CharSty 1131311
THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 20ZS
P8ge 1

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
ADMINISTRATNE INFORMATION
FOR THE YEAR ENDED 31 DECEMBER 2025
ADDRESS:
St &rlde's Church
Fleet Street
London
EC4Y 8AU
CHARITV NUMBER:
1131311
RECTOR & CHAIRMAN:
The Revd Canon Dr Allson Joyce
INDEPENDENT AUDITOR:
Fleld Sulllvan Llmlted
Chartered Accountsnts
9 Hare & Blllet Road
London
SE3 ORB
BANKERS:
Lloyds Bank
70-71 Cheapslde
London
EC2V 6EN
Page 2

THE PAROCHIAL CHURCH COUNCIL OF ￿ BRIDE
ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
STRUCTURE, GOVERNANCE & MANAGEMENT
Alms, Objects and Prindpal Actlvltles
Thè Parochial Church Council of St Bride (the PCCI has the responslbility of co-operating wlth ihe incumbent In promotlng
in the ecclesiastical parish the whole mis5Ion of the church.. pastoral, evangelistic, social and ecumenical. The PCC is
corporate body establlshed by the Church of En8land. The PCC operates under the Parochial Church Council Powers
Measure and is a registered charlty no. 1131311. PCC rnembers are responslble for maklng decislons on all matters of
genèral concern and importance to ihe parlsh. Including decidin8 on how the funds of the PCC are to be spent. The
Trustees have had due regard tts the Charity Commission's 8uSdance under Charities Act 2011 on public beneflt when
conslderln8 the Charlty's objectlves and activltles. St Bride's Church provldes public benefit by offering a hS8h standard of
publlc worship and by provSdin8 an open, ac¢esslble and welcomln8 Clty centre resource for a number of ditterent
¢ommunltles. Detalls of the church'5 varlous events and activltles. sacred and seculai, Can be found on pages 4- 7.
Trustees, Trust￿ Appolntment, TrusteeTralnln8 & Remuneratlon Poll¢y
The PCC met six tlmes durSng the year. The Rector, Assoclate PrSests and Churchwardens are ex-offlclo Trustees, a5 are the
Deanery Synod Repre5entatlves, provlding the PCC with an Important Ilnk between the par55h and the wider structure5 of
the church. Churchwirdens are elected on an annual basls, Usual￿ up to an agreed maxlmum of four years, although this
limlt was suspended by an APCM resolution in 2021 to allow extenslons of offlce where expedlent. A lurther fifteen
members are elected, and serve a term of three years, A maximum of two consecutive terms may be served. The
following members and officials were elected and appolnted at the Annual Parochial Church Meeting held on Ilth May
202S and elected or co-opted at subsequent meetings of the Councll.
R•ttor & Chairman:
Asso¢late Prlests..
ChuKhw•rd•ns:
The Revd Canon Dr Allson joyce 1+1
The Revd Dr jeff Lake, The Revd Steven Morr15
Nicholas 8aldock Ireslgned Ilth May 20251, Valerle Locks 1+1, Lesley- Ann lones,
Graham Hlll 1+1 & Alasdalr Johnstone lappolnted Ilth May 20251
Davld Rl¢hards
S•ttei•ry:
The Trustèes have delegated day-to day managernent of the charlty to Jarne5 Irvln8, who Is consldered to hold a senlor
mBna8ement personnel role. The Trustee5 use the market medlan In the charlty sector as a rule of thumb for settlng
salarle5,' however, some flexibility 55 applled to take Into conslderatlon the speclfic requirement5 of each post and to
ensure that the best candldate posslble Is recruited.
Deanery Synod Rapre5entatlves:
Jenny Kin8sley, Terence Smlth & Justln Urquhart-stewart
Elected Members:
2023-2026..
Edward Bow5her 1+1, Slmon Greaves & jonathan McEvoy
2024- 2027..
John Forrest 1+1, DominSc McGinley & Jane Wllkln50n
2025- 2028.,
Gavin Conn. Ashley Palnter, Everarda Slabbekoorn & Vlrglnla Urquhart-stewart
Nonvmember.
Davld Lowi5h (Treasurer)
1+1 Oenotes membership of the PCC Standing Committee, whlch meets six times a year and os requbred.
Ele¢toral Roll:
The Church'5 Electoral Roll stood at 192 on 1st january and 145 on 31st December 2025. Almost all electoral member5 are
resident outside the parlsh.
Page 3

ThE PAROCHIAL CHURCH COUNCIL OF ￿ BRIDE
ANNUAL REPORT
FOR THE YEAR ENDED YI DECEMBER 2025
ACHIEVEMENTS& PERFORMANCE
The PCC set the followlng obleetives for 2025..
Agree contracts for the stonework and roof project and diarise the woth,.
o Set up fabrlc and steward5hlp sub-committees;
Obtain quotes for the organ refurbishment prolett, and investl8ate fund-ralsln8 opportunltles:
Consolidate and develop our links with lournallsm and the medla,.
Contlnue to raise our proflle throu8h our Presen￿ on all forms of new medla,.
Dellvèr plans to further re-develop the crypt space,. and
Contlnue to WO￿ toward5 the creatlon of a Muslc Foundatlon, to support the provlslon of muslc at St brlde's.
Progress was made In the projects listed above-
i. Contracts for the stonewurk and roof prolect were slBned and work be8an at the end of August 2025. In addltSon to
8ranl from the Clty Churches Grants Committee. and applicatlon to the Natlonal Lottery Herltage Fund had also been
successful, and the work was therefore fully funded.
11. A stewardshlp commlttee was set up and met on three occaslons durlng the year.
111. Our organ consultant revlewed and updated the speclflcation of works requlied to refurblsh the
orBan. Fundralslng for th15 prolect would be ¢onsldered by the fabrlc sutscommlttee lo be set up In 2026.
Sv. Work wlth the media contlnued in numerous forrn5 throu8houl the year Isee Medla Llnk5 on page 51.
v. Substantlal progress wa5 made on the redevelopment and refurbSshment of the crypt.. work on the maln crypt chapel
neared cornplellon, and Included the tommlsslonin8 01 a new Icon dedlcaled to St Brl8ld, the church's patron salnt. The
major task completed was the creatlon, deslgn and Inst8llatlon of a new 40ft tlmellne, chartln8 the entire hlstory of the St
Bride's slle from pre-Roman 1Srnes, and now the central feature of the museurn space.
vl. St 8rlde's proflle on varlous medla platforms ¢ontlnued to flovrlsh due to the professlonallsm and dedlcatlon of the
Dlgltal Communlcatlons manager.
AcllviTIE5
In addltlon to the Pcc's Stated oblectlve5, the followln8 actlvltle5 took place..
Personal Commltment
The PCC Is extremely grateful to all who support flnanclally the church. Glvlng by PCC member5 decreased from £19,137
in 2024to £18,402 in 2025.
Commerrlal Support
The Church Rates scheme had been reinstated In 2022, although donatlons were in￿ted at whatever level the companies
were prepared to make rather than, a5 in previou5 years, based on thelr rateable values,. the resultant income of £21,020
compared to the previous yearf5 total of £21.549. Natlonal media groups comblned to fund the c05t5 of the annual
Journalists Commemorative Service15ee overl.
P8ge 4

THE PAROCHIAL CHURCH COUNCIL OF 5T BRIDE
ANNUAI REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
Medla Unks
Several services were held for journalists and medla executlves, includin8 BrSan Freemantle, Kim SènBupta, Bill Newman,
Peter Fowler, Gwen Roblnson, 6arry Mcllhenenyi Andrew Norfolk, Martin Wlndrow, Jonathan Miller. Jane Reed and Michael
Charlton.
Our annual servlce of Commemoration for lournallsts- entltled Confllrt & Callln8- was held on Ilth November and
featured an Address from James Waterhouse, Ukralne Correspondent for BBC News. A special service- Truth under Fire-
took place on 26th February to mark the thlrd anniversary of the start of the Russla-ukralne confllct.
Names of those journalists and support staff who have died, been captured or gone mlssing are regularly added to the
Journallsts, Chapel, whlch recelves rnany vlsitors from across the world, and are remembered through our soclal medla
presence.
The Head of Finance was Invited to105n the steerln8 group of 'On the Record,, an inltiative to create 3 permanent memorial
to 8rltlsh & UK-based journalists at the Natlonal Memorlal Arboretum, and the Rector was Invited to loln Women In
lournallsm, supportlng female lournali5t5 In the UK to reach thelr full potentlal.
Charlotte Galea became the 15th reclplent of ihe Gulld of St Brlde bursary, an annual award to a postgraduate student
studyin8 for a Master5 In elther Soclal & Dl8ltal Journallsm or Newspaper journalism at Clty UnlveisSty, consolldatln6 the
Ilnks between St Brlde's and the lournallstlc communlty.
aty Llvery Llnks
The church has contlnued to work closely wlth the four Livery Companies wlth whlch It has close Ilnks- Statloner5 &
Newspaper Maker5, Marketofs, Turner5 and Spectacle Makers- three of whom held thelr annual service at St Brlde's,. the
other partl¢lpated in the Comrnunl¢atlons Industry carol servlce. The MarketOf5 relnstated Its St Brlde's worklng group and
some stron8 Inltlatlves have borne frult. The Rector contlnued to Interact wlth the Llvery Companles, taklng parl In
number of formal and 50clal events.
Musl¢
St Brlde's professional cholr of 12 adult slngers performed at two Sunday servlces every week except durln8 Au8USt and on
low 5unday5, plus on the major Feast Days and at a host of speclal 5ervlces- weddings, mernorSals, thanksglvSng5, funera15
and carol servlces- predornlnantly at St Brlde's but occasionally at external venues. Sl Brlde's Orchestra augmented the
cholr at s18nlficant sÈrvlces such as that on Remembrance Sunday. Concerts for mu5Ical groups such as JAM, Vasari Slngers
and Selwyn College cholr were held durln8 the year. The recitals series proved more popular than ever, wlth two live
performances a week.
Other Events
st Bride's hosted two hlgh-proflle lectures in the second half tsf the year.. The Tom Olsen Lecture- Entrepreneurs: is the UK
still a great place to start a buslnessP- delivered by Luke johnson, entrepreneur and journa115t,' and The Wren Talk-
Intervention5 in Hlstory- by Clare and Sandy Wrlght, award-wlnninB orchitect5.
Page 5

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
Sunday Club
A small, dedlcated group of DBS-checked congre8ation member5 runs a Sunclay Club that Is held sn the crypt during the
11am Eucharlst on Sundays durin8 term tlme. This team creates a safe, nurturing and fun space for our younger members.
The children learn about our faith through a mlx of activlties, craft5, games and prayer prlmarily centred around the Blble
readin85 of the mornin8's service. Occasionally, the focus will be on the history of st Bride'5 and the surroundlng area. The
volunteers bring thelr individual skills and abllltles to the role and endeavour to provlde a stlmulatln& enga8ln8 and varlèd
learnln8 experlence. The Sunday Club team welcomes new volunteers and new Ideas.
Safe8uardln8
The PCC has appolnted Indlvlduals to the requlslte roles and continues to abide by Its Safeguardln8 Pollcy. In thls respect,
the PCC Is fully Compliant with Dlocesan requbrements.
Fundra151ng
A further interlm payment of £120,000 of the £920.OW le8acy notlfled in 2024 was eventually recelved In December 2025.
wlth a final c£lO,OCM) due ￿n early 2026. The PCC had desl8nated £750,000 of thls legacy towards the prolect of Stonework
and roof repalrs. Another legacy of £148,OCXJ was re¢elved In March 2025, and Trustees a8reed that thls would be used
prlmarlly to fund the purchase of a new plano and to contSnue the re-development of the crypt.
In 2025, 34% of the church's unrestrlcted expendlture of £843,849 was ralsed through servbces, events and actlvltles12024'.
28%), 22% through grants from St 8rlde's Charlty and external trusts12024.' 28%), 36% through personal glvln8 Ilncludln8
leBaclesl12024.. 36%), and 8% In corporate donation$12024.' 9%).
The malorlty of personal givlng 5s usually recelved through collectlons Ica5h and contactlessl at seTvlces and regular
rnonthly or quarterly contributlons. In addltlon, sundry donatlons can be made on slte, or onllne vla Ju5tGlvln& by those
who attend recltals or slmply vlslt the church and crypts. Gift Aid is ieclalmed on as many ellglble donatbons a5 posslble.
We do not use thlrd party suppllers to asslst U5 Wlth our fundralsin8. The charlty has not voluntarily subscribed to anv
fundraising standards or schemes for fundra15ing regulatlon. There have been no complaints to the charlty regardlng
fundraSsinB. The charlty is mlndful of the need to protect vulnerable people and other members of the publlc from anv
unreasonable intruslon on thelr prlvacy, such as belnB unreasonably perslstent or placln8 undue pressure on a peison to
Ive money or other propertv.
FINANCIAL REVIEW
Most Income stream5 had returned to pre-COVID levels, but some had proved dlfflcult, If not lrnposslble. to restore. In
addltion, utillty, employment and othèr costs continued to rlse substantlèlly. Initlatlves Introduced after the flnance group's
report in 2024 had slgnincantly reduced the church's Structural deficlt. but pre55ure5 remained.
The PCC reported net income for the year of £41,09812024.' £801,7201.
Re5er¥es Poll
The PCC'S resèrves policy 15 'to hold at least IO% of the previous year's unrestrlcted income at the end of the year, wilh
reserves falllng no lower than 5% at any point durin8 the year, Free reserves as at 31st December 2025 are taken to be the
undesignated unrestricted funds of £72,44512024.. £72,508) equatlng to Il% of the prevlous year'5 unrèstrlcted income.
Page 6

THE PAROCHIAL CHURCH COUNCIL OF ST BRIOE
ANNUAL REPORT
FOR THE YEAR ENDED 310ECEMBER 2025
Rlsk Assessment
The Trustees have identifled the malor risks in five are35 to whlch the PCC is exposed and have Implemented the followlng
systems and controls In order to miti8ate those risks..
11 Reputational- a Dl81ts1 Communlcatlons manaBer controls our dlBltal and social media content and monltor5 publiclty-
111 Flre- maintenance agreements are In place for our fire, heatin8 and Ilghtin8 Systems,.
1111 Finandal- St Bride's Charity exists specifically to support the work of church and can be called upon In exceptional
circumstances,.
Iv) Operatlonal- 5ervlce and MaIntenan￿ contracts arè in plate for OUT IT 5YStems, and staff have remote access to the
church's network. Regular staff appralsals and meetlnBS occur,.
vl Statutory-the Head of Flnance is responsible for Identlfylng and complyln& on the PCC'S behalf, wlth any statutory and
governance requlrements.
OBJEcfiv£s FOR 2026 AND FUTURE PiAN5
Complete the stonework and roof pTolect.'
.Set up fabrlc sub-committee to Set out prlorities for the next 3-S years,.
Consolldate and develop our Ilnks wbth lournallsm and the medla,.
ocontlnue to focus on fundralsing actlvlties to Increase planned gfvlng and donatlons:
Continue to ralse our proflle through our presence on all forms of new medla;
pDellver plans to further re-develop the crypt space,. and
Work towards the creatlon of a new organ mentor5hlp scheme
GOING CONCERPI
The Trustees have evaluated the ¢lrcurn5tances In whlch the PCC operates. The PCC Is, in exceptlonol circumstance5 such a5
those that eventuated between 2020 and 2023, able to request further support from St Brlde's Charlty. In additlon to the
nnual grant of £150,000. St Brlde's Charlty has a5se15 totallin8 over £3.5 mllllon and exlsts speclftcally to 5UPPOrt the work
of St Bride's Church. The Trustees have therefore concluded that thEre are no materlal uncert31ntles that cast doubt on the
charlty's ablllty io contlnue as a 80Sn8 concern.
RELATED PARTIES & CONNECTED ORGMISATIONS
The Rector and Churchwardens are the ex-offlclo Trustees of St Brlde's Charlty and St Brlde Organ Fund. These Trusts
support the work of the PCC. DurSnB the year the PCC recelved 8rants totalllng £165,CQQ12024- £222,733) from these
Trusts, compri51n8 £150.CKJO in unre5tTlcted grants and £15,000 in secretarial fees on behalf of the PCC. Trustees of St
Brlde's Charlty agreed that, from 1st October 2023, they would grant to the pcc ihe sum of not les5 than £150,000 per
annum on a monthly basls.
Page 7

THE PAROCHIAL CHURCH COUNCILOF ST BRIDE
ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
TRUSTEES. RESPON51BIUTIES IN REIATIONTO THE FINANCIAL STATEMEPUS
The Trustees are responslble for preparing the Trustees, Report and the financlal statements In attordancè with
appllcable law and regulations.
Charlty law require5 the Trustees to prepare flnanclal statements for each ftnanclal year In attordance with
United Kln8dom Generally Accepted Accounting Prattice Iunited Kingdom Accountlng Standards and appllcable
lawl.
Under charlty law the Trustees must not approve the finandal statements unless they are 5atlsfled that they Blve
a true and fair vlew of the stste of affairs of the charity and of its net IncomlnyJout8oln8 resources for that
perlod. In preparln8 these financial statements. the Trustees are requlred to..
* select sultable accotsntlnB pollcSes and then apply them con$15tently:
4 observe the methods and prlnclple5 In the Charltles SORP,.
o make judgments and e5tlrnates that are reasonable and prudent.
state whether appllcable accountlng standards have been followed, Subject to any materlal departures
d15closÈd and explalned In the flnancbal stalements,.
prepare the flnanclal statements on the goln8 concern basls unless It Is Inapproprlate to presume that the
charlty wlll continue to operate.
The frustees are re5pon51ble for keeplnB proper accounting records that are 5ufficlent to show and expl?In the
charlty's transactlons and dlsc105e wlth reasonable accuracy at any tlme the flnanclal p051tlon of the charity and
enable thern to ensure that the financial Statements comply wlth the Charltles Att 2011. They are a150
responsible for safe8uardin8 the assets of the charlty and hence for takln8 reasonable Steps fof the preventlon
and detectlon of fraud and other IrreBularltles.
Thls report wa5 approved by the PCC and $18ned on Sts behalf.
On behalf of the PCC on .................
The
non Dr Allson Joyce
Page 8

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
Ind￿endent Auditorfs Report to the Trustees ofThe Parochial Church Counul ol St Bride
We have audlted the flnancial statements of The Parochlal Church Coundl of St Bride Ithe'charlty'l for the year ended
31 December 2025, whlch comprlse the Statement of Flnancial Activities, Balance Sheet, Statement of Cash Flows, and
Notes to the Flnancial Statements, including a summary of signlficant accountlng policies. The financial reportlng
framework that has been applied Sn their preparatlon 55 United Kingdom Accounting Standards, Comprising Charitie5
SORP- FRS 102'The Financial Reportlng Starhdard appllcable in the UK and Republic of Ireland, and applicable law
Iunlted Kln8dom Generalty AC￿pted Accounting Practice).
In our opinlon the flnancial statements..
glve a true and falr vlew of the state of the charity's affabrs as at 31 December 2025 and of its inctsmlng
resource5 and applicatlon of resources, Sncluding lis Income and expenditure, f¢r the year then ended,.
have been Properly prepared In accordance with United Klngdom Generally Accepted Accountln8 Pra¢tlce,' ènd
have been prepared in accordance wlth Ihe requlrements of the Charltles Art 2011.
Baslslor oplnlon
We conducted our audlt In accordance wlth Internatlonal Standards on AudltlnB IUKI IISAS IUKII and appllcable
law. Our responsibllltles under those standards are further described In the audllor responslbilltles for the audlt of
the flnanclal statements 5ectlon of our report. We are Independent of the Charlty In accordance with the ethlcal
requlremenls that are relevant to our audlt of the flnanclal statements in the UK, includlng the FRC'S Ethlcal
Standard, and we have fulfllled our other ethical responslbllitle5 In accordance wlth these requlrements. We
belleve that the audlt evldence we have obtalned Is sufflclent and approprlate to provlde a basls for our oplnS0n.
Concluslons r•htlni to g0Sn8 conc•m
In audltln8 the flnanclal Statements, we have ￿ncluded that the dlrectors use of the golng Concern basls of accountln8
In the preparatlon of the flnanclal statements Is approprlate.
Based OD the work we have performed, we have not Identlfied any materlal uncertalnties relatln8 to events or
condltlons that, Indlvldually or collectlvely, may cast s18nlficant doubt on the charlty's abbllty to contlnue as a 8olng
concern for a perlod of at least twelve month5 from when the ori8lnal financial statements were authorlsed for issue.
Our responslbllltles and the responslbllltles of the dlrertors wlth respect t¢ g0Sng concern are descrlbed In the
relevant sertlons of thls report.
oihqr Inforniatlon
The trustees are responsible for the other Information. The other Informatlon comprlses the Snformatlon included in
the annual report, other than the financlal st3ternentS at)d oui audltor's report thereon. Our oplnion on the financial
statements does not cover the other Snformailon and, ex￿pt to the extent otherwlse explScltly stated In our report, we
do not express any form of asSura￿e conclusion thereon.
In connedon with our audit of the finandal statements, our responsibility Is to read the other Informatlon and, in
dolng so, conslder whether the other inforrnation is materially inconslstent with the flnancial statements or our
knowledge obtalned in the audlt or otherwbse appears to be materially rnisstated. If we identlfy such material
inconsi5tencie5 or apparent material misstatements, we are required to determlne whether there Ss a materlal
mlsstatement in the finandal statements of a material missiatement of the other information. If, based on the work we
have perform￿. we conclude that theiels a materlal misstatement of thls other information, we are required to report
thatfact.
We have nothln8 to report in thls re8ard.
Pog8 9

ThE PAROCHIAi CHURCH COUNCIL OF ST BRIDE
Independent Auditoes Report to thé Trustees ofThe Parochlal Churth Councll of St Brlde
Malter5 on whlch we are required to report by eM¢eptlon
In the118ht of our knowledBe and understandlng of thè charity and its envlronment obtalned in the tourse of the audlt,
we have not identifled material misstatements In the Trustees. Report.
We have nothing to report in respect of the followSng rnatters where the Charities Act 2011 requlre5 US to report to you
If, in our opinion:
adequate accountlng records have not been kept. or returns adequate for our audit have not been recelved from
branches not visited by us,. or
the flnanclal staternent5 are not In agreement wlth the accountlng records and returns,. or
certaln disclosures of dlrectors remuneratlon speclfied by law are not made; or
we have not recelved all the Informatlon and explanatlons we requlre for our audlt.
R•sponslbSlltles oltruslees
A5 explalned more fully In the Statement of trustee5 (set out on page 71, the trustees are responslble for the
preparatlon of the flnanclal statements an(i for belng 5atisfled that they 8ive a true and falr vlew, and for such Intwnal
control as the trustee5 determlne 15 necessary to enable the preparatlon of finan¢lal statement5 that are free from
materlal mlsstatement, whether due to fraud or error.
In preparlng the flnandal statements, the trustee5 are responslble for asses51ng the charlty's ablllty to contlnlte as a
going eoncern, d15closln& as appllcable, matters related to golng concern and usin8 the golnB concern basls of
accounting unless the trustees elther Intend to liquldate the charlty or to cease operatlon5, or have no reallstlc
alternatlve but to do so.
Audltor re$ponslbllltles for the audlt of the flnanclal statement5
Our oblectlve5 are to obtaln reasonable assurance about whether the finandal statements as a whole are free fiom
material mlsstatement, whether due to fraud or error, and to Issue an audltor's report that Includes our oplnlon.
Reasonable assurance Is a hlgh level of assurance, but Is not a guarantee that an audlt conducted In accordance wlth
ISA5 IUKI wlll always detect a materlal mi55tatement when It exlsts. M155tatements can arise flom fraud or error and
are considere(J materlal If, Indlvldually or In the a88re8ate, they could reasonably be expected to Influence the
economlc declsion5 of users taken on the basls of these flnanclal statements.
The extent to whlch our procedures are capable of detectlng Irre8ularltles, Includln8 fraud is detalled below..
Audlt procedures undertaken In response to the potentlal r15ks relatlng to Irregularltles (which include fraud and non-
compliance wlth laws and re8vlatlon51 comprlsed of.. enqulrles of manangement and those charBed wlth governance as
to whether the entlty complies with such laws and regulations,. enquirles wlth the same concernin8 any athual or
potential litigation or clalms; Inspectlon of relevant legal correspondence; revlew of board minutes,. testlng the
approprlatèness of entries in the nomlnal ledger, Including journal entries,. revlewing transactlons around the end of
the reportinB period,. and the perforfflan￿ of analytlcal procedures to Identify unexpected movements in account
balances which may be indicative of fraud.
Pagg 10

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
Independent Audltorfs Report to the Trurt•e5 of The Parochlal Church Councll of St Brld•
No Instances of material non-compllance were Identified. However, the likelihood of deterting Irregularlties
including fraud, is Ilmlted by the inherent difficulty in detecting Srregularitles, the effectiveness of the entity's
controls, and the nature. timing and extent of the audlt procedure5 performed. Irre8ularlties that result from fraud
mi8ht be inherently more dlfficult to detect than Irre8ulairlte5 that result from error. As explained above, there is
an unavoldable rlsk that material mlsstatements may not be detected. even though the audit has bèen planned
and performed In accordan￿ with ISAS IUKI.
A further descrlptlon of our responsibllltles is avallable on thè Flnanclal RepoTting Council'5 webslte at:
www.fTc.org.uk/audltorsTe5ponslbllitles. Thi5 de5¢rlption forms part of our auditor's report.
Use of our report
Thls reportls made wlely to the charlty's trustees, as a body, In ac¢ordance wlth Part 4 of the CharStle5 IA¢counts and
Reports) Regulatlon 2008. Our audit work has been undertaken so that we ml8ht state to the chaTltVs trustee5 those
matters we are requlred to state to them an audltor's report and for no other purpose. To the fullest extent
permltted by law, we do not accept or assume responslblllty to anyone other than the charlty and Its trustes as a body,
for our audlt work, for thls report, or for the oplnlons we have formed.
mothy Sulllvan FCA Isenlor StstutOTV Auditor)
For and on behalf of Fleld Sullfvan Llmlted, Statutory Auditor
Chartered Accountants
9 Hare & Billet Road
London, SE3 ORB
Date: 2¥
Field Sullivan Llmlted Reglstered In England no. 8024052
Page11

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
STATEMENT OF FINANCIAL ACTivrriES
FOR THE YEAR ENDED 31 DECEMBER 2025
Totrl
Fund$
2025
Totsl
Funds
2024
{Restatedl
Restrlcted
Funds
Deslgnated
Funds
Unrtstrfcted
Fund5
Note
Income
Donatlons and legacles
Charltable actlvttles
366,274
585
573,732
295,263
940,006
295,848
1,384,875
227,802
Totsl Inwne
366,859
868,994
1,235,854
1,612,676
Expendlture
Charltable artlvities
350,906
843,849
1,194,755
810,956
Total empendlture
350,906
843,849
1,194,755
810,956
Net In¢omelle¥p•ndltur•l
15,953
25,146
41,098
801.720
Transfers between funds
25,209
125,2091
N•t movement In fund$
15,953
25,209
{631
41.098
801,720
Reconelllatlon of funds
Total fund5 brought forward
Totsl fvnds carrled fonvard
810,955
836,164
72,508
72,445
883.46a
924,561
81,743
883.463
14
15,953
Page 12

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
BALANCE SHEFr
AS AT 31 DECEMBER 2025
Note
20Z5
2024
{R•5tatedl
Flxed assets
Tangible assets
io
86,164
86,164
60,955
60.955
Current asmts
Debtors
Cash at bank and In hand
Total current assets
li
27,293
845,OS4
872,347
153,025
746,635
899.660
Cr•dltors: amounts falllng due
wlthln on• year
12
133,9501
177,1521
Net wrr•nt ass•t•
838,397
822,508
Trf•l assets l•ss curr•nt Ilablllt105
924,561
883,463
Net assets
13
924,561
883,463
The funds of th• tharlty:
Restrlcled funds
Unrestrfcted funds:
Deslgnated
General fund
Total unrestflcted funds
15.953
836,164
72,445
810,955
72,508
908,609
883,463
Total charfty funds
14
924,561
883,463
These financlal statements were approved by the PCC and slgned on its behalf by:
Allson Joyce
Date:
P8go 13

ThE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
CASHFLOW STATEMENT
FOR THE YEAR ENDED 31 DECEMBER 2025
2025
2024
Reconci15atton of net Incom• to net cashflow from operatSng artl¥ltles
Net Income/ lexpendlturel for the reportln8 period
Iincreaselldecfease in debtors
Increasellde¢rea5el Sn credltors
Deprètlaton
Flxed asset addltlon
41,098
125,732
143,2021
13,990
139,1991
801,720
1125,7321
62,154
10,070
Net cashflow provlded by operatlng attlvltles
98,419
748,213
Cashflow ststement
Net cashflow provlded by operatlng actlvltle5
98,419
748,213
In¢reaselldecreas• lo) ushl
98.419
748,213
Analysls of aslfflmy and ¢￿h equl¥al•nts
2024
C•$hfigW
2025
Cash In the bank and Sn hand
746,635
98.419
845,054
Pag8 14

THÉ PAROCHIAL CHURCH COUNCIL OF sr BRIDE
NOTES TO THE FINANCIALSTATEMENTS
AS AT 31 DECEMBER 2025
l Artountin8 pollcle5
The principal accountin8 policies are summar15ed below. The accountln8 policie5 have been applied
consistently throughout the year and in the precedin8 year.
111 Basls of preparatlon
The accounts (financial statements) have been prepared in accordance with the Charities SORP IFRS1021
applicable to charltites preparln8 their accounts In accordance with FR5102 the Flnanclal Reporting Standard
applicable In the UK and Republic of Ireland and the Charlties Act 2011 and UK Generally A¢￿pted Practlce
as it applles from l January 2015.
The PCC constitutes a publlc beneflt entlty as deflned by FRS 102.
The flnanclal statements are prepared in 5terlln& whSch Is the functlonal currency of the church.
Monetary amounts In thls flnanclal statements are rounded to the nearest pound.
1111 Prlor year adjustment
Durlng the year to 31 December 2025, It was discovered that a penslon surplus had been recorded a5
creditor rather than a debtor. Consequently, debtors had been underststed and credltors had been
overstated In the 2024 financlal statements.
The error has been Corrected by restatln8 the compaiatlve fl8ures wlth the effect on the flnanclal ststements
Is as follows..
lal Eff•rt on the Flnand•l stalem•nts
2024 la5
reportedl
141,106
191,1511
220,742
1857,5461
Adlustm•nt
2024 las
restaiedl
11,919
153,025
13,999
177,1521
125,9181
194,824
125,9181 1883,4641
Debtors
Creditor5
Staff costs
Reserves
11111 Golns concern
The Trustees have evaluated the clrcumstances In whlch the PCC operates. The PCC Is able, Sn exceptlonal
circumstsnces such as those that eventuated In 2020-2023, to request further support from Sl Brlde,
Charlty, In addltlon to the annual grant of £150,000. St Brlde's Charlty ho5 35sets totallin8 over £3.5m and
exsSsts speclflcalty to support the work of St Brlde's Church.
The Trustee5 have therefore concluded that there are no material uncertalntles that cast doubt on the
charity's ablllty to continue as a going concern.
Ilvl Funds
UnrestrScted fund5 represent the funds of the PCC that are not subject to any re5trlctlons regardlng thelr use
and are avaliable for application on the general purposes of the PCC.
Re5trirted funds are those where donors have placed restrictlons on the use of the funds.
Desi8nated funds represent
al fixed assets In the church that are beinB depre¢lated over tlme: and
bl a proportlon of a legacy to cOntrib￿e towards the costs of the Stonework and Roof repali project.
The accounts Include all tran5rt1ons, assets and liabTlities for whlch the PCC15 responsible In law.
Page 15

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
NOTES TO THE FINANCIAL STATEMENTS
ASAT31 DECEMBER 2025
Iv) Income
Collectlon5 are recognised when received by or on behalf of the PCC. Planned givin8 receivable under Gift Aid
is recognised only when recelved. Incorne tax recoverable on Glft Ald donatlons 55 rrfognised when the
income Is recognlsed.
Grants to the PCC are accounted for as soon as the amount due Is quantlflable and Its ultlmate recelpt by the
PCC15 reasonable probable.
Legacles are recogn15ed on the earlier of recelpt of paymenL flnallsatlon of estate accounts or on notlflcatlon
by the excecutors that payment wlll be made.
Ivll Expendlture
Charltable actlvltle5 Include the direct costs of the Church and Its mSsslon as well as Costs Incurred in support
of these activtles. Termlnallon costs are recognlsed at the polnt the charSty deem5 there15 a present
obll8atlon re5ultlnB In a probable economlc transfer whlch can be rellably measured. Development costs
connected to the webslte and any other project are wrltten off as Incurred.
Ivlll Flxed ￿Sets
ecra
ro
andm
rnl hln
Consecrated and beneflced property of an¥ klnd Is excluded from the accounts by s.9612113l of the Charlt5es
Act 2011. Moveable church furn15hlngs held by the Rector and Churchwarden5 on 5pecSal trust for the PCC,
and whlch requlre a faculty for dlsposal, are accounted as Inallenable property unless con5ecrate(J. The
Church furnlture, glfted by the St Brlde's Appeal In 2009, Is being depreclated over the perlod to 2035.
in
Ice
Equlprnent used wlthln the church prernlses Is depredaled at IO% on a stralght-llne basls. Where prudent,
Indldvldual item5 of equlpment are wrltten off when the asset is acqulred. Fixed assets costln8 more than
£5,000 are capltallsed and Included at cost, includlng any Incldental expenses of acqulsltion.
Ivllll Operatln8 leases
Rentals appllcable to operating leases where all the benefSts and rlsk5 of ownership remaln wlth Ihe lessor
are char8ed a8aln5t the surplus for the year on a stalght-llne basls over the perlod of the lease.
Ilxl Debtor5
Short term debtors are measurèd at transaction prlce, less any impairment. Loans receivable are measured
initally at fair value, net of transactlon costs, and are measured subsequently at amortlse(i e05t uslng the
effertive Interest method, less any impalrment.
xl Credltors
Short term creditors are measured at the transaction prlce. Other flnancial liabllities, includin8 bank loans,
are measured inltally at fair value, net of transactlon ¢05ts, and are measured subsequently at arnortised c05t
Usin8 the effectlve Interest method.
Page 18

THE PAROCHIAL CHURCH COUNCIL OF 5T BRIDE
NOTES TO THE FINANCIAi STATEMEPITS
ASAT31 DECEMBER 2025
Ixll Crltleal a¢countlni judgements and key sources of estlmatlon urKertalnty
Sources of estlmation uncertainty thot have a slgniflcant effect on the amounts recI￿lSed in the financlal
statements are descrlbed in the accountlng pollcles. No significant accountlng judgements and uncertaintles
have been Identlfied for the current year.
l Donatlons and le8a¢l•s
Totsl
fund5
2025
Total
lunds
2024
Restrlcted Unrestrlct•d
fund5
fund5
Collectlons & Glft Aid donations
Income tax recoverable
Other donatlons Inote 41
Legades
Grants recelved (note 31
Church rate5
Glfts In klnd
9,117
130,675
23,096
69,339
148,OC
181,601
21,020
139,792
23,096
69,339
148,000
538,758
21,020
118,803
21.515
70,027
920,000
229,980
21,549
3,000
357,157
Total
366,274
573,732
940,frJ6
1,384,875
3 Grants T•￿1¥•d
Total
Tot•1
RestrSct•d Unr•strfrted
fund$
lunds
fvnds
2025
funds
2024
Se¢retarlal support to Trust5
St Bride's Charity
National Lottery Heritage Fund
City Deanery Burial Ground Fund
st Brlde Eleemosynary Fund
Tom Olsen Trust
Clty Churches Grants Committee
Djuna Barnes Fund
15,000
150,0
15,000
Iso,000
76,151
1,000
11,533
15,000
204,475
76,151
I,C#)O
11,533
2,500
3.258
281,006
281,OJ6
4,068
4,747
Total
357,157
181.601
538,758
229,980
Page 17

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
NOTES TO THE FINANCIAL STATEMENTS
AS AT 31 OECEMBER 2025
4 Otherdonatlons rec•Fv•d
Total
funds
2025
Total
furx15
2024
Restrlrted Unrestrlrted
lunds
fvnds
Harrlet's Trust
Worshlpful Company of Marketors
New5 UK
DMG Medla
Unilever
Kalzo
Associatlon of Mlrror Pensloner5
Guardlan News & Medla
Telegraph Medla GfOUP
Flnancial Times
Reach
St3tSoners Foundatlon
Golden Bottle Trust
Wren Insurance A5soclallon
EC4 Muslc
Independent Dlgltal News & Medla
Evenlng Standard
Hlstory In the Maklng
Spectacle Makers Soclety
Prlvate/anonymou5
25,(
2,650
2.750
2,750
2,TrJO
25.CQ)
2,650
2,750
2,750
2.CX)O
5,621
2.750
2,750
2,C¥)O
1,750
I,soo
1,250
1,250
1,250
1,250
1,500
1,250
1.250
1,250
1,250
1.000
1,250
1,250
1,250
1,250
1.000
1.000
1.000
1,400
500
1,000
500
500
200
100
23,489
200
loo
23,489
21,656
Total
69,33
70,
5 Income from dmrltable actlvltles
Total
lunds
2025
Total
funds
2024
R•strlrted Unrestrfct•d
funds
fvnds
Cholr fees recebved
AÈ-char8e from 5ervlces/events
Shop, boxes and recltals
Parochial Fee5
rrcket Recelpts etc. from events
Tours & Hire
Flat Rent
Bank Interest
Refreshments
113.472
89,393
34,682
5.244
6,858
4,840
26,400
12,520
1,853
113,472
89,393
34.682
5,244
6.8S8
4,840
26,400
12,520
2,438
92,853
73.484
28,277
5,463
1,243
21,912
2,529
585
Total
585
295,263
295,848
227,802
Page 18

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
NOTES TO THE FINANCIAL STATEMENTS
AS AT 31 DECEMBER 2025
6 Chjrftable artlvltles
Total
funds
2025
T<Jtsl
funds
2024
las re5tatedl
RestrSct•d Unrestrlct
nds
fund5
Donatlon5 payable (note 71
Clergy expenses
Malntenance
Stonework & Roof Prolert
Crypt Refurbishment
Audlt
Professlonal
Common Fund
Admln15tratlon & Publldty
Church Runnlng Costs
Servlce Runnlng Costs
HR & Tralnin8
Webslte
Salarle5 Inote 81
Cholr & Mus5¢ Costs
Shop & books
Depreclatlon
sundry
9,702
50
2,913
12,766
9,752
2,913
12,766
341,204
16,320
8.100
8.350
2,770
46,450
54,475
3,fy)0
10,040
341,204
16.320
8,100
90,000
127,426
74,946
12,845
3,928
11,122
193,109
268,635
6,301
13,990
1,397
90,000
127,426
74,946
12,845
3.928
11,122
193,109
268,635
6,301
13,990
1,397
85,500
108,616
63,602
10.295
5.087
9,925
129,039
2SI,165
5,700
10,070
1,472
Total
350,906
843,849
1,194,755
810,956
Pag8 19

ThE PAROCHIALCHURCH COUNCILOFST BRIDE
NOTES TO THE FINANCIAL sfATEMENTS
AS AT 31 DECEMBER 2025
7 Charltsble donatlons p•yable
Total
funds
2025
Total
funds
2024
Restrlcted Unr•strl¢ted
funds
fvnds
Alzheimer'5 Societv
BGAJ Charltable Trust
Brabn & Spine Foundatlon
Brldewell Foundatlon
BrStlsh Heart Foundatlon
Brlt15h Red Cross
Cancer Research UK
Charleston Trust
Committee to Protect Journallsts
Crlsls UK
Friends of Ashlana UK
Glve a 8ook
Gulld of St Brlde
Hackney Foodbank
Humanlty & Incluslon
Integrated Educatlon Fund
Journallsts, Charlty
London Ambulance Charity
Marle Colvin Center
Marle Curle
Medeclns sans Frontleres
Myanmar Journallsts, Fund
Natlonal Centre for Reptlle Welfare
Natlonal Llteracy Trust
NSPCC
Qulet Garden Trust
Reporters wlthout Borders
Room to Read UK
Ruth Straus5 Foundation
Spe¢tacle Maker5 Charity
Telegraph Chr15tmas Appeal
The Bad Law Prolect
The Donkey Sanctuary
The Medla Society
The Passage
mes Christmas Appeal
UCLH Cancer Charlty
Unlted 24
Wildfish
Wlldfowl & Wetlands Trust
Young Womèn'5 Trust
269
183
269
183
142
293
iio
220
156
80
227
227
179
213
179
213
286
337
309
492
309
492
195
1,059
252
114
421
2,368
564
474
421
2,368
564
474
1,783
165
142
469
469
97
298
85
298
85
351
351
309
397
304
1,053
397
304
I,OS3
227
809
122
189
124
585
429
585
429
377
185
32
32
250
231
Total
9,702
50
9,752
8,350
Pago 20

TrIE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
NOTESTO THE FINANCIAL STATEMENTS
AS AT 31 DECEMBER 2025
8 Staff costs and rnlmbers
General
Cholr
2025
2024
Staff costs were as follows:
las restated)
184.715
14,951
Salarles and wages
SocSal Securlty cost5
Employer's contrlbutlon to Ilefined contrlbution
pen51on Khemes
Pension surplus
169,283
13,387
57,449
4,193
226.732
17,580
10.439
2,965
13,404
21,076
125,918
Tot•1
193,109
64,607
257,716
194,824
One employee recelved emoluments of more than £60,00012024.' nlll
The total employment beneflts includlng employers penslon contrlbutlons of the key management personnel
were £73,88612024'. 71,1441.
The average number of employees durln8 the year was as follow5:
2025
2024
No.
No.
Employees
Total
9 PCC m•m￿r3, r•mun•r•tlon and expen
Durln8 the year, trustees were relmbursed for expenses totalllng £2,91212024: £2.7701
No trustees were remunerated durln8 the year12024.' nlll.
10 T•nglble fixed ass•ts
offl¢e
Total
Cost
At l January 2025
Addltions
Disposa15
At 31 De￿mber 2025
232,116
39,199
39.199
271,31S
310,514
271,315
Accumulateddepreciatlon
At l January 2025
Charge for the year
Disposals
At 31 December 2025
171,161
13,990
13,990
185,151
199,141
185,151
Net book vglue
At 31 December 2025
At 31 December 2024
86.164
60.955
86.164
60,955
Page 21

THE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
NOTES TO THE FINANCIAL STATEMENTS
AS AT 31 DECEMBER 2025
11 Debtors
2025
2024
{as restated)
Prepayments & accrued Income
Other debtor5
1,9)1
25,392
1,901
151,124
Total
27,293
153,025
12 Credltor5: amount5 fallln8 due wlthln one year
2025
2024
l•s restatèd}
PAYE & Nat￿Onal Insurance
Deferred income
Other Credltors
8,487
1,250
24,213
7,330
750
69,072
Total
33,950
77,152
13 Analysls of nel assets b•twe•n funds
Current year
General
DesS8natqd
un
R•strl¢ted
Total
2025
Tan8lble nxed a55ets
Current assets
Current Ilabllltles
86,164
7SO,WJ
86,164
872,347
133,9501
106,395
133,9501
15,953
Net asset5 at 31 De￿rnber 2025
72,445
836,164
15.953
924.561
Comparntlv¢- pr•vlous y•ar
General
un
Deslgnated
Restrf¢tqd
Total
2024
{•$ restatedl
Tanglble fixed assets
Current assets
Current Ilabllitles
60.955
7SO,000
60.955
899,660
177,1521
149,660
177,1521
Net asset5 at 31 December 2024
72,508
810,955
883,463
Page 22

ThE PAROCHIAL CHURCH COUNCIL OF ST BRIDE
NOTESTO THE FINANCIAL STATEMENTS
AS AT 31 DECEMBER 2025
14 Movements In funds
Curr•nt year
At
Transfers 31 December
ween fu
2025
At l January In¢omlNA
2025
re50U
Out801Tr8
re
Restnctedfvnds..
Special 5ervlces
Stonework and roof repalr
projeci
9,702
19.7021
357,157
1341.2t141
15,953
Total re5trlcted funds
366,859
1350,9061
15,953
Unrertrktedfvnds..
Deslqnotedfvnd
stonework and roof repalr
project
Flxed asset fund
750,000
60,955
750,000
86,164
25,209
Generolfund
72,508
868,994
1843,8491
125,2091
72,44S
Total unresirlcled funds
883,463
868,994
1843,8491
908,609
Total fvndi
883,463
1,235,853
11,194,755)
924,561
comparat1￿. grevlous y•ar, as restat•d
At
Transfer$ 31 December
ween
At l Januiry
Incomlng
$0
Out8oln8
Restrlrtedfvnds..
Speclal servlces
82,833
182,8331
Total restricted fvnds
82,833
182,8331
Unrns￿rtedfvndS."
Deslgnotedfund
stonework and roof repalr
prolert
Fixed a55et fund
750,000
110.0701
750.000
60,955
71,025
Genemlfvnd
10,718
1,529,843
1728,1231 1739,9301
72.508
Total unrestricled funds
81.743
1,529,843
1728,1231
883,463
Total fund5
81.743
1,612.676
1810,9561
883,463
Page 23

THE PAROCHIAL CHURCH COUNCIL OF ST 8RIDE
NOTE5 TO THE FINANCIAL STATEMENTS
AS AT 31 DECEMBER 2025
Purpose5 of restrlrted funds:
Special servltes
Collettions are taken at speclal servlces, a Proportion of which Is then
distributed to external charlties nomlnated by the famlly or client.
Stonework and roof repalr project Grants recelved dur1￿ the year speclflcally to 5UPPOrt thls prolert.
Transler between funds..
Fixed asset fund
Represents the movement In depreclatlng assets throuhgout the year.
PuryK>ses of d•slyhated funds:
Flxed asset fund
The Trustees have deslgnated a fixed asset fund In order to represent
fvnds for depreclatln8 assets In the church.
Stonework and roof repalr prolert In 2024, the Trustees deslgnated £750,oixI frorn the Estate of Peter
Lon8land towards the Stonework and Roof repalr prolect.
IS Related party transa¢tlons
The Rector and Churchwarden5 are the ex-officlo Trustee5 of St Brlde's Charlty and St Brlde Organ Fund.
These Trusts support the work of the PCC,
Durlng the year, the PCC recelved grants totsllln8 £165,00012024: £222,733) from St Brlde's Chailtv.
Detalls on key mana8ement transactjons are found In note 6. Detslls of transactlons wlth Trustees are found
In note 7.
16 Operatln8 lease ¢ommltments
Mlnlmum totsl lease commltment under non-cancellable operatln8 leases..
2025
2024
No.
14,672
6,901
No.
14,672
21,572
Wlthln l year
After l year
Total
21,573
36.244
Page 24

THE PAROCHIAL CHURCH COUNCILOF ST BRIDE
STATEMENTOF FINANCIAL ACTIVITIES
FOR THe YEAR E140E0 31 DECEMBER 2024
(Restated)
Total
Funds
2024
Restricted
Funds
De5i8nated
Funds
Unrestrlcted
Fund5
Nots
Income and Endowments from..
Donatlons and le8acles
Charltable actlvitle5
82,581
252
1.302,294
227,550
1,384,875
227,802
Total Incomlng resources
82,833
I,S29,844
1,612,677
Expendlture on:
Charltable actlvltlès
82,833
728,123
810,956
Total resources expended
82,833
728,123
810.956
Net incomellexpendlturel
Transfers between lunds
801,721
1739,9301
801,721
739,930
Net mov4ment In fund$
739,930
61,791
801,721
R•¢on¢lllatlort of funds
Totsl funds brought forward
Totsl funds carrf•d lorwlrd
71,025
810,955
10,718
72,509
81.743
883,464
14
Pag6 25