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2024-12-31-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 2024

Registered Charity No. 1131837

Financial Review of 2024

Income in 2024 from regular giving and services (including gift aid) increased by £6,739 to £79,910. Fundraising events raised the following excellent amounts: Abseil £7,342; Summer Fête £1,949; Christmas Bazaar £1,777; and 100 Club £600. Holiday Club achieved a surplus of £448. Grants were received of £1,000 for the choir, £1,800 for Winter of Wellbeing community youth work and £6,877 for the Nicholson organ repair. A legacy was also gratefully received from the estate of Robert William Davies, and on behalf of future treasurers, thank you to all those who have left the Priory a gift in your will.

Expenditure in 2024 included £80,527 Parish Offer to the Diocese towards the cost of ministry across the Leominster Team, unchanged from the previous year. Spending was increased on the Choir by 23% to £13,149 and on mission work in the community by 40% to £16,470. The Priory’s contribution to running the Team Office in the Forbury increased to £17,500. Utility costs increased by 12% to £19,621, but this includes a gas bill for Q4 2023 which was not received until 2024, and some of this will be offset by refunds due to be received in 2025. Insurances (which include the fabric of the building as well as employer and public liability insurance) cost £6,215, and similarly the comparison cost for insurance in 2023 was not for the full year, due to timing differences.

Heating repairs were undertaken at the leased properties, costing £3,112. Repairs to the Bevington organ cost £8,647 and were paid from fundraising in previous years. Repairs to the Nicholson organ cost £41,571 and were paid from a grant £6,877, fundraising donations of £14,767, a donation of £5,000 from the Friends of the Priory, and £14,927 from the fabric fund.

The value of unrestricted funds in the bank totalled £116,856 as at 31 December 2024, an increase of £14,927 compared with the previous year. Funds restricted to spending on a specific purpose totalled £295,504 at the year end.

The financial accounts for 2024 present a complex picture due to projects ongoing into 2025. The accounts report a surplus of £32,502 for 2024, but this includes a surplus of £17,528 generated by Priory Arts (Threads Through Creation) which is designated for future projects, and a surplus of £61,991 for the Futures Project, which will be spent in 2025. This gives an underlying deficit for 2024 of £23,443 for the operation of the Priory, after excluding Priory Arts, Futures Project and organ repairs. However, £15k of this will be offset by a grant for Priory Arts (Threads Through Creation) which will be received in 2025.

The budget for 2025 is £154,200. Much of this comprises £88,470 in Parish Offer and Leominster Team Office contributions, £26.6k of running costs such as utilities, insurance, maintenance and service expenses, and £21.6k of other mission and ministry expenses, including the choir and other work with young people and the wider community. Some of this is expected to be offset by external grants. This 2025 budget assumes an inflationary increase in regular gifts and collections at services, and all gifts which will help the Priory to maintain our pattern of worship and outreach and our place in the community, and to maintain or increase our Parish Offer in support of our wider mission and ministry in the community, are warmly appreciated.

In the words of Rev’d Dr Sam Wells of St Martin’s-in-the-Fields: “If you don’t give because no one’s ever asked you, I’m asking you now. If you don’t give regularly because you’ve never got round to it, I’m saying today’s the day. If you don’t give much because you think [we don’t] need it, I’m telling you that [we do]. If you don’t give a lot because you don’t have a lot, I’m saying that your giving something is an example to everyone else. If you don’t give more because no one’s ever said thank you, I’m thanking you right now. If you already give until the pips squeak, I’m saying that’s wonderful, and nudge the person next to you to do the same.”

With thanks to all who are part of the Leominster Priory family and the wider Leominster Team Ministry, and all who support through volunteering in so many ways – including as Team Treasurer, Gift Aid Officer, Safeguarding Officer, and Auditor,

Mark Simmons

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 2024

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 23/5/2025 S Gluyas

S E Gluyas Association of Accounting Technicians Association of Chartered Certified Accountants

PCC OF LEOMINSTER

Statement of Financial Activities

For the period 1 January 2024 to 31 December 2024

INCOME AND ENDOWMENTS Unrestricted Designated Restricted Total funds Last year

Donations and legacies
Parish Giving Scheme
Standing Orders
Service Cash Collections
Contactless Giving
Income Tax Recovered on Gift Aid
Pillar Box
Donations
Legacies Received
Charity Collections
Wedding, Funeral & Baptism collections
Income from charitable activities
Funeral & wedding fees
Holiday Club
Fund Raising Events
Other trading activities
Bookshop Sales
Hire of Priory
Investments
Interest and dividends
Rented Property
Investment Revaluation Gain
Other income
Non recurring one off grants
Insurance claims
Other Income
Income and Endowments Grand Total
41,126
0
0
41,126
34,962
13,205
0
0
13,205
14,129
10,136
0
0
10,136
9,901
3,538
0
0
3,538
2,479
15,443
0
0
15,443
14,182
4,469
0
0
4,469
2,984
5,774
0
18,380
24,154
13,449
1,000
0
0
1,000
0
0
0
2,485
2,485
6,915
0
0
0
0
-80
94,691
0
20,865
115,556
98,921
5,893
0
0
5,893
5,401
0
0
5,010
5,010
5,314
14,976
0
1,183
16,159
19,491
20,869
0
6,193
27,062
30,206
1,127
0
0
1,127
2,022
1,696
0
0
1,696
4,935
2,823
0
0
2,823
6,957
4,776
0
13,131
17,907
11,319
15,620
0
0
15,620
14,824
0
0
0
0
2,436
20,396
0
13,131
33,527
28,579
1,800
0
7,877
9,677
28,940
0
0
0
0
434
929
0
0
929
0
2,729
0
7,877
10,606
29,374
141,508
0
48,066
189,574
194,037

EXPENDITURE

Unrestricted Designated Restricted Total Funds Last year

Raising funds
Stock for Shop 242 0 0 242 300
242 0 0 242 300
Expenditure on charitable activities
Parish Offer 80,527 0 0 80,527 80,527
Charity PCC Donations 550 0 0 550 996
Organists & Choir Expenses 10,049 0 3,100 13,149 10,662
Mission 16,470 0 0 16,470 11,766
Leominster Team Payments 17,500 0 0 17,500 16,100
Holiday Club Expenses 0 0 4,562 4,562 5,861
Organ Tuning & Repairs 15,448 0 35,471 50,919 1,069
Cleaning, Repairs & Maintenance 1,500 0 3,646 5,146 4,729
Church Insurances 6,215 0 0 6,215 2,994
Service Expenses 671 0 0 671 1,365
Treasurer & Secretary Expenses 2,456 0 0 2,456 3,195
Printing Materials 761 0 0 761 3,916
Sundry Expenses & Membership Fees 2,254 0 941 3,195 2,737
Utilities 19,621 0 0 19,621 17,499
Use of Forbury 228 0 0 228 1,043
Other Projects Costs 0 0 0 0 6,982
Project Roof 0 0 0 0 52,055
Charity Collections Paid 0 0 4,803 4,803 3,624
Rented Property Expenses 8,013 0 0 8,013 4,432
182,263 0 52,523 234,786 231,552
Other expenditure
Fund raising costs 1,563 0 0 1,563 772
1,563 0 0 1,563 772
Expenditure Grand Total 184,068 0 52,523 236,591 232,624
NET EXCESS/DEFICIT FROM OPERATIONS -42,560 0 -4,457 -47,017 -38,587
Priory Arts net surplus 0 17,528 0 17,528 0
Futures Project net surplus 0 0 61,991 61,991 0
NET EXCESS/DEFICIT -42,560 17,528 57,534 32,502 -38,587
Transfers between funds 0 0 0 0
Total funds brought forward 106,520 0 273,340 379,860
Total funds carried forward 116,857 17,528 277,976 412,361

PCC OF LEOMINSTER

Statement of Assets & Liabilities

As at 31 December 2024

Unrestricted Designated Restricted Endowment Total funds Last year

Fixed Assets
Priory Property
Bateman Memorial Fund Endowment
Current Assets
Bank of Scotland
Bank of Scotland Futures Project
CBF Legacy
CBF General Funds
CBF Fabric
CBF Young People
CBF Heating
CBF Projects:
- Projects general
- Flowers
- Leominster Asylum Seeks Support
- Priory Arts
CBF Music:
- Music Fund
- Bevington Organ
- Main Organ
Lloyds Bank Choir
Lloyds Bank Holiday Club
Bateman Memorial Fund Income Account
Liabilities
NET ASSET SURPLUS
0
0
0
102,090
102,090
102,090
0
0
0
28,329
28,329
28,329
0
0
0
130,419
130,419
130,419
50,017
0
0
0
50,017
24,070
0
0
73,789
0
73,789
0
13,238
0
0
0
13,238
24,732
52,387
0
0
0
52,387
54,863
0
0
130,627
0
130,627
154,742
0
0
17,430
0
17,430
16,551
0
0
31,048
0
31,048
29,483
0
0
7,801
0
7,801
18,418
0
0
92
0
92
547
0
0
2,229
0
2,229
4,457
0
17,528
0
0
17,528
0
0
0
6,993
0
6,993
32,076
0
0
539
0
539
9,186
0
0
0
0
0
900
1,214
0
0
0
1,214
2,854
0
0
981
0
981
533
0
0
6,447
0
6,447
6,447
116,856
17,528
277,976
0
412,360
379,859
0
0
0
0
0
0
116,856
17,528
277,976
130,419
542,779
510,278