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2024-12-31-accounts

The Parish Church of All Saints, Stand Annual Report of the Parochial Church Council for the Year Ended 31 December 2024

Administrative Information

All Saints, Stand is part of the Diocese of Manchester within the Church of England.

The correspondence address is: Stand Rectory, 32 Church Lane, Whitefield, and Manchester M45 7NF.

Bankers Details: Barclays Leicester LE87 2BB

The Independent Examiner of the Accounts is: Angela Fletcher

The Parochial Church Council (PCC) is a charity registered with the Charity Commission 1131227 and each member of the PCC is a Trustee.

The function of the PCC includes co-operation with the Minister in promoting in the parish the mission of the church, pastoral, social, evangelistic and ecumenical.

Chair: - Revd Elizabeth Binns

PCC Members from APCM 2024- APCM 2025

Name Position When
elected
Term
Ends
Revd. Elizabeth Binns Priest in Charge
Chris. Dodd Warden 2021
Judith Ellis PCC Secretary Ex Oficio
1 Chris. Haworth DeanerySynod 2023 2026
2 David Davies DeanerySynod 2023 2026
3 Gail Branch DeanerySynod 2023 2026
4 PhilipWharmby DeanerySynod 2023 2026
1 Ian Orrell 2024 2027
2 Allan Atkins 2024 2027
3 Neil Nelson Safeguarding 2024 2027
4 Sue Orrell 2024 2027
5 Jackie Pearson 2023 2026
6 Lynda Hinton 2023 2026
7 Mandi Davies 2023 2026
8 Susan Cahal 2023 2026
9 Joyce Lomax 2023 2026
10 Glenda Hegg 2023 2026
11 Christine North 2024 2027
12 Vacant

Number of lay representatives at APCM 2025 and beyond The APCM of 2020 agreed that PCC members be elected for 3 years, with the option of being re-elected for a further 3 years and then a year off. This should allow continuity and learning especially for new PCC members. The number of lay representatives for 2025-26 is 12 the number of Deanery Synod members for 2023-26 is 4

Church Statistics there are 121 parishioners on the Church Electoral Roll, of whom approximately 32% live outside the parish.

Statistics in the form submitted to Parish Returns of the Church of England .

Event 2024 2023 2022
Attendance Christmas 272 221 191
Attendance Easter 224 314 149
Average Week, October 82 97 91
Average Weekly Attendance Adults
(October)
66 91 88
Average Weekly Attendance
Children(October)
16 16 3
Average Usual Sunday 72 66 61
Average Usual Sunday Adults
Average Usual SundayChildren
64
8
59
7
57
4
Average Usual Wednesday 15 15
Baptisms 12 40 26
Weddings 6 7 7
Wedding Blessing 1 3
Funerals 16 14 23
Burial of Ashes 26 21 20

Easter includes: Palm Sunday, Holy Week, Easter Day Christmas includes: Christmas Eve, Crib service, Christmas Day October includes: Harvest

This is the third time I have had to sit down and write “ The Vicar’s Report” for the APCM and all of a sudden, I am very conscious that I will only be writing two more after this one, because things are changing. Yes, things are changing, and WE need to be ready to change with them. The capitals are deliberate because WE all know this, but WE [including myself] don’t really like to think about it too much. The church, whether small c or big C tends not to be keen on change and when it does come it does not manage it well.

Perhaps change is especially challenging when, as most of us are, we are fairly satisfied with how things are here at Stand. At least I hope that is true! I don’t think any of us are claiming that we are perfect or that our way is the only way, but we are, most of the time, a happy church. Neither am I saying that I am the best priest you could possibly have [feel free to disagree]! However, I do believe that I have been the right priest for this time and will, God and Bishop David willing, be so for the next two years. Together we have made Stand that happy place. And that is wonderful, it is special and [sadly] it is rarer in churches than we might think. Still, as I said, that may make the future even more challenging.

So, like it or not, at this point on our journey, we must start planning for the future, which means that we have to ask and answer some big questions:

  1. What are the things we could do better at Stand now?

  2. How can we make this church more relevant to the wider community?

  3. How do we prepare for a future where we may not have “our own priest”?

  4. What can we do to make the Mission Community a more integrated part of our church life?

  5. What can WE do – that’s you, me and all of us to support our church.

  6. And, most importantly, what can WE do to help someone hear the good news of Jesus Christ?

These questions are my thoughts, there will be others and probably better ones because things will keep changing as time and circumstances develop.

Now at this point, just like you, I don’t really know what the future is going to be, but we can take some educated guesses based on what we know:

need to understand that most people in this country no longer look on the Church with reverence or even respect. And I really think this gives us in the small c church a further challenge to demonstrate that we are caring, capable and relevant.

Well, I think I have probably depressed you enough now, so let’s put the challenges and problems aside for a moment and let’s be well, yes, a little selfsatisfied…

Because YOU are wonderful people who bring joy and happiness to our church, and you certainly bring joy and happiness to me. You have changed my life for the better and I thank you for that. And I thank you also for the privilege of sharing your journey. So please, have faith in our Lord Jesus Christ and have faith in yourselves.

Yours in Christ

THE REVEREND ELIZABETH A. BINNS

PRIEST IN CHARGE

Parochial Council of All Saints' Church, Stand Statement of Financial Activities For the Year Ending 31 December 2024

Notes
Incoming Resources
CR
Voluntary income
1
Income from church activities
2
Activities for generating funds
3
Income from investments
4
Other incoming resources
5
Total incoming resources
Check
Resources Expended
DR
Fund Raising Trading Costs
6
Church Activities
7
Total resources expended
check
Net Incoming (Outgoing) Resources
Losses/Gains on Investments
Gross Transfers
Net Movement in Funds
Balances B/Fwd Jan 1st 2024
Balances C/Fwd December 31st 2024
Check
diff
Unrestricted
Restricted
Endowment
Funds
Funds
Funds
2024
2023
244553.40
59922.10
304475.50
73163.30
36648.00
36648.00
34865.00
7486.31
7486.31
18306.09
8997.71
3252.60
12250.31
9371.41
7105.48
7105.48
0.00
297685.42
70280.18
0.00
367965.60
135705.80
297685.42
70280.18
640.65
4131.14
4771.79
10206.23
298997.25
17.00
299014.25
145172.48
299637.90
4148.14
0.00
303786.04
155378.71
299637.90
4148.14
-1952.48
66132.04
0.00
64179.56
-19672.91
185263.61
185263.61
18162.86
10327.66
-10327.66
8375.18
55804.38
185263.61
249443.17
-1510.05
313863.91
26998.37
259371.16
600233.44
601743.49
322239.09
82802.75
444634.77
849676.61
600233.44
322239.09
82802.75
444634.77
849676.61
600233.44
0.00
0.00
0.00
0.00
0.00

06/06/202514:01:46

Page 1

]

Parochial Council of All Saints' Church, Stand

Balance Sheet as at 31st December 2024

Unrestricted Restricted Endowment
Notes Funds Funds Funds 2024 2023
Fixed Assets
Church Hall 120000.00 120000.00 120000.00
Investments 444634.77 444634.77 259371.16 £175000 Bequest balance plus
120000.00 0.00 444634.77 564634.77 379371.16
|
Current Assets
Debtors 4467.25 56.25 4523.50 5307.25
Bank Accounts
Restoration A/c 74391.18 74391.18 21575.94 Heyworth Bequest
COIF A/c 222.07 222.07 208.56
Gen A/c 8825.93 8825.93 5221.52
General Bonus A/c 169225.49 169225.49 165412.41
Church Hall 0.00 0.00 0.00
Designated A/c 259.65 259.65 255.80
HIBA 481.53 481.53 474.39
Holy Toast café 8133.25 8133.25 5157.62
BPA Trust 1& 2 20160.95 20160.95 18253.29
Total bank 198953.55 82746.50 0.00 281700.05 216559.53
Total Assets 203420.80 82802.75 0.00 286223.55 221866.78
Liabilities
Creditors: amounts falling due in one
year 1181.71 0.00 0.00 1181.71 1004.50
Net Current Assets 1181.71 0.00 0.00 285041.84 220862.28
Total Assets less current liabilities 322239.09 82802.75 444634.77 849676.61 600233.44
Creditors - amounts falling due
after one year 0.00 0.00 0.00 0.00 0.00
Total Net Assets 322239.09 82802.75 444634.77 849676.61 600233.44
Total Funds from SOFA 322239.09 82802.75 444634.77 849676.61 600233.44

Accounts approved by the Parochial Church Council of All Saints, Stand on [Date] and signed on its behalf by [Christine Haworth]

diff 0.00 0.00 0.00 0.00

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Page 2

Parochial Council of All Saints' Church, Stand

Detailed Statement of Financial Activities - Incoming Resources Incoming Resources

Nominal
A/c no
Note 1Voluntary Income
Planned Giving
26
Gift Aided Giving
27
Tax recovered
28
Collection from plate
30
Donations and appeals
32
Grants
33
Legacies
34
Note 2Income from Church activities
Fees Weddings/Funerals/Monuments
39
Fees Music/Heritage
40
Church Hall lettings
41
Church Hire
70
Note 3Activities for generating funds
Fund Raising
35
Holy Toast Café
35
Magazine Sales
36
Magazine Advertisments
37
Note 4Income from Investments
Dividends and interest
38
Note 5Other Incoming Resources
29
Total Incoming Resources
Unrestricted
Restricted
2024
2023
CHANGES BETWEEN 2023 AND 2024

2875.00
2875.00
4576.10Weekly envelope donations reduced

45821.63
900.00
46721.63
45366.20Monthly Donations into the bank.

13252.70
225.00
13477.70
13412.86Tax refund on gift aided donations

3119.41
3119.41
4636.72Weekly services cash reduced

4484.66
4484.66
5171.42Donations plus via Payaz machine baptisms in 2024 reduced-

0.00
0.00
0.00

175000.00
58797.10
233797.10
0.00Heyworth Legacy
244553.40
59922.10
304475.50
73163.30

14866.00
14866.00
12604.00Weddings, funerals and BOA plus monuments

0.00
0.00
0.00

21277.00
21277.00
21756.00Alyson Livesey £17627 Painting £3650

505.00
505.00
505.00Concerts in church
36648.00
0.00
36648.00
34865.00

5111.10
5111.10
2929.15Nickies Concerts £2630 - Duck Race £200 - Plants £632. Wedding packag

7105.48
7105.48
13595.88Café

1285.21
1285.21
1557.06

1090.00
1090.00
224.002022 included £540 for 2023
7486.31
7105.48
14591.79
18306.09

8997.71
3252.60
12250.31
9371.41interest received on Bequest before transfer to Trust
8997.71
3252.60
12250.31
9371.41

0.00
0.00
0.00
0.00
297685.42
70280.18
367965.60
135705.80

06/06/202514:01:46

Page 3

Parochial Council of All Saints' Church, Stand Detailed Statement of Financial Activities - Resources Expended Resources Expended

Nominal
A/c No
Note 6
Fund Raising Trading Costs
Fundraising Trading Costs
61
Fundraising Costs Holy Toast Caf
61
Appendix to Note 6
All Fund Raising has been received net of cos
and is accounted for in the Fund Raising Acco
Note 7
Church activities
Parish Share
44
Clergy Expenses
45
Rectory Costs
47
Church running costs
48
Church Maintenance
49
Upkeep of Services
50
Upkeep of churchyard
51
Church Hall running Costs
52
Organists
62
CYF Worker
72
Weekly Envelopes
43
Cost of Magazine
53
Administration
54
Support Costs
55
Bank Charges
56
Loan Interest
57
Donations
58
Restricted Costs
59
Charitable giving - home
60
Fixtures and Fittings
68
2026 Celebration Project
72
Major Works
65
Investment
3
Unrestricted
Restricted
2024
2023
Diffs between 2023 and 2024
640.65
640.65
936.51
4131.14
4131.14
9269.72Reduced openings
640.65
4131.14
4771.79
10206.23
ts
unt.
57000.00
57000.00
55000.00Agreed Parish share after Discussio and Agreement meeting
2111.97
2111.97
1723.94donation towards new robes
0.00
0.00
0.00
24729.46
24729.46
18578.13
12700.04
12700.04
170.00
2579.76
2579.76
6385.80Service Books, all services now covered - Projector £385
239.85
239.85
18264.092023 - storm damage. Tree Work and Burst Water
5994.79
5994.79
8879.07
6970.00
6970.00
6905.00
0.00
0.00
156.25
156.25
149.14
2530.00
2530.00
2805.00
7540.13
7540.13
4918.32Risk Assessment - Licences - Cabinet - Photocopier
30.00
30.00
196.99
17.00
17.00
0.00Holy Toast a/c
0.00
0.00
25.00
25.00
75.00Gtr M/c Preservation Soc
0.00
0.00
1390.00
1390.00
1430.00CAP/ Pantry/ Poor Whiteield
0.00
1260.00
0.00
960.00
0.00
17472.00No major works
175000
175000.00
0.00
298997.25
17.00
299014.25
145172.48
Insurance Church and Hall £8800 - Gas/elec/water £7860 - Carillion £210 -
Lightning Conductor £222 - Service :- PAT, Bells - Handrail £1480 Organ £612
plus security
Bell Ropes £1400 Boiler £1680 Roof £1320 Decroation £6500 Toilet £360 LEDS
£460

Note 8 Other payments

No other payments or personal expenses were paid to any PCC member or persons closely connected to them or other related parties. This does not include reimbursement of expenditure where a PCC member was acting as an agent for operational purchases on behalf of the Church.

The cost of the independent examination in the year and in the prior year was £200.

The Church had no employees in the year or the prior year

Total Resources Expended 299637.90 4148.14 303786.04 155378.71

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Page 4

Parochial Council of All Saints' Church, Stand Detailed Balance Sheet

Detailed Balance Sheet
Fixed Assets Nominal a/c No
(a) Tangible
Church Hall 1 120000.00 |
120000.00
(b) Investments
Investment Trusts CBF 25 393094.42
Investment Trusts CCLA 25 51540.35
444634.77
Debtors (Unrestricted Funds) 3
HMRC 3212.80
Alyson Livesey 1180.00
Manchester Diocese 74.45
4467.25
Debtors (Restricted Funds) 3
HMRC 56.25
56.25
Total Debtors 4523.50

Liabilities

Amounts falling due in one year ( 2024) Unrestricted Funds

21
Water Plus
British Gas
Corona Energy
Amounts falling Due in one year (2024) Restricted Funds
21
Total Creditors
122.66
822.47
236.58
1181.71
0.00
0.00
1181.71

Funds

The restricted funds comprises the Restoration Fund, Holy Toast Restoration Fund and the COIF Account. The Restoration funds contains funds raised and grants received for the Restoration of the Church Building. The restricted debtor relates to the restoration fund.

Fund movements
Balance at 1st January 2024
Incoming resources
Resources expended
Balance at 31st December 2024
Analysis of Net Assets
Tangible fixed assets
Investment Fixed assets
Current assets
Debtors
Cash
Liabilities
Amounts falling due in one year Unrestricted
Amounts falling due in one year Restricted
Restoration Fund
21575.94
60635.24
-7820.00
74391.18
Unrestricted
Restricted
Funds
Funds
120000.00
4467.25
56.25
198953.55
82746.50
-1181.71
0.00
COIF A/c
208.56
13.51
0.00
222.07
Trust
Funds
444634.77




444634.77
5157.62
7123.77
-4148.14
Holy Toast
Restoration
8133.25
322239.09
82802.75

Page 5

06/06/202514:01:46

ALL SAINTS - STAND - Charities 2024

*** Direct to Charities not through PCC account**

Charities not through PCC account Charities not through PCC account Charities not through PCC account
Leprosy
56.23
Alzheimers
410.00
Childrens Society Christingle Service
252.90
Childrens Society - Boxes
378.50
Via PCC Accounts*
Needy families
600.00
Christians Against Poverty £20 per month
240.00
The Pantry - £50 per month
600.00
2537.63
2537.63

Page 8

Independent examinerfs report to the PCC of All Saints,. Stand I report on the financial statements of the PCC for the year ended 31 December 2024, which are set out on pages 1 and 2. is in respect of an examination carried out in accordance with the Church Accounting Regulations 2008 {Ihe Regulations.) and section 43 of the Charrties Act 1993 ("the Act") Respective responsibilities of the PCC and the examiner As members 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 accordan￿ with the terms of the Regulations. Basis of thls report My examination was carried out in accordance with the General Directions given by the Charity Commission under section 43(7)(b) of the Act and to be found in the Church Guidance, 2006 edrtion, issued by the Finance Division of the Archbishops. Council. That exarnination includes a review of the accounting records kept by the PCC and a comparison of the accounts wrth those records. It also includes considering any unusual rtems or disclosures 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 audFt. and consequently I do not express an audit opinion on the view given by the accounts. Independent examinerfs statement In connection with my examinats'on, 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 1993 Act; and to prepare financial ststements. which accord with the accounting records and comply with the requirements of the Act and the Regulath'ons have not been met; or (2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached. Signed.. FF Trj CL6LA Q*.T.¢.t4.E Address'_ 25 RIPoa i LJ14 I TQf- S'T￿¢& . M £PJ IEILk12s Date . Page 10