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2022-12-31-accounts

Trustees' Annual Report for the period

Period start date Period end date Day Month Year Day Month Year From 01 Jan 2022 To 31 Dec 2022

Section A Reference and administration details

Charity name
Other names charity is known by
Registered charity number (if any)
Charity's principal address
THE PAROCHIAL CHURCH COUNCIL OF THE
ECCLESIASTICAL PARISH OF MEIR HEATH &
NORMACOT, STOKE-UPON-TRENT
THE PAROCHIAL CHURCH COUNCIL OF THE
ECCLESIASTICAL PARISH OF MEIR HEATH &
NORMACOT, STOKE-UPON-TRENT
MEIR HEATH & NORMACOT
PCC
1131470
Parish Office, St Francis’s Church
Sandon Road
Stoke-on-Trent
Postcode ST3 7LH

Names of the charity trustees who manage the charity

1
3
4
7
8
10
13
14
15
Trustee name Office (if any) Dates acted if not for whole
year
Name of person (or body) entitled
to appoint trustee (ifany)
The Revd Dr David
McHardy
Vicar/Chairman _Ex officio_by virtue of office
Mrs Dawn Roberts Churchwarden Elected by the Annual Parish
Meeting
Mrs Wendy Huson Churchwarden Elected by the Annual Parish
Meeting
Miss Lynn Gater Churchwarden Elected by the Annual Parish
Meeting
Mrs Susan Goodwin PCC Secretary Elected by the Annual Parish
Meeting
Mrs Julie Kent Treasurer / Deanery
Synod / LayReader
_Ex officio,_by virtue of licence
Mrs Valerie Lynch Elected by the Annual Parish
Meeting
Mrs Denise Parr Elected by the Annual Parish
Meeting
Mrs Yvonne Ryan Social / Health &
Safely
Elected by the Annual Parish
Meeting
Mr Keith Wheeldon Mission Committee Elected by the Annual Parish
Meeting
Mr Richard
Whitmore
Elected by the Annual Parish
Meeting

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Names of the trustees for the charity, if any, (for example, any custodian trustees)

Name Dates acted if not for whole year

Names and addresses of advisers (Optional information)

Type of
adviser
Name
Address
Name
Address
Name of chief executive or names of senior staff members (Optional information)

Section B Structure, governance and management

Description of the charity’s trusts

Type of governing document
eg. trust deed, constitution)
How the charity is constituted
eg. trust, association, company)
Trustee selection methods
eg. appointed by, elected by)
Meir Heath & Normacot PCC is a corporate body established by the
Church of England operating under the PCC (Powers) Measure 1956
as amended and Church Representation Rules.
Corporate Body
All PCC members are charity Trustees, the majority being elected by
those on the Church’s Electoral Role at an Annual Parochial Meeting
held before the end of April each year. Others are members and
Trustees by virtue of their position in the Parish or by election to the
Lichfield Diocesan Synod.

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Additional governance issues (Optional information)

You may choose to include additional information, where relevant, about:

Newly elected PCC members are introduced to their role as Trustees of a registered charity and members may attend Diocesan training events applicable to their roles. All issued with ‘Trusteeship: An Introduction for PCC Members’ published jointly by The Archbishops’ Council and the Charity Commission. The Lichfield Diocesan Office offers high quality, professional advice to PCCs. During the pandemic, meetings were reduced in frequency and mainly held via Zoom.

Safeguarding training for the members of the PCC was completed according to the requirements of the Church of England and an appropriate register is maintained. No safeguarding issues were raised during the year

Section C Objectives and activities

Summary of the objects of the
charity set out in its governing
document
Summary of the main activities
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)
The PCC’s principal function is to promote in the ecclesiastical Parish
the whole mission of the Church (pastoral, evangelistic, social and
ecumenical).
We try to enable people to live out their faith more effectively through
the Diocese’s Four Primary Purposes of:
 Worship and Prayer
 Evangelism and Outreach
 Teaching and Nurture
 Social Justice and Care
In doing so, we provide a benefit to the public by:
 Providing facilities for public worship, pastoral care and spiritual,
moral and intellectual development, both for our members and for
anyone who wishes to benefit from what the Church offers: and
 Promoting Christian values, and service by members of the Church
in and to the community, to the benefit of individuals and society as a
whole.
To facilitate this work it is important for us to keep the fabric of our
parish buildings and the condition of the grounds in good order.
In planning our activities, the PCC trustees have been aware of the
Charity Commission’s guidance on public benefit in_The Advancement_
_of Religion for the Public Benefit_and have had regard to it in the
administration of the Charity.
Worship and Prayer
The PCC is committed to enabling as many people as possible to
worship in our churches and to become part of our parish community.
We are fortunate to be able to enjoy a wide and flexible programme of
liturgical worship, within the Catholic tradition. Including:
Sunday services
0800 Holy Communion (BCP) St Francis
0930 Parish Mass & Children’s Church St Francis

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Weekday services

Morning Office 09:00 Morning Prayer (Mon to Thurs) St Francis Evening Office 17:00 Evening Prayer (Mon to Thurs) St Francis Tuesday 09:30 Mass St Francis Thursday 19:30 Mass St Francis Saturday 09:30 Mass St Francis (Advent & Lent only)

Other devotional acts of worship take place depending on the liturgical season e.g. Stations of the Cross during Lent. Occasional services, meetings of the Cell of Our Lady of Walsingham and other activities are held and promoted. An annual Christmas Nine Lessons and Carols service has now been resumed.

Weddings, Funerals and other rites were as arranged. Baptisms are held at 14.00 on Sundays or at any Sunday Mass. Confessions are heard by arrangement. All such activities were conducted in accordance with the Bishops’ Guidelines. ‘

Owing to the pandemic, worship activities at the School have not yet resumed.

Teaching and Nurture

Following on from the pandemic, we have been able to resume our parish educational activities, with our usual Lent course. Our Advent course, however, was markedly unsuccessful, with a drop-off in attendance, which was due to the impending Christmas festivities. Evangelism and Community Outreach

The Beacon parish magazine – published monthly in-house and widely distributed across the parish community. The PCC decided that the magazine would be distributed by post, free of charge, to all who wished to receive a printed copy for the duration of the pandemic. Each edition would be available electronically to those who prefer to receive it in that format. Following the end of the pandemic, the PCC decided to resume the normal, paid, pattern of delivery. Local companies and individuals publish adverts in the magazine. Fr David has used the Beacon parish magazine, through a series of monthly articles, to help the community and congregation to meet the challenges of the present crisis, as well as by providing articles on appropriate Christian topics. Occasional articles on other topics are contributed by members of the parish.

The parish website – previously kept up to date, has suffered from the resignation of the previous webmaster and a replacement format is currently being considered, as too much technical knowledge is required for the current format. A Church Near You , maintained by the Church of England, is currently acting as a temporary replacement. Plans have been commenced with a view to replacing our current website with a more user-friendly version, permitting regular updating, though these are currently on hold, as the PCC lack the technical knowledge to fully investigate our requirements

Holy Evangelists Church has been closed since January, due to maintenance issues. The initial problems, caused by water ingress due to the theft of lead from the roof, were finally resolved at the end of the year. However, further work is needed to replace rotting floor timbers at the side (disabled) access. A Faculty application to allow this work to be completed has been submitted. However, as the floor is unsafe and as this door constitutes our fire and emergency access, the church

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remains closed for worship, with all services taking place at St Francis’ in the interim.

Social Justice and Care

We continue to support the work of The Children’s Society and World Vision. We actively promote the work of Christian Solidarity Worldwide , as well as that of Christian Aid.

Additional details of objectives and activities (Optional information)

St Clare’s Church Centre continues to be run as a venue for a range of classes and groups. The primary group to hire the hall is a dance group, which runs classes for both adults and children.

You may choose to include further statements, where relevant, about:

The facility is run by the PCC, with minimal involvement from the vicar. Day-to-day running of the Centre is dealt with by the Administrator. We have successfully obtained a series of relatively small grants from the local authority for the refurbishment and enhancement of the facility. This has permitted the PCC to continue to make the facility available for hire to community groups and, owing to the reduction of council services, makes a welcome contribution to the social life of the area.

Section D Achievements and performance

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Section D Achievements and performance

We have continued to live out the Christian Faith in this part of our local Summary of the main community and have remained supportive of our many ventures. The achievements of the charity pandemic caused a reduction in our activities and attendance. However, during the year now that the restriction have ended, numbers are slowly beginning to return to normal. Our activities have now almost entirely resumed their normal pattern, with a successful Burns’ Supper and Walsingham Pilgrimage having been held.

Section E Financial review

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Brief statement of the charity’s policy on reserves

We have no cash reserves at present. Our previous investment account with HSBC has been wound up and the assets transferred to CCLA. This has successfully generated extra money for our reserves. It is the PCC’s policy to closely monitor the performance of these investments. At Normacot, we received a substantial legacy, which has been invested with CCLA and continues to provide growth. However, owing to the terms of the legacy, these funds are restricted and are presently paying for the repair works to the church.

Details of any funds materially None. in deficit Further financial review details (Optional information)

You may choose to include additional information, where relevant about:

Aside from giving, our primary sources of income are from the letting of our premises and from the investment funds. Expenditure has been directed to the support of the charity’s aims, including the maintenance of buildings, the support of worship and the employment of a Benefice Administrator on a part-time basis.

A very generous legacy (£70 000) was left to the Benefice to be spent at the discretion of the Vicar for the spiritual benefit of parishioners at Normacot. So far, this has been used to cover transport costs to enable those at a distance to continue to attend church services at St Francis’ and to fund the cost of the repairs at Holy Evangelists’..

Section F Other optional information

Section G Declaration

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s) David McHardy

Full name(s) David William McHardy

Position (eg Secretary, Chair, Vicar & Chairman of the PCC etc) Date 29th October 2023

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Receipts and Payments Accounts

Year ending 31st December 2022

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Charities SORP (FRS 102)

Approved by the PCC on ………………..and signed on their behalf by

----- Start of picture text -----
……………………………..(PCC Chairman)
----- End of picture text -----

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Parish of St. Francis Meir Heath & The Holy Evangelists Normacot
Financial Statements for the Year Ended 31 December 2022
Receipts and Payments
Unrestricted
Funds
**Designated Funds ** Restricted Funds Endownments
Funds
Total Funds 2022 Total Funds 2021
Receipts *see note 9 for full
comparatives
Donations and Legacies 2a 37,747 23,115 60,862 46,126
Charitable Activities 2b 5,237 5,237 5,646
Other Trading Activites 2c 15,442 15,442 9,550
Investments 2d 2 174 176 1,087
Other 2e 25 967 992 940
Capital Withdrawal from Investment 26,000 40,621 66,621 101,752
Total 84,453 64,877 149,330 165,101
Payments
Raising Funds 3a 315 315 465
Charitable Activities 3b 82,657 7,953 90,610 105,104
Other 3c 473 1,075 1,548 207
Total 83,445 9,028 92,473 105,776
Net gain/(losses) on investment -38,597 -42,742 -81,339 -65,362
Net Income/(Expenditure) 1,008 55,849 56,857 59,325
Transfer between Funds -9 9
Net Movements in Funds -37,598 13,116 -24,482 -6,037
Total Funds brought forward (1st
Jan 2022)
141,343 113,241 254,584 260,621
Total Funds carried forward (31st
Dec 2022)
103,745 126,357 230,102 254,584

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Financial Statements for the Year Ended 31 December 2022

Statement of Assets and Liabilities

Assets retained for Church use
32
Investment Assets
5(a)
34
Tangible Assets
5(b)
31
Cash Funds
Bank current account
Other bank accounts
Cash
34
Other
35
Liabilities
6
Diocesan Parish Share
Diocesan Loan
Other Liabilities
H
Total Net Funds
Parish Funds
Unrestricted Funds
General
Designated
Restricted Funds
Endownment Funds
Total
Finance
Form Box
Number
Total 2022 Total 2021
95,829 177,168
6,189 5,032
127,452 71,157
632 1,227
230,102 254,584
2022
103,745
126,357
2022 2021
103,745 141,343
126,357 113,241
230,102 254,584

The attached notes form part of these financial statements

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Financial Statements for the Year Ended 31 December 2022

Accounting Policies

The financial statements have been prepared in accordance with Charities SORP (FRS102).

The financial statements have been prepared under the historical cost convention.The financial statements include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of church groups that owe their main affiliation to another body nor those that are informal gatherings of Church members.

Cashflow Statement

The Charity has taken advantage of the exemption in FRS102 from the requirement to produce a Cash flow statement on the grounds that the income does not exceed £500,000.

Descripton of Funds

Restricted funds comprise of two elements :-

a) income from trusts or endowments which may be expended only on those restricted objects provided in the terms of the trust or bequest

b) donations or grants received for a specific object or invited by the PCC for a specific object. The funds may only be expended on the specific object for which they were given. Any balance remaining unspent at the end of each year must be carried forward as a balance on that fund. The PCC does not usually invest separately for each fund. Where there is no separate investment, interest is apportioned to individual funds on an average balance basis.

Unrestricted funds are income funds which are to be spent on the PCC's general purpose. Designated funds relate to monies being held within the General account but which are set aside by the PCC for a particular purpose.

Receipts

Planned giving, collections and donations are recognised when received. Tax refunds are recognised when the incoming resource to which they relate is received. Grants and Legacies are accounted for when the PCC is legally entitled to the amounts due. Dividends are accounted for when receivable, interest is accrued. All other income is recognised when it is receivable. All incoming resources are accounted for gross.

Payments

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

Assets retained for Church use

Consecrated and benefice property is not included in the accounts in accordance with s.10(2)(a)&(C) of the Charities Act 2011.

Moveable church furnishings held by the Vicar and Churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property, listed in the Church’s inventory, which can be inspected (at any reasonable time). For anything acquired prior to 2000 there is insufficient cost information available and therefore such assets are not valued in the financial statements.

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Notes to Financial Statements for Year Ended December 2022

Income and Endowments from:
2
Donations and Legacies
2a
Voluntary Income/Receipts
1
Tax efficient planned giving
2
Other planned giving
3
Collections at services
4
All other giving and voluntary
receipts including special appeals
6
Gift Aid Recovered
7
Legacies received
8
Grants
Charitable Activities
2b
Church Activities
11
Statutory Fees (retained by PCC)
9
Fundraising Activities
Finance Form
Box Number
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total Funds
2022
Total Funds
2021
17,920 17,920 17,955
4,777 4,777 5,502
4,635 4,635 3,944
3,468 1,500 4,968 2,765
6,947 301 7,248 9,675
20,829 20,829 6,171
485 485 114
37,747 23,115 60,862 46,126
3,544 3,544 3,778
1,693 1,693 1,868
5,237 5,237 5,646

Income and Endowments continued

Other Trading Activites
2c
Activities for Generating Fund
12
Church Property rental
12
Solar Panels income
12
Parish Magazine/Bookstall
Investments
2d
10
Investment Income
10
Bank Interest
Other
2e
2022 Pilgrimage monies
2023 Pilgrimage/trips/events monies
miscellaneous - utility refund
Capital withdrawal from Investment
Total
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total Funds
2022
Total Funds
2021
12,877 12,877 7,185
1,733 1,733 1,530
832 832 835
15,442 15,442 9,550
1,085
2 174 176 2
2 174 176 1,087
765
967 967
25 25 175
26,000 40,621 66,621 101,752
84,453 64,877 149,330 165,101

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Notes to Financial Statements for Year Ended December 2022

EXPENDITURE ON:
3
Raising Funds
3a
17
Costs of Generating Income
Charitable Activities
3b
Church Activities
18
Mission giving and donations
19
Diocesan Parish Share
20
Salaries/Wages
21
Clergy and Staff Expenses
Church Expenses
22
Church Expenses(Mission and Evangelism)
23
Church running expenses
24
Church utility bills
25
Cost of trading
Major Capital Expenditure
27
Holy Evangelists' Repair work
Legacy monies spent
27
St. Francis ' works
29
St.Francis Recording equipment
St.Francis Kitchen equipment
99
Other
3c
Pilgrimage monies 2022
Pilgrimage monies 2023
Transfer from '100' Club to General Fund
Total
Finance Form
Box Number
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total Funds
2022
Total Funds
2021
315 315 465
315 315 465
119 119 414
45,192 45,192 52,375
13,709 13,709 13,008
663 663 698
402 615 1,017 106
14,815 14,815 15,477
7,257 7,257 8,063
4,580 4,580 1,103
2,758 2,758 1,220
500 500 6,714
4,054
1,872
82,657 7,953 90,610 105,104
765 765
310 310
473 473 207
83,445 9,028 92,473 #
105,776

Parish of St. Francis Meir heath & The Holy Evangelists Normacot Notes to Financial Statements for Year Ended December 2022

4(a) Staff Costs

Salaries 2022
2021
2022
2021
13,709 13,008

During the year the PCC employed Mrs Ann McHardy as Administrator, Mrs Pat Mair as Organist, Mrs Dawn Martin and Mrs Jaimie Wilks as Cleaners

4(b) PCC Costs

There were no other transactions made in respect of PCC Members, no PCC Member received remuneration, benefit or reimbursement of travelling or other personal expenses.

5(a) Assets retained for Church use

Freehold
Buildings
Church
Equipment
Total

The Parish leases a photocopier from CF Corp. Finance at a cost of £1920 p.a.

At Cost or Valuation

As at 1 Jan 2022 Additions in the Year Disposal in the Year Revaluation (if any) Value at 31st December 2022

5(b) Investments

Unrestricted funds
Investment Fund
Restricted funds
Investments
Endowment funds
Investments
Total
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
134,426 26,000 -11.62% 95,829
42,742 40,621 -4.96% 0
177,168 95,829

6 Liabilities

Amounts falling due in one year Amounts Received in Advance Deferred Parish Share Other Creditors

2022 2021
0 0

7 Analysis of Net Assets

Fixed
Investment Assets
Cash
Liabilities
General
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total
95,829 95,829
7,916 126,357 134,273
103,745 126,357 230,102
8 Funds Reconcilation
Unrestricted CCLA Investment
Unrestricted cash & accounts
Designated Funds
Restricted Funds:
Legacy Fund
Betty Harvey Legacy
Pilgrimage/Trips/Events monies
St. C. Council Grant
Endownment Funds
1
2
3
Total Funds
Reserves
at
01/01/2022
Incoming
Resources
Resources
Expended
Investment
Gains / Losses
Reserves
at
31 Dec 2022
134,426 26,000 -12,597 95,829
6,908 84,453 83,445 7,916
69,736 63,424 7,468 125,692
42,742 40,621 -2,121 0
772 968 1,075 665
0 485 485 0
254,584 149,330 159,094 -14,718 230,102

* Please insert a brief explanatory note for each designated, restricted and endownments funds.

9 SOFA Comparatives

2021
Receipts
Donations & Legacies
Charitable activities
Other Trading Activities
Investments
Other
Capital Withdrawal from
Investment
Total
Payments
Raising funds
Charitable activities
Other
Total
Net gain/(losses) on
investment
Net Income/(Expenditure)
Transfer between Funds
Net Movements in Funds
Total Funds brought forward
(1st Jan)
Total Funds c/f (31st Dec)
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownments
Funds
Total Funds
39,744 6,382 46,126
5,646 5,646
9,550 9,550
1,087 1,087
175 765 940
40,000 6,600 55,152 101,752
96,202 6,600 62,299 165,101
465 465
91,012 6,600 7,492 105,104
207 207
91,684 6,600 7,492 105,776
-20,948 -44,414 -65,362
4,518 54,807 59,325
-15,397 15,397 0
-31,827 25,790 -6,037
173,170 0 87,451 0 260,621
141,343 0 113,241 0 254,584
THE BENEFICE OF ST. FRANCIS MEIR HEATH
& THE HOLY EVANGELISTS NORMACOT
YEAR ENDING 31st DECEMBER 2022
GENERAL FUND
ST.C. St.F. HE TOTAL
2021 RECEIPTS 2022 2022 2022 2022
£ £ £ £ £
UNRESTRICTED
19,430 Gift Aid 16,828 1,092 17,920
9,675 Income Tax Recovered 7,248
5,502 Other Planned Giving 2,867 1,910 4,777
3,944 Loose Plate 4,616 19 4,635
Sundry Donations:
89 Votive Stands 734 21 755
1,411 SundryDonations 369
41 Refreshments donations 274 274
203 Tiddlers 595 595
85 Indoor Games Club 271 271
108 Stitch,Knit & Natter Club donation 341 341
SafeguardingCreation events donations 85 85
1,645 Donations in memoriam 2,135 2,135
Grants & Legacies:
114 SoT CC Grant for work at St. C.
Staffs BC Wildlife work Grant 485 485
Legacy 20,341
Fund Raising:
332 Parish '100' Clubproceeds 473
450 Parish '100' Club subscriptions 539
73 Collection Bottle 63
St.F. Lunch Clubproceeds 84 84
318 Sundryfund-raising,raffles etc 389
Charitable & Ancillary Trading:
799 Parish Magazine Subs and sales 494 71 565
36 Parish Magazine adverts income 267
"Our Faithful"Queen book 50
Feespaid to the PCC:
7,185 Room hire and rental 9,650 3,227 12,877
3,778 Occasional Offices 3,544
Non-Charitable Trading:
1,110 Fees rec'd to bepaid to Verger,Organist,Clergy 1,053
Insurance claims & other Income:
175 Refunds re: Utilities 25
1,530 Solar Panels income 1,733
1,085 CBF Property Fund dividends
ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
DESIGNATED/RESTRICTED
Income from donors:
230 World Vision Appeal 244
2,000 HE Fabric donations
Other:
1,918 Fees Assigned 1,846
1,051 Restricted donations
101,752 Withdrawal from CCLA Funds 66,621
765 2022 Walsingham Pilgrimage monies 5,295
2023 Walsingham Pilgrimage monies 600
2023 Scotland tripmonies 9,756
Autumn tree-plantingmonies 1,423
Burns Supper 2023 monies 125
Fr. Herbert's Tripmonies 242
Aston Marina Christmas meal monies 2,014
275 Children's Society 80 306 386
740 Common Licence Fees 400
486 SOLW Lent Appeal monies
Ukraine Lent Appeal 510
Transfers In:
from Trips/Events account 17,121
9,098 from Legacyaccount 7,468
1,872 from Social account
**179,305 ** TOTAL RECEIPTS 195,944
THE BENEFICE OF ST. FRANCIS MEIR HEATH
& THE HOLY EVANGELISTS NORMACOT
YEAR ENDING 31st DECEMBER 2022
GENERAL FUND
PAYMENTS ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
Grants & Mission:
275 Children's Society 80 306 386
298 World Vision 298
5 Poor ClergyRelief 5
583 SOLW Lent Appeal
Ukraine Lent Appeal 510
244 Tearfund Toilet Twinning
Alzheimer's Society 147
Foodbank 45
SOLW Lamp 70
52,375 Common Fund 45,192
698 Clergy Expenses 663
Upkeep of Church:
3,432 Gas 568 1,852 383 2,803
4,373 Electricity 736 3,089 241 4,066
6,420 Insurance 940 3,021 2,752 6,713
164 Refuse collection 172 36 208
258 STWA 222 166 388
147 Cleaningsupplies 15 48 63
Paper supplies 139
249 Mobile WiFi 263 263
1551 Re-decorating,misc.repairs,maintenance 40 1,181 218 1,439
301 Grounds maintenance 170 170
94 PPE supplies 27
Memorial Garden maintenance 30 30
100 Independent Examiner 100
Upkeep of Services:
279 Altar Requisites 142 323
95 Ordo's 99
110 Church music 110
Mission material 45
Service requisites 59
218 Candle supplies
Event Expenses:
78 Parish Trips/Events expenses 153
SafeguardingCreation event expenses 1,940 1,940
56 Refreshments expenses 201 201
Lunch Club expenses 102 102
ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
Trading:
"Our Faithful"Queen book 50
Major Works & One-offs
Buildingrepairs 4,580 4,580
114 Grant works
768 St.F. LightningConductor repair
1,220 St.F. Candlesticks(legacymoney)
4,054 Camera & Film equipment
6,600 St.C. Hedge-cutting
107 St.F.grounds equipment
825 HE Surveyor's Inspection
278 HE Repairs
1,872 St.F. Dishwasher & kitchen equipment
109 Tiddlers' equipment
St.F. WaspNest removal incl scaffolding 500 500
St.F. Chalice(Legacymoney) 1,583 1,583
St.F. Hall table trolleys 901 901
St.F. Office computer 499 499
St.F. Scaffold Tower 274 274
Salaries & Support Costs:
9,799 Administrator 9,994
1,715 Organist 1,855
1,494 Cleaner 595 1,265 1,860
1,019 Feespaid to Verger,Organist & Retired Clergy 1,008
91 Retired Clergyfees/ClergyThankyou's 20 20
Fund Raising Costs:
92 Church GivingEnvelopes 95
Parish '100' Clubprize money 200
Staffs BC LotteryLicence 20
Church Admin:
2,079 Photocopier Rental & maintenance 1,932
639 Officephone bill 480
574 Office supplies,costs &postage 781
60 Forward in Faith subs 60
451 Christian Copyright Licensing 291
12 Transport expenses 130
144 Zoom subscription
50 Course materials
127 Miscellaneous admin costs
34 HSBC Bank charges 244
Book of Remembrance Calligrapher fee 139 139
ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
Designated Payments:
1,918 Fees assigned to the Diocese 1,846
0 Walsingham 2022 Pilgrimage deposits refunded 270
740 Common Licence Fees 400
Walsingham 2022payments 5,720
Walsingham 2023payments 310
Scotland Trip payments 9,480
Aston Marina Christmas mealpayment 2,014
Transfers Out:
63,771 to LegacyAccount 63,251
765 to Trips Account 17,158
to Social Account 299
**173,924 ** TOTAL PAYMENTS 195,001
01.01.22 Balances b/f
General Account 5,032
PettyCash 415 5,447
plus receipts for theyear 195,944
sub-total
lesspayments for theyear 195,001
31.12.22 Balances c/f
General Account 6,189
PettyCash 201 6,390
ADDITIONAL ACCOUNT 1
2021 PARISH TRIPS & EVENTS MONIES 2022
£ £
7 1.1.22 Balance brouight forward 772
765 2022 Walsingham Pilgrimage deposits 5,295
2023 Walsingham Pilgrimage deposits 600
Scotland Tripdeposits 9,756
Tree Sponsorshipreceipts 720
Aston Marina Christmas Meal deposits 420
Fr. Herbert Service deposits 242
2023 Burns Supper deposits 125
0 Bank interest 1
total receipts 17,159
2022 Walsingham Pilgrimage refunds 270
2022 Walsinghampayments 5,720
2022 Walsinghamproceeds to SOLW(lamp) 70
Scotland Trip payments 9,611
Scotland Trip proceeds to Social a/c 145
Walsingham 2023payments 310
Aston Marina Christmas mealpayments 420
Tree Nursery payments 720
totalpayments 17,266
772 31.12.22 Balance carried forward 665
ADDITIONAL ACCOUNT 2
2021 SOCIAL FUND MONIES 2022
£ £
2,521 1.1.22 Balance brought forward 649
plus receipts for theyear:
Trips/Eventsproceeds:
Burns Supper 216
Jubilee Picnic 83
Scotland Trip 145
0 Bank interest 2
lesspayments for theyear:
1,872 St.F. Kitchen equipment
649 31.12.22 Balance carried forward 1,095
ADDITIONAL ACCOUNT 3
2021 LEGACY ACCOUNT 2022
£ £
15,061 1.1.22 Balance brought forward 69,736
plus receipts for theyear:
2 Interest 173
6,171 Legacies/donations received 22,329
50,000 HarveyInvestment Funds re: HE repairs 40,621
Gift aid rec'd on legacies 301
total receipts 63,424
lesspayments for theyear
Legacymonies spent:
St. F. Hall table trolleys 901
Chalice in memoryof Enoch Pritchard 1,583
St.F. Scaffold Tower 274
1,220 St.F.Candlesticks in memoryPam Goodwin
278 HE Repair work Harveylegacymonies 4,580
HE Taxi fares Harveylegacymonies 130
totalpayments 7,468
69,736 31.12.22 Balance carried forward 125,692
2021 CBF Church of England INVESTMENT FUND 2022
£ £
119,328 1.1.22 Portfolio valuation 134,426
2301.76 shares@5840.15p
33,035 Receipts: 0
less funds withdrawn:
40,000 Common Fund instalment 26,000
495.30 shares@5249.33p
134,426 31.12.22 Portfolio valuation 95,829
1806.46 shares@5304.80
12.65% increase/decrease in valuation -11.62%
2021 CBF Church of England Property Fund 2022
£ £
36,046 1.1.22 Portfolio valuation 0
Reinvested dividends
409 1.3.21 304.81 shares@134.33p
498 1.6.21 363.88 shares@136.97p
less funds withdrawn:
4,899.05 Shares@134.72p
6,600 St. Clare's Hedge-cutting
26.10.21 Fund closed and balance transferred
to Investment Fund
33,035 23,623.49 Shares@139.84p
0 31.12.22 Portfolio valuation 0
-8.35% increase/decrease in valuation
CBF Church of England Investment Fund
2021 Normacot - Harvey Fund 2022
£ £
73,353 1.1.22 Portfolio valuation 42,742
731.87 Shares@5840.15p
15,274 Receipts: 0
55,152 Withdrawals: 40,621
731.87 shares@5550.36
42,742 31.12.22 Portfolio valuation 0
-41.73% increase/decrease in valuation -4.96%
CBF Church of England Property Fund
2021 Normacot - Harvey Fund 2022
£ £
13,803 01.01.22 Portfolio Valuation 0
plus receipts:
348 Reinvested dividends:- 0
15,274 less withdrawals:
0 31.12.22 Portfolio valuation 0
10.66% increase/decrease in valuation
2021 PARISH '100' CLUB 2022
Stafford Borough Council Reg. No. 1243
£ £
207 1.1.22 Balance brought forward 473
plus receipts for theyear: 0
858 Subs received direct
35 Prizes donated back
450 Subspaid direct to Church
lesspayments for theyear:
295 prizes
332 proceeds donated to Church 473
450 moniespaid direct to Church
473 31.12.22 Balance carried forward 0
now accounted for in Churchgeneral a/c
2021 HOLY EVANGELISTS FLOWER FUND 2022
£ £
25 1.1.22 Balance brought forward 61
plus receipts for theyear:
80 donations received 0
44 cost of flowers & materials 0
61 31.12.22 Balance carried forward 61
2021 ST. FRANCIS FLOWER FUND 2022
£ £
204 1.1.22 Balance brought forward 278
Plus receipts for theyear:
675 Donations 778
lesspayments for theyear:
601 Flowers & materials 686
278 31.12.22 Balance carried forward 370
Normacot HarveyMonies payments receipts
14.10.21 CCLA HarveyFund withdrawal 50,000.00 50,000.00
7.10.21 A Milward - Porch damage repair 278.00 49,722.00
Clearguttering& raingullies
28.1.22 Halfern Ltd - Interior scaffolding& 2,520.00 47,202.00
removal of looseplaster
3.2.22 Final liquidation of CCLA HarveyFund 40,621.42 87,823.42
10.2.22 Atlas Scaffolding- exterior scaffolding 957.60 86,865.82
10.2.22 Atlas Scaffolding- ladder hire 36.00 86,829.82
2.3.22 Atlas Scaffolding- ladder hire 72.00 86,757.82
11.3.22 Atlas Scaffolding- ladder hire 36.00 86,721.82
15.3.22 Atlas Scaffolding- ladder hire 72.00 86,649.82
26.3.22 Atlas Scaffolding- ladder hire 72.00 86,577.82
4.4.22 HE Taxi Fares(C & B Wood) 28.40 86,549.42
4.5.22 Atlas Scaffolding- scaffold hire 205.20 86,344.22
24.5.22 HE Taxi Fares(C & B Wood) 13.40 86,330.82
10.6.22 Atlas Scaffolding- scaffold & ladder hire 199.20 86,131.62
3.7.22 Atlas Scaffolding- scaffold hire 91.20 86,040.42
2.8.22 Atlas Scaffolding- scaffold hire 114.00 85,926.42
8.8.22 HE Taxi Fares(C & B Wood) 13.80 85,912.62
29.8.22 HE Taxi Fares(C & B Wood) 13.70 85,898.92
6.9.22 Atlas Scaffolding- scaffold hire 91.20 85,807.72
6.10.22 Atlas Scaffolding- scaffold hire 114.00 85,693.72
17.10.22 HE Taxi Fares(C & B Wood) 13.30 85,680.42
10.12.22 HE Taxi Fares(C & B Wood) 13.40 85,667.02
1.1.23 HE Taxi Fares(C & B Wood) 33.50 85,633.52
Total HE Repairspaid so far 4,858.40
Total HE Repairs 2022 4,580.40
Total HE Taxi Fares paid 129.50

14102R023. 16..13 Ind•ppndont Examln•r'¥ Reportto the Tnoteès ot st Franc18 Molr H8ath & The Holy E¥ango11sts Norniacot I rewrt w the acrA)unts Df tf churth forthe yw endecl 31st DecembeT 2022. R8spth8 R8spongits'I￿.0S of Tntsteas and Examiner The Churth'$ trugtèas arè r•sponsibJ8 forth& weparatbn ofth8 accounts. The church's trustees consid¢rthat an audit is not required forthis wr under sècyon 144121 of the Charities Act 2011 1th9 2011 Actl and that ar independent èxamlnatk)n Is ne8d8d. 11 is my rgsponsiblity to-.- Examine the ￿￿OUnts lundar 8ac¥on 145 of the 2011 AGt),' To fdlow thtr procedures laid down in Ihe General D(r¥cllons givan by the Charity Cornmi58ioners lundar sèction 1451Sllbl of the 2011 AGtI'. and To 8tat8 wh&thor parts￿lar rnatters have to my attention. Ba¥r& Ol Ind*p0nd8nt Examlnor's Teport My examlnatkjn was cathed out in aLwrd8nce vrilh the gen8r81 DSr8Ctlons glven by the Charity CornTnision. An exkmlnatton Indudes a re¥￿¥ of Ihe aGcounung re￿rrts kept by the chadty and cornparison of the aeLounts pr8sented with Ih05F teGoTds. It 81so Includes consideration of any unusual items of disdosures in the accounts, and se8king explanatN)ns frorn you as t￿Ste$S concèming any such matters. The procedures undèrtakèn do not prowd8 all th8 evidoncg that would bè raquirod in an audit and conG￿u8n￿Y no opinion is given to whether the acunts ptssant a'true and fair and the report is bmitèd to those matters set out in th8 Statem8nt b810w. 1r2

14102120rJ. 16".13 Independ8nt Ex4rnlnei's Statement In connection wllh my examination, no maiter has corne to my attention." 1. whith gNes me r8asonabi8 cause to belleve that In any tnat8rial t&speLI th8 requlrements to keep acLounting racords in accordance with Secti￿ 130 of the 2011 Act,. and to pmpare accounts whlch accord with the accwnb'ng record5 and ¢omrAy ￿th Ihe Atxx)uTrting Teeofds of the 2011 Act have nol been n*t'. or 2. to which, in my opinKJn. 8tt¥ntion should b8 dr8wn in ortler to enable s proper undor8tandlng of the accounts to b8 roachgd. Gillian Ja<kn)n 24 DrayGott Olfl Roa Forsbrwk Stok8 on Trent ST11 9AL 20th Febrts8ry 2023 hupsJIth$.9￿￿ox￿￿[doELr￿￿vthj22K￿HEq￿xl￿th1lPQlrfwIoh￿obJx￿10￿£Q3O5Wrt

Receipts and Payments Accounts

Year ending 31st December 2022

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Charities SORP (FRS 102)

Approved by the PCC on ………………..and signed on their behalf by

----- Start of picture text -----
……………………………..(PCC Chairman)
----- End of picture text -----

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Parish of St. Francis Meir Heath & The Holy Evangelists Normacot
Financial Statements for the Year Ended 31 December 2022
Receipts and Payments
Unrestricted
Funds
**Designated Funds ** Restricted Funds Endownments
Funds
Total Funds 2022 Total Funds 2021
Receipts *see note 9 for full
comparatives
Donations and Legacies 2a 37,747 23,115 60,862 46,126
Charitable Activities 2b 5,237 5,237 5,646
Other Trading Activites 2c 15,442 15,442 9,550
Investments 2d 2 174 176 1,087
Other 2e 25 967 992 940
Capital Withdrawal from Investment 26,000 40,621 66,621 101,752
Total 84,453 64,877 149,330 165,101
Payments
Raising Funds 3a 315 315 465
Charitable Activities 3b 82,657 7,953 90,610 105,104
Other 3c 473 1,075 1,548 207
Total 83,445 9,028 92,473 105,776
Net gain/(losses) on investment -38,597 -42,742 -81,339 -65,362
Net Income/(Expenditure) 1,008 55,849 56,857 59,325
Transfer between Funds -9 9
Net Movements in Funds -37,598 13,116 -24,482 -6,037
Total Funds brought forward (1st
Jan 2022)
141,343 113,241 254,584 260,621
Total Funds carried forward (31st
Dec 2022)
103,745 126,357 230,102 254,584

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Financial Statements for the Year Ended 31 December 2022

Statement of Assets and Liabilities

Assets retained for Church use
32
Investment Assets
5(a)
34
Tangible Assets
5(b)
31
Cash Funds
Bank current account
Other bank accounts
Cash
34
Other
35
Liabilities
6
Diocesan Parish Share
Diocesan Loan
Other Liabilities
H
Total Net Funds
Parish Funds
Unrestricted Funds
General
Designated
Restricted Funds
Endownment Funds
Total
Finance
Form Box
Number
Total 2022 Total 2021
95,829 177,168
6,189 5,032
127,452 71,157
632 1,227
230,102 254,584
2022
103,745
126,357
2022 2021
103,745 141,343
126,357 113,241
230,102 254,584

The attached notes form part of these financial statements

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Financial Statements for the Year Ended 31 December 2022

Accounting Policies

The financial statements have been prepared in accordance with Charities SORP (FRS102).

The financial statements have been prepared under the historical cost convention.The financial statements include all transactions, assets and liabilities for which the PCC is responsible in law. They do not include the accounts of church groups that owe their main affiliation to another body nor those that are informal gatherings of Church members.

Cashflow Statement

The Charity has taken advantage of the exemption in FRS102 from the requirement to produce a Cash flow statement on the grounds that the income does not exceed £500,000.

Descripton of Funds

Restricted funds comprise of two elements :-

a) income from trusts or endowments which may be expended only on those restricted objects provided in the terms of the trust or bequest

b) donations or grants received for a specific object or invited by the PCC for a specific object. The funds may only be expended on the specific object for which they were given. Any balance remaining unspent at the end of each year must be carried forward as a balance on that fund. The PCC does not usually invest separately for each fund. Where there is no separate investment, interest is apportioned to individual funds on an average balance basis.

Unrestricted funds are income funds which are to be spent on the PCC's general purpose. Designated funds relate to monies being held within the General account but which are set aside by the PCC for a particular purpose.

Receipts

Planned giving, collections and donations are recognised when received. Tax refunds are recognised when the incoming resource to which they relate is received. Grants and Legacies are accounted for when the PCC is legally entitled to the amounts due. Dividends are accounted for when receivable, interest is accrued. All other income is recognised when it is receivable. All incoming resources are accounted for gross.

Payments

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

Assets retained for Church use

Consecrated and benefice property is not included in the accounts in accordance with s.10(2)(a)&(C) of the Charities Act 2011.

Moveable church furnishings held by the Vicar and Churchwardens on special trust for the PCC and which require a faculty for disposal are inalienable property, listed in the Church’s inventory, which can be inspected (at any reasonable time). For anything acquired prior to 2000 there is insufficient cost information available and therefore such assets are not valued in the financial statements.

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot

Notes to Financial Statements for Year Ended December 2022

Income and Endowments from:
2
Donations and Legacies
2a
Voluntary Income/Receipts
1
Tax efficient planned giving
2
Other planned giving
3
Collections at services
4
All other giving and voluntary
receipts including special appeals
6
Gift Aid Recovered
7
Legacies received
8
Grants
Charitable Activities
2b
Church Activities
11
Statutory Fees (retained by PCC)
9
Fundraising Activities
Finance Form
Box Number
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total Funds
2022
Total Funds
2021
17,920 17,920 17,955
4,777 4,777 5,502
4,635 4,635 3,944
3,468 1,500 4,968 2,765
6,947 301 7,248 9,675
20,829 20,829 6,171
485 485 114
37,747 23,115 60,862 46,126
3,544 3,544 3,778
1,693 1,693 1,868
5,237 5,237 5,646

Income and Endowments continued

Other Trading Activites
2c
Activities for Generating Fund
12
Church Property rental
12
Solar Panels income
12
Parish Magazine/Bookstall
Investments
2d
10
Investment Income
10
Bank Interest
Other
2e
2022 Pilgrimage monies
2023 Pilgrimage/trips/events monies
miscellaneous - utility refund
Capital withdrawal from Investment
Total
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total Funds
2022
Total Funds
2021
12,877 12,877 7,185
1,733 1,733 1,530
832 832 835
15,442 15,442 9,550
1,085
2 174 176 2
2 174 176 1,087
765
967 967
25 25 175
26,000 40,621 66,621 101,752
84,453 64,877 149,330 165,101

Parish of St. Francis Meir Heath & The Holy Evangelists Normacot Notes to Financial Statements for Year Ended December 2022

EXPENDITURE ON:
3
Raising Funds
3a
17
Costs of Generating Income
Charitable Activities
3b
Church Activities
18
Mission giving and donations
19
Diocesan Parish Share
20
Salaries/Wages
21
Clergy and Staff Expenses
Church Expenses
22
Church Expenses(Mission and Evangelism)
23
Church running expenses
24
Church utility bills
25
Cost of trading
Major Capital Expenditure
27
Holy Evangelists' Repair work
Legacy monies spent
27
St. Francis ' works
29
St.Francis Recording equipment
St.Francis Kitchen equipment
99
Other
3c
Pilgrimage monies 2022
Pilgrimage monies 2023
Transfer from '100' Club to General Fund
Total
Finance Form
Box Number
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total Funds
2022
Total Funds
2021
315 315 465
315 315 465
119 119 414
45,192 45,192 52,375
13,709 13,709 13,008
663 663 698
402 615 1,017 106
14,815 14,815 15,477
7,257 7,257 8,063
4,580 4,580 1,103
2,758 2,758 1,220
500 500 6,714
4,054
1,872
82,657 7,953 90,610 105,104
765 765
310 310
473 473 207
83,445 9,028 92,473 #
105,776

Parish of St. Francis Meir heath & The Holy Evangelists Normacot Notes to Financial Statements for Year Ended December 2022

4(a) Staff Costs

Salaries 2022
2021
2022
2021
13,709 13,008

During the year the PCC employed Mrs Ann McHardy as Administrator, Mrs Pat Mair as Organist, Mrs Dawn Martin and Mrs Jaimie Wilks as Cleaners

4(b) PCC Costs

There were no other transactions made in respect of PCC Members, no PCC Member received remuneration, benefit or reimbursement of travelling or other personal expenses.

5(a) Assets retained for Church use

Freehold
Buildings
Church
Equipment
Total

The Parish leases a photocopier from CF Corp. Finance at a cost of £1920 p.a.

At Cost or Valuation

As at 1 Jan 2022 Additions in the Year Disposal in the Year Revaluation (if any) Value at 31st December 2022

5(b) Investments

Unrestricted funds
Investment Fund
Restricted funds
Investments
Endowment funds
Investments
Total
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
At
At
01/01/2022
Additions
Disposals
Transfers
Change in
Market Value
31/12/2022
134,426 26,000 -11.62% 95,829
42,742 40,621 -4.96% 0
177,168 95,829

6 Liabilities

Amounts falling due in one year Amounts Received in Advance Deferred Parish Share Other Creditors

2022 2021
0 0

7 Analysis of Net Assets

Fixed
Investment Assets
Cash
Liabilities
General
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownment
Funds
Total
95,829 95,829
7,916 126,357 134,273
103,745 126,357 230,102
8 Funds Reconcilation
Unrestricted CCLA Investment
Unrestricted cash & accounts
Designated Funds
Restricted Funds:
Legacy Fund
Betty Harvey Legacy
Pilgrimage/Trips/Events monies
St. C. Council Grant
Endownment Funds
1
2
3
Total Funds
Reserves
at
01/01/2022
Incoming
Resources
Resources
Expended
Investment
Gains / Losses
Reserves
at
31 Dec 2022
134,426 26,000 -12,597 95,829
6,908 84,453 83,445 7,916
69,736 63,424 7,468 125,692
42,742 40,621 -2,121 0
772 968 1,075 665
0 485 485 0
254,584 149,330 159,094 -14,718 230,102

* Please insert a brief explanatory note for each designated, restricted and endownments funds.

9 SOFA Comparatives

2021
Receipts
Donations & Legacies
Charitable activities
Other Trading Activities
Investments
Other
Capital Withdrawal from
Investment
Total
Payments
Raising funds
Charitable activities
Other
Total
Net gain/(losses) on
investment
Net Income/(Expenditure)
Transfer between Funds
Net Movements in Funds
Total Funds brought forward
(1st Jan)
Total Funds c/f (31st Dec)
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endownments
Funds
Total Funds
39,744 6,382 46,126
5,646 5,646
9,550 9,550
1,087 1,087
175 765 940
40,000 6,600 55,152 101,752
96,202 6,600 62,299 165,101
465 465
91,012 6,600 7,492 105,104
207 207
91,684 6,600 7,492 105,776
-20,948 -44,414 -65,362
4,518 54,807 59,325
-15,397 15,397 0
-31,827 25,790 -6,037
173,170 0 87,451 0 260,621
141,343 0 113,241 0 254,584
THE BENEFICE OF ST. FRANCIS MEIR HEATH
& THE HOLY EVANGELISTS NORMACOT
YEAR ENDING 31st DECEMBER 2022
GENERAL FUND
ST.C. St.F. HE TOTAL
2021 RECEIPTS 2022 2022 2022 2022
£ £ £ £ £
UNRESTRICTED
19,430 Gift Aid 16,828 1,092 17,920
9,675 Income Tax Recovered 7,248
5,502 Other Planned Giving 2,867 1,910 4,777
3,944 Loose Plate 4,616 19 4,635
Sundry Donations:
89 Votive Stands 734 21 755
1,411 SundryDonations 369
41 Refreshments donations 274 274
203 Tiddlers 595 595
85 Indoor Games Club 271 271
108 Stitch,Knit & Natter Club donation 341 341
SafeguardingCreation events donations 85 85
1,645 Donations in memoriam 2,135 2,135
Grants & Legacies:
114 SoT CC Grant for work at St. C.
Staffs BC Wildlife work Grant 485 485
Legacy 20,341
Fund Raising:
332 Parish '100' Clubproceeds 473
450 Parish '100' Club subscriptions 539
73 Collection Bottle 63
St.F. Lunch Clubproceeds 84 84
318 Sundryfund-raising,raffles etc 389
Charitable & Ancillary Trading:
799 Parish Magazine Subs and sales 494 71 565
36 Parish Magazine adverts income 267
"Our Faithful"Queen book 50
Feespaid to the PCC:
7,185 Room hire and rental 9,650 3,227 12,877
3,778 Occasional Offices 3,544
Non-Charitable Trading:
1,110 Fees rec'd to bepaid to Verger,Organist,Clergy 1,053
Insurance claims & other Income:
175 Refunds re: Utilities 25
1,530 Solar Panels income 1,733
1,085 CBF Property Fund dividends
ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
DESIGNATED/RESTRICTED
Income from donors:
230 World Vision Appeal 244
2,000 HE Fabric donations
Other:
1,918 Fees Assigned 1,846
1,051 Restricted donations
101,752 Withdrawal from CCLA Funds 66,621
765 2022 Walsingham Pilgrimage monies 5,295
2023 Walsingham Pilgrimage monies 600
2023 Scotland tripmonies 9,756
Autumn tree-plantingmonies 1,423
Burns Supper 2023 monies 125
Fr. Herbert's Tripmonies 242
Aston Marina Christmas meal monies 2,014
275 Children's Society 80 306 386
740 Common Licence Fees 400
486 SOLW Lent Appeal monies
Ukraine Lent Appeal 510
Transfers In:
from Trips/Events account 17,121
9,098 from Legacyaccount 7,468
1,872 from Social account
**179,305 ** TOTAL RECEIPTS 195,944
THE BENEFICE OF ST. FRANCIS MEIR HEATH
& THE HOLY EVANGELISTS NORMACOT
YEAR ENDING 31st DECEMBER 2022
GENERAL FUND
PAYMENTS ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
Grants & Mission:
275 Children's Society 80 306 386
298 World Vision 298
5 Poor ClergyRelief 5
583 SOLW Lent Appeal
Ukraine Lent Appeal 510
244 Tearfund Toilet Twinning
Alzheimer's Society 147
Foodbank 45
SOLW Lamp 70
52,375 Common Fund 45,192
698 Clergy Expenses 663
Upkeep of Church:
3,432 Gas 568 1,852 383 2,803
4,373 Electricity 736 3,089 241 4,066
6,420 Insurance 940 3,021 2,752 6,713
164 Refuse collection 172 36 208
258 STWA 222 166 388
147 Cleaningsupplies 15 48 63
Paper supplies 139
249 Mobile WiFi 263 263
1551 Re-decorating,misc.repairs,maintenance 40 1,181 218 1,439
301 Grounds maintenance 170 170
94 PPE supplies 27
Memorial Garden maintenance 30 30
100 Independent Examiner 100
Upkeep of Services:
279 Altar Requisites 142 323
95 Ordo's 99
110 Church music 110
Mission material 45
Service requisites 59
218 Candle supplies
Event Expenses:
78 Parish Trips/Events expenses 153
SafeguardingCreation event expenses 1,940 1,940
56 Refreshments expenses 201 201
Lunch Club expenses 102 102
ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
Trading:
"Our Faithful"Queen book 50
Major Works & One-offs
Buildingrepairs 4,580 4,580
114 Grant works
768 St.F. LightningConductor repair
1,220 St.F. Candlesticks(legacymoney)
4,054 Camera & Film equipment
6,600 St.C. Hedge-cutting
107 St.F.grounds equipment
825 HE Surveyor's Inspection
278 HE Repairs
1,872 St.F. Dishwasher & kitchen equipment
109 Tiddlers' equipment
St.F. WaspNest removal incl scaffolding 500 500
St.F. Chalice(Legacymoney) 1,583 1,583
St.F. Hall table trolleys 901 901
St.F. Office computer 499 499
St.F. Scaffold Tower 274 274
Salaries & Support Costs:
9,799 Administrator 9,994
1,715 Organist 1,855
1,494 Cleaner 595 1,265 1,860
1,019 Feespaid to Verger,Organist & Retired Clergy 1,008
91 Retired Clergyfees/ClergyThankyou's 20 20
Fund Raising Costs:
92 Church GivingEnvelopes 95
Parish '100' Clubprize money 200
Staffs BC LotteryLicence 20
Church Admin:
2,079 Photocopier Rental & maintenance 1,932
639 Officephone bill 480
574 Office supplies,costs &postage 781
60 Forward in Faith subs 60
451 Christian Copyright Licensing 291
12 Transport expenses 130
144 Zoom subscription
50 Course materials
127 Miscellaneous admin costs
34 HSBC Bank charges 244
Book of Remembrance Calligrapher fee 139 139
ST.C. St.F. HE TOTAL
2021 2022 2022 2022 2022
£ £ £ £ £
Designated Payments:
1,918 Fees assigned to the Diocese 1,846
0 Walsingham 2022 Pilgrimage deposits refunded 270
740 Common Licence Fees 400
Walsingham 2022payments 5,720
Walsingham 2023payments 310
Scotland Trip payments 9,480
Aston Marina Christmas mealpayment 2,014
Transfers Out:
63,771 to LegacyAccount 63,251
765 to Trips Account 17,158
to Social Account 299
**173,924 ** TOTAL PAYMENTS 195,001
01.01.22 Balances b/f
General Account 5,032
PettyCash 415 5,447
plus receipts for theyear 195,944
sub-total
lesspayments for theyear 195,001
31.12.22 Balances c/f
General Account 6,189
PettyCash 201 6,390
ADDITIONAL ACCOUNT 1
2021 PARISH TRIPS & EVENTS MONIES 2022
£ £
7 1.1.22 Balance brouight forward 772
765 2022 Walsingham Pilgrimage deposits 5,295
2023 Walsingham Pilgrimage deposits 600
Scotland Tripdeposits 9,756
Tree Sponsorshipreceipts 720
Aston Marina Christmas Meal deposits 420
Fr. Herbert Service deposits 242
2023 Burns Supper deposits 125
0 Bank interest 1
total receipts 17,159
2022 Walsingham Pilgrimage refunds 270
2022 Walsinghampayments 5,720
2022 Walsinghamproceeds to SOLW(lamp) 70
Scotland Trip payments 9,611
Scotland Trip proceeds to Social a/c 145
Walsingham 2023payments 310
Aston Marina Christmas mealpayments 420
Tree Nursery payments 720
totalpayments 17,266
772 31.12.22 Balance carried forward 665
ADDITIONAL ACCOUNT 2
2021 SOCIAL FUND MONIES 2022
£ £
2,521 1.1.22 Balance brought forward 649
plus receipts for theyear:
Trips/Eventsproceeds:
Burns Supper 216
Jubilee Picnic 83
Scotland Trip 145
0 Bank interest 2
lesspayments for theyear:
1,872 St.F. Kitchen equipment
649 31.12.22 Balance carried forward 1,095
ADDITIONAL ACCOUNT 3
2021 LEGACY ACCOUNT 2022
£ £
15,061 1.1.22 Balance brought forward 69,736
plus receipts for theyear:
2 Interest 173
6,171 Legacies/donations received 22,329
50,000 HarveyInvestment Funds re: HE repairs 40,621
Gift aid rec'd on legacies 301
total receipts 63,424
lesspayments for theyear
Legacymonies spent:
St. F. Hall table trolleys 901
Chalice in memoryof Enoch Pritchard 1,583
St.F. Scaffold Tower 274
1,220 St.F.Candlesticks in memoryPam Goodwin
278 HE Repair work Harveylegacymonies 4,580
HE Taxi fares Harveylegacymonies 130
totalpayments 7,468
69,736 31.12.22 Balance carried forward 125,692
2021 CBF Church of England INVESTMENT FUND 2022
£ £
119,328 1.1.22 Portfolio valuation 134,426
2301.76 shares@5840.15p
33,035 Receipts: 0
less funds withdrawn:
40,000 Common Fund instalment 26,000
495.30 shares@5249.33p
134,426 31.12.22 Portfolio valuation 95,829
1806.46 shares@5304.80
12.65% increase/decrease in valuation -11.62%
2021 CBF Church of England Property Fund 2022
£ £
36,046 1.1.22 Portfolio valuation 0
Reinvested dividends
409 1.3.21 304.81 shares@134.33p
498 1.6.21 363.88 shares@136.97p
less funds withdrawn:
4,899.05 Shares@134.72p
6,600 St. Clare's Hedge-cutting
26.10.21 Fund closed and balance transferred
to Investment Fund
33,035 23,623.49 Shares@139.84p
0 31.12.22 Portfolio valuation 0
-8.35% increase/decrease in valuation
CBF Church of England Investment Fund
2021 Normacot - Harvey Fund 2022
£ £
73,353 1.1.22 Portfolio valuation 42,742
731.87 Shares@5840.15p
15,274 Receipts: 0
55,152 Withdrawals: 40,621
731.87 shares@5550.36
42,742 31.12.22 Portfolio valuation 0
-41.73% increase/decrease in valuation -4.96%
CBF Church of England Property Fund
2021 Normacot - Harvey Fund 2022
£ £
13,803 01.01.22 Portfolio Valuation 0
plus receipts:
348 Reinvested dividends:- 0
15,274 less withdrawals:
0 31.12.22 Portfolio valuation 0
10.66% increase/decrease in valuation
2021 PARISH '100' CLUB 2022
Stafford Borough Council Reg. No. 1243
£ £
207 1.1.22 Balance brought forward 473
plus receipts for theyear: 0
858 Subs received direct
35 Prizes donated back
450 Subspaid direct to Church
lesspayments for theyear:
295 prizes
332 proceeds donated to Church 473
450 moniespaid direct to Church
473 31.12.22 Balance carried forward 0
now accounted for in Churchgeneral a/c
2021 HOLY EVANGELISTS FLOWER FUND 2022
£ £
25 1.1.22 Balance brought forward 61
plus receipts for theyear:
80 donations received 0
44 cost of flowers & materials 0
61 31.12.22 Balance carried forward 61
2021 ST. FRANCIS FLOWER FUND 2022
£ £
204 1.1.22 Balance brought forward 278
Plus receipts for theyear:
675 Donations 778
lesspayments for theyear:
601 Flowers & materials 686
278 31.12.22 Balance carried forward 370
Normacot HarveyMonies payments receipts
14.10.21 CCLA HarveyFund withdrawal 50,000.00 50,000.00
7.10.21 A Milward - Porch damage repair 278.00 49,722.00
Clearguttering& raingullies
28.1.22 Halfern Ltd - Interior scaffolding& 2,520.00 47,202.00
removal of looseplaster
3.2.22 Final liquidation of CCLA HarveyFund 40,621.42 87,823.42
10.2.22 Atlas Scaffolding- exterior scaffolding 957.60 86,865.82
10.2.22 Atlas Scaffolding- ladder hire 36.00 86,829.82
2.3.22 Atlas Scaffolding- ladder hire 72.00 86,757.82
11.3.22 Atlas Scaffolding- ladder hire 36.00 86,721.82
15.3.22 Atlas Scaffolding- ladder hire 72.00 86,649.82
26.3.22 Atlas Scaffolding- ladder hire 72.00 86,577.82
4.4.22 HE Taxi Fares(C & B Wood) 28.40 86,549.42
4.5.22 Atlas Scaffolding- scaffold hire 205.20 86,344.22
24.5.22 HE Taxi Fares(C & B Wood) 13.40 86,330.82
10.6.22 Atlas Scaffolding- scaffold & ladder hire 199.20 86,131.62
3.7.22 Atlas Scaffolding- scaffold hire 91.20 86,040.42
2.8.22 Atlas Scaffolding- scaffold hire 114.00 85,926.42
8.8.22 HE Taxi Fares(C & B Wood) 13.80 85,912.62
29.8.22 HE Taxi Fares(C & B Wood) 13.70 85,898.92
6.9.22 Atlas Scaffolding- scaffold hire 91.20 85,807.72
6.10.22 Atlas Scaffolding- scaffold hire 114.00 85,693.72
17.10.22 HE Taxi Fares(C & B Wood) 13.30 85,680.42
10.12.22 HE Taxi Fares(C & B Wood) 13.40 85,667.02
1.1.23 HE Taxi Fares(C & B Wood) 33.50 85,633.52
Total HE Repairspaid so far 4,858.40
Total HE Repairs 2022 4,580.40
Total HE Taxi Fares paid 129.50

14102R023. 16..13 Ind•ppndont Examln•r'¥ Reportto the Tnoteès ot st Franc18 Molr H8ath & The Holy E¥ango11sts Norniacot I rewrt w the acrA)unts Df tf churth forthe yw endecl 31st DecembeT 2022. R8spth8 R8spongits'I￿.0S of Tntsteas and Examiner The Churth'$ trugtèas arè r•sponsibJ8 forth& weparatbn ofth8 accounts. The church's trustees consid¢rthat an audit is not required forthis wr under sècyon 144121 of the Charities Act 2011 1th9 2011 Actl and that ar independent èxamlnatk)n Is ne8d8d. 11 is my rgsponsiblity to-.- Examine the ￿￿OUnts lundar 8ac¥on 145 of the 2011 AGt),' To fdlow thtr procedures laid down in Ihe General D(r¥cllons givan by the Charity Cornmi58ioners lundar sèction 1451Sllbl of the 2011 AGtI'. and To 8tat8 wh&thor parts￿lar rnatters have to my attention. Ba¥r& Ol Ind*p0nd8nt Examlnor's Teport My examlnatkjn was cathed out in aLwrd8nce vrilh the gen8r81 DSr8Ctlons glven by the Charity CornTnision. An exkmlnatton Indudes a re¥￿¥ of Ihe aGcounung re￿rrts kept by the chadty and cornparison of the aeLounts pr8sented with Ih05F teGoTds. It 81so Includes consideration of any unusual items of disdosures in the accounts, and se8king explanatN)ns frorn you as t￿Ste$S concèming any such matters. The procedures undèrtakèn do not prowd8 all th8 evidoncg that would bè raquirod in an audit and conG￿u8n￿Y no opinion is given to whether the acunts ptssant a'true and fair and the report is bmitèd to those matters set out in th8 Statem8nt b810w. 1r2

14102120rJ. 16".13 Independ8nt Ex4rnlnei's Statement In connection wllh my examination, no maiter has corne to my attention." 1. whith gNes me r8asonabi8 cause to belleve that In any tnat8rial t&speLI th8 requlrements to keep acLounting racords in accordance with Secti￿ 130 of the 2011 Act,. and to pmpare accounts whlch accord with the accwnb'ng record5 and ¢omrAy ￿th Ihe Atxx)uTrting Teeofds of the 2011 Act have nol been n*t'. or 2. to which, in my opinKJn. 8tt¥ntion should b8 dr8wn in ortler to enable s proper undor8tandlng of the accounts to b8 roachgd. Gillian Ja<kn)n 24 DrayGott Olfl Roa Forsbrwk Stok8 on Trent ST11 9AL 20th Febrts8ry 2023 hupsJIth$.9￿￿ox￿￿[doELr￿￿vthj22K￿HEq￿xl￿th1lPQlrfwIoh￿obJx￿10￿£Q3O5Wrt