TRUSTEES ANNUAL REPORT
for the
2024 Annual Parochial Church Meeting
of the
Parish Church of St Mary the Virgin, Monken Hadley
Notes
The Church Representation Rules (Rule 9 (11(b)) require 'an annual report on the proceedings of the parochial
church council and the activities of the parish generallw to be received by the Annual Parochial Church Meeting
{APCMI.
The Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 102) requires a Trustees, Annual
Report. See http:/1wv￿.Charrtys0rp.or￿lMedIaI6I9IoI/frsIo2 complete.pdf.
Attached to this form are our Annual Accounts and Financial Statements.
Section A
Reference and Administration Detai15
Section B
Structure, governance and Management
Section C
Objectives and Activities
Section D
Achievements and Performances
Section E
Financial Revtew
Section F
Optional Information
Section G
Trustee Declarations

Trustees, Annual Report for the period
Period start date
Period end date
From
oi
oi
2024
31
12
2024
Section A
Reference and administration details
Charity name
The Parochial Church Council of the Ecclesiastical Parish of
St Mary the Virgin, Monken Hadley
Other names charity is known by
The PCC of Monken Hadley
Registered charity number (if any)
1131428
Charity's principal address
leg. Address of the church or church
office)
The Rectory
Hadley Common
Barnet, Hertfordshire
Postcode EN5 5QD
Names of the charity trustees- Members of the PCC- who manage the charity, as of 31° December 2024
Trustee name
Offlce lif anyl
Dates acted if not for whole year
John Gillman
Honorary Chair and Deanery Synod
Representative
Churchwarden
Barbara Taylor
Michael Yorke
Churchwarden
Kofi Ofori-Quaah
Deanery Synod Representative
Rebecca Bryant
Tricia Narracott-wales
Honorary Secretary
co-opted
Revd Adele Burgess
Alden Mccray
Elaine Padmore
io
Duncan Paulson
li
Freddie Roe
12
Angela Hawes
Ja50n Amiss
13
14
15
16
17
18
19
20
Name of Chairman of the PCC (Optional information)
John Gillman

Section B
Structure, governance and management
Description of the charitvs trusts
Type of governing document
leg. trust deed, constitution)
Parochial Church Council Powers Measure 119561 as amended. and Church
Representation Rules that came into effect on 2 January 1957, as amended
How the charity is constituted
{eg. trust. association, company)
Church Representation Rules
Trustee selection methods
{eg. appointed by. elected by)
The appointment of PCC members is governed by and set out in the Church
Representation Rules. The parish's clergy, churchwardens and Synod members
are ex officio members of the PCC. At present up to ten additional members are
elected (following a resolution at the 2014 Annual Parochial Church meetingl-
Public Benefit Statement (Mandatory information)
The trustees of the Charity are aware of the Charity Commission's guidance on
public benefit in TheAdvancement of Religionforthe Public Benefitand have had
regard to it in their administration of the Charity. The parish's safeguarding
policies and practice for the protection of vulnerable people in the church
community is in line with the House of Bishop5' guidance.
The trustees believe that, by promoting the work of the Church of England in the
Ecclesiastical Parish of St Mary the Virgin, Monken Hadley, it helps to promote
the whole mission of the Church Ipastoral, evangelistic, social and ecumenical)
more effectively, within the Ecclesiastical Parish, and that in doing so it provides
a benefit to the public by:
Providing facilities for public worship, pastoral care and spiritual, moral and
intellectual development, both for its members and for anyone who wishes
to benefit from what the Church offers; and
Promoting Christian faith, hope and love which finds expression in Christian
service by members of the Church in and to theircommunities, to the benefit
of individuals and society as a whole- and
Maintaining the fabric of the Church of St Mary the Virgin, Monken Hadley
la Grade Il* listed building) and rebuilding Church House, a community
facility within the Monken Hadley conservation area
Summary of the main activitie5
undertaken for the public benefit
in relation to these objects
(include within this section the
statutory declaration that trustees
have had regard to the guidance
issued by the Charity Commission
on public benefit)
Additional governance issues {Optional information)

You may choose to include
additional information, where
relevant, about:
Members of the Parochial Church Council of the Ecclesiastical Parish of St Mary
the Virgin, Monken Hadley are also ex officio trustees of the Sirjustinian Pagitt
Ecclesiastical Charity.
St Mary the Virgin, Monken Hadley belongs to the Central Barnet deanery of the
Diocese of London and is a member of Churches Together in Chipping Barnet.
The treasurer is Tim Fitzpatrick, a member of the church but not of the Parochial
Church Council.
policies and procedures adopted
for the induction and training of
trustees;
the charitvs orga nisational
structure and any wider network
with which the charity works-
relationship with any related
parties-
trustees, consideration of major
risks and the system and
procedures to manage them;
(Put your Risk Assessment Policy
here)
The architect for our current quinquennial inspection is Michael Poteliakhoff
RIBA AABC of Gerald Shenstone and Partners. St. Paul's Institute, 302 The
Highway, London EIW 3DH.
Our independent examiners are Keelings & Jones Hunt Ltd. Chartered
Accountants, Broad House, l The Broadway, Old Hatfield, Hertfordshire, AL9
5BG.
Section C
Objectives and activities
The Parochial Church Council of Monken Hadley IPCC) has the responsibility, in
the current absence of an incumbent, for promoting in the ecclesiastical parish,
the whole mission of the Church, pastoral, evangelistic, social, and ecumenical.
The PCC is also specifically responsible for the maintenance of the Church and
related buildings of St Mary the Virgin, Monken Hadley.
The PCC is committed to enabling as many peopSe as possible to worship at our
church and to become part of our parish community at St Mary the Virgin,
Monken Hadley. The PCC maintains an overview of worship throughout the
parish and makes suggestions on how our services can involve the many groups
that live within our parish. Our services and worship put faith into practice
through prayer and scripture, music and sacrament.
Summary of the objects of the
charity set out in its governing
document
Additional details of objertives and activities (Optional Infomiation)
The parish church of Monken Hadley both serves its members {who do not all
live inside the ecclesiastical parish) and the local community. Long-standing
activities in the latter category are our involvement with a linked primary
school and a tradition of bell ringing. There is an active choir and a deep
tradition of music Within the church. We also organise social events that are
geared towards establishing and deepening links with non-churchgoing
members of the community, thus contributing to community cohesion.
Our investment policy is to generate income rather than capital gain, with
funds either held in cash or on deposit with a highly-diversified portfolio fund
containing a well-balanced spread of investments that is managed in
accordance with the guidance of the Church of England's Ethical Investment
Advisory Group. This portfolio is invested mainly in equities but will also
include fixed interest securities, property and other assets.
The Rector {F)OSition currently vacantl receives a stipend to which the PCC
contribute via the London Diocesan Common Fund. The PCC pays for the
services of the choir master and occasionally for an additional organist. All
other contributions are made by volunteers.
You may choose to include further
statements, where relevant, about:
policy on grantmakin8;
policy programme related
investment;
• contribution made by
volunteer5;

Section D
Achievements and performance
The previous incumbent left his position at the end of July 2023. A new
incumbent was appointed in November 2024 but will not take up his position
until February 2025. The church has therefore remained in Interregnum for
the whole of 2024.
With the support of local clergy the normal pattern of church services was able
to be maintained throughout the year, together with regular Bible study, the
weekly Childrens, group and a brief fortnightly mid-week service on Zoom for
the housebound.
The church continued to be opened and closed daily for private prayer, thanks
to the efforts of local church members.
Summary of the main
achievements of the charity
during the year
Other achievements during the year included
Appointment of the Rev Francesco Aresco as Rector, commencing in
February 2025
Refurbishment of the Rectory interior and garden in preparation for the
arrival of the new incumbent
Participation of the Church Choir in a performance of Bach's St John
Passion in March 2024
Continuation of our singing group for primary school age children on
Friday afternoons
Preparations for renewal of the Church's Electoral Roll in 2025
Appointment of a qualified architect to undertake the Church's
Quinquennial Inspection in 2025
Securing the agreement of Barnet Council for the demolition of Church
House and permission for a sympathetic rebuild of a Community Hall on
the same site.
Section D
Achievements and performance (contd.)

Section D
Achievements and performance (contd.)
Our prioritie5 for the year ahead are:
The welcoming of a new Incumbent who shares our vision for the
future of the church in Monken Hadley
The maintenance of our traditional service pattern and day to day
pastoral care
Finalising plan5 for the redevelopment of our Community Hall
Exploiting opportunities for engaging with the wider community
through events and outreach (for example, our choir will be
contributing to a major performance of St John Passion on Palm
Sunday 20241
Establishing the principle of Succession planning for key positions of
responsibility
Summary of the main objectives
of the charity planned in the
following year
Section E
Financial review
Review of the charitvs financial
position at the end of the
reporting period
The financial performance in the year ended 31 December 2024 has again been
heavily influenced by challenging economic times in the United Kingdom.
Uncertainty over employment, inflation and the health of the economy
continues to make Church fundraising and cost management a continued
challenge. Additionally the extended period of interregnum has impacted on the
Church's financial performance. Thankfully, as of 6 February, Francesco Aresco
will join us as our new Rector and we look forward to a period of stability and
growth under his leadership.
In 2024 the Church raised £130,905 in income and spent £129,359 generating an
Overall net income (Revenue less costs) at £1,546. This was just over £9,000
lower than 2023. Overall performance for the past 4 years 15 summarised in the
table below.
Essentially the overall profitability of the church has declined over the past 4
years but has been supported bythe Sirjustinian Pagitt donation5. Church House
Restoration net revenue (now "Renewal
as we aim to rebuild rather than
restore the old Church Hall) has declined over the past 2 years as we focused on
obtaining planning permission (with related costs) and the securing of the Barnet
Council generous £200,000 CIL grant pledge which does not show in the financia5
statements.
2024
2023
2022
Church ongoing activities
Sir Justinian Pagitt donation
Church House
CH Restoration (now "renewal")
{11,006} {10,934}
13,500
11,500
{451}
1,828
(4971
8,178
(452)
12002)
57,252
Overall net surplus
£1,546
£10,572
£54,798
Church ongoing activities represents the main day to da¢ activity and includes
planned giving, church collections, legacies and fundraising events offset by the
cost of running the Church and ongoing maintenance of the fabric of the Church
building.

The shortfall in 2024 is primarily driven by the fact that our main income
IDonation511egacies} at £85,000 is not sufficient to cover our Diocesan
contribution1£73.715) and leave sufficient surplu5 funds to cover running costs.
Other income {funeral and wedding fees and Church fundraising events) were
lower in the yearwhich contributes to the profitability challenge. Church running
expenses continue to be reasonable well managed but are heavily driven by our
ongoing quinquennial responsibilities and energy related costs.
Our "Core Stewardship" Planned Giving contributions was broadly consistent
with 2023. A critical focus on increasing this activity underthe new Rectorfs and
PCC direction will be crucial for the Church's financial health moving forwards.
Since 2019, stewardship giving has reduced as Church numbers pre-COVID have
not been replaced. That said.the Church remains hugely grateful to its members
for their continued and in many cases increasing commitment.
The Sir Justinian Pogitt Charity (trustee of the Gate House property) proposed
donation of £13,500 to the Church in the year l£11,500 -2023} reflects the
continued tenancy in 2024 at an increased rate, and lower refurbishment
expenditure which has rebuilt its reseNes to pre-COVID levels. The donation is in
line with the Chariws reserves policy.
Despite closure, Church House generated a small Ioss largely from ongoing
essential utility costs partially offset by income from bank deposits held here.
Revenue was minimal given the closure of the building because of subsidence
concerns.
The CH Renewal movement reflects lower cash grants from Grant bodies and
significant survey and architects fees Ic.£14,000) required to successfully obtain
planning perm ission in the year.
Total Net Assets stand at £439,(NJO of which £386,000 is Cash at bank or
investments covering both Church and CH Renewal balances. This is £3,000 lower
than 2023. C.£IOO.000 relates to Church distributable balances with the
remainder committed to the CR renewal activity.
It goes without saying that we are truly grateful to those who continue to
donate during challenging economic times and to those who selflessly give their
time in support of all aspects of Church fundraising, cost management and
fabric maintenance.
Information about the charitvs
reserves
Church Reserves as at 31 December 2024 grew to £430,195 {2023 - £428,647) of
which £238,346155Yo} were held in Unrestricted Funds. Restricted reserves
totalled £191,849 of which 85% relates to Church House Restoration and 9¥0 to
the Bells and Clocktower fund.
£368,526 of reserves are held either in cash or investment funds. 81% of
overall reseNes are held in cash/deposits with a further 8% held with the COIF
Charities Investment Fund.

Uncertainties about the charl￿$
ability to continue as a going
concern
No uncertainties identified in terms of the Charivs ability to continue as a
going concern.
Details of any funds materially in
deficit
None
Further financial review details {Optional information)
We raise income from a number of sources.
You may choose to include
additional information, where
relevant about:
The vast majority of Church incorne derives from planned giving, including the
tax recovered under Gift Aid. Other sources include donations through the
envelope scheme (another source of tax efficient giving). collections at service5,
legacies, Statutory fees, and various fundraising activities. We promote
"GiveTap" giving using QR codes and electronic card readers for events.
the chariws principal sources
of funds lincluding any
fundraising);
how expenditure has
supported the key objectives of
the charity;
investment policy and
objectives including a ny ethical
investment policy adopted.
The Sir Justinian Pagitt Ecclesiastical Charity contributes variable funding each
year to the work of the Parochial Church Council of Monken Hadley in
accordance with its internal policies and depending on the level of reserves
held by the Charity-
Section F
Other optional information
Acknowledge any large Grants or
donation in this Section.
Acknowledging a large Grant in
your TAR may be a condition of
acceptance
Section G
Declarations
The trustees declare that no exem
tions from disclosure a￿ applicable.
The trustees declare that the charity holds no funds as custodian trustee on behalf of others.
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charitrfs tr
stees
Signature(s

Full name(s)
Reverend Francesco Maria Aresco
Mrs Barbara Taylor
Position
leg Secretary, Chair, etcl
Rector, PCC Chairperson
Church Warden, PCC member
Date
{eg. Date of the APCMI
2yh April 2025

|||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]||<br>|<br>Page 1<br>]|
|---|---|---|---|---|---|---|---|---|---|---|
|||<br>|<br>||CHURCHOFST.MARYTHEVIRGIN,MONKENHADLEY<br>StatementofFinancial Activitiesfor theYearended31stDecember2024|||||||||<br>|<br>i||
|||||||||||||
|||||Further|Unrestricted|Restricted|=TOTAL||TOTAL||||
||||details|Funds|Funds|2024||2023||||
||_|Incomeand endowments from:||£|£|£||£||<br>||i|
||||Donationsandlegacies|2a|85088||85088||85,411||||
||||Charitable activities|2b|2975||2975||5,845|||||
||||Othertradingactivities|2c|4052||4052||5,247|||||
||||Investments|2d|9202||9202||6,634||||
||CHRenewal Fundraising||2c|5975||5975||11,886|||||
||||Other|2f|23613||23613|||25,259|||||
||Total|||130905||130905||140,282||||
|||Expenditureon:||||||||||
|||||||||||||Wj|
||||Raisingfunds|3a|1877||1877||||||
||Charitable activites<br>|<br>|<br>C HRenewalexpenditure||3b<br>3c|109261<br>14102||109261<br>14102||116,521<br>9,004||||<br>1]|
||||Other|3d|4119||4119||3,290|||||
||||||||||||||
||Total|||129359||129359||129,710|||||
||||Netincome||1,546||1,546||10,572|||||
||||||||||||||
|||Transfers between funds|1|-|:|-|||||
||||Netmovement infunds||1,546||1,546||10,572|||||
|||||||||||||
||||Reconciliation offunds||||||||||
||||Total funds brought forward|11|236,800|191,849|428,649||418,077||||
|||Total fundscarried forward|1]|238,346|191,849|430,195||428,649||||
||||||—————|————————|||SSS|“||iH|
|||||||||||||





Page 2 

CHURCH OF ST. MARY THE VIRGIN, MONKEN ST. MARY THE VIRGIN, MONKEN MARY THE VIRGIN, MONKEN THE VIRGIN, MONKEN VIRGIN, MONKEN MONKEN HADLEY BALANCE SHEET - 31st December 2024 


**----- Start of picture text -----**<br>
OF ST. MARY THE VIRGIN, MONKEN ST. MARY THE VIRGIN, MONKEN MARY THE VIRGIN, MONKEN THE VIRGIN, MONKEN VIRGIN, MONKEN MONKEN HADLEY |<br>BALANCE SHEET - 31st December 2024<br>2024 | 2023 | |<br>Notes | |<br>FIXED ASSETS<br>Tangible : ae 7<br>Investinents 5 - | _- | :<br>CURRENT ASSETS |<br>Debtors 6 47,202 41,202<br>Cash at bank and in hand 351,653 361,264<br>Investments 7 34,873 34,103<br>433,728 436,569 | |<br>LIABILITIES i<br>Creditors - amounts falling due within one year 8 (3,535) (7,922)<br>NET CURRENT ASSETS 430,193 | 428,647 —<br>TOTAL NET ASSETS 430,193 | 428,647 |<br>SES _—————————— |<br>PARISH FUNDS | |<br>Unrestricted Ila 238,346 236,800<br>Restricted lib 191,849 | 191,847<br>430,195 428,647<br>Approved by the Parochial Church Council on [25 April 2025] and signed on its behalf by:<br>**----- End of picture text -----**<br>



**----- Start of picture text -----**<br>
|<br>Francesco Aresco - Rector Tim Fitzpatrick - Treasurer<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
CHURCH OF ST. MARY THE VIRGIN, MONKEN HADLEY<br>Notes to the Financial Statements- YEAR ENDED 31ST DECEMBER 2024<br>**----- End of picture text -----**<br>


## ACCOUNTING POLICIES 

## Basis of preparing the financial statements 

The financial statements have been prepared in accordance with the Church Accounting Regulations 2006 together with the Charities SORP (PRS 102) ‘Accounting and Reporting by Charities : Statement of Recommended Practice applicable to charities preparing their accounts in accordance sith the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) {effective 1 January 2019), Financial Reporting Standard 102 ‘The Financial Reporting Standard applicable in the UK and Republic of Ircland and the Charilics Act 2011, The financial statements' have been prepared under the historical cost convention with the exception of investments which are market value, as modified by the revaluation of 

## Financial reporting standard 102- reduced disclosure exemptions 

The charity has taken advantage of the following disclosure exemptions in preparing these financial statements, as permitted by FRS 102 "The Financial Reporting Standard Applicable in the UK and Republic of Ireland’: 

- The requirements of Section 7 Statement of Cash Flows. 

* The requirements of Scclion 3 Financial Statement Presentation paragraph 3.17(d) 

* The requirements of Section 11 Financial Instruments paragraphs 11.42, 11.44, 11.45, 11.47, 11,48(a){iv), 1148(b) and 11.48(c). 

## Vunds 

Restrictedfinds represent (a) income from trusts or endowments which may be expended only on those restricted objects provided in the terms of the trust or bequest, and (b) donations or grants received for a specific object or invited by the PCC for a specific object. The funds may only be Unrestrictedfunds are general funds which can be used for PCC ordinary purposes. These include funds designated for a particular purpose by the PCC. These financial statements include Church House activity, and assets, treated as a designated, but unrestricted fund. 

‘The accounts include monetary transactions, assets and liabilitics for which the PCC can be held responsible. 

## incoming Resourees 

Planned giving, collections and donations are recognised when received, ‘Tax refunds are recognised when the incoming resource to which they relate is recived. Grands and legacies are accounted for when the PCC is legally entitled to the amounts due. Dividends are accounted for when receivable, and interest is accrucd, All other income is recognised when itis receivable. All incoming resources are accounted for gross 

## Resources Expended 

Grants and donations are accounted for when paid over, or when awarded, if thal award creates a binding or constructive obligation on the PCC. The diocesan parish share is accounted for when due. Amounts received specifically for mission are dealt with as restricted funds, All other expenditure is gonerally recognised when it is incurred and it is accounted for gross. 

## Fixed Assets 

Consecrated land and buildings-Consecrated and beneficed property is excluded from the accounts in accordance with section 10(2){a) of the Charities Act 2011. 

Movable church furnishings-Movable church fumishings held by the Rector and Chucchwardens on special trust for the PCC, and which require a faculty for disposal, arc accounted for as inalienable property unless consecrated. ‘They are listed in the church's Inventory which can be inspected (at any reasonable time). For inalienable property acquired prior to 2001 there is insufficient cost information available and therefore such assets are not valued in the accounts. Items acquired subsequently will be capitalised and will be depreciated in the accounts over their nnticipated useful economic life. All expenditure incurred during the ycar on individual items under £1,000 or on the repair of movable church furnishings is written off 

## Current Assets 

Amounts owing to tie PCC at the balance sheet date are shown as debtors less provision for amounts, if any, which it is considered may prove; uncollectible. 

jnvesiments 

Investments are shown in the Balance Sheet at quoted market value at the year end date 



Page 4 | i i 2024 | 

## CHURCH OF ST. MARY THE VIRGIN, MONKEN HADLEYPage 4 Notes to the Financial Statements for the Year ended 31st December 2024 

||2|Income and endowments|from:||Unrestricted|Restricted|Restricted|TOTAL|TOTAL||||TOTAL|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
||||||Funds<br>£|Funds<br>z|||2024<br>£||||2023<br>£||||
|||2a|Donations and Jegacies|||||||||||||
||<br>|||PlannedGiving:<br>UnderGiftAid|||43,458||-||43,458|||41,393||||<br>||
||<br>|||Tax recoverable<br>Legacies|||8,706<br>6,000<br>58,164|—|-<br>-<br>-||8,706<br>|<br>6,000<br>58,164|||10,799<br>5,021<br>57,213||<br>j<br>|<br>|||<br>1}<br>|<br>||
|||Collections|||6,107||-||6,107|||4,922||||
||<br>}<br>|<br>|<br>||2b|Otherdonations<br>Tax Recoverable<br> Charitableactivites||15,898<br>-<br>15,898<br>4,918<br>4,918<br>85,088<br>-<br>85,087<br>|<br>SESE:|||||||19,727<br>|<br>|<br>3,549<br>|<br>85411<br> SS<br>FOYT<br>|||||
|||P.C.C, Fees|||2,975||-||2,975||||5,680|||||
||||Church magazine|||-<br>2,975||-<br>-||-<br>2,975||<br>|||165<br>5,845||<br>i<br>|||
|\;||||TS||||||Ee|||}||
||2c|Othertradingactivities||||||||||||||
|||Fairs,concerts&otherfund-raising events|||4,052<br>4,052||-<br>.||4,052<br>| <br>4052||_|5,247<br>5,247||||
||||||emacs|||:|:||||||
||2d|Investments|||||||||||||
|||Interest (gross)|||9,202||-||9,202||||6,634|||
||||||9,202||.||9,202|||6,634|||
|||||—<—[—==<=[==*<_"_=—_—_—>—[—_——!_—[—>>=[————=—=E=E=E=E—EE=___>_—||||||||——— —|||||
|||||||||||||<br>|<br>||||||
||2c|CH Renewal Fundraising<br>Income<br>TaxRecoverable|||5,461<br>514||2<br>:||5,461<br>514|||10,169<br>1,717|;<br>ij<br>||<br>|<br>|||
||||||5,975||-||5,975|||11,886|||
|||||eee|||||||———||||
|||2f|Other<br>SirJustinian Pagitt income|||13,500||-||13,500||||11,500|||||
|||Churchyard maintenance recoveries|||5,125||-||5,125||||4,875||i|
|||Church Buildingrecoveries|||388||||388|||1,41)|||||
|||Church House Income|||3,667||-||3,667|||Sl,|||Ff|
|||OpenChurch Music Fund|||933||-||933|||856|||||
|||Other|||=||:||:|||1,500|||||
|||||||23,613||-||23,613||||25,259||||
|||||_|||—||||=||||
|||Total Incoming Resources|||130,904||-||130,903||||140,282|||||
|||||||——————|ae|||||——||||
|l|=|—|—|—|=|——|||—|||:||J]|





Page 5 

| || | i 

## CHURCH OF ST. MARY THE VIRGIN, MONKEN HADLEY 

| Notes to the Financial Statements for the Year ended 31st December 2024 

||3|Expenditure:|Notes|Unrestricted|Unrestricted|—_Restricted|—_Restricted|TOTAL|TOTAL|||TOTAL|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
||||||Funds||Funds||2024|||2023|i|||
||||||£||£||£|||£|||i|
||3a|Raisingfunds||||||||||||||
|||CostsofSocialandfund-raisingevents|||1,877||-||1,877|||895|||
|1|||||1,877||-||1,877|\||895||||
|||3b.|Charitable activities<br>Ministry: Diocesanparishshare||Oo|73,715|OS|-|OB|73,715|||73,115||||
|||Otherministry costs|||1,551||-||1,551||||1,99)||||
|||Church -running expenses|||9,682||.||9,682|||4074|||
|||Insurance<br>Churchbuildings inc}, furnishings|||2,595<br>2,504||-<br>:||2,595<br>2,504|||3,229<br>14,238||||<br>||
|||Upkeepofchurchyard|||7,072||-||7,072|||6,175|||||
|||Music: Organist|||4,695||-||4,695|||5,945||||
|||Organandpianomaintenance|||1,896||-||1,896|||1,223|||||
|||Altarandservices|||290||-||290|||542||||
|||PCC feespayable|||2,144||-||2,144|||2440||||
|||Printing, stationery,telephoneetc.|||1,803||-||1,803|||1,699|||
|||Independent Examiners’ fees|||1,314||:||1,314|||1,250|||||
|||||109261|||||109,261|||116,521|||
||3c|CH Renewalexpenditure||402ei|||||14,102|||9,004||||
|||||14,102<br>an|||-<br>-||14,102<br>a||9,004<br>OO|||||
||3d|Other|||||||||||||
|||Stewardship costs|||=||||.|||°||||
|||OpenChurch MusicFundexpense|||2,744||-||2,744|||-|||
|||ChurchHouseexpenditure|||1,375||~||1,375|||3,290|||
||||||4,119||-||4,119|||3,290||I|
||||||||||a||:|es||]|
|||TotalResourcesExpended|||129,359||-||129,359|||129,710|||





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## Page 6 

## CHURCH OF ST. MARY THE VIRGIN, MONKEN HADLEY 

Notes to the Financial Statements for the Year ended 3ist December 2024 

## 4 STAFF COSTS 


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|||||||||||
|---|---|---|---|---|---|---|---|---|---|
|The PCC|had|no|employees|during|the year ended|31|December 2024.|
|There were no|disclosable transactions|in|respect of|PCC members,|persons|closely|connected|with|them|
|or other|related|parties.|
|5|FIXED ASSETS|2024|2023|I|
|£|£|||||
|The PCC has no tangible or other fixed assets|cs|ae|||
|6|DEBTORS|||
|Gift Aid|tax|recoverable|14,605|15,508|\|
|||Other debtors|and|prepayments|32,597|25,693|
|||7|INVESTMENTS|||||
|Church|House|investments|with|COIF|Charities|Investment|Fund|I|
|i||at market value|____ 34,873|34,103|||\|
|ee|ee|
|||8|LIABILITIES: AMOUNTS FALLING DUE WITHIN ONE YEAR|
|Creditors|and|accruals|(33535)|(7,922)|
|535)|(7,922)|||
|8|CAPITAL COMMITMENTS|
|There were no|capital|commitments|at the|balance|sheet|date.|
|9|CONTINGENT|LIABILITIES|
|There|were no known|contingent|liabilities|at|the|balance sheet date.|
|10|RELATED|PARTIES|
|There|were no|related|party transactions|for the year ended|31st|December 2024.|I|

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|---|---|---|---|---|---|---|---|---|---|---|---|---|
|Page7|||
|CHURCH|OF|ST. MARY THE VIRGIN, MONKEN HADLEY|||
|Notes|to|the|Financial Statements|for|the Year|ended|31st December 2024|
|11|Analysis|of financial|activities|by|funds|:|
|Va|Unrestricted Funds|General|Cit|Church|Music|Church|= Rectory|Rector's|Church|Total|
|Funds|Renewal|‘House|Fund|Fabric|Repairs|Disc|Boiler|Unrestricted|
|Fund|Fund|Fund|Fund|Funds|
|z|£|£|£|£|£|£|£|£|
|Incoming resources|120,328|5,975|3,667|933|-|-|-|-|130,903|
|Resources expended|C0084)|4,102)|373)|C7)|520)|_|=|(528)|29,359),|
|Net|Incoming|Resources|
|before transfers|11,244|(8,127)|2,292|(EST)|(1,526)|-|-|:|(528)|1,544|
|Transfers between|funds|(2.469)|-|20|-|-|2,449|-|
|Net movements|in funds|8,775|(8,127)|2,292|(1791)|(1,526)|oe|eH|921|1,545|
|Balances brought|forward|42,100|119,870|44,971|‘1,791|15,000|2,902|167|10,000|236,800|
|Balances carried|fonyvard|50,875|111,743|47,263|0|13,474|2,902|167|11,921|238,346|
|Assets and|liabilities (other than|investments) are not allocated|to particular unrestricted|funds.|Investments are allocated to the Church House|fund.|
|lib|Restricted Funds|Poor of|CH|Lighting|Bells &|Tower|Memorial|Linenand|Church|Memorial|Total|
|the Parish|Renewal|Fund|Clock|Fund|Wall|Necdle-|Guide|Book|Restricted|}|
|Fund|Fund|Fund|~~|work Fund|Fund|Funds|
|£|£|£|£|£|£|£|£|£|||
|Incoming resources|-|-|-|-|-|-|=|ns|=|3|
|Resources|expended|-|-|-|-|-|“|<|-|-|
|Net|Incoming Resources|
|before|transfers|-|-|-|-|.|-|~|“|»|a|
|Transfers|between|funds|-|-|-|-|2|=|7|e|-|.|
|aES|
|Net movements|in|funds|-|-|-|-|4|s|3|Ss|m|
|Balances brought|fonvard|1,694|162,785|1,974|17,891|137|4,527|288|104|2,449|_|191,849|
|Balances carried|forward|1,694|162,785|=—-1,974|17,891|137|4,527|288|104|2,449|191,849|
|The|Restricted|Funds|are|represented|by part|of the cash|at bank|

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CHURCH OF ST MARY THE VIRGIN, MONKEN HADLEY Page 8<br>INDEPENDENT EXAMINER’S REPORT TO THE TRUSTEES OF THE PAROCIAL<br>CHURCH COUNCIL OF ST MARY THE VIRGIN, MONIKEN HADLEY<br>I report to the charity trustees on my examination of the accounts of the Parochial Church Counci) of St<br>Mary The Virgin, Monken Hadley (the charity) for the year ended 31 December 2024<br>Responsibilities and basis of report<br>As the trustees of the charity, you are responsible for the preparation of the accounts in accordance with the<br>requirements of the Charities Act 2011 (‘the 2011 Act’).<br>Ireport in respect of my examination of the charity’s accounts carried out under section 145 of the 2011 Act<br>and in carrying out my examination I have followed all the applicable Directions given by the Charity<br>Commission under section 145(5)(b) of the Act.<br>Independent examiner's statement<br>L have completed my examination, I can confinn that no material matters have come to my attention in<br>connection with the examination giving me cause to believe that in any material respect:<br>1, accounting records were not kept in respect of the charity as required by section 130 of the Act; or<br>2, the accounts do not accord with those records; or<br>3. the accounts do not comply with the applicable requirements concerning the form and content of accounts<br>set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the<br>accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination.<br>I have no concems and have come across no other matters in conection with the examination to which<br>attention should be drawn in this report in order to enable a proper understanding of the accounts to be<br>Signed:<br>Alf Del Basso FCCA<br>Keelings Limited :<br>Chartered Certified Accountants and<br>Chartered Tax Advisers<br>Broad House<br>1 The Broadway<br>Old Hatfield<br>Hertfordshire, AL9 SBG<br>25th April 2025<br>**----- End of picture text -----**<br>




CFIURCii or sr hlARY I'HE VIRGIN, Th￿oNI(￿l N J4ADLEI]'
Pag¢ 8
INDEPENDENT EXAMJ INER>S REPORT TO TIIE TIIUSTEES OFYHE PAROCIAL
CIIURCII COIINCILOI4 ST hlARY I'HE I'IRGIN, MOh'lCEN HADLEY
I report lo tlie cliarily Irusites on iiiy exaiiiiiiation orth¢ attounls of ihe Paiochial Chiirch Council of Si
MapJ'The Vir8in. Monk¢n Hadl¢y {Ih¢ ¢h8tity) for the JY8rended 31 De¢emb¢r 2024
llitJlJOJ15ibililirs bnsis ofyeport
As Ibe (rus¢ees of ihc th8rity. you are ie5poDsible for ihE prepaTaiion of th¢ aetounls in fteeordallce wilh Iht
rcouirememtsof Ilie Cliarilics A¢t 2011 ('Ih¢ 2011 Aci'l.
report ith r85prct of IT)y ExarninTrlioii of the clinrilj 5 Iccounts carried ovl iitthr s¢clioii 14$ of Ilke 2011 Ael
and ii) canying oiii niy exaiiiiiihiiDlI I Iiavc folloiird ihc applicable Dircctiojis giv¢ii by Ili¢ Chortty
colw￿lS$10￿ i1¢￿tr$¢￿1￿ 145(5)(b) orihe Act.
I hav¢ ¢onipl¢tc¢J ttiy exainiijatioii. I rnt] confini) Ili&l no malLYial iiiitierg hAI'e ¢onie lo Iny alf¢nlion iii
¢onncclioii iYiiTi the G¥a¢i)lnalio￿ giiillg mc causc to bclitvc tlial in aiiy ii?atcrial K51)CCt'.
l. attmithting rEcOrd5llE￿ Tlot kcpf in r65PCCtof tht cbBTityas rcquiredby settion 130 of fli¢A¢t' or
2. t1￿ accwJ%ts do Iiot a¢¢otKf il'iih ihose rcroTds- or
3. Ihc llCCOiliLlS do nol conwl). Ivilli tlie %pplieable r¢qiiif¢mcnts coii¢eming th¢ fomi oiid eon¢¢rtl of iccoiiiits
set out in tlie Charilies {A¢¢oiiiils *iid Ii¢pDTlsl Rtgulntion5 2008 otli¢T ihaik &n)' Tequirernenf th21 ille
coiiiit5 givc a'lnic and faitr Yiciv iyhicli is Jiot a Jiialtey coijsidered as Iiart of pu indcpettde#t ¢xaihii*ation.
I IT8ve tto ¢ortc¢r41s aitd hav¢ Coihc ￿rOSS tLO Otljer JDolters in ¢oiine¢irtsTh willi tlie exaMKithti￿1 to wliiclj
&ltention slioiild be dr•iYn in Iliis r¢porE ordcr to cnobl¢ a proper undetsiandin8 of the aecovttis to be
re0cl￿d.
Signed..
Alf Del BI5so frCCA
Kc¢lings Limi(ed
CliaT(ere<l Cerlifred AccounlanisaJ)d
Cli&?rfered'fax Advjseys
LlroRd EIoiise
l Tlie Br011 di%Y}
Old Haificl
Hcrtfordshirq AL9 5BG
25th Ap¥il 2025