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2021-12-31-accounts

THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF THE PRIORY CHURCH OF ST PETER AND ST PAUL LEOMINSTER

Annual Trustee Report and Financial Statements for 2021

Registered Charity No. 1131837

The Parochial Church Council of the Ecclesiastical Parish of the Priory Church of St Peter and St Paul Leominster (PCC) Annual Trustee Report and Financial Statements for the year ended 31st December 2021

Administrative Information

The Priory Church of St Peter and St Paul is situated in Church Street Leominster. It is part of the Diocese of Hereford within the Church of England. The Parochial Church Council (PCC) correspondence address is Priory PCC, The Forbury Chapel, Church Street, Leominster, HR6 8NQ. The Priory web site is www.leominsterpriory.org.uk

The PCC is a corporate body established by the Church of England. The PCC operates under the Parochial Church Council Powers Measure 1956, Church Representation Rules 2020 and is a Charity registered with the Charity Commission, registered no. 1131837.

PCC Trustees who have served from the 1 January 2021 until the date this report was approved are:

Chairman: The Rev. Guy Spencer Cole, Team Rector (from 11[th] October 2021) Wardens: Graham Millard (Lay co-Chairman of PCC) Helen Bricknell Secretary: Ceri Hibbert Treasurer: Glenys Millard

Elected PCC Trustees and representatives on the Deanery Synod:

Wendy Coombey, Helen Bricknell and Susannah Peppiatt, Kathy Bland and David Bland ex-officio.

Elected PCC Trustees:

Geoff Bricknell, Robert Walker, Richard Phillips, Richard Scott, Bill Quelch, Susannah Peppiate, Phillippa Wright (elected June 2021), Lesley Marsh (elected June 2021) and Ceri Hibbert (elected June 2021)

Bankers, legal and other advisers to the PCC .

Bank of Scotland, 38 St Andrew Square, Edinburgh Lloyds Bank, 9 Corn Square Leominster

CCLA Investment Management Ltd, Senator House, 85 Queen Victoria Street, London

Independent Examiner: Sarah Gluyas, 99 Ridgemoor Road, Leominster,3 HR6 8UH Architect: Tim Radcliffe Associates, Cambrian House, Nantmawr, Oswestry Insurer: Ecclesiastical Insurance Office Plc, Beaufort House, Brunswick Road, Gloucester

Volunteers

We would like to thank all the volunteers who work so hard to make the Priory a lively and vibrant community, especially in the last 2 years when it has been so difficult to do all the normal everyday things that we enjoy. Also all the members of the PCC and the Ministry Team for their valuable contribution to our ministry and for keeping the Priory running.

Structure, governance and management

The appointment of PCC Trustees is set out in the Church Representation Rules. At the Priory all church members are encouraged to register on the electoral role and to stand for election to the PCC. The membership of the PCC consists of the Team Rector, churchwardens, and members of the congregation who are on the electoral roll of the Priory plus ex-officio.

The full PCC met ten times during the year with an average level of attendance of 85%. Given its wide responsibilities the PCC is responsible for a number of groups, each dealing with a particular aspect of parish life. These groups include standing committee, ministry team, finance, tourism and communications, fund raising, fabric and holiday club.

The major risks to which the PCC is exposed are identified by the PCC Trustees; this includes the monitoring of systems and procedures that have been established to manage those identified risks.

Safeguarding

Safeguarding is about ensuring the safety of children, young people and vulnerable adults. To this end, we have in place an Action Plan, and are currently working on a set of role descriptions for all those who volunteer and work within the Priory, and are working towards fully implementing Safer Recruitment. The PCC formally readopted and endorsed the Safeguarding Policy of the Church of England in March 2021, and Safeguarding is a standing item on the PCC agenda. We are working to ensure full compliance with the requirements. There are Safeguarding posters up in the Church, detailing the policy and giving contact details. If you yourself have been affected by a safeguarding issue or have concerns about someone within the Priory, please get in touch.

Aim and purposes

The PCC Trustees have the responsibility to consult with the Team Rector on all matters of general concern and importance in the parish, most specifically the whole mission of the church, pastoral, ecumenical as well as deciding on how the funds of the PCC are to be spent.

Objectives and Activities

The PCC is committed to enabling as many people as possible to worship at the Priory and to become part of our parish community. The PCC maintains an overview of worship throughout the parish, working with the Rector and Ministry Team to enable our services to involve the many groups that live within our parish. Our services and worship put faith into practice through prayer and scripture, music and sacrament.

When planning our activities for the year, the Team Rector, PCC Trustees and the Ministry Team consider the Charity Commission’s guidance on public benefit and, in particular, the specific guidance on charities for the advancement of religion. In particular we try to encourage and enable ordinary people of all denominations to live out their faith as part of our parish community through:

2021 was still a difficult year, with limited ability to meet with friends and family or be with elderly parents who needed us. The business of the Priory continues through all of this.

Plans for future periods

Financial review

We have again had a very good fiscal year with an excess of income over expenses of £7,041 this is due to very generous donations from members of our congregation. Our unrestricted income is £136K from £158K last year. The Parish Giving Scheme has continued to have a very positive effect on our cashflow because the Gift Aid is paid each month. Things may have been very different if this scheme were not in force during the last 2 years. Fundraising events contributed £12,439 and I would like to thank all those who have been working to achieve this in these very difficult times. The Book Stall raised £1,913. Holiday Club did not take place last year due to Covid. Both freehold residential properties were let to private tenants through a letting agent during 2021.

Expenses in the year have been kept under control. Some repairs were done to the rented houses however, this was budgeted for. The Tower Roof project was finished on time and within budget. We received a grant for 80% of the cost from the Cultural Recovery Fund and this was claimed each month. We then asked for £13k from the Bateman Memorial Trust income to make up the difference between the quote and the grant. This was received in January 2021. The fundraising covered the Architects fees. The VAT was reclaimed separately and amounts to almost £20,806.

Total unrestricted expenses were £131K. The Parish Share was £75,527 and the PCC elected to pay the Parish Share in 3 installments. We intend that payment in advance helps Diocesan Cash Flow and increases the real value of our offer. Our total reserves including Fixed Assets are £578,925. This includes the nominal value of the 2 rented properties, the Bateman Memorial Trust Endowment, restricted funds of £289,989 and a designated fund of £20,649.

The Parish Giving Scheme was adopted by the Priory in 2018 and has worked very well. This scheme collects from regular givers, by direct debit, at the beginning of the month and passes this on to us on around the 10[th] of the month. They claim the Gift Aid Refund for us on this money and that is then remitted to us before the 20[th] of the month. This has had a very positive effect on our cashflow and has reduced the amount of work our Gift Aid Administrator (Richard Phillips) has to do.

During 2021 the PCC agreed to take on responsibility for the Leominster Team Ministry and its bank accounts. This was because there was no legal body to hold the accounts due to changes in Church and Charity Commission Law. The Team Administrator succumbed to Covid and was on sick leave for the whole of 2021. The PCC treasurer took over responsibility for producing the accounts for the Team for 2020 and 2021. The Diocese Financial Director has said that these accounts need to be included in the PCC accounts. They are therefore appended to the PCC accounts in this report. The Joint Council will be set up during this year and at that point the PCC will relinquish responsibility for the Team bank accounts and employees.

HEREFORD DIOCESE FINANCIAL UPDATE

The majority of the funding for the Diocese comes from contributions from parishes. Our financial contribution helps to spread the gospel throughout the Diocese in many ways.

As you will no doubt be aware the Hereford Diocese has been operating a Parish Offer scheme and has subsequently recorded deficits in its accounts. The Diocese is currently looking at a deficit in its accounts of approximately £1M.

In June last year the PCC agreed that the Parish Offer should remain at £75,527 because of the uncertainty of our financial position with Covid. It was agreed to review this in 2022 when we would have the financial results for the year. The PCC accounts show an excess of £7k for the year but this includes £3.4K in revaluation gains. They will review the payment for this year at the next PCC meeting.

PCC of Leominster Analysis of income and expenditure Selected period: 01 January 2021 to 31 December 2021

Income and endowments
Donations and legacies
011101 - Gift Aid Stewardship
011104 - Gift Aid envelopes
021102 - Regular Planned Income
031110 - Weekly Cash collections
041112 - Wall boxes
051111 - Donations
061103 - Income Tax recovered on Gift
Aid
071153 - Legacy received
091141 - Ext lighting income other
funds generatd
091192 - Charity collections
131181 - Wedding, Funeral & Baptism
collections
131194 - Holiday club
Donations and legacies Totals
Total
Unrestrict
ed
Designat
ed
Restrict
ed
Endowme
nt
This
year
Last year
56,584
150

56,734
53,293
1,249


1,249
1,147
2,922
0

2,922
2,916
3,906


3,906
3,053
2,445


2,445
1,409
10,818
110

10,928
62,947
15,888


15,888
14,943
1,000


1,000
1,000










1,454


1,454
86





96,268
259

96,528
140,797
Income from charitable activities
111113 - Funeral and Wedding fees
121140 - Book stall sales
Income from charitable
activities
Totals
Other trading activities
121197 - Use of Priory
131190 - Fund Raising events
Other trading activities Totals
Investments
101120 - Interest and Dividends
101191 - Rented Property
131197 - Investment Revaluation Gain
Investments Totals
Other income
081154 - Non recurring one of grants
081184 - Project income
131122 - Insurance claims
131152 - Sundry Receipts
131196 - Other income
Other income Totals
Income and endowments
Grand totals
3,106


3,106
2,216
1,913


1,913
549
5,019


5,019
2,765
2,440


2,440
385
11,764
675

12,439
6,901
14,204
675

14,880
7,286
17
859

888
1,893
12,799


12,799
12,566


3,633
3,633
2,257
12,817
859
3,633
17,321
16,717
8,000
66,175

74,175
16,063

24,816

24,816
8,958





839


839

1,010


1,010
9,849
90,991

100,84
0
25,021
138,159
92,786
3,633
234,59
0
192,587

PCC of Leominster

Analysis of income and expenditure Selected period: 01 January 2021 to 31 December 2021

Total
Unrestrict
ed
Designat
ed
Restrict
ed
Endowme
nt
This
year
Last
year
153


153





Expenditure
Raising funds
171351 - Stewardship expenses
271314 - Investment Revaluation
Losses
Raising funds Totals
Expenditure on charitable activities
182300 - Charity Colls paid
182301 - Charity PCC donation
191380 - Parish Share
201301 - Organists and Choir expenses
211304 - Reference materials
211305 - Team Monthly payment
211370 - Young Peoples Activities
211372 - Holiday club expenses
221302 - Organ tuning repairs
221303 - Church music
153


153

312


312

764


764

75,527


75,527
75,527
9,720


9,720
8,650





10,152


10,152
9,937
200


200
15




59
1,098


1,098
1,079
110


110
123
221307 - Cleaning repairs and 3,285 77 3,363 7,045
maintenance
221308 - Furnishings fttings
221312 - Church Insurances 5,717 5,717 5,963
221315 - Service expenses 3,265 3,265 1,422
221350 - Treasurer Secretary expenses 118 118 95
221352 - Printing materials
221375 - Intergenerational Pioneers 6,210 6,210 6,082
223390 - Sundry Expenses 1,646 1,646 1,145
membership
fees
231306 - Utilities 7,393 7,393 6,771
241386 - Use of Forbury 398 398 58
261354 - Project costs general 1,875 1,875
261358 - Project roof 96,313 96,313 28,523
271313 - Rented Property Expenses 1,976 1,976 2,380
Expenditure on charitable 129,774 96,391 226,16 154,88
activities Totals 5 0
Other expenditure
171353 - Fund Raising costs 1,311 1,311 515
Other expenditure Totals 1,311 1,311 515
Expenditure Grand totals 131,240 96,391 227,63
1
155,39
5
There may be minor discrepancies in the totals if the pence are
not being shown
`
PCC of Leominster
Balance Sheet detailed
As at 31st December 2021
As at As at
31/12/20 31/12/20
21 20
Fixed assets
1403: Priory Property 102,090.0 102,090.0
0 0
1410: Bateman Memorial Fund 29,308.21 23,416.74
Endowment
Total Fixed assets 131,398.2 125,506.7
1 4
Current
assets
650015: Bank of Scotland 109,533.3 102,564.7
1 5
651502: CBF Legacy unrestricted 23,653.59 22,641.80
651503: CBF PCC 3,701.12 3,699.20
651504: CBF Projects 30,617.63 26,570.00
651505: CBF Fabric 8,602.24 8,597.76
651506: CBF Young People 15,830.29 11,813.96
651508: CBF External lighting 0.01 480.01

Liabilities

651509: Sundry Debtors
651510: CBF Annual Maintenance Outside
651520: Lloyds Bank Holiday Club
651523: Lloyds 6 month account due out
on
21/11/
651524: Lloyds 32 day Account
651526: CCLA Investment Gilbert Walter
Bequest
651527: CCLA Investment Mary Sandiland
Trust
651529: CBF Music Fund
651530: CBF Window Grills
651531: CBF Heating Replacement Project
651532: CBF W M Vickery Legacy
651533: Bateman Memorial Fund Income
Account
Total Current assets
1600: Unpaid bill year end
1601: Unpaid donations year end
6699: Agency collections
Total Liabilities
Net Asset surplus (defcit)


20,649.68
20,638.93
440.41
440.41


166,862.4
3
166,807.3
6




28,476.72
27,636.64
1,932.99
1,931.99
28,197.04
28,182.36
0.10
0.10
9,030.18
24,454.61
447,527.7
4
446,459.8
8






578,925.9
5
571,966.6
2

at Reserves

Excess / (defcit) to date
Z01: Starting balances
Total Reserves
As at
As
6,959.33
301,392.49
571,966.
62
270,574.13
578,925.
95
571,966.62
Represented by Funds
Unrestricted
136,888.
08
128,925.62
Designated
20,649.6
8
20,638.93
Restricted
289,989.
98
296,895.33
Endowment
131,398.
21
125,506.74
Total
578,925.
95
571,966.62

Leominster Team Ministry Accounts Combined Accounts for Expenses and Assigned Fees For the Year 2021

Income & Expenses

Income 2021 2020
Team Fees 23,081.71 25000.00
Assigned Fees (IN) 43,823.00 46787.00
Invoicing for Service Requisites and Printing 6,457.40 2754.77
Banns 88.00 2453.90
Stock Adjustment 0.00 590.74
Tea and Cofee mornings 0.00 233.00

8.30

75.50

Interest

Total Income
Expenses
Assigned Fees (OUT)
Team Salaries
Team Expenses
Printing & photocopying
Rent & Cleaner
Utilities
Stamps
Computer
Shredder
Stock Adjustment
Fixed Asset Depreciation
Bank Charges
Total Expenses
Excess/ Income over Expenditure
73,458.4
1
40,588.00
19,208.56
6,150.79
5,785.52
4,671.00
342.16
370.10
512.45
56.99
26.86
457.60
116.00
78,286.0
3
-4,827.62
77894.9
1
46233.01
17588.31
6740.56
3720.83
4656.00
867.28
824.81
394.00
0.00
0.00
0.00
0.00
77024.8
0
870.11

Leominster Team Ministry Accounts Combined Accounts for Expenses and Assigned Fees For the Year 2021

Balance Sheet as at 31st December 2021

2021 2020 Fixed Assets Printer 6,864.00 Depreciation 457.60 6406.40 0

0

CAF Bank Current A/c 2752.22 3750.13
Nat West Current A/c 613.30 6302.55
Nat West Reserve A/c 50.00 50.00
CBF Church of England Deposit Fund - Expenses 8199.71 8195.26
CBF Church of England Deposit Fund - Assigned
Fees 0.00 9655.05
Petty Cash 39.93 20.00
Debtors 2336.52 585.00
Stock 563.88 590.74
Total Current Assets 20961.96 29148.73
Creditors 420.00 3507.15
Prepaid Wedding Fees 1050.00 1785.00
Prepaid Funeral 463.00 0.00
Total Creditors 1933.00 5292.15
Total Net Current Assets 19028.96 23856.58
Represented by:-
Funds B/fwd 23856.58 22986.47
Surplus/(Defcit) in year -4827.62 870.11
19028.96 23856.58

NOTES TO THE FINANCIAL STATEMENTS

Trustee’s receiving remuneration during the year were David Bland and Kathy Bland who are paid as Intergenerational Pioneers. Small expense claims are reimbursed but are not of a material value.

The CBF Projects restricted fund of £30,618 has been built up from various sources for specific purposes as listed. The other investment funds are restricted to the title of the fund.

Investment Policy - It is PCC policy to invest our fund balances with the CBF Church of England Deposit Fund. However, we received a donation of £175,000 in 2018 and the PCC agreed that this should go into a Lloyds account which pays a slightly higher interest rate. The Fabric account and Lloyds 32 day account make up the £175,000 donation.

Reserves Policy - It is PCC policy to maintain a balance on unrestricted funds (if possible) which equates to approximately 6 months unrestricted payments, to cover day to day running requirements and emergency situations that may arise from time to time. The balance of £136,888 of unrestricted funds at the year-end meets this target.

Accounting Policy - The financial statements of the PCC have been prepared in accordance with the Church Accounting regulations 2006 and SORP 2015 using the receipts and payments basis.

The financial statements have been prepared under the historical cost convention except for the valuation of investment assets, which are shown at market value. 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

Fixed assets - The freehold land and buildings comprising the Verger’s House and 10 The Meadows in Leominster is included at a deemed cost being its cost on purchase. The PCC Trustees consider the freehold land and property to be worth considerably more than the net book value stated in the accounts.

Equipment used within the church premises is depreciated on a straight line basis over 4 years. Individual items of equipment with a purchase price of £1,000 or less are written off when the asset is acquired

Investments are valued at market value.

Restricted funds 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 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.

Designated funds are unrestricted funds which are set aside at the discretion of the PCC Trustees for specific purposes.

Endowment Funds are funds, the capital of which must be maintained. Only income arising from investment of the endowment may be used either as restricted or unrestricted funds depending upon the purpose for which the endowment was established. Last year we incorporated the Bateman Memorial Trust into our accounts. And this has now been separated into an Endowment amount in Fixed Assets and an Income amount in Current Assets.

Unrestricted funds are general funds which can be used for PCC ordinary purposes.

INDEPENDENT EXAMINER’S REPORT

To the Parochial Church Council of the Priory Church of St Peter and St Paul Leominster On the accounts for the year ended 31 December 2021

Respective responsibilities of trustees and the examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s statement

My examination was carried out in accordance with the General Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below.

Independent Examiner’s statement

In connection with my examination, no matter has come to my attention:

Signed

Date: 12[th] February 2022

Mrs S E Gluyas FMAAT FCCA BSc (Hons) 99 Ridgemoor Road Leominster

HR6 8UH