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2021-12-31-accounts

PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

ALL SAINTS’ CHURCH SPRINGFIELD

“A friendly, welcoming church for everyone in the heart of the community”

1. Introduction

The Parochial Church Council of The Ecclesiastical Parish of Springfield, Diocese of Chelmsford, referred hereafter as All Saints’ Springfield is a corporate body established by the Church of England and registered with the Charity Commissioners, (Charity Registration Number: 1131427). The registered address is All Saints’ Church, Springfield, Springfield Green, Chelmsford, Essex, CM1 7HS. The address for correspondence is 4 Old School Field, Chelmsford, Essex, CM1 7HU

The Parochial Church Council (PCC) has the responsibility of co-operating with the Rector to promote, in the ecclesiastical parish of All Saints’ Springfield, the whole mission of the Church, pastoral, evangelistic, social and ecumenical. It also has maintenance responsibilities for the AllSaints’ Church Centre buildings, part of the Burial Ground in Trinity Road, a Freehold property at 60 Chichester Drive and the internal decoration of the Rectory.

2. Objectives

The PCC is committed to enabling as many people as possible to become part of the parish community at All Saints’ and to worship at All Saints’ church. The PCC maintains an overview of worship and makes suggestions on how work in God’s mission can involve the many groups that live within our parish. Our services and worship put faith into practice through prayer and scripture, music and sacrament.

When planning our activities for the year, the incumbent and the PCC have considered the Commission’s guidance on public benefit and the specific guidance on charities for the advancement of religion. We try to enable ordinary people to live out their faith through developing their knowledge and trust in Jesus; caring for other people; helping people who are in need; and actively serving the community.

We make provision for pastoral care to people living in the parish, those on the Church Electoral Roll outside the parish, and conduct mission work in the local community. In support of this we make extensive use of our church and church centre and maintain the buildings.

3. Parochial Parish Council

3.1. Membership

Members of the PCC are either ex officio (e.g., clergy, readers, churchwardens or synod members), representatives of the laity elected by the Annual Parochial Church Meeting (APCM) in accordance with the Church Representation Rules, or people co-opted by the PCC for special reasons.

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

During the year 2021 the following served as members of the PCC:

RECTOR and CHAIRMAN Revd Susan Iskander CURATE Revd Simon Pearce (from Nov 2018 to Feb 2021) LICENSED LAY MINISTER Mr Roger McFarland CHURCHWARDENS: Mrs Barbara Garside (Vice-Chair) Mrs Nicola Howard Mr Robin Stevens (until June 2022, and on Deanery DIOCESAN SYNOD MEMBER Synod) DEANERY SYNOD MEMBER Mr Ian Poston (also Treasurer) ELECTED MEMBERS: Mrs Jane Britter (until 2022) Mrs Sally Brown (until 2023) Mr Jack Spencer (until 2023) Mrs Nicola Morecroft (until 2023) Mr. Dave Gauld (until 2024) Mr. Nick Milbank (until 2024) Mrs Jan Penney (until 2024) Mr. Greg Potts (until 2024) CO-OPTED: Mrs Paula Hiett (PCC Secretary) Mrs. Carol Leverett ELECTED MEMBERS UNTIL MAY 2021: Mrs Paula Hiett Mrs Anne Walton Mr Roy Walton Mrs Carol Leverett

3.2 PCC Officers

PCC Officers, not being members of the PCC, included the following: Planned Giving Recorders: Mr Tim and Mrs Angela Pearce Architect: Ms. Philippa Reed of Barker Associates Electoral Roll Officer: Mr. Peter Downes

3.3 Independent Examiner

Pauline Montague has been appointed to conduct an independent examination of the accounts and accounting records.

3.4 Committees

The PCC operates through a number of committees that meet between full meetings of the PCC so that members of the congregation with particular interest or expertise might have an opportunity to contribute to a broadened discussion and decisions.

3.4.1 Standing Committee

This is the only committee required by law. It has power to transact business of the PCC between its meetings, subject to any directions given by the Council. The members of the Committee are the Rector, Churchwardens, PCC Secretary, Treasurer, and Chair of the Finance Committee.

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

3.4.2 Finance Committee

Oversees the general financial dimension of the work of All Saints' by monitoring income and expenditure, budgeting, and coordinating Christian Stewardship of money through planned giving. It met three times during the year.

3.4.3 Fabric Committee

Attends to matters relating to the stewardship of the church buildings and fabric, the churchyards, the Rectory and the house at 60 Chichester Drive, currently rented out. It met three times during the year.

3.4.4 Social Committee

4 Church Attendance

During 2021 the coronavirus pandemic continued to impact on our pattern of worship. In the early weeks of 2021 church services continued to be delivered remotely through weekly prerecorded on-line services and interactive services via ZOOM. From April onwards the church building was open for individual private prayer and attendance in church for services in line with Church of England guidance and as agreed by the PCC.

At the beginning of 2021, electoral roll membership was 185 (2020:187). The number of worshippers in attendance (in church or having viewed on-line) at Sunday services averaged out at 97 (2020:124) adults and 18 (2020:18) Children (under years 16) each week during the year. 6 adults (2020:25) and 0 (2020:18) children attended midweek services when they could be held. 43 adults and 2 children attended church in person on Easter Day, with 30 adults and 20 children attending the Sunday Special Easter Day service on ZOOM. It is also estimated that some 44 (2020:139) worshippers viewed the on-line service on Easter Day. 78 (2020:66) children under 16 and 78 (2020:72) adults visited the outdoor Crib on Christmas Eve, with 31 adults and 7 children attending a service in church on Christmas Day and 12 (2020:22) children and 20 (2020:46) adults joining the Christmas Special ZOOM service on Christmas Day. 11 (2020:3) infants and children and 0 (2020:0) adults were baptised in 2021. 4 (2020:1) couple were married, with other booked weddings being postponed. 4 (2020:1) funeral services were held in church. A further 18 (2020:18) funeral services were conducted at the crematorium on behalf of the parish of All Saints’ Springfield during the year.

5 Review of the year 2021

5.1 Proceedings of the PCC.

The full PCC met six times during the year, it numbered 17 members reducing to 16 members in March 2021. An average attendance of 14 members at meetings was achieved. During 2021 meetings were held on ZOOM.

The PCC and its committees met regularly to debate and agree actions concerning the worship and pastoral activities of the church.

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

During the year, the work of the PCC included: -

5.2 Church Activities during the year

5.2.1 Worship and Prayer

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

links with the rest of the congregation have developed during the year with more members of the ‘traditional’ church choosing to join the interactive Sunday Special ZOOM service.

5.2.2 Music and Mission

5.2.3 Pastoral Care

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

5.2.4 Mission and Evangelism

5.2.5 Work with Children

Work with Children at All Saints continued as allowed within COVID restrictions during 2021 with: -

5.2.6 Church and Church Centre

Subject to the prevailing COVID restrictions:

5.2.7 Church Relationships

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

5.2.8 Ecumenical Relationships

5.2.9 Parish Organisations

5.2.10 Role of Volunteers

5.3 Financial Highlights of 2021 ( in round figures )

5.3.1 Giving & Income.

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

5.3.2 What we spent.

5.3.3 Charitable giving

5.3.4 And this resulted in…

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PAROCHIAL CHURCH COUNCIL REPORT FOR THE YEAR 2021

5.3.5 ‘The Great Organ Fix’

5.3.6 Church Estate

6.0 Statutory Accounts

Approved on behalf of the Parochial Church Council

………………………………………………….. Rector and Chairman (Revd S Iskander)

………………………………………………….. Secretary (Paula Hiett)

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ALL SAINTS' CHURCH, SPRINGFIELD PCC

FINANCIAL STATEMENTS

31st December 2021

Registered Charity no. 1131427

Bankers Barclays Bank plc

40-41 High Street, Chelmsford CM1 1BE

Independent Pauline Montague FCCA (Ret'd) Examiner 208 Chignal Road Chelmsford CM1 4SS

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

CONTENTS

PCC Financial Responsibilities 1
Accounting Policies 2
Accounting Policies (continued) 3
Statement of Financial Activities 2021 4
Balance Sheet and Accountancy Report, 31st December 2021 5
Notes to Statement of Financial Activities 6
Notes to Statement of Financial Activities (continued) 7
Notes to Statement of Financial Activities (continued) 8
Notes to Balance Sheet 9
Notes to Balance Sheet (continued) 10
Notes to Balance Sheet (continued) 11
Independent Examiner's Report 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

PCC FINANCIAL RESPONSIBILITIES

The financial statements must be prepared in accordance with the Statement of Recommended Accounting Practice: Accounting and Reporting by Charities [SORP (FRS 102)], UK Accounting Standards and the Charities Act 2011. The requirements include the preparation of financial statements for each financial year consisting of a statement of Financial Activities (SOFA) for the financial year and a Balance Sheet at the financial year end together with explanatory notes. In preparing these financial statements the PCC must see that:-

suitable accounting policies are selected and agreed and are applied consistently,

any estimates included are reasonable and prudent.

The PCC are therefore responsible for keeping proper accounting records, which disclose with reasonable accuracy at any time the financial position of the PCC and to enable them to ensure that the financial statements will comply with the requirements of the guidance notes published by the Church of England.

During 2019 with the permission from the Charity Commissioners, the assets of the Church Estate (Charity number 227437) were transfered to the PCC. The Church Estate charity was closed in 2020. The PCC now holds this permanent endowment, and will continue to use the income from the transferred assets for the original purpose, which is for the use and repair of the church or the poor of the parish.

As competent trustees the PCC should safeguard any assets acquired and take any reasonable steps for the prevention and detection of fraud and other irregularities.

The effects of the coronavirus pandemic have continued to affect income for the PCC due to ongoing Government restrictions in the year. Although Planned Giving levels have largely been maintained, there has been very little income from the use of the church centre and no fundraising events were possible. Many people have continued to make donations in lieu of church collections or fundraising events, and this has greatly helped us to be able to pay 83% of our Parish Share. Some small savings in utility costs have again been achieved.

Charitable giving has again suffered this year as most of our usual donations are made through collections at services eg Remembrance Sunday and at Christmas. This year many of these services had restricted numbers, but the PCC did encourage others to make personal donations.

The PCC are required to prepare the financial statements, and to provide any independent examiners with every opportunity to take whatever steps - and undertake whatever examinations - they consider to be appropriate for the purpose of enabling them to give their examination report.

Financial information contained in the annual report of the PCC must be consistent with these financial statements.

The PCC consider that they have met their responsibilities as set out in this statement.

Page 1 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

ACCOUNTING POLICIES

Accounting convention

The financial statements are prepared on an accruals basis under the historical cost convention and in accordance with the applicable accounting standard, Statement of Recommended Accounting Practice (Charities SORP FRS102), UK Accounting Standards and the Charities Act 2011. The accounts do not include the financial activities of any church organisation not directly controlled by the Parochial Church Council. (PCC).

Income recognition

Income from giving, donations, grants, bequests etc., is taken into account on the basis of cash receipts. ������������������������������������������������������������������������������������������������������������ forward to the period when actually due.

No valuation is placed upon services given free of charge.

Income tax recoverable on gift aid donations is accounted for as claimed for the twelve months up to the thirty first of December in each year.

Investment gains and losses

These include any realised gains or losses on the sales of investments and unrealised gain or loss on revaluing investments held at the end of the year.

Liability recognition

Liabilities are recognised where it is more likely than not that an obligation exists to commit resources, and the amount can be reasonably measured.

Reserves

Transfer of assets from Church Estate including a Permanent Endowment

The transfer comprised 2807.35 units of Charities Official Investment Fund Income Shares This is made up of 2118.22 units in the permanent endowment and 689.13 units in the restricted fund. The shares are valued at mid market value at the year end.

Restricted funds

All monies receivable subject to a specific requirement in spending are credited into the restricted funds, which are individually denoted as specified. These may be either of a capital or income nature.

Unrestricted funds

All other monies are held for general purposes and classed as unrestricted funds, some of which may be designated for a specific purpose by the PCC. The PCC strives to pay the Parish Share in full if possible, but retains a sum in the region of one month's ordinary expenses including Parish Share in the General Fund to support timing differences in cash flow.

Within restricted and unrestricted funds there is a separate investment by the PCC with the CBF Church of England Deposit Fund. Interest received is apportioned on a quarterly balance basis to the individual funds.

Page 2 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

ACCOUNTING POLICIES (continued)

Assets

Freehold property is capitalised at cost and was originally purchased for the housing of a Curate. As such it is regarded as a long term investment, but has not been re-valued. Under prevailing property market conditions, it is not depreciated. All property is kept under full repair. The property has been let to tenants on a long term basis. The rent is periodically assessed for fairness by the local Rent Officer, and is reviewed annually by the PCC.

Furniture, fittings and equipment items purchased from the General Fund and costing in excess of £1,000, are capitalised and depreciated on a straight line basis over the next four years. Items costing less than £1,000 are written off to the general income and expenditure account in the year of purchase unless forming part of a major refurbishment. Assets purchased from a 'Restricted' Fund are written off to that fund in the year of purchase.

NOTES

Property

Any freehold property owned by the PCC is vested in the Chelmsford Diocesan Board of Finance as custodian trustee with a declaration that it has been acquired by the PCC for a special purpose.

Taxation

As a charity the church is not liable for corporation tax. However, it has no VAT status and must bear this tax as charged.

Charity Status

All Saints' Church is a 'registered' charity with the Charity Commission. Register number 1131427. This was due to the total annual income of the church being at that time in excess of £100,000. The accrual accounting basis is still applied, despite the limit being raised to £250,000.

Page 3 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021 STATEMENT OF FINANCIAL ACTIVITIES

2021 2021 2020
Unrestricted Restricted Permanent
Endowment
Total Total
Notes £ £ £ £ £
INCOME AND ENDOWMENTS FROM
Donations and Legacies
Planned Giving etc 70,901 - - 70,901 72,434
Income tax recovered 19,557 - - 19,557 19,161
Collection bags 1,496 - - 1,496 1,627
Legacies /In memorium - - - - 100
Donations 14,126 - - 14,126 10,235
Charitable donations 5 - 1,130 - 1,130 1,157
Grants 1 - 5,592 - 5,592 979
Sundry receipts 576 1,353 - 1,929 1,344
Charitable activities
Fees 1,841 - - 1,841 738
Use of church centre 3,243 - - 3,243 4,659
Magazine Income 2 2,539 - - 2,539 2,149
Other trading activities
Fundraising * 509 - - 509 812
Investments
Property income 11,040 - - 11,040 10,824
Interest and dividends 3 25 1,507 - 1,532 1,845
TOTAL INCOMING RESOURCES 125,853 9,582 - 135,435 128,064
*includes income from Easyfundraising
EXPENDITURE ON
Charitable activities
Parish Share 4 87,000 - - 87,000 95,624
Giving to charity and worthy causes 5 239 1,130 - 1,369 1,521
Church expenditure 6 35,047 1,275 - 36,322 26,665
Clergy expenditure 7 1,040 - - 1,040 1,888
Raising funds 112 - - 112 87
Other
Organ Refurbishment - 42,660 - 42,660 -
Property expenses 8 1,164 - - 1,164 893
TOTAL RESOURCES EXPENDED 124,602 45,065 - 169,667 126,678
Net income before investment gains/(losses) 1,251 (35,483) - (34,232) 1,386
Unrealised gains/(losses) on investments 12 - 1,773 5,450 7,223 2,989
NET MOVEMENT IN FUNDS 1,251 (33,710) 5,450 (27,009) 4,375
Funds brought forward at 01.01.21 61,304 132,634 38,114 232,052 227,777
Prior Year adjustment - - - - (100)
Funds carried forward at 31.12.21 62,555 98,924 43,564 205,043 232,052

Movement (including transfers) in individual funds is summarised on page 11

Page 4 of 12

ALL SAINTS. CHURCH, SPRINGFIELD PCC YEAR ENDED 31 DECEMBER 2021 BALANCE SHEET 2021 2Q20 Nc>te Unrestricted Reslri¢ted Perm3n8nt Endowment Total Total Fixed assets Fieehold Property 60 Chichester Drive 10 31,030 31,030 1,352 43,564 75,946 31,030 2,Q29 36,714 77,173 Equipment, NBV Investments 1,352 12 43.564 43,564 Total fixed assets Current assets 1,352 31,030 Debtors & prepayments Investments 3,881 3.881 14,173 2,8f)2 12,400 12 14,173 Bank and Cash Central Board of Finaneè 39,407 54,181 128,0651 69 39,970 5.838 2,170 54 79,377 60.019 125,8951 123 77,852 76, 15C> (7,549) 301 761,956 Bank Deposit accounts Bank Current accounts Cash in hand Total current assets Les5 current liabilities Creditors 89,473 62,205 131.678 14 2,581 66,892 2.581 129,097 I,OT7 160,87g 232.052 Net current asset5 62,205 Tot31 assets less current Ilabllltles 68,244 93,235 43,564 205,043 Parish funds Unrestricted Funds Restrict6d Funds Permanent Endowment 16 16 12 62,555 98,924 43,564 205,043 61.304 132,634 38,114 232,052 Total funds Note.. Contractual and contingent liabiliti85 On the above funds are shovm in note 15 to the Balance Sheet on page 10 Approved by th8 PCC on 8 March 2022 and signed on their behalf Rector and Chairman Revls Iskander Churehwarden and Chair of Finance B A Garside Pag85of12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO STATEMENT OF FINANCIAL ACTIVITIES

1 'GREAT ORGAN FIX' APPEAL
(funds included in
Restrictedincome)
Income
- Bank interest
- Grants
Expenditure
- Refurbishment
Current estimate of total cost is £62,500 excl. VAT
2 MAGAZINE ACCOUNT
Income
- Sales
- Advertisements
Expenditure
- Printing etc
Surplus
3 INVESTMENT INCOME
Dividends
- restricted
Interest
- unrestricted
- restricted
4 PARISH SHARE
Total Costs of Ministry
Support for other parishes within the NCMMP
Less Fee Credits and discount for paying by Direct Debit
Parish Share Allocation
Parish Share paid
Shortfall
2021
£
7
5,592
5,599
42,660
1,282
1,257
2,539
929
1,610
1,485
25
22
1,532
88,830
20,121
(3,909)
105,042
87,000
18,042
2020
£
79
-
79
-
1,195
954
2,149
590
1,559
1,455
192
198
1,845
88,830
20,121
(5,001)
103,950
95,624
8,326

Under the Diocesan system for Parish Share, a parish is allocated their Total Costs of Ministry (TCM) which includes other elements apart from the costs of a stipendiary eg selecting and training curates, diocesan services to parishes, and contributions to the national church. This is shown above with our contribution to support other parishes in the North Chelmsford Mission and Ministry Partnership. The Diocese used the same TCM to calculate Share for 2021 as in 2020.

Due to the Coronavirus pandemic and the consequent reduction in income, we were unable to pay our full Parish Share in 2021.

.

Page 6 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO STATEMENT OF FINANCIAL ACTIVITIES

5 PARISH GIVING
Home missions and church societies
Angel Tree Project
Bishop's School Governors Fund
Children's Society
Church Army
Friends of Chelmsford Cathedral
YMCA Essex
Church missions overseas
Church Mission Society
Embrace the Middle East
Secular charities
A Rocha UK
Chelmsford CHESS
Chelmsford Foodbank
Macmillan Cancer Support
Royal British Legion Poppy Appeal
Giving by Organisations responsible to the PCC
TOTAL
Overall total of giving - 2021
Overall total of giving - 2020
Donation - Support during Covid pandemic
Unrestricted
Restricted
PCC
Collection
Giving
Giving
£
£
-
265
200
-
-
-
-
120
25
-
-
150
225
535
-
8
-
176
-
184
-
248
-
50
-
-
-
-
14
113
14
411
-
-
-
-
239
1,130
1,369
1,521
2021
Unrestricted
Restricted
PCC
Collection
Giving
Giving
£
£
-
-
200
-
-
203
-
-
25
-
-
160
225
363
-
75
-
-
-
75
100
-
-
-
-
303
-
416
-
-
100
719
-
39
-
-
325
1,196
2020
Unrestricted
Restricted
PCC
Collection
Giving
Giving
£
£
-
-
200
-
-
203
-
-
25
-
-
160
225
363
-
75
-
-
-
75
100
-
-
-
-
303
-
416
-
-
100
719
-
39
-
-
325
1,196
2020
363
75
-
75
-
-
303
416
-
719
39
-
1,196

Page 7 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO STATEMENT OF FINANCIAL ACTIVITIES (continued)

6 CHURCH EXPENSES

Note
Services and ancillary functions
Organist and choir
9
Services and altar requisites
Training and mission
Church Buildings etc
Gardens etc
Heat and light
Insurance
Repairs and maintenance
Equipment and depreciation
Church Centre cleaning and consumables
Administration
Parish office and admin
Subscriptions, fees and licences
Sundry expenses
Magazine costs
2
Total Church Expenses
includes a Gift to Independent Examiner
7 CLERGY EXPENSES
Contribution to books, robes, travel etc.
8 PROPERTY EXPENSES
Repairs and maintenance
Insurance
Unrestricted
£
4,242
737
951
5,930
1,859
3,406
2,592
13,714
677
2,396
24,644
1,488
1,431
625
929
4,473
35,047
1,040
1,040
835
329
1,164
Restricted
£
-
-
-
-
-
-
-
-
-
-
-
-
-
1,275
-
1,275
1,275
-
-
-
-
-
2021
Total
£
4,242
737
951
5,930
1,859
3,406
2,592
13,714
677
2,396
24,644
1,488
1,431
1,900
929
5,748
36,322
1,040
1,040
835
329
1,164
2020
£
3,286
1,193
1,070
5,549
1,392
4,580
2,564
2,143
1,489
1,871
14,039
4,044
1,182
1,261
590
7,077
26,665
1,888
1,888
588
305
893

9 RELATED PARTIES

Payments were only made to members of the PCC, or a closely related family member, to enable them to fulfill their approved duties and on submission of a duly authorised invoice or expense claim with receipts. Fees for invoiced services were paid to the assistant church organist £800 (2020 £120) (In 2020 payments were made to the church centre cleaner £1,152)

Page 8 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO BALANCE SHEET

10 FREEHOLD PROPERTY
60 Chichester Drive at cost
(Insured rebuilding value at 09.06.21 £268,801)
11 CHURCH EQUIPMENT
Assets purchased at cost, 01.01.21
Additions in the year
Disposals of assets, fully depreciated
Assets at cost, 31.12.21
Accumulated depreciation, 01.01.21
Depreciation for the year
Depreciation on disposals
Accumulated depreciation, 31.12.21
Net Assets at 01.01.21
Net Assets at 31.12.21
2021
£
31,030
10,186
-
-
10,186
8,157
677
-
8,834
2,029
1,352
2020
£
31,030
10,186
-
-
10,186
7,291
866
-
8,157
2,895
2,029
12 INVESTMENTS
Charities Official Investment Fund Income Shares
Units
Mid Market Price on 31 Dec 2021
Market Value
Opening Market Value
Closing Market Value
Unrealised Gain/(loss)
Restricted
Funds
Permanent
Endowment
689.13
2118.22
2056.64p
2056.64p
14,173
£
43,564
£
12,400
38,114
14,173
43,564
1,773
£
5,450
£
2021
Restricted
Funds
Permanent
Endowment
689.13
2,118.22
1799.36p
1799.36p
12,400
£
38,114
£
11,666
35,859
12,400
38,114
2020
734
£
2,255
£

Page 9 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO BALANCE SHEET

13 DEBTORS & PREPAYMENTS
Income tax recoverable
Other debtors
Prepaid utilities and copyright license
14 CREDITORS
Falling due within one year
Accruals for utilities and other costs
Income received in advance
Other Creditors
2021
£
2,869
213
799
3,881
1,730
851
-
2,581
2020
£
2,025
-
777
2,802
462
423
192
1,077

15 CONTRACTUAL AND CONTINGENT LIABILITIES

There were no contractual or contingent liabilities at the balance sheet date.

Page 10 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO BALANCE SHEET (continued)

16 MOVEMENT IN FUNDS

Main funds - Unrestricted

PCC Controlled
Church fabric repairs
Church furnishing / renewals
Organ fund
ECO Fund
Rectory dilapidations
Freehold property dilapidations
In Memorium
Copper Club
Social Committee
Discovery courses
General Income and Expenditure Account
Main Funds - Restricted
PCC Controlled
Freehold house
Parish Giving
Church fabric repairs
Church fabric repairs or poor of the parish (from CET)
Church furnishing renewals
Mission projects / events
Music / Books replacement
Organ fund
Transport to clubs
PCC Responsibility
Boys' Brigade
Church flower fund
Luncheon club
Women's Fellowship
Resources
Arising
£
5
3
4
-
3
4
1
-
-
-
125,833
125,853
-
1,130
8
1,489
1
2
-
5,599
-
883
230
-
240
9,582
Transfers
£
-
-
-
209
-
-
-
-
-
-
(209)
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Prior Year
Adjustment
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
1
-
(1)
-
-
Resources
Used
£
-
-
-
-
-
-
-
-
-
-
124,602
124,602
-
1,130
-
-
-
-
-
42,660
-
677
372
-
226
45,065
Movements
in Year (net)
£
5
3
4
209
3
4
1
-
-
-
1,022
1,251
-
-
8
3,262
1
2
-
(37,061)
-
207
(142)
(1)
14
(33,710)
Balance
b/forward
£
10,729
7,191
8,476
-
6,652
9,437
4,265
501
1,331
318
12,404
61,304
31,030
-
18,443
21,024
1,645
4,701
-
53,467
128
1,675
153
51
317
132,634
Balance
c/forward
£
10,734
7,194
8,480
209
6,655
9,441
4,266
501
1,331
318
13,426
62,555
31,030
-
18,451
24,286
1,646
4,703
-
16,406
128
1,882
11
50
331
98,924

Fund Notes

The assets supporting the above funds are detailed in the Balance Sheet, page 5. The PCC Responsibility shows subsidiary funds for which the PCC has ultimate responsibility.

Page 11 of 12

ALL SAINTS, CHURCH, SPRINGFIELD PCC YEAR ENDED 31 DECEMBER 2021 INDEPENDENT EXAMINER'S REPORT I report on the accounts of the PCC for the year ended 31 Decernber 2021, which are set out on pages 1 to 11, and in the attached PCC report on pages 1 to 9. Respectlv• responslbllltlas of th& PCC and the Examlnèr Thè charity's trust885 con51d8r that audit 15 not requir8d for this year under section 144121 of the Charities Act 2011 (the 2011 Act) and that an Indeper)dent Exarnination is needed. 11 is my responsibility to Examine the accounts under section 145 of the 2011 Aet.. Follow the procedures laid down In the gener81 diredions giv8n by the Charity Commissioners under section 14515llbl of the 2011 Act,. and State whether particular matters have cotne to rny 8tt8ntion. Basis of Independent Examinerfs Statement My examination was carried out in accordance with the General D1￿ctionS given by the Charity Commission. An examination includes a review ol the accounting records kepl by the ch8rily and a comparison ol the accounts pr858nted with those records. It also includes considering any unusual itèms 01 disclosur8 in th8 accounts. and seeking explanations from the management comrnittee cOncern￿ng any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audit, and consequently I do not 8xpress opinion on the accounts. Indepèndent Examinerfs Statement In connection with my 8X8mination, no matter has come to rny attention.. 111 which gives rne reasonable cause to believe that in any material respèct the r&ouirements to keep accounting records in accordance with s8ction 130 of the 2011 Act,. or - to prepare accounts which aecord with the accounting records have not been met., or 121 to which, in my opinion. attenlioll shoukl be drawn in order to enable a proper understanding ol the accounts to be reached. Signed..... dated Pauline Montague FCCA Iret'dl 208 Chignal Road Chelmsford CM1 4SS Page 120112

ALL SAINTS' CHURCH, SPRINGFIELD PCC

FINANCIAL STATEMENTS

31st December 2021

Registered Charity no. 1131427

Bankers Barclays Bank plc

40-41 High Street, Chelmsford CM1 1BE

Independent Pauline Montague FCCA (Ret'd) Examiner 208 Chignal Road Chelmsford CM1 4SS

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

CONTENTS

PCC Financial Responsibilities 1
Accounting Policies 2
Accounting Policies (continued) 3
Statement of Financial Activities 2021 4
Balance Sheet and Accountancy Report, 31st December 2021 5
Notes to Statement of Financial Activities 6
Notes to Statement of Financial Activities (continued) 7
Notes to Statement of Financial Activities (continued) 8
Notes to Balance Sheet 9
Notes to Balance Sheet (continued) 10
Notes to Balance Sheet (continued) 11
Independent Examiner's Report 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

PCC FINANCIAL RESPONSIBILITIES

The financial statements must be prepared in accordance with the Statement of Recommended Accounting Practice: Accounting and Reporting by Charities [SORP (FRS 102)], UK Accounting Standards and the Charities Act 2011. The requirements include the preparation of financial statements for each financial year consisting of a statement of Financial Activities (SOFA) for the financial year and a Balance Sheet at the financial year end together with explanatory notes. In preparing these financial statements the PCC must see that:-

suitable accounting policies are selected and agreed and are applied consistently,

any estimates included are reasonable and prudent.

The PCC are therefore responsible for keeping proper accounting records, which disclose with reasonable accuracy at any time the financial position of the PCC and to enable them to ensure that the financial statements will comply with the requirements of the guidance notes published by the Church of England.

During 2019 with the permission from the Charity Commissioners, the assets of the Church Estate (Charity number 227437) were transfered to the PCC. The Church Estate charity was closed in 2020. The PCC now holds this permanent endowment, and will continue to use the income from the transferred assets for the original purpose, which is for the use and repair of the church or the poor of the parish.

As competent trustees the PCC should safeguard any assets acquired and take any reasonable steps for the prevention and detection of fraud and other irregularities.

The effects of the coronavirus pandemic have continued to affect income for the PCC due to ongoing Government restrictions in the year. Although Planned Giving levels have largely been maintained, there has been very little income from the use of the church centre and no fundraising events were possible. Many people have continued to make donations in lieu of church collections or fundraising events, and this has greatly helped us to be able to pay 83% of our Parish Share. Some small savings in utility costs have again been achieved.

Charitable giving has again suffered this year as most of our usual donations are made through collections at services eg Remembrance Sunday and at Christmas. This year many of these services had restricted numbers, but the PCC did encourage others to make personal donations.

The PCC are required to prepare the financial statements, and to provide any independent examiners with every opportunity to take whatever steps - and undertake whatever examinations - they consider to be appropriate for the purpose of enabling them to give their examination report.

Financial information contained in the annual report of the PCC must be consistent with these financial statements.

The PCC consider that they have met their responsibilities as set out in this statement.

Page 1 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

ACCOUNTING POLICIES

Accounting convention

The financial statements are prepared on an accruals basis under the historical cost convention and in accordance with the applicable accounting standard, Statement of Recommended Accounting Practice (Charities SORP FRS102), UK Accounting Standards and the Charities Act 2011. The accounts do not include the financial activities of any church organisation not directly controlled by the Parochial Church Council. (PCC).

Income recognition

Income from giving, donations, grants, bequests etc., is taken into account on the basis of cash receipts. ������������������������������������������������������������������������������������������������������������ forward to the period when actually due.

No valuation is placed upon services given free of charge.

Income tax recoverable on gift aid donations is accounted for as claimed for the twelve months up to the thirty first of December in each year.

Investment gains and losses

These include any realised gains or losses on the sales of investments and unrealised gain or loss on revaluing investments held at the end of the year.

Liability recognition

Liabilities are recognised where it is more likely than not that an obligation exists to commit resources, and the amount can be reasonably measured.

Reserves

Transfer of assets from Church Estate including a Permanent Endowment

The transfer comprised 2807.35 units of Charities Official Investment Fund Income Shares This is made up of 2118.22 units in the permanent endowment and 689.13 units in the restricted fund. The shares are valued at mid market value at the year end.

Restricted funds

All monies receivable subject to a specific requirement in spending are credited into the restricted funds, which are individually denoted as specified. These may be either of a capital or income nature.

Unrestricted funds

All other monies are held for general purposes and classed as unrestricted funds, some of which may be designated for a specific purpose by the PCC. The PCC strives to pay the Parish Share in full if possible, but retains a sum in the region of one month's ordinary expenses including Parish Share in the General Fund to support timing differences in cash flow.

Within restricted and unrestricted funds there is a separate investment by the PCC with the CBF Church of England Deposit Fund. Interest received is apportioned on a quarterly balance basis to the individual funds.

Page 2 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

ACCOUNTING POLICIES (continued)

Assets

Freehold property is capitalised at cost and was originally purchased for the housing of a Curate. As such it is regarded as a long term investment, but has not been re-valued. Under prevailing property market conditions, it is not depreciated. All property is kept under full repair. The property has been let to tenants on a long term basis. The rent is periodically assessed for fairness by the local Rent Officer, and is reviewed annually by the PCC.

Furniture, fittings and equipment items purchased from the General Fund and costing in excess of £1,000, are capitalised and depreciated on a straight line basis over the next four years. Items costing less than £1,000 are written off to the general income and expenditure account in the year of purchase unless forming part of a major refurbishment. Assets purchased from a 'Restricted' Fund are written off to that fund in the year of purchase.

NOTES

Property

Any freehold property owned by the PCC is vested in the Chelmsford Diocesan Board of Finance as custodian trustee with a declaration that it has been acquired by the PCC for a special purpose.

Taxation

As a charity the church is not liable for corporation tax. However, it has no VAT status and must bear this tax as charged.

Charity Status

All Saints' Church is a 'registered' charity with the Charity Commission. Register number 1131427. This was due to the total annual income of the church being at that time in excess of £100,000. The accrual accounting basis is still applied, despite the limit being raised to £250,000.

Page 3 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021 STATEMENT OF FINANCIAL ACTIVITIES

2021 2021 2020
Unrestricted Restricted Permanent
Endowment
Total Total
Notes £ £ £ £ £
INCOME AND ENDOWMENTS FROM
Donations and Legacies
Planned Giving etc 70,901 - - 70,901 72,434
Income tax recovered 19,557 - - 19,557 19,161
Collection bags 1,496 - - 1,496 1,627
Legacies /In memorium - - - - 100
Donations 14,126 - - 14,126 10,235
Charitable donations 5 - 1,130 - 1,130 1,157
Grants 1 - 5,592 - 5,592 979
Sundry receipts 576 1,353 - 1,929 1,344
Charitable activities
Fees 1,841 - - 1,841 738
Use of church centre 3,243 - - 3,243 4,659
Magazine Income 2 2,539 - - 2,539 2,149
Other trading activities
Fundraising * 509 - - 509 812
Investments
Property income 11,040 - - 11,040 10,824
Interest and dividends 3 25 1,507 - 1,532 1,845
TOTAL INCOMING RESOURCES 125,853 9,582 - 135,435 128,064
*includes income from Easyfundraising
EXPENDITURE ON
Charitable activities
Parish Share 4 87,000 - - 87,000 95,624
Giving to charity and worthy causes 5 239 1,130 - 1,369 1,521
Church expenditure 6 35,047 1,275 - 36,322 26,665
Clergy expenditure 7 1,040 - - 1,040 1,888
Raising funds 112 - - 112 87
Other
Organ Refurbishment - 42,660 - 42,660 -
Property expenses 8 1,164 - - 1,164 893
TOTAL RESOURCES EXPENDED 124,602 45,065 - 169,667 126,678
Net income before investment gains/(losses) 1,251 (35,483) - (34,232) 1,386
Unrealised gains/(losses) on investments 12 - 1,773 5,450 7,223 2,989
NET MOVEMENT IN FUNDS 1,251 (33,710) 5,450 (27,009) 4,375
Funds brought forward at 01.01.21 61,304 132,634 38,114 232,052 227,777
Prior Year adjustment - - - - (100)
Funds carried forward at 31.12.21 62,555 98,924 43,564 205,043 232,052

Movement (including transfers) in individual funds is summarised on page 11

Page 4 of 12

ALL SAINTS. CHURCH, SPRINGFIELD PCC YEAR ENDED 31 DECEMBER 2021 BALANCE SHEET 2021 2Q20 Nc>te Unrestricted Reslri¢ted Perm3n8nt Endowment Total Total Fixed assets Fieehold Property 60 Chichester Drive 10 31,030 31,030 1,352 43,564 75,946 31,030 2,Q29 36,714 77,173 Equipment, NBV Investments 1,352 12 43.564 43,564 Total fixed assets Current assets 1,352 31,030 Debtors & prepayments Investments 3,881 3.881 14,173 2,8f)2 12,400 12 14,173 Bank and Cash Central Board of Finaneè 39,407 54,181 128,0651 69 39,970 5.838 2,170 54 79,377 60.019 125,8951 123 77,852 76, 15C> (7,549) 301 761,956 Bank Deposit accounts Bank Current accounts Cash in hand Total current assets Les5 current liabilities Creditors 89,473 62,205 131.678 14 2,581 66,892 2.581 129,097 I,OT7 160,87g 232.052 Net current asset5 62,205 Tot31 assets less current Ilabllltles 68,244 93,235 43,564 205,043 Parish funds Unrestricted Funds Restrict6d Funds Permanent Endowment 16 16 12 62,555 98,924 43,564 205,043 61.304 132,634 38,114 232,052 Total funds Note.. Contractual and contingent liabiliti85 On the above funds are shovm in note 15 to the Balance Sheet on page 10 Approved by th8 PCC on 8 March 2022 and signed on their behalf Rector and Chairman Revls Iskander Churehwarden and Chair of Finance B A Garside Pag85of12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO STATEMENT OF FINANCIAL ACTIVITIES

1 'GREAT ORGAN FIX' APPEAL
(funds included in
Restrictedincome)
Income
- Bank interest
- Grants
Expenditure
- Refurbishment
Current estimate of total cost is £62,500 excl. VAT
2 MAGAZINE ACCOUNT
Income
- Sales
- Advertisements
Expenditure
- Printing etc
Surplus
3 INVESTMENT INCOME
Dividends
- restricted
Interest
- unrestricted
- restricted
4 PARISH SHARE
Total Costs of Ministry
Support for other parishes within the NCMMP
Less Fee Credits and discount for paying by Direct Debit
Parish Share Allocation
Parish Share paid
Shortfall
2021
£
7
5,592
5,599
42,660
1,282
1,257
2,539
929
1,610
1,485
25
22
1,532
88,830
20,121
(3,909)
105,042
87,000
18,042
2020
£
79
-
79
-
1,195
954
2,149
590
1,559
1,455
192
198
1,845
88,830
20,121
(5,001)
103,950
95,624
8,326

Under the Diocesan system for Parish Share, a parish is allocated their Total Costs of Ministry (TCM) which includes other elements apart from the costs of a stipendiary eg selecting and training curates, diocesan services to parishes, and contributions to the national church. This is shown above with our contribution to support other parishes in the North Chelmsford Mission and Ministry Partnership. The Diocese used the same TCM to calculate Share for 2021 as in 2020.

Due to the Coronavirus pandemic and the consequent reduction in income, we were unable to pay our full Parish Share in 2021.

.

Page 6 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO STATEMENT OF FINANCIAL ACTIVITIES

5 PARISH GIVING
Home missions and church societies
Angel Tree Project
Bishop's School Governors Fund
Children's Society
Church Army
Friends of Chelmsford Cathedral
YMCA Essex
Church missions overseas
Church Mission Society
Embrace the Middle East
Secular charities
A Rocha UK
Chelmsford CHESS
Chelmsford Foodbank
Macmillan Cancer Support
Royal British Legion Poppy Appeal
Giving by Organisations responsible to the PCC
TOTAL
Overall total of giving - 2021
Overall total of giving - 2020
Donation - Support during Covid pandemic
Unrestricted
Restricted
PCC
Collection
Giving
Giving
£
£
-
265
200
-
-
-
-
120
25
-
-
150
225
535
-
8
-
176
-
184
-
248
-
50
-
-
-
-
14
113
14
411
-
-
-
-
239
1,130
1,369
1,521
2021
Unrestricted
Restricted
PCC
Collection
Giving
Giving
£
£
-
-
200
-
-
203
-
-
25
-
-
160
225
363
-
75
-
-
-
75
100
-
-
-
-
303
-
416
-
-
100
719
-
39
-
-
325
1,196
2020
Unrestricted
Restricted
PCC
Collection
Giving
Giving
£
£
-
-
200
-
-
203
-
-
25
-
-
160
225
363
-
75
-
-
-
75
100
-
-
-
-
303
-
416
-
-
100
719
-
39
-
-
325
1,196
2020
363
75
-
75
-
-
303
416
-
719
39
-
1,196

Page 7 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO STATEMENT OF FINANCIAL ACTIVITIES (continued)

6 CHURCH EXPENSES

Note
Services and ancillary functions
Organist and choir
9
Services and altar requisites
Training and mission
Church Buildings etc
Gardens etc
Heat and light
Insurance
Repairs and maintenance
Equipment and depreciation
Church Centre cleaning and consumables
Administration
Parish office and admin
Subscriptions, fees and licences
Sundry expenses
Magazine costs
2
Total Church Expenses
includes a Gift to Independent Examiner
7 CLERGY EXPENSES
Contribution to books, robes, travel etc.
8 PROPERTY EXPENSES
Repairs and maintenance
Insurance
Unrestricted
£
4,242
737
951
5,930
1,859
3,406
2,592
13,714
677
2,396
24,644
1,488
1,431
625
929
4,473
35,047
1,040
1,040
835
329
1,164
Restricted
£
-
-
-
-
-
-
-
-
-
-
-
-
-
1,275
-
1,275
1,275
-
-
-
-
-
2021
Total
£
4,242
737
951
5,930
1,859
3,406
2,592
13,714
677
2,396
24,644
1,488
1,431
1,900
929
5,748
36,322
1,040
1,040
835
329
1,164
2020
£
3,286
1,193
1,070
5,549
1,392
4,580
2,564
2,143
1,489
1,871
14,039
4,044
1,182
1,261
590
7,077
26,665
1,888
1,888
588
305
893

9 RELATED PARTIES

Payments were only made to members of the PCC, or a closely related family member, to enable them to fulfill their approved duties and on submission of a duly authorised invoice or expense claim with receipts. Fees for invoiced services were paid to the assistant church organist £800 (2020 £120) (In 2020 payments were made to the church centre cleaner £1,152)

Page 8 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO BALANCE SHEET

10 FREEHOLD PROPERTY
60 Chichester Drive at cost
(Insured rebuilding value at 09.06.21 £268,801)
11 CHURCH EQUIPMENT
Assets purchased at cost, 01.01.21
Additions in the year
Disposals of assets, fully depreciated
Assets at cost, 31.12.21
Accumulated depreciation, 01.01.21
Depreciation for the year
Depreciation on disposals
Accumulated depreciation, 31.12.21
Net Assets at 01.01.21
Net Assets at 31.12.21
2021
£
31,030
10,186
-
-
10,186
8,157
677
-
8,834
2,029
1,352
2020
£
31,030
10,186
-
-
10,186
7,291
866
-
8,157
2,895
2,029
12 INVESTMENTS
Charities Official Investment Fund Income Shares
Units
Mid Market Price on 31 Dec 2021
Market Value
Opening Market Value
Closing Market Value
Unrealised Gain/(loss)
Restricted
Funds
Permanent
Endowment
689.13
2118.22
2056.64p
2056.64p
14,173
£
43,564
£
12,400
38,114
14,173
43,564
1,773
£
5,450
£
2021
Restricted
Funds
Permanent
Endowment
689.13
2,118.22
1799.36p
1799.36p
12,400
£
38,114
£
11,666
35,859
12,400
38,114
2020
734
£
2,255
£

Page 9 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO BALANCE SHEET

13 DEBTORS & PREPAYMENTS
Income tax recoverable
Other debtors
Prepaid utilities and copyright license
14 CREDITORS
Falling due within one year
Accruals for utilities and other costs
Income received in advance
Other Creditors
2021
£
2,869
213
799
3,881
1,730
851
-
2,581
2020
£
2,025
-
777
2,802
462
423
192
1,077

15 CONTRACTUAL AND CONTINGENT LIABILITIES

There were no contractual or contingent liabilities at the balance sheet date.

Page 10 of 12

ALL SAINTS' CHURCH, SPRINGFIELD PCC

YEAR ENDED 31 DECEMBER 2021

NOTES TO BALANCE SHEET (continued)

16 MOVEMENT IN FUNDS

Main funds - Unrestricted

PCC Controlled
Church fabric repairs
Church furnishing / renewals
Organ fund
ECO Fund
Rectory dilapidations
Freehold property dilapidations
In Memorium
Copper Club
Social Committee
Discovery courses
General Income and Expenditure Account
Main Funds - Restricted
PCC Controlled
Freehold house
Parish Giving
Church fabric repairs
Church fabric repairs or poor of the parish (from CET)
Church furnishing renewals
Mission projects / events
Music / Books replacement
Organ fund
Transport to clubs
PCC Responsibility
Boys' Brigade
Church flower fund
Luncheon club
Women's Fellowship
Resources
Arising
£
5
3
4
-
3
4
1
-
-
-
125,833
125,853
-
1,130
8
1,489
1
2
-
5,599
-
883
230
-
240
9,582
Transfers
£
-
-
-
209
-
-
-
-
-
-
(209)
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Prior Year
Adjustment
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
1
-
(1)
-
-
Resources
Used
£
-
-
-
-
-
-
-
-
-
-
124,602
124,602
-
1,130
-
-
-
-
-
42,660
-
677
372
-
226
45,065
Movements
in Year (net)
£
5
3
4
209
3
4
1
-
-
-
1,022
1,251
-
-
8
3,262
1
2
-
(37,061)
-
207
(142)
(1)
14
(33,710)
Balance
b/forward
£
10,729
7,191
8,476
-
6,652
9,437
4,265
501
1,331
318
12,404
61,304
31,030
-
18,443
21,024
1,645
4,701
-
53,467
128
1,675
153
51
317
132,634
Balance
c/forward
£
10,734
7,194
8,480
209
6,655
9,441
4,266
501
1,331
318
13,426
62,555
31,030
-
18,451
24,286
1,646
4,703
-
16,406
128
1,882
11
50
331
98,924

Fund Notes

The assets supporting the above funds are detailed in the Balance Sheet, page 5. The PCC Responsibility shows subsidiary funds for which the PCC has ultimate responsibility.

Page 11 of 12

ALL SAINTS, CHURCH, SPRINGFIELD PCC YEAR ENDED 31 DECEMBER 2021 INDEPENDENT EXAMINER'S REPORT I report on the accounts of the PCC for the year ended 31 Decernber 2021, which are set out on pages 1 to 11, and in the attached PCC report on pages 1 to 9. Respectlv• responslbllltlas of th& PCC and the Examlnèr Thè charity's trust885 con51d8r that audit 15 not requir8d for this year under section 144121 of the Charities Act 2011 (the 2011 Act) and that an Indeper)dent Exarnination is needed. 11 is my responsibility to Examine the accounts under section 145 of the 2011 Aet.. Follow the procedures laid down In the gener81 diredions giv8n by the Charity Commissioners under section 14515llbl of the 2011 Act,. and State whether particular matters have cotne to rny 8tt8ntion. Basis of Independent Examinerfs Statement My examination was carried out in accordance with the General D1￿ctionS given by the Charity Commission. An examination includes a review ol the accounting records kepl by the ch8rily and a comparison ol the accounts pr858nted with those records. It also includes considering any unusual itèms 01 disclosur8 in th8 accounts. and seeking explanations from the management comrnittee cOncern￿ng any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audit, and consequently I do not 8xpress opinion on the accounts. Indepèndent Examinerfs Statement In connection with my 8X8mination, no matter has come to rny attention.. 111 which gives rne reasonable cause to believe that in any material respèct the r&ouirements to keep accounting records in accordance with s8ction 130 of the 2011 Act,. or - to prepare accounts which aecord with the accounting records have not been met., or 121 to which, in my opinion. attenlioll shoukl be drawn in order to enable a proper understanding ol the accounts to be reached. Signed..... dated Pauline Montague FCCA Iret'dl 208 Chignal Road Chelmsford CM1 4SS Page 120112