REGISTERED CIL4RITY Nu￿[BER.. 1131911
REPORTOF THE TRUSTEES AND
FIYANCIAL STATEMEYTS
FOR THE YEAR E￿DED 31 DECEIllBER 202Q
FOR
THE PAROCHLiL cHL￿CH COUNCIL OFTHE
ECCLLSIASI'IC,IL PARISH OF_ST PETEIL
4ROLD IVOOD
Fran¢is James & Partners LLP
Chartered Accountsnts and Stawrory Auditor
1386 London Road
Leigh on Sea
Essex
SS9 2UJ

THE P,IROC.HI..II. CHLTRCH COUNCIL OF THE
ECCLESIASTIC.4L P.4RtSH OTr ST PEI'E
HAROLD W(IOD
CONTE)4TS OF THE FI.NLYCIAL STATEMENTS
FOR TIIE Y£IlR ENDEDJI DECEhlBER 2020
Pagt
Report of tbe Trustees
Report of the Independent Auditors
7 10 10
Stxt¢m¢nt of Activities
B#lxn¢e Sheet
12
Cash Flow Staitmetti
Note$ to the Cx$b Flow St*teffttnt
14
Notes to the Finxnri*l Statern¢￿ts
li to 24
Detailed S12temeDt of FiTranci¥l Activities
25 ro 26

THE P.4ROCHL4L CHL'RCH CODTr4CIL OF THE
ECCLESIASTIC.4L P,IIUSH OF ST PLI'ER
IL¥ROLD WOOD
REPORT OF THE TRLSTF.ES
FOR THE YEAR El￿DED 31 DECENIBER2020
The mistees pres¢ni ttL¢U i¢pon with ihe flnancial siaiem¢Thts of ihe charity for ihe year end¢d 31 De¢etnb¢r 2020. Th¢
tnLStees have adopted the provistoJJs of Accouttijng atKI liewTrrting by ChaTilies". Siaiement of Recommended Practice
applicable to chanties prepanng theii attoun¢S in accordance with th¢ Financix] Reponiz]g Stsndard 2pplJeable in the
UK and Republic of Itelatml (FRS 1021 leffeciive l January 20191.
Looking Back.. A review of ChuTth f•nily financ￿ dun.ng 2020.
The 2020 Budget was developed in resporLse 10 a number faciors which the PCC knew would have to be planned for. For
example", an inerease Jn rtumbeis, a Tevjew of sa]ary ¢osts, a small ￿Crease on the pansh share, the cosi of building
repaiTS. fees. litertces. Jnswances etr and an updwing of the Technology used in church servites We also had to make
provision foT the potential fukancial ou¢<ome following on from rhe Quinquennial survey, which we were obliged lo
ndertakc in 2020.
In th¢ pr¢paration olthe 2020 budget the PCC IncorrKkrat￿ a plan for two gift days.
Taking into account previous income tr¢n41s. w>Miial alld expectrd expendiDJr¢ the PCC agreed to set the budget for
2020 showing a poiential defieil of £3.344.
Covid-19 rook the World by surprise and lis impact h&s been distressing for all of our church family.
Bui th¢ Lord ha5 been gracious in his provision for the finances ai St Pe*rf5 church, and whilst sort)e in¢otne areas were
slightlv dowi, (lees. room renral, advertising and the ￿0ks￿l[l the *cnEal cosi impaci due to the closure of the church
was litnited to aboui £ 1,000. In fa¢L our overall incotne greaily exceeded exp¢¢thiions. The ¢huF¢h family fully engaged
ID Ihe No gift days and we surpassed our £60.1)00 laTget. The church was also in receipt of two significani legacies,
which we do not budget for. R¢gulaT giving wa5 roughly in line with 2019, which 15 alsts a blessing consideTing the
circumsiances. A tlumber of family members at)d new donors made g￿1 use of our online giving tnechanism. We also
received some donatiorts froJD people who had 'twi¢d ￿t0. ow on line services and those to support what we do here ai
St Peters.
In some area5 expenditure was less IhaTh cxpected. partly F￿aUSe the Youth Minister and Youth WOTker didn't cor(unence
C￿p10Y[n¢nl until the se¢ortd half of 2020. There was alsts less spent on Costs Lsso¢iaied with mjnislly, evangelism and
with church rLLS)ning costs.
The Iirtancial outcome foT the year endKng 2020 iesulied In a sutplus in excess of £29,000. For which the PCC gives
praise and Ihanks to our Lord God for watchmg over us. In addirion io this the quinquennixl SUTvey did not present Si
Peter's church with any signilicaIiL major iepaits 10 be cattied oui. The iew)rt eoncluded Ihai the general condition of the
fabric of the church wa5 well mainlaincd and in getKral terms is in a fair CODdiiioii.
The fjnallcial blcssing5 we have received as a church family this year bav¢ enabled the PCC to a¢tion all pla[￿ed
essenlial maLnienan¢e ltspd2tes and impiovemens) and Tepaiis. Additional conthblliions were also made to th¢ Long
Tetm Buildings Mainienan<c Fund and the Lministry Trdining fund. Many in ihe clLurch fatnily will be pleased to know
that additional were put a5id¢ for the Mercy Minisuy fwid to support those in need aeross 2020 and 2021. A new
designaied fund has been sei up miiially ettiiiled'Plan¢ Fund. as pan of our vision iniention.
Thank you to each on¢ of you who hLS sactificia]ly throughout this year.
Jusi a polit¢ i¢tnindeT that if you are a paver giving ejther tegulaTly or occasionally, to Si Peier's church please
complete and rettwn a Gift Aid forni. Equally if you are no longer paying income M then do ler us know 50 that we do
noi make further Gift Aid claims on your behalf.
OBJECTIVES AND AcfiviTIES
Obje¢tives and aim$
PTomoting sn the ecclesiastical parish the whole mission olthe Church.
VoluDteer5
Dut]ng the year Ihe activities remain depend3UI UPOD the volutlteer houts received. li bas been calculated thai this
equates 10 approximately 75 volunteeTS on aN"ernge 2 houts pei week.
Page I

THE PAROCHI,IL CHL,RCH COLTrICIL OF THE
ECCLESL4STIC.4L P.4RtSII OTr ST PLI'ER
LDW
REPORT OF THE TRUSTEES
FOR THE YE.4R ENDED 31 DECE.MBER 2020
ACHIEN'ETrI IF.YT A.N'D PERTrORLlbLNCE
These are fully deiailcd in ihe annual report.
FINANCIAL REVIEW
Financial positio
Ineome Review
Total income for utjresiricted and iestritted filt￿ was £561,696 inclusive ofGift Aid rax refvnds and baDk inteTesi.
General Funds." Ove[211 Intotne was £544,312, lirkclusi&¢ of 79.531}. from two gift days, and £30,128. legacies).
Restricted Fund5." Total incoTne wa5 £17.384. from a iotsl of seven differ¢ni fi￿d$.
F.xpenditure Review
Totsl expenditUT¢ was £472.613 from General Fund. £13.321, froTn D¢5ignated Fwids. and £22.901 from Restricted
Funds.
Unre5tri¢ted Funds". Overall expenditure was £485,934. {In¢luth"ng £13.321. tthkg Temj MainieThanc¢ FuTLd- Buildings).
Restricted Funds.. Restyicied fund expeThdimre of £22,901 from a iolal of M different funds.
End Of Year Balance of General Fund .. The f￿al ouicome wa5 a surplu5 of £29.181. Aftei ttanslers ￿ other funds.
Funds carried fon¥ard.. Toial £275,683. {Gencral fund 5111n
btsih these accounts= £247,366. Restricied sum- £28.317).
Thi5 include5 the £IOO,000 in Fixed Assets relating lo lh¢ pro￿rtY in Horold Coun Road which is owned by the church.
196.190 & Designated fithd sum - £5 I,176. Total for
Reserve5 policy
The ChuTeh aIms to hold resetves equal 10 8pproxtmaiely three months r￿ed overheads.
Details of fjnancial performance are ouiliThed ID the annual r¢pon.
FUTURE PLANS
A plea, io carry on OUT good works and noi grf COTnplacent. We are Whe￿ we ate by ihe grace and goodneis of God. Let
U5 continu¢ to show our dependence on Him by praying thai lft Chtisi he mighi supply our every need, free us from a
love of moncy and make us ever more generous and commiited io gospel tninisty here at Si Peiels and beyond in ihe
year5 ahead.
STRUCTURF., GOVERNANCE AND NLiP4AGEMI ENT
Governing dotumtnt
The church is governed by the Parochial Church Council IPowetsl Measuie {1956} &8 amended and church
representation ndes.
Recruitrnent and appoiDtment of tru51ees
TTU5tees are eletted by nxett)bers of the church electsjrdl roll ai the annual geTheral mecling.
P3g¢ 2

THE P.4ROCHI.4L CHLRCH COLThCIL OFTHE
ECCLLSI.4STIC.4L PARISH OF ST PF:TEIi
HAROLD WOOD
REPORT OFTHE TRUSTEES
FOR THE YEAR EINIDED 31 DECEMBER 2020
STRucfuRE, GOVEILy￿￿CE ￿)D MALNAGEMEIYT
Org#nisaiional strll¢itsrt
Mernbe15 of the PCC ale either ex officio or elec*d by the annual PaTochia] ChuF¢h Tneetjng in accordance the
church represeniaLioti Nles. During the year the following setved as members of Ihe PCC..
In¢umbent:
Rev R Hudson
Wardens..
Mr LM Harri%)o.
MIJCha
Trea$urer
Ms A Penn
Clergy & St#ff-.
A550CiXtt P¥lirtisttr$:
i IRPOW
Mr J Baker
Cur3te.'
Mr A Bellis
Church Centre tnanxgÈr=
Miss E Agnew
Page 3

TFIE P.4ROCHL4L CHLRCH COL'YCIL OF THE
ECCLESL4STIC.4L P.41USH OF ST PETE
ELIROI.D IVOOD
REPORT OF THE TRUSTEF.S
FOR THE I'E.4R ENDED 31 DECE.IIBER 2020
STRL'CTURE, GOVEIknI4LNCE AND ￿LI￿AGEMENT
Induction and training o( new trustee5
TTusiees are PrO￿lded wilh a copy olihe Church of Ellglattd pamphler ' Trust¢e5hip - an iTLttoduction for PCC members.
Related parties
This is Fully explained in the to the accounts.
REFEREINCE AND ADMINISTRATIVE DETAILS
Registered Charity
Printipal address
Si. Peier's Church
Gubbins Lane
Hgrold Wood
Essex
RM3 WA
Trllstees
J Davi5
M Harrison
L MO￿15
C Knowle5
IMDJeffery
ts5 L Bowden
P Thompson
Mr5 M Willingham
J Chart
J Scully
Rev R Huds(pn
A Tibbott
AP¢n
C Okoli
A Cook
DT K Ogedegbe
J Norttsn
J Hams
Rev R Power
S King lappoiTJied 22,.'9120}
S Read lappoinied 2219QO)
Auditors
Franc15 Jam¢s & P2Ttners LLP
CharteTed AcLouniants and SLqDJiOry Auditor
1386 London Road
Leigh on Sea
Essex
SS9 2UJ
Page 4

THE PAROCIILIL CHLRCH CObryCIL OF THE
ECCLESIA.STIC.4L P.4RtSH OTr ST PETER.
11,KROI:D
REPORT OF THE TRUSTF.F.S
FOR THE YF.AR kYDED 31 DECE.IIBER 2020
REFEREINCE ANI D ADMINISTRATIVE DETAILS
Banker$
Natiot)al W¢5tminst¢r Bank PLC
South ofEn2land Corporaie Services Centre
eiail Audits Tea
PO Box 333
Silbury House
3(X) Silbury Boulevard
Milton Keynes
MK9 2ZF
CAF Bank
PO Box 289
West Mi alling
Keni
ME194TA
Virgin Money Saving5.
Jubilee House.
Gosforth, Newcasile u￿>ll Tyne.
NE3 4PL
PUBLIC BE￿EFIT
The annual report d¢scribE5 the a¢tivilies uNdeTtsken by the charity during the year fvrther, in the opinion of the
Iru5tee5, its chariizble purposes for public b¢nefiL
rhe trustees are of the opinion Ihai they have COTnplied with the dtsty In section 17 of the ChaTiues Act 2011 to have due
regard io ihe public benefit guidance publjshed by the Charity Commission.
STATEMENT OF TRUSTEES. RESPO.YSIBILITIES
The llustees are iesponsIble for pr¢panng the Report of ihe TTus¢ees and the financia] statements in accordance with
appliGable law and Uniied Kingdom Accounring StsEJd3r4Js {United ￿"￿EdOM Genera]ly Accepied Accounting Piactitel.
The law applicable io chariiies in England atld Wale5. the Chatilies Aci 2011, Charity IAccounts and Report51
Regulations 2008 and the provisions ol the In￿1 deed requires rhe trustees to pr¢y3Te finattcial siaiemenis for each
rinancial year which give a and fair view of Ihe stale ol att31ts of the chariry and of the incorning iesouT¢e$ and
applicaiion of resources, including the irtcome and ext*ndimre. of the Cha￿.￿ foi Ihat peno(L In prep2ring those
rinancial siatem¢rits, the ttustees ate required to
select suitable accou#titLg policies and then apply ihem consistendy:
observe Ihe methods and principle5 in the SORP..
make judgements aTLII ¢stimate$ thai are reasonable and Prudent:
Stale whether applicable accouniing standards have beep (ollowe(L subjeci io any mateTial depaTtuies di5¢1osed and
explained in ihe financial statrnents:
prepare the financial ststemenis on the going coucern basi5 unless il is uJ4)propriate to presume that th¢ chatity will
conlinut In business.
The tn￿tte5 are respotksible IOT keeping proper accouniing re£ords W￿"¢h dis¢lose ￿7th reasonable ac£uracy ai any lime
the fjnancial po51tion of the chariN and io enable thern io ensure the lITw￿la] staiemeDtS COTtLplv with the ChaTities
Acl 2011. the Charity IAccounrs and Reports) Regul*ions 21X>8 at)d the provisions of the wst deed. They aTe also
Fesponsible for safeguarding the assets of the tbariry and hence for iakl'ng ie850nabl¢ steps for Ihe preiertlion and
detection ol fraud and oth¢r ittegulaTities.
Page 5

THE P.4ROCHI.4L CHLRCII COLNCIL OF TIIE
F.CCLESI.-ISI'IC.-IL P,IRISH_OF ST PET￿E
ROLD IVOOD
REPORT OF THE TRUSTEES
FOR TIIE YE,IR E)DF.D 31 DTr'CE_IIIIEK 2
Approved by OTder of the boaid of ttusttts oTh............
. aThl sjgned on Jts behalf by..
M Harr150n- Trn8iee
Page 6

REPORT OF THE ILNDEPESDEIYT AUDITORS TO THE TR
THE P..IROCHI.4L CHbRCH COL.INCIL OFTIIE
ECCLESIASI'IC.4L P.4RJSH.OF ST P.EJE
H.4ROI.D IVOOD
TEE
OF
Opinion
We havc audiied Ihe flnanci￿ statetnenrs of The ParochLaJ Chutch of the Ecclesiasrical Parish of Si Peter.
Harold Wood (the 'chanty) for th¢ year ended 31 December 2020 which ¢OmPTise the Siaiemeni of Fitjancial Activities,
Ihe Balance Sheei. the Cash Flow Statement and noie$ 10 the fJnaThcial siatemenrs. including a summary of significani
accounting polsci¢s. The finatlcial Tq)onLng fra￿tWOrk that been applied in their preparaiiotl is applicable law and
United Kingdom Accouniing Swjdards (Uniied Kingdom Genetally A¢c¢pied Actouniing PTacticel.
In our opinion the financial stal¢Tn¢nts'.
give a tsue and fajr view of Ihe slate of ihe chan'iys affairs as at 31 December 2020 2nd of ils incoming resources and
applicalton ofTe8ources, foT the Y￿ then ended..
have been prop¢rly pr¢paT¢d in accordanc¢ w'ith United Kingdom Gejheraily Accept¢d Accouniing Pra¢tite." and
have been prepared in accordance wilh the requiremenr5 of the Chatiti¢s Act 2011.
Basis for opinio
We eortdueied our audii in accoTdance ￿'11h Inlernaiional Standatds Auditing IUKI IISAS IUKII and applicable law.
Our responsibilities undeT those stsndards are fiwther descnbed in the Auditots, responsibilities for ihe audit of the
rinancial siat¢men15 5eciLOn of our r¢Fx>rt. W¢ are independent ofthe charity in accordance with th¢ ethical requiTements
that aTe Televani 10 our audit of the financial stsiements in the UK. includiDg the FRC'S Ethical SiandaTd. and we have
fulfslled our other ethical TesponsibJlilEes in accotdanee with these requirements. We believe ihai Ihe audit evidence we
have obtained is suffscieni atld appiopriatc w ptoviik a basi5 for OUT opinion.
Conclusion5 relatiDg io going ¢oR¢¢r
In auditing the fittancial siat¢m¢nis. w¢ have concluded thai the t￿￿¢¢5. us¢ of the goithg concern I￿lS of accounting ill
Ihe preparation of th¢ finan¢ial $tatemeDts Is appropnaie.
B2sed on ihe WQTk we have peTforme(L we have not idertlified atty mar¢rial utLCertainties rtlaiiDg 10 events or condiiions
that. Individually or collec¢ively. may casi 5ignifi¢ani doubt on the thatitrfs ability 10 coniinue as a going concern for a
period of at least twelve mottths from when the [￿anCial siaiements auihotised foi issue.
Our respotLsibiliiie$ and the res]xTrnsibiliiies of ibe ￿￿teeS wilh r&spect to goiTbg corteem are described in the relevani
sections of this repon.
Other inlormation
The trnsiecs are rtsponsibl¢ for the othu infoTmtion. The othet iAforn)aiion comprise5 the information Included its ihe
Annual Repott. other than the financial SLiiements and our Rqx*rt of the Independent Auditots thereon.
Our opinion on ttle financi2] statements does noi cover ihe oiher infoTmation exeepi 10 the exieni oiherwise
explititly staod in our repon. we do Dot expre55 any fotm Of assunnce wthc1￿8i0n thereon.
In conne¢tiott with ottr audit of Ihe fittancia] stal¢rnents, out resw)nsibilJry is io read the other information and, In doing
so, consider whether the oiheT lrtfomu¢ion is maienally inc4)nsisletLr with the fiToncia] staiemettts or our knowledge
obiaitJ¢d in the audit oi oihtnvise appears (o be materially Tlli55Uted_ If we identify such maierial inconsisiencies 01
app2Tent material mi5sial¢tnents, we are iequiTed to deiemjirte whether ihis give5 rise to a tDaienal missiatement in ihe
flnancial slaletnents themselves. If, based on Ibe work we haTre perftsTtne¢ we eonclude thar there is a t[￿terial
misStatemenL of Ihis other inforFnalion, w¢ aTe reqttired to rtport thai facL. We have llothing io TepDrt in this iegard.
Matter5 on whith we are required ro report by exception
We ha￿t noihing lo rep)rt ￿ res￿¢1 of the lollowtng matters where the Cbariiie5 (Accounts and Repoftsl Regulaiions
2008 requires US to reptsrt to yoll if. In out OPmiOn'.
the infortnaiion ￿Ven in the Report of the Tr￿Me¢S is inconsi￿nI in any matrrial respecr ￿1th the I￿anCial
StaieTnertts; or
suffjcient accounisng recoids have not been kepi; or
Ihe financial staieTnentS 2re rtoi irt agreemenr with the accounting recoid5 and Tethjrns. or
we have not received all Ihe inforn￿li0Th and ¢xplanalions we requiie IOT our audit.
Pag¢ 7

BEPORT OF TIIE lINDEPEyDE￿ ALTDITORS TO THE TRUSTEES OF_
THE PAROCHI.4L CHLRCH COL,NCIL OF THE
ECCLESL%STIC,KL P.4IUSH OF ST PETE
FL4ROLD IVOOD
Responsibilities of trustees
As explained Tnvie fully in the Statement of Twst¢es' RestK>nsibiliii¢s, the tn￿te¢S are reS￿>￿Sible for the preparation of
Ihe financial staietnents wtkich give a mle and fair Vie￿.. and for such inicrnal control a5 the trustees deiernline is
necessary io enable (he preparation of finantjal stst¢Tnents that are trte from material misststement. wheiher due t() fraud
or ertOI.
In preparing Ihe financial sthiemenis. the trnsiees are resptsThsible for assessing the chariiys ability to cortiinue as a going
toncern, disclosirtg. a¥ applicable. Tnatt¢15 i¢lat¢d to goirbg conceTh and using th¢ going contern basis of accounting
unle55 the Itustees either iniend to liquidJr¢ the cbariry or io cease operations. or have realistic altetnaijve but io do
so.
Pag¢ 8

REPORT
F THE ILNDEPE_NDEIYT.4LTDITORS TO THL TRUSTEES_QF
'rHL P,IROCIII,IL CIILRCFI COUN'CIL OF THE
ECCLESIASTIC.4L P.4RISH OF ST PETE
H..IROLD IVOOD
Our respollsibilities lor tbe audit of the financial staterDents
We have been apwinied as audilots urtder Seciiun IM of the Charities Aa 205 l and Tepon in a¢eordance with the Aci
and relevant regulations made or ha￿llg effect Ih¢TeundeT.
Our objeciives are io obtsin reasonable &ssuratKY aknut whether the financial stsi¢ments as a whole aTe Iree from
rnatenal misstaiemenl. whether due to fraud QT e￿or, and tts Jssue a Rtpon of the Indqjelldeni Audjtots that includes our
optniork. Reasonable assurance is a high level of assurance, bui is noi a guatanLee that an audit conducted itt aceotdallce
with ISA5 IUKI will always delect a maienal misstaiemeni when li exis￿. Misstatements can 3Ti5e from fraud OF ¢Tror
and ale Lonsideted mateTial If. Indjvidually or in the ag8Tegate. they could reasonably be expected to irLfluenc¢ the
economic decisiotjs of u5er5 tsken on the basis of ihese financial s￿LeT￿entS.
Irtegulaniies, including ftaud. are Instart￿s of non4ompliance with law5 and regulations. We design PTocedur¢s in line
with OUT reSPts￿lbII]IlC$, outlin¢d above, to d¢teci Fnatrial m15Statements irt respeci of i￿¢gula17t1es, including fraud.
The extcnt lo which our procedure5 are capable of deieciing irregulaTiiies. in¢lwJing Etaud is detailed below..
Th¢ natUTe of the industry and 5¢Ctor. corLtyoI ¢nNironm¢ni and business petforniance Lncluding the design of the
Church's policies, key drivers for trusiees remuneraiioTh:
results of our enoui11¢5 01 tnanagerneDL inteTnal audit and the Audit & Risk Commillee aboui their own ideniification
atjd assessment of Ihe risks of irreguiariiies.
any tnatter5 we idenrificd having obtained and reviewed the Church's do¢wDentstion of ihcir policies and procedures
relating 10-.
idctitifying. evaluating and complying wilh laws atml regulations and whethei they were aware of any instance5 of
noncompliance;
deiectitlg and responding to the risks of fraud and whether they have knowledge ol any aemal. suspected or alleged
fraud.,
the internal controls tstablished to mitj8atr risks of fraud or non-c0mplia￿c laws and rtgulaiions;
the matters discussed amojjg the audit engagement ieam inclUd￿g signifLc8nt cotnp)nent audit teams and inwolviDg
relevant intetnal 5pecialisls,regaTding bow and where lrnid Tnighi oc¢ur in the fitJ2ncial staiemenLS and any poLential
indicators of fraud.
A5 a ￿$￿11 of these PToceduTe$. we tonsideied the Opporn￿li1eS and incentives ihat may exist within the QTganisation foi
fraud. In common with all audits under ISAS IUK}. we are a150 fwuiTed to perloTm s￿l[le procedures to respond to ihe
risk of management oveTride.
W¢ also obiaind undeTsianding of the lega] and tegulaiory frameworks thai ihe ChuTch operates in. focusing on
PTOViSiOllS of those laws and regulaiions ihai had a direci effeci OTh the determination of maittial amounis and djselosures
in the finatkcial statements. The key laws and r¢gulalioThs we CtsllgLdeied En ihis contexi is the Chariiies Act. 2011.
In addiiion, we consi(kTed PTOVi5iOnS of other laws and Tegulations thai do ttoi bave a direct effect on the financial
statements but ttsmpliance wilh which may be fwidamenial io ibe Church's ability to opernte OT to avoid a rnaterial
penalty. These included compliance with the methodisi churrh Tults and iegulations.
Our procedures 10 resp)nd ￿ risks identified included the followillg=
reviewing the fiTLancia] sta¢¢meni th"s¢ltssutes and testing to supporting documentsiion to assess ¢OTnpliance with
provisions of rele%'atJt laws aJMI regulations described as having a direci effeci on the fu)anLial stsiemertts.
enquiring of management, Ihe Audir & Rj'sk Cotnmiuee sn-ILouse and external legal counsel concernin8 actual and
potential litigation and claitn5.
perfortning an21￿lta1 piocedures 10 ideniify any urt￿￿81 or unexpect￿ relaiionships that Tnay indicate ris￿ of material
misstaiemeni due to fraud:
- reading tninuies of tneeting5 of those charged w'ith govetnance and
Page 9

REPORT OF THE DEPENDE)14T AbDITORS TOTIIETRUSTEES OF
THE PAROCHIAI. CHL'RCFI COLTh, CIL OF THE
ÈCCLESI..ISTIC.4L P.4RISII OF ST PF.TF.R
HAROLD IVOOD
In addressing the risk of fraud through management override of controls. testing the approptiaten¢ss of jOUTnal entries
and otheT adjusrmenis." ￿eSsing whetheT the judgements made in m8kithg accouniirtg esrimaies aTe indicarive of a
potential bia5", and evaluating th¢ Tationale of any significant transactions that aTe wiwual (Fr ouiside Ihe normal tourse
of operations.
We a150 commiitiicated relevknt identifi¢d law5 aTrd regulations and p)tential frdud nsks io all engagement ieam
members. and T¢Tllained alett lo any indicaiions of fraud or noncompliance with laws and TegulaiIons Ihroughout the
audit.
A funhcr description of our Yesponsibilities for the audii of rhe financial stsrements is loJtrd the Fittancial Reportittg
Council's wtbsiie ar ￿￿vw.[rc.oTg.U￿aUdirorsres￿￿￿Ib*]l1ieS
This description fotm5 part of OUT Rep)n of the
Indepertdeni Auditors.
Use of our report
This report is made solely io the charity's (nLsiees. as a body. In accordance wilh Part 4 of Ihc ChaTili¢S IAc¢out]t5 and
RepotE51 Eiegulalitsns 2008. (Mi audit WOTk has been undeT¢aken so ihai w'e Mighi stale to the charity's Irusiees those
mailers we are required 10 siaie ￿ them in an a￿li10[s. iepon and for Tho other purpose. To ihe fullest extenl ￿[[nItted by
law. we do noi accept or as$utne reswinsibiliry to anyone otheT the tbanty and the chariry's mjsiees as a body, for
our audit woik, for this repotl, or for the opiniorb5 we have formed.
Francis Jatn¢s & PartneTS LLP
Chartered Aecouni8nts and Stawiory Auditor
Eligible to act a5 an audilor in letms of Section 1212 of the Companies Aci 2￿>6
1386 London Road
Leigh on Sea
Essex
SS9 2UJ
Date".
16th JULY 2021
Francis James & Panners LLP is eligible io aci as atl auditor in lertn5 of
s¢tlion 1212 tsf the Companies Aci 2006
Page 10

THE PAROCHI,II.CHL'RCH COLNCII. OF THE
ECCLESI.4STIC.4L P.4RtSH OF ST PETER
HAROLD WQOD
ST.4TF.MEIYT OF FINLNCI,IL .4￿[vIT1F.s
FOR THE ITAR EI)DED 31 DECEMBER 2020
2020
Total
2019
Toral
fiLnds
Ut)restrieted
funds
Resirieted
No
ITrICOTrIE AIYD ENDOWTrIE.YTS FROM
DonaEion% and legacies
533,362
17.384
550.746
502,446
Chariiable aeti*ities
Religious ActiN'I11¢5
10.352
10.352
8.091
Other income
598
598
185
Total
544.J12
17,384
i61.696
510,722
EXPEIYDITURE ON
Charitable *ttivitie5
eligious ActlVLtie5
485,934
22.￿1
508,835
510,877
NET INCOI¥IEIIEXPEYI DITUREI
58.378
{5.517}
52.861
Trin$fers between luttds
14
112,5181
12.518
Net movement itt (und$
45.860
7.IN)I
52.861
RECONCILIATIO￿ OF FUNDS
Tolal lunds broughi forriard
201.506
21.316
222.822
222,977
TO'fAL FUNDS CARtUED FORWARD
247.366
28,317
275.683
222,822
The noles fotm pan of these f￿an¢121 ststeTn¢nts
Pagell

THE P.4ROCHI.4L CHLRCH COUN'CIL OF TIIE
ECCLESI..ISTIC,iL P..IRISH OF ST PETE
H.4ROLD WOOD
BAL.4NCE SHEET
JI DECE)IB Tr-K 21120
2020
2019
N01¢5
FIXED.4SSETS
Tangibl¢ a&sets
I￿,000
100,ooo
CURREINT.4SSETS
Stocks
Debiors
C2sh in hand
io
3.867
39,193
180.478
3.263
26,056
148,676
223,538
177,995
CREDITORS
Amounis lalling due within one year
12
147.8551
{55,1731
NET CURRENT ASSETS
175,683
122,S22
TOT AL ASSETS LESS CURREIYT
LIABILITIES
27i,683
222,822
NF.T ASSETS
275,683
222,822
FLNDS
Ul￿eStriCted funds
Resiritted funds
14
247,366
28.317
201,506
2L,316
TOTAL FL￿Ds
275.683
222,822
The Iinan
ial siattmLnts
were approved by the Board of Ttustees and auihorised for issue
on
A Penn- Trustee
M HaTrison- Tmstee
The notes fotm pan of these fuwJci81 siatemenii
Pag¢ 12

TIIE P.4ROCHL4L CHL.RCH COUNCIL OF THE
ECCLESI.4STICAL P.4RISH OF ST PETEIL
L4ROLD I￿00D
CASH FLOW ST.4TEIIENT
F.OR THF. YF.AR ENDED_311)Tr'CE,MBER 202Q
2020
2019
Notes
Cash flows Irom operating activities
Cash generated from opetsiions
31.802
34,102
Ner cash provided by openiing activities
31.802
34.102
Change in casb and cash equIv￿e￿i$ in
the reporting period
Cash and ¢asb equivaleDts at the
beginlling o( tbe reporting period
31.802
34,102
148.676
114,574
Cash ¢#$h equivalents at ibe eNIJ of
tbe reporting period
180.478
148,670
The notes foTm pan tsf these fuwi¢ial 5tatem¢nts
Page 13

THE P.4ROCHIAL CHURCH COUNI CIL OF THE
ECCLESI.4STIC.4L P.4RISH OF ST PETEIL
FL4ROLD WOOD
NOTES TO THE C.4SH FLOIV ST.4TEIIENT
FUR THE YEAR E.NDED 31 DECEMBTr:R 20211
RECONCILI.4TION OF •4F.T INCOIIEIIEXPEI%DITL.REI TO NET CASH FLOW FROM
OPERATIYG ACtIVlTIES
2020
2019
et ineomelleypenditurel for the reportittg period las per the
Statement of Financial ActiYitie51
AdjustmeDt5 for-
InLies￿e in stixks
Ilncr¢aselldttrease in debtors
ID¢creas¢yincTease in Crediiors
52,861
1604}
13381
16,87?
17,723
17.318}
Net tx$h pro5.ided by operxiions
31.802
34,102
A.NAL YSIS OF CHANGES IN ET FUNDS
At 111120
Cash flow
Ai 31112120
i et cash
Cash 21 bank and in hand
148,676
31.802
180.478
148.676
31.802
1 $0,478
Total
148.676
31.802
ISO.478
The notes form part of these t￿￿￿claI statements
Page 14

THE PAROCHL4L CHITRCII COLINCIL OF THE
ECCLESI.4STIC.AL P.4RISH OF ST PETE
HAROLD WOOD
IIOTES TO THE FINANCL4L ST.4TEIMENTS
FOR I'IIE YI=AR LN'DFD31 DECEMBER2020
ACCOUINT1￿G POLICIES
Basi5 of preparing tILe finaD¢ial statements
The Iinancial siaietnenis ol the chariry. whlrh 1$ a public benefit entity under FKS 102, have been prepaT¢d in
accordance with the Chariiies SORP IFRS 1021 'Accounting and Reporting by Chariiies.. StaicmtTht ol
Recommended PraciLce applicable to chatitits prepanng iheir accounts in accordance with the Finan¢i
Repotfing Siandatd applicable in the UK and Republic ol Itelartd (FRS 1021 leffeciive l January 20191,,
Financial Reporting star￿a[d 102 The Financial Reporting SwidaTd applitable irt the UK and Republic of
Ireland, and Ihe Chariiies Aci 2011. The financial sraiements have b¢¢n PTepaTed undei the hisronc21 cost
tonveniion.
Income
All income is recogrtised in the Statement of Finarteial Aciiviiies once the charity has entitleTn¢nt to the funds, it
is probabl¢ ihat lh¢ income will be received a[￿ rhe amowit can be tneasuTed reliably
F.xpenditurt
Liabilities are recognised as expendiDJre as soon as there is a leual or construttive oblisaiton ¢4)mmitting ihe
charity 10 Ihai expendjiure, it IS Probable thai a itansfer of economÈc ben¢fJts will be required in settlerneTht aod
the ￿￿OUnt of the obligation ¢an be m￿sU[Cd reliably. ExpenditUTe is atcounied for on an accruals basis and has
been classified under headings thai aggr¢ga* all cosi related io the category. Where tosts cat￿01 be directly
attnbuted to particular headings they have beel) all￿aled io aciiviues on a b&8LS COtisistctLt with the use ol
resources.
Tangible fLTed assets
DepTeciatioTh is provided ￿ the following aT￿￿￿1 t*es IEX order io wriie off each asset over its estimated useful
Freehold Property
0¢ provided
Stoeks
Stocks are valued at the lower of cost and nei realisable value, after making due allowance for obsolete and slow
moving ioms.
Taxatio
The charity is exempt from rax on its charirable acrivities.
Fund accouttting
unr￿triCted fund5 can be used in accordance with the ¢]]atitable ()bjectives 21 the discretion of the irusiees.
Restricied fi]nds can only be used for particular resmcied putFx>ses within the (pbjects of the chariry. Kestriciions
arise when Specified by the dontsT 01 when fi[[￿ are Aised for particular restricted PUTpose5.
Further ¢xpl3nation tsf the natt￿e and pwse of eatb fund is included in the notes ￿ the f]nancial ststetnents.
Hire purchase and leasing Com￿1¢]￿ellts
Rcnials paid UTLdeT 0￿[8[]￿g leases are charged to the Ststement of FiDancial Activlties on a straight line ba55S
over the penod of the lease.
Pension costs aDd other p05t-retireThtNt beHtfits
The ¢hariry operates a defjned toninbuiion pension scheme. ContribuiioDs payable 10 the ¢lLatity'S pension
scheme 2re charged 10 the Stsiement of FiDdncial Aciiviiies in the peTiod to which they Felaie_
Page 15
continued...

THE P.AROCHI,11. CHL'RCH COUTr4'CII. OF THE
ECCLESI.4STIC.4L P.4RtSH OTr ST PLI'E
H.4R
NOTES TO THF. FIN,IN'CIAL ST.4TE%IENTS- Co￿till￿ed
FOR THE YEAR ENDED 31 DECE.MBER 2020
DOIYATIOINS A,ND LEGACIES
2020
2019
Covellaftts & free will offeTing
GEft aid
Collections (open platel ai ail services
Othei donations
Other fullds
320.487
99.009
2.717
81.022
47,511
333.389
73,309
11,625
63,793
20,330
550.746
502.446
IINCOME FROM CHARtT.4BLE AcrivrtlES
2020
2019
Aciib'ity
Sale of advertisiTrg, tx)oks. ek Religious Arti￿11t$
Oihei incotne
Religious Aaiviiies
105
10,247
2.213
5,878
10,352
8.091
CH.4111TABLE AcfiviTIES COSTS
Support
osts (5¢¢
note 51
DiTec¢
COSLS
Totsls
Religious Aciiviiies
497,243
11,592
508,835
SUPPORT COSTS
Managemeni
Finance
Totsls
Religious Activities
11.356
236
11,592
TRUSTEES. REIIUNERATIOli AND BENI EFITS
During the year salaries of E 24.￿3(2019.. £ 27,3251 were paid 10 trustees.
Tru$tee5' eipen5e$
TTusiees exp¢ns¢5 of £ nil 12019-. £nil I were reimbursed duting the year_
Pag¢ 16
continued...

THE P.4ROCHI.4L CHLTRCH COLTNCIL OF THE
ECCI.F.SI.4STIC.41. P.4RIS_H OF ST PETEIi
4ROLD WOOD
L OTE.S TO THE FINA_NCI.4L ST.&TE￿IE1TS- tontilllled
FOR TIIE YEAR E.NDED 31 DECF.MBLR 2020
STAFF COSTS
2020
2019
Wages and salanes
Social 5ecuriry costs
Oiher pension costs
99.317
4.110
7,402
92,423
4,298
8,689
110.829
105.410
The aver4e monthly nutnber tsf employffs duting the year was as follo￿".
2020
2019
Administrativ¢ & Support
No ¢Tnployees rec¢iv¢d ¢moluTnents itl exce&s of £60.(IX).
COTrIP.4IL4TIVES FOR THE sT.ATE￿IEllT OF FINANCIAL ACTIF¥lTIES
Unrestricted
R¢stri¢L¢d
funds
Total
funds
tNCOlfE AND ENDOWNIENTS FRoftrl
Donaiions and legacies
486,116
16.330
502.446
Charitable activitie5
Religious Aciivities
8,091
8,091
Other income
185
185
Total
494.392
16.330
510.722
EXPENDITURE Oly
Charitable activities
Religious Acriviiies
489.787
21.090
510.877
NET 1￿ColL IEIIEXPENDITUREI
4.605
14,7601
TraDsfer5 between fund5
1.613
11,613
Net movement in fllnds
6.218
(6.3731
11551
RECOYCILIATION OF FitNDS
Total funds brought forward
19i,288
27.689
222,977
TOTAL FUNDS CARRIF.D FORII'ARD
201.506
21,316
222,822
Pagt 17
conrinued...

THE PAROCHI.4L CHURC.H COUYCII. OF THE
ECCLESI.4STIC.4L P.4RISII Ob ST PETER
FL4R
LDW
OD
YQTES TO THF. FIP4ANCIAL STATEKIF.YTS- tontithued
FOR THE YEAR ENDED 31 DECE.MBER 2020
TANGIHLE FIXED ASSETS
Freehold
property
COST
At l January 2020 arKI 31 December 2020
100,i)00
NET BOOK VALUE
At 31 tkLetnber 2020
100,000
At 31 tkcember 2019
100,000
No depreciaiion is provided irk respeci of the Freehold Properry as io the opinion of the truste¢s the propeny
1$ Tegularly maittiajned (o hjgh standard and is unlikely to lall In %xlue.
Other fjxed assets are ext*nsed as they are mcurred in accordance wilh the guidan¢e wven In th¢ church
accounting regulations
10.
2020
2019
Siock5
3.867
3.263
DEBTORS: AI¥IOUNTS FALLING DUE WITHIN ONE YE.4R
2020
2019
OtheT debiors
Income rax recoverabl¢
14,401
24,792
5.318
20,738
39.193
26,056
12.
CREDITORS.. ATrIOUNTS FALLIING DL.E WITHIIN ONF. YEAR
2020
2019
Other credilOTS
47,855
55,173
ij.
ANALYSIS OF NET.4SSETS BETWEEN FL'YI DS
2020
Totsl
funds
2019
Totsl
fi￿)d5
Unresiricied
Restricied
hmds
Fixed assets
Current asseis
Curtent liabililies
I￿,000
195.221
{47.8551
100.000
223.538
147.8551
100.000
177.995
155,1731
28,317
247.366
28.317
275,683
222,822
Page 18
cortiinued...

THF. P..IROCHI.4L CHL'RCH COLThCIL OF THE
ECCLESL45TIC.4L P.41USH OF ST PEI"F.R
H,IROI.D WOQD
NOTES TO TIIE FIL1￿%,C1.4L ST.4TF.NIF.Yrs- ttbtttittued
FOR THE YEAR EYDED 31 DECEIIBER 20ZO
14.
IOVEE*lENT I.N FUNDS
Nei
movemeni
in funds
Transfeis
betsveen
funits
A(
31112120
Ai 111120
Unrestricted (und5
General fulld
Long Temi Maintenance Fund- Bu]dings
MiD15try TraiDing Fwid
Plant Fund
167,009
30.720
3,777
71,699
113.3211
142,5181
15.IX)O
196.190
32,399
8,777
iO,O(K>
10.000
201.506
58.378
247.366
Restricted funds
i en's Group
Explorers
Chrisltnas Day Lunch Fund
Tuesday
@Two
Campaigners Alc
Mission Pennies
Keswi¢k at Home
575
2.647
852
Il65
(I 10)
410
2.537
852
314
349
205
781
1.457
13
(349)
205
781
1,156
(3011
(181
12.0131
(3.2701
760
Car Show
Waichnighi Service
Coneys
Donaiions Collect¢d for Third Panic5
Mercy Fund
Dads & TIKid1¢15
Word Alive
CABC
Long Tern) Maintenance Fund- Equipmeni
2,513
500
370
6,080
13,029
140
620
404
919
5.320
3,080
140
620
10.000
919
2lJl6
15.5171
12,518
28.317
TOTAL FUJ'DS
222.822
52,861
275.683
Page 19
continued...

THE P.4ROCIIL4L CHLRCFI cOU￿clL OF THE
ECCLESIA.STIC_4L P.4RISH OF ST PETER
IL4ROLD IVOOD
NOTES TO THE FIN.￿NCl.￿L ST.4TEIIEYTS- continued
FOR THE If AR E_N'DED 31 DECElfBER 2020
14.
I IOVE)IENT IN FLTNDS- continued
Net Tnovetnent in funds. Included in the aJxTrve are as follows..
In¢tsTning
resources
Resources
eX￿nded
Movemeni
In funds
Unrestricted fund$
G¢neral fund
Long Term Mainienanc¢ Fund- Buidings
544.312
1472,6131
{13.3211
71,699
544.312
{485,9341
58.378
Restricted funds
len's Group
ExploTeTS
Campaigners Alc
ABC
Car Show
Waichnighi Service
Coneys
Donations Collected foT Third Partie5
i ercy Fund
Word Alive
555
70
{720)
{1801
13491
13011
11651
13491
13011
120
{2.1331
14.3301
1836}
11,926}
(12.108)
12.0131
{3.2701
760
1.596
.875
12,108
17.384
{22.901)
15.5171
TOTAL FUNDS
561.696
{508,8351
52,861
Pag¢ 20
¢(>ntinued...

THE P.4ROCHIAL CHLR
I CIL OFI-HE
ECCLESIASTIC.4L P.4RISH OF ST PETE
FL4ROLD ITrOOD
I OTES T_O THE FINI AN4CIAL STATENIENTS- coutinued
FOR THE YEAR ENDED 31 DECEMBER 2020
14.
I IOVENI IENT IN FUTr4DS- Contin￿e￿
Comparatives for mowemeDI Ètt fuDd$
Transfers
benveen
fijnds
moi'emeni
Ai
Ai 111119
nre5tricted lunds
General fimd
Long Tetm Mi ￿nEenance Fund- BuidiThgs
Ministry Traitking Fund
165,288
30.IMM)
18,885
{14.2801
117,1641
15.000
3.777
167,009
30,720
3,777
195.288
4.605
1.613
201.506
Restricted funds
Ministry Training Fund
Men's Group
Explorers
Chtiglrnas Day Lunch Fund
Tuesday
@Two
Campai£nets Ale
Mission Pennie5
Keswick at Home
3.129
779
2.141
852
314
349
21X>
781
1,076
22
282
2.710
5.360
3.530
140
i20
11,3521
{204}
506
(1,7771
575
2,647
852
314
349
205
781
1,457
13
ABC
Car Show
Watchnight SeTvice
Coneys
Donations Colle¢ied forThird Panie5
i ercy Fund
Dads & Toddle
Word Alive
CABC
Lortg Tem) Mainienan¢e Fwid- Equipment
381
{91
1446)
930
140)
1450}
164
3,640
5.320
3.080
140
620
404
919
5.1
{4.1811
27.689
{4.7601
21,316
TOTAL FUP4DS
222.977
222,822
Page21
ctsrttiTrued...

THE P..IROCHI..IL CHURC.H COL¥NCIL OF THE
ECCLESL4STIC.4L P.4RISH OF ST PF.TER
HAR
LDW
OD
,YOTES TO THE FIN,IN'CI..IL ST.4TF.%IF.Yrs- continued
FOR THE YEAR ENDED 31 DECEIIBEK ZQZO
14.
IOVEf+lENT I.N FUNDS- contiDued
CoTDparaiive nel movement in furKls. included in the ab)ve ate as follows:
ItKorniThg
resources
R¢50Ut¢es
expended
Movement
In funds
Unrestri¢ted fund5
G¢n¢ral fund
Long Tenn Maintenance Fund- Buidings
494.392
{475,5071
114,280}
18.885
114,2801
494.392
{489.787)
4.605
Restricted (und5
Ministry Training Fund
Men's GTQUP
LxploreTS
Missjon Pennies
11.3531
(976)
11.3521
12041
506
772
537
ABC
Car Show
Wstchrtighi Se]vic¢
Coneys
Donations Collecied for Third Panies
Mercy Fund
Word Alive
Long TeTtn Maintenance Fund- Equipmenl
506
(1251
{91
{2.7161
381
191
14461
930
140}
{4501
00
2.270
930
6,809
{6.8491
14.4501
14001
500
16,330
{21.0901
14,7601
TOTAL FUNDS
510.722
(510,8771
Page 22
¢ontinued...

THE PAROCHIAL CHURCH COUNCIL OF TIIE
ECCLESIASTIC,iL P.4RtSH OF ST PETE
FL¥ROLD II'OOD
NOTES TO THE FINXNCIAL STATE.IIE.Yts- tontinued
FOR THE YEAR ELNDED 31 DECEMBER 2020
l4.
I IOVENI IENT IY FUNDS- coDtiuued
A cutrent year 12 monihs and prior year 12 tnonth5 combined position is as follows..
Net
movemenr
irt fijnds
TransfeTS
beNeen
funds
At
31112QO
Ai ltr1119
Unrestricted fund5
General fund
LottE Temi ML ainienance Fund- Buidings
Minisiry Training Fund
Plant Fund
165288
30.IXM)
90.584
(27.6011
159.6821
30,000
8.777
10,000
196.190
32,399
8.777
10,000
195288
62.983
110.9051
247.366
Restricted funds
Ministry TTainiTLg Fund
i en's Group
Explorers
Chnstma5 r)ay Lunch Fund
Tuesday
C2mpaI.tsneTS AI¢
Mission Pennies
eswi¢k at Home
ABC
Car Show
Wat¢hnighi Service
Coneys
Donations Coll¢ci¢d for Third Pafties
Mercy Fund
Dads & Toddlers
WoTd Alive
CABC
Long TeTm Mi aini¢nance Fund - Equipment
3.129
779
2,141
852
314
349
21M)
781
1.076
(1,352)
1369}
396
(1,7771
410
2,537
852
314
(349)
205
781
1.156
80
{27
{2,4)9}
(2,340
720
1501
282
2.710
5,360
3.530
140
520
404
5.11)0
2.677
500
370
0,080
13.029
140
620
404
919
10.(x)o
27.689
{10.2771
10.905
28.317
TOTAL FUNDS
222.977
52,706
275.683
Page 23
cootinued

THE P.4ROCHL4L CHURCH COLNI CIL OF THE
ECCLESIASTIC..IL PAR.ISH OF ST PETE
L¥ROLD WOOD
TES TO THE FI)AYCIAL ST.4TE%IENTS- Continued
FOR THE YE.4R EN4DED 31 DECE,IIBF.R 2020
14.
rwlOVENIE_YT IY FUNDS- Co￿tinUed
A currerti year 12 months and prior year 12 tTh)rtths eombiThed nei movem¢ni in fund5, Included itt the above are
a5 follows-.
IrKomiThg
resouTces
R¢501]r¢es
expended
Movetnenl
in fund5
Unrestricted funds
CieneTal fund
Long-f¢rTn Mainfenance Fund- Buiding5
1,038,7(H
{948,1201
127,6011
90,584
{27,6011
1.038,704
1975.7211
62,983
Restricted fund5
Ministry Traitiing Futtd
i ell's Group
Explorers
Campaigners Alc
i Lssion PenJ)ies
(1.3531
(1.6961
{1,3521
{3691
396
{3491
1,327
()07
13491
ABC
Car Show
Watchnight Service
Coneys
Donations Collecied for Third Partie5
Mercy Fund
Word Alive
Long Temi Mainienance FU[￿- Equipment
506
14261
1271
14.8491
14.3301
17,685}
16.3761
112,5081
80
1271
12.4)91
12.3401
720
2,390
1,990
8.405
5.875
12.&)8
33,714
{43,9911
110,277)
TOTAL FUNDS
1,072,418
11,019.7121
52,706
15.
RELATED PARTY DISCLOSURES
The chureh is aSSIXLaied with the New In￿￿rne TtU5t {RegI51er￿ Chtirity No. 10427681 by means of mllwal
Istee being L Motri5
Duritjg the year. there was Tht yayable ￿ the Tnw of £12.(KK). After offsetting £ 24,016 of payroll costs
reehaTged the Church was owed £12.016 ai the year end.
16.
ULT[￿lATE CONTROLLING PARTY
The church 15 gov¢rn¢d by the Patothial Church Council.
Page 24

THE PAROCHL4L CIIURCll COUNCIL OF TIIE
ECCLESI.4STIC.4L P.4RISH OF ST PETE
IL4ROLD ITrOOD
DETAILED STATELMENT OF FINLNCI.4L ACttVITIES
FOR THE YEAR EIYDED JI DECEMBER2020
2020
2019
INCONI IE AIND EliDOWNIENTS
DoD*tions and legaties
Covenanis & fTee will offering
Gift aid
Collections {opett plaiel 2t all seTvices
Other donations
Other *ullds
320,487
99.IY)9
2.717
81.0?2
47,51
333,389
73.309
11,625
63,793
20,330
550,746
502,446
Ch#rit*ble attivities
Salt of advtrE15ing, book5, elc
Other income
105
10,247
2,213
5.878
10.352
8.091
Other itttome
Bank inreresl
598
185
Total incoming resourtes
561,696
510,722
EXPENDITURE
Charitable artivities
Wages & salanes
Social security costs
PetL510ll ets51S
Siaff & clergy expenses
Sialf IT#ining ¢05ts
PTopeny rental payable
Church Tunning costs
Building maintenance
Oth¢T fund5
Church activities including yottih growls
Parish share
Church rt￿g23]neS. #dveTtising & iKK)kstall
Donations giN'en
99.317
4.110
7,402
92.423
4,298
8,689
19.293
636
25,579
60,924
3,250
33,729
37.786
42.457
22.901
9,850
161.368
555
58,387
21,090
10,582
155,415
4,343
56,342
497,243
502,785
SkEPPOrt tosts
Management
Phoiocopi¢r rental
Postage & stationcry
Audil lees
Carried forward
6.121
1.235
1.493
2,348
3.840
7,681
11.356
This pagc does ￿0( forn) part of the s￿￿(ory Iinaneial statements
Page 25

THE P.AROCHIAL CHURCH COLTh'CIL OF THE
ECCLF.SI..ISTIC.4L P..IRISH OF ST PF:TE
4ROLD WOOD
DET.41LED ST.4TEMEYT OF FlNI4.4NCI.4L.4CTIVITIES
FOR TEIE I'EAR E.NDED 31 DECF.IIBER 2020
2020
2019
ManageNi¢nt
Brought forward
Legal fee
11,356
7,681
120
11,356
7.801
Finance
Bank charges
236
291
rotsl resouTtes expended
508,835
510,877
Net intomellexpenditurel
i2,861
This page does not Fortn part of the 51atutory financial statements
Page 26