￿h1ppc..2d5l.ll
Re5trfrte¢T- y￿￿￿".361&.O4
Re51r*tÈd- YwthEYort.679_45

stat•ment olAu•ts and L4•bMIt1*5 {by ¢odtyVlx•é A55•t. T*leAS*¢t5
1453-. btsliw:17143.10
st•terneTrt ol Assets •nd Lhbllltle5 c￿de￿WI￿* Al￿. ¢Mh At
17485iJ: 84nk¢*pwt x¢•tht'.461le.36
3174a491= <urr•Tri accounl=11265.91
6510.. tCL4 ICSFI dwiL
CSH: C•sh ACWLlIt'.110.69
ID5.. 10S- 42 Enc LoE* R*èe..901.ST
ID52.. ID5 c￿r•I*5 15
fjLebo Allad:025.Q)

ststefflent of Assets and LI*IIItIEs Ibyc¢4tl<¥rr•nl ￿$•¢- D•bt
245.. A¢etrJnt% Retefjvab￿..5s>1.fyl
6601= 5¢lar pin•islo•Th'.46B5.35
l.. loliei Loan-,15731.42

siaiwnent uf As*•ts Ll•blltlle5 Iby c•d•l-Ltsblllty. Cr•diiors." Afftwnts FalWOu• In On• Y¢ar
660S'. S•larP•n•i Cr*thtor
2016..5344.•2
6607= tveditN$ 2015..7950.QD
6609: Boller Lq•ntreditcv
2023..28tsJ.fp)
104: A<caunts P•Y•biv.41.26
Fund movoment summary
Fund Opnbng InCOn￿￿j Outgoing Transffrrn Gain￿•08 Journals Closlng
Bollar
Restricted
4.088.64
4.088.84
s￿40tal* 4,088.64
4.088.64
Chlldren¥
RestrKted
10.107.23 3,407.(N) 4.269.42
9.244.61
10.107.23 3A07.00 4.269A2
9,244.81
Chrfslm*8
Restricted
1,007.25
1.CQ7.25
Sul￿t01all 1.007.25
I.IJ07.25
Re&trkled
1.585.81
2￿.C￿l
1.785.81
Sub4otah 1,585.81
21)O.CK)
1,785.81
Crump
Restricted
224.00
724.
su￿1￿ 224.1)0
500.00
724.00

D•¢orntion
Re8bicted
1.962x1
235.93
2.198.43
su￿tota￿ 1.962.50
235.93
2.198.43
Dlscretion
Restricted
1.608.13
135.00 1.000.00
743.13
SU￿total• l.608.13
13&00 1,000.00
743.13
GD17
De5NJnaknl
198.501
198.501
sU￿10t*1* 198.50}
198.511)
WorshipPC
DesvJn8tgd
1,865.00
578.99
1.286.01
Re8trkted
2,451.
2.451.00
su￿101a16
316.00
578.99
3,737.01
Youth
Restitted
3.616.04
3.616.04
SU1￿1¥ 3,616.04
3,616.04
YouthE￿nI
Restricted
679.45
679.45
sul￿1$ 679.45
679.45
G•nor•l
Unrestrkted
47.393.23 11&854.72 143,139.08 I435.￿3)
- 20,872.94
Svb4otab 47.393.23 11VX72 143,139.08 <435.931
- 20,672.94
Totals 72.173.78 125312.72 148.987.49
- 48.399.01

Fund Alovement by Typt
Analysis of Income and expenditure
Totsl
Unr•strlcte Deslgnate Restricte Endowmen
Th1$ yeir Last year
RECEIPTS
Donation$ and legacl•8
0101- GM Ald Colleclions
57,398.52
1235.00 2,1￿.
60.783.52 65.273.02
0201- Non GiftAld Collectio
6,090.(Q 6.675.00
0210- Planne(l Giving
Envelop88
20.
20.fy)
IY211 - Planned Givlng
Envelope 26
0212- ContsGtless Donations
46.20
0301- Loose pl•le Collect￿￿5
4.924.50
4.924.50 4.594.56
0410- Giving through church
tr¥)x&s
0550. Donalitsns aFveal$ •tc
3,276.CQ
630.OJ
750.0)
4.658.rKJ 4,872.61
C601- Tax recoveroble on Gift
14.468.96
2,883.00
17,351.96 18,1*.49
0701- Legaci&s
0801- Rocu￿1nQ grants
1,79).00
OBA1- Non-recurriThJ one-off

0901- Otherfvnds gengrated
40.05
OW2- Solar Panel Income
14.767.81
14,767.81 13,240.70
15CQ- Restri¢ted Goc*Jchild
1501- Resthot8d Karrach
1502. Restricted M8un8ell
DonatSon• and l•gacie
Tot#
1110,991.99
1065.00
5,783.00
108,639.9 114,643.0
Inconw from Charltable •¢tMIO•8
1101- Fees fOr￿eddIng$ arnl
funera18
135.CKt
688.Q)
346.00
553.CKI
1210- 8ookstall sabs to
promote objectiv0$
1230- Church h811 letbrvJs-
objecUve$
11.042.50 9.143.50
11.042.50
Incomo from ¢harltabl•
•¢tl¥ltt•8 Tot•
11,730,50 9089.50
11,595.50
135.ljll
Othertradlng acdvltl•s
1220- Book6tall $akn- lund
rai81ng
1240- Church hall19tt1rvJ8-
fund ralslng
815.50
1250- Magozlne Income-
adVertI￿n9
1260- PaTtsh ￿reCt(￿S
Donations
29.00
29.00
Othortr¥dlng fKtlvltl
Totsl$
29.00
815.50
lTrwknent8
1001 - t)iMdends
1020- Bar& gnd bLAldlng
So￿tty & CBF intsrost
734.13
734.13
97.49
1030- Rent fmm laThJs or
Ildings
In¥o8tm•nts Total8
7XI$
734.13
97.49
Oth•r incomè
1310- Inwrance C1￿m8
1320- Surplus- $9168 of
assets
1330- CItLR
3,439.CK)
3.439.LKJ 3,536.49

1331-Te8lCoffoe
65.10
65.10
43.18
1332- Senlor Citizens
Lunche8
1333- Messy Church
1334- Sunbe8m8 Toddtws
575.00
575.co
647.00
Oth•r ineomt Totsl•
3,504.10
575.00
4.079.10 4220.07
125,2117 129,272.1
Re￿IPl* Grand totals
116,854.72
1.885.00 6.493.00
PAYMEpirs
Ral•lw fvnd8
1710- Costs of applying f(*
ants
1720- Costs of stwrnrdship
campaign
1730. Costs olfetes & other
events
1740- Baf* 8 Go Cardle98
ChaTge8 and Loan Interest
1.83727 720.66
1.83727
RalBlng funds Total•
1.837.27
1.837.27
720.
Exp•ndltur¢ on charltabh odlvltJe8
1801- Giving to mlsstonary &
other Chafltio$
8,066.00
8,066.00 8,oc(I.00
1910- Parbh Sharo
66,376.00
66,376.00 66.376.00
1915- Parbh Share Support
2￿1- Salaiies & w¥ges
1357,731
2002- Other S8lartes
3.180.56
4,070.42
7,251.00 21.2W.54
2050- Solary of p8ri8h
adminlstrator
11.266.02
11,266.02 10.524.96
2101- Wthlrg e¥pen8e8 of
Incwnbgnt
1.997.26
1,997.26 2.047.96
2102- Othw Eypertse Claims
850.00
2105- IncumbenfB mlle8ge
434.84
434.84
261.00
2120- Rent Pald
2121- Councll Tax
21SO- tslophone
121.80
121.80
183.80
2170- EdUCa￿rt
285.00
285.00
89.80
2195- Kitthen e¥penges
32.38
32.38
69.28

2196- Coffae In the Livirtg
Room Exp8nsos
176.58
176.58 1,838.71
2201 - Parish Irair¥ng 8nd
ml881
199.00
199.00
2202- Other Expgn$gs
387.59
1.OW.00
1,38759
2301- Church runnlng-
Insurdnce
1.787.61 1.677.38
1,787.61
2310- Church olft¢e-
tslephone
20.15
20.15
9.55
2320- Organ I pbno bjning
2330- Churth MaInten￿Ce
6,256.31
578.WJ
6.835.30 5,316.76
2331 - Cleanlng & Cleanbn9
Products Inol sakgry
308.67
2340. Upkeèp of $8rvke
293.02
293.02
2350- uP￿P of thurchy¥d
720.(KS
720.00
520.00
2360-
Postsgetststion&rylPhotC¢OFi8
2.091.07
2,091.07 1,784.79
2361 - LkgrK8s &
Subs¢ription8
1,865.77
1,866.77 1.650.57
2362-AdverlisinglPublirAty
2370- Vk%itiThJ speakers I
locum6
200.C
200.00
181.
2381- Pastoral Care Team
Expen8es
2382 . Welcome Team
Expenses
25.20
25.20
2401- Church rUnn*￿-
eteclric
1,946.63 1380.97>
1,946.83
2410- Churth rUn￿￿￿- gas
15,Q66.99
15.066.99 3.868.24
2420- Church runniNJ- water
1.198A4
1.198.84 1.132.21
2501- M&Ja2in8 8xpen88s
2510. Book8ts11 cc*ts
2530- Hall wnnlng- atectriclty
2.044.15
2540 - Hall wnning- gas
6.1)44.15
6,044.15 (4,co0.￿l
2550- Hall Nnnlng- Insurar
2560 - Hall NnnirvJ-
ma5ntenance
2570- Hall Nnnlr4J- lelgpho
2580- Hall Nnrung- water

259)- Hall wnnlng- he3ting
and lighting
2601- Govemance ¢osts
oxamln8tlonla￿J1I fee
300.(K)
300.1]0
300.00
2701 - Church major repars-
slwoture
2710- Church major Tepair8-
InstallatN
2720- Churth Int8TKJr and
èxterlord8coratiNJ
2801- Hall + major Tgpairs-
structure
2820- Hall + major repairs-
Instsllation
2830- Ho11 + Into￿r aThJ
2840. Other PCC prope
upke8P
2901- New buildlig
parson&Je hwse
2910- Now bulldkng htsu8¢ for
2920- New bulldkng Chwth
2930- New bulldkng Ham
Exponses
Expondllur• on charltabl•
8CtlYltl•s T•)tal6
135888.2 125.9M.2
130.139.79
578.99 5.269A2
Other oxpondltur•
2103- To8lCoffeg
738.40
738.40
217.99
2180- ChibJrgn'sWoJtt Cosls
61.33
2185- Youth Work Costs
2190- Wor c￿Z￿8
Lunchos
2380- W(wshlp Team
Expenses
2390- Resources
363.62
363.62
112.98
2520- Int8rior D￿018t￿on
Scheme
2940- Stlpend8ry Curate's
Expenwd

2940- Stipendary Curate's
Expenses
2941- NSM Curate's
Expense3
2942- Sthpendary Curate's
miltragtr
2950- Depreaation
2.857.IJO
2,857.c¥) 10.C60.LKI
3000- Restsicted GoJdchild
3001- Re$lriGted Karrath
3002- Restricted Maunsdl
Other expenditure Totsl8
3,654.43
41.76
3,696.19 11.162.02
P•ym•nts Grand total¥
117,605.91
128.96
117.734.8 148,987A
•ty5ts gf l•¥p•nthi¥r• or w•••ts.Tot•l £X￿Ul*
It)corn•.'115135.41
pendi￿re..117?j4.11
li,
Approved by the PCC on ...
..2024 and signed on ts behalf by
Kerth James winter FCA ( Treasurer )