Report of the Trustees & Financial Statements for the Year Ended 31 December 2025
CONTENTS
Pages
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1-6 Reports of the Trustees
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(Incl. Vicar, Deanery Synod, Wardens, PCC Secretary & Treasurer)
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6-7 Structure, Governance and Management, Reference and Administrative Details and Independent Examiner's Report
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8-13 Statement of Financial Activities, Balance Sheet, Analysis of Income, Analysis of Expenditure, Charitable Giving, Church and Halls Repairs, Halls Income and Expenditure and Fund Movements Summary
The Trustees present their report and the independently examined financial statements of the charity for the year ended 31[st] December 2025 . The financial statements have been prepared on a Receipts and Payments basis and comply with the charity's governing documents, the Parochial Church Councils (Powers) Measure 1956, and the Charities Act 2011.
AIM & PURPOSES
St. Stephen’s Parochial Church Council (PCC) has the responsibility of cooperating with the incumbent, Matt Graham, in promoting in the ecclesiastical parish, the whole mission of the Church, pastoral, evangelistic, social, and ecumenical. The PCC is also specifically responsible for the maintenance of the St. Stephen’s Church building, St. Stephen’s Church Halls, and the Curate’s house, 89 Prenton Hall Road.
OBJECTIVES & ACTIVITIES
The PCC is committed to enabling as many people as possible from the parish of Prenton to worship at St Stephen’s and to become part of the St Stephen’s church family. The PCC maintains an overview of worship throughout the parish and makes suggestions on how our services can engage and reach the many groups that live within our parish. Our services and worship enable people to put their faith in Jesus into practice through prayer and scripture, music and sacrament.
To facilitate our continued worship and witness, caring for the congregation as well as meeting the needs of the parish and reaching out effectively to them, it is important that we maintain the fabric of the Church of St. Stephen’s and the Church Halls.
ACHIEVEMENTS & PERFORMANCE
From the Vicar
We began 2025 focussing on God’s sovereign work through all things for the good of those who love Him (Romans 8v28). We then saw that truth in the story of Joseph, climaxing in his words to his brothers, how they had intended to harm, “but God intended it for good” (Genesis 50v20). In advance of my sabbatical (see below), and a year that would bring deep sadness for some, these are parts of Scripture that bring home the privilege it is to be involved in caring for souls and pointing a congregation to this good God who in His perfect purposes for us, doesn’t spare us from difficulties, but is with us through everything.
Alongside regular activities, the year was particularly punctuated by the following:
Completion of the toilets and servery phase of Project 125. The early part of the year to May was dominated by the long planned works at the back of church. We are grateful for the end result which is a success both in terms of functionality and how well the servery especially, sits visually within the building. The updated facilities achieve the original aim of giving us
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a building that is fit for purpose as we seek to offer welcome and hospitality. I want to express thanks especially to the P125 committee who ended up serving for longer than envisaged (the pandemic disrupting plans to complete these works in time for the 125[th] anniversary).
Sabbatical (May to July). With the generous support of the PCC and diocesan permission, I took a 3 month sabbatical, my first having been in full-time paid Christian ministry of one kind or another since graduating in 2000, and in ordained ministry for 12 years. I’m very grateful to the PCC for making funds available to support one sabbatical aim in particular, to visit our mission partners in Senegal. I also made time to rest, read and enjoy time to study without regular routines and responsibilities. My family and I, and as a whole church family, we’re indebted to all those who served in various ways including additional leading and preaching. Besides the immediate need to cover tasks, the sabbatical gave opportunity to pivot somewhat in how we structure ourselves for the size of church we are, and in anticipation for any continued growth the Lord might bring. This is an area I want to continue to focus on and for wardens and PCC to think through as we recognise that in a healthy church each part of the body has a part to play in serving, utilising the gifts Jesus gives.
The Prenton Dell Centre. As with the P125 works, the completion of the community asset transfer for the Prenton Dell Library took longer than expected. Let me express thanks again to those who helped with this, especially Richard Fearnely who was deeply engaged in back-and-forth communication with various parties involved. Whilst waiting to complete initial refurb, fitting out and furnishing, we were able to host guests who attended the Dell street nativity which was exciting.
Community Outreach Leader. In God’s providential timing, the assignment of the lease and handover of the library building happened two days after Pete Boorne joined us, along with the family, to lead on this project. It has been exciting to shift to a larger staff team with the ideas and possibilities that brings, and see the church family welcoming the Boornes.
Quiet Revival. Finally, including the time I was on sabbatical, what has been recognised nationally has been clearly visible in a small way here in Prenton. We have enjoyed a steady stream of enquirers visiting on Sundays, with some joining enquirers courses and now attending regularly. It is exciting that bibles and gospels are regular available and being taken by guests as they investigate Jesus. The year ended with really well attended Christmas events and services with the good news of Jesus going out.
This brief report comes with thanks to all those who serve in so many varied and often unseen ways to make our life and ministry to one another and the community possible. Do join me in giving thanks for the ways God was clearly at work, for our good and His glory in 2025.
Matt Graham
REPORTS
Birkenhead Deanery Synod Report
Three meetings were held in 2025 with input given as follows:
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February –Jon Pocock (Strategic Programme Director for Chester Diocese)
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June - Bessia Kanengoni (Diocesan Digital Giving Advisor)
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October - Alex Fisher (Faith Development Officer, Wirral Borough Council)
Paul Bentley of Christ the King continues to serve as rural dean, with a rotation of assistance from other chapter clergy: Revd Keith Addenbrooke (St James & St Bede) for the first part of the year, and Revd Janet Arnold (Woodchurch) currently. The vacancy at St Saviours was filled by Revd Marc Wolverson. There are current vacancies in both Tranmere parishes of St Catherines, and St Paul’s and St Luke’s. Our three deanery synod reps serving their last full year of three were Joel Giblett, Joan Potts and Jenny Webb.
Matt Graham
Churchwardens Report April 2026
What an exciting time it is seeing God at work in Prenton. Growth in home groups, in the teams serving on Sundays, in the staff team and in new events reaching out to the community. These all bring with them lots of excitement and a degree of increasing complexity in our operation. So, what’s been happening to the props for this work over the last year?
The servery and toilets at the back of the church were completed this year. They have been a significant blessing to us, enabling both new refreshment offers (one for the ‘real’ coffee snobs!) and events to be held in church much more readily. The Quiz Night, for example, was a great evening (many thanks to Andy Davies and Phil Steventon), supported by these facilities. Teething issues were always likely. We are very grateful to the refreshments team and Peter Horton
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in particular, for many hours of work to help make the system function. We are in the process of putting in heaters in the toilets to make them a less chilling experience in winter.
Our services are now benefiting from a new Visual system, which we hope will streamline three people’s work into one in the near future. This has required some simplification of our online offer, but should enable us to function with a smaller team. We are very grateful to the team who have been serving in the background each week to support our services, and who gave up time to learn a new system. Many thanks also to Matt Graham and Pete Boorne, who did a huge amount of work to make this system operational.
There is a great team of part-time workers and volunteers who help keep our buildings in good shape. Many thanks to Aby Horton for her regular cleaning of church. Sean, the handyman, has been a consistent help for us, from fixing boilers to moving baby changing facilities. Niko, the plumber, has fixed taps and looked after our heating systems. Also special thanks to Neil Ward for his expert knowledge which has saved us a lot of expense across many projects. PCC has also just appointed a new cleaning company to keep the Halls in a clean shape for our many users.
Chris Phillips is stepping down as Churchwarden at the APCM. Our Buildings Committee will need a new leader, and it also needs additional expertise as team members. The Committee is tasked with organising many of the jobs that keep our buildings going and reporting to PCC, ably supported by Jenny Webb. If you feel this committee is something you could contribute to (or just helping with the occasional job around the church), please speak to Rich Dunning or Matt Graham.
Pointing out stonework improvements has been on our architect’s list for years. We have undertaken the first round of chiseling and filling, making safer the building and protecting it from the elements. There is an ongoing need to keep on top of the stonework from a health and safety perspective as well as keeping it aesthetically pleasing and functioning.
Not all of the Building Committee’s work is heavy. We are in the process of making replacements to our lights within the church building, having started at the back of the aisles. This should help us to be both more energy efficient and give us greater flexibility in how the building is lit.
Thank you to Rosie Earp and Richard Fearnley for their unceasing energy supply in dealing with our electricity and gas providers. Negotiating a fair price to keep the chill at bay hasn’t been straightforward, but we are grateful for their work.
The opportunities for doing good are massive. We are so grateful to God for bringing in many new people to hear His good news this year as well as the sweet sound of the gospel for people who have been coming for decades. The stonework, coffees, cleaning, lights, presentation software and much more have their roles to play in God’s big plan for His church. We’re grateful to have partnered with a brilliant team in doing this background work in the context of God’s blessings and encouragement this year.
Richard Dunning and Chris Phillips - Churchwardens
PCC Secretary Report for 2025
The PCC began the year in 2025 with 16 trustees. We welcomed Ruth Froggatt who was elected to serve on the PCC and also re-elected Daniel Davies, therefore we closed the year with 17 trustees. Richard Dunning along with Chris Phillips were both re-elected as Church Wardens for St Stephen’s.
This year has been one of steady faithfulness, renewed energy, and deepening community life within our parish. Our discussions have been marked by honesty, hope and a desire to serve the parish of Prenton well.
Members for 2025 were:
The Rev Matt Graham Vicar/Chairman
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| Mr Pete Earp | Lay Chairman/Reader |
|---|---|
| Mr Richard Dunning | Church Warden |
| Mr Chris Phillips | Church Warden |
| Mrs Joan Pots | Safeguarding Ofcer / Deanery Synod Rep |
| Mr Richard Fearnley | Treasurer |
| Mrs Jenny Webb | PCC Secretary / Deanery Synod Rep Retres 2025 |
| Mr Robert Wiltshire | Retres 2026 |
| Dr Dave Bennet | Retres 2026 |
| Mr Patrick Giblet | Retres 2026 |
| Mrs Linda Coter | Retres 2026 |
| Mrs June Macdonald | Retres 2027 |
| Mrs Rosie Earp | Retres 2027 |
| Mr Peter Horton | Retres 2027 |
| Mr Daniel Davies | Retres 2028 |
| Mrs Ruth Froggat | Retres 2028 |
| Dr Joel Giblet | Deanery Synod Rep |
The PCC has wide responsibilities, each member being a trustee and has complied with the duty to have "due regard” to House of Bishops safeguarding policy and practice guidance.
The PCC, having made the decision to move to fewer meetings on a trial basis for this year, met 6 times, 5 of which were planned meetings with one extraordinary meeting taking place in June. Each meeting began with a reading and/or Bible thought and prayer and ended with prayer. With our Vicar on sabbatical for three months, Pete Earp chaired 3 of our meetings, in his capacity as lay chairman.
Our sub-committees have taken on greater responsibility between PCC meetings with the aim of enabling us to deal more effectively with good problem of growth and the healthy mess and complexity that brings. Each sub-committee is accountable to the PCC.
At every meeting there was an opportunity to look back and look forward at events; reports were received from the various committees entrusted with the responsibility of aspects of the work of the PCC which included:
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Health & Safety
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Safeguarding
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Treasurer’s Report
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Standing Committee Report
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Buildings Committee Report
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Outreach & Mission Group Report
The PCC continues to serve with hope and integrity as we discern God’s leading for the year ahead.
Jenny Webb, PCC Secretary
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FINANCIAL REVIEW
Treasurer’s Report for year ending 31/12/2025
Format: In line with the Statement of Recommended Practice (SORP) for the presentation of charity accounts generally, the accounts in the pages that follow include the following tables—
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Statement of Financial Activities (SOFA) – summarising the income and expenditure over the year by category of fund – general unrestricted, designated (i.e. halls income and expenditure), restricted and endowment, with the totals in 2024 for comparison.
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Balance Sheet – showing the assets held at the end of the year, fixed and current, as balanced against the different categories of fund held by the PCC.
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Analysis of Income – providing details of the income summarised in the SOFA, analysed into the relevant categories and funds, with totals in 2024 for comparison.
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Analysis of Expenditure – which provides details of the expenditure summarised in the SOFA, analysed into the relevant categories and funds, with totals in 2024 for comparison.
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Charitable Giving – providing details of the grants provided by the PCC for various mission, relief and development purposes during the year.
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Church and Halls Major Expenditure – providing details of the cost of the major works and repairs carried out, and other major expenditure incurred during the year.
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Halls Income and Expenditure – providing details of the income and expenditure arising in the designated fund that is used to record the Halls finances.
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Fund Movements Summary – recording the fund balances at the start and end of the year, and the income and expenditure during the year, for each of the funds held by the PCC.
Income: As to the general income (excluding income from hall lettings), there has been a satisfactory increase in this compared with 2024. In particular, total income from donations and legacies rose from £120,785 to £149,433 (+23.7%). This figure included a very substantial one-off gift which is unlikely to be repeated. If one-off gifts are excluded then the increase in the more regular income is a more realistic but still welcome +9.3%. In relation to income from hall lettings, as managed through a designated fund, this fell slightly from £21,626 in 2024 to £20,499 in 2025. However, the expenditure from the designated fund was £19,668, so finances associated with the halls remained in surplus (£831), though this was substantially down from the surplus in 2024 (£6,303). As regards interest on general deposited funds the income fell significantly from £14,345 in 2024 to £10,327 in 2025. This is primarily due to the substantial drawing down over the course of the year of in excess of £69,000 in cash held on deposit with the CofE Central Board of Finance Deposit Fund in order to fund the large amounts of expenditure incurred in 2025 (see under Expenditure below and the second table on page 12). Overall the total of all unrestricted income was £199,032, an increase of 9.4% over the equivalent 2024 figure of £181,948. Income accruing to the various restricted funds amounted to £122,476 compared to £2,177 in 2024. This was due primarily to the church receiving a number of substantial grants during the year, including £33,200 from the Church Commissioners Disability Fund (to assist with the installation of a new disabled toilet in the church), £14,063 from the Listed Places of Worship Scheme as effectively a refund of VAT on various works carried out in the church, and £71,213 from Wirral Council to assist with expected expenditure on rent for, and the refitting of, the former Library premises in Prenton Dell, the lease of which was acquired during the year.
Expenditure: Unrestricted and designated fund expenditure in 2025 amounted to £245,279, compared to £177,058 in 2024, an increase of £68,221. The main factors behind the increase were—
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(a) an increase of £2,261 (+3%) in the Parish Share payments;
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(b) an increase in the cost of employing an increased number of staff from £14,512 in 2024 to £33,556 in 2025; (c) increases in the church’s energy costs from £14,096 in 2024 to £17,958 in 2025 (+27.4%); and (d) expenditure on various major works as detailed in the second table on page 12 – though the majority of the expenditure was charged against various restricted funds, as shown in the table, there remained costs totalling £52,460 that were borne out of the General Fund.
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Expenditure out of the various restricted funds and the endowment fund amounted to £116,086. The bulk of this expenditure (£103,504) was in relation to the major works already referred and as detailed in the second table on page 12. As a result of this expenditure, all the balances held previously in the Len Ellis Fund, the Mawby Memorial Restricted Fund, the Project 125 Fund and the Mawby Memorial Endowment Fund were reduced to zero during the year.
Summary: As shown in the SOFA on page 8, both unrestricted income and expenditure (including via the Halls Designated Fund) increased compared to the equivalent figures in 2024. The overall outcome was an unrestricted deficit of -£47,078. In relation to the Halls finances, the increase in expenditure and the decrease in income resulted in an overall reduced surplus of £831.
In terms of the PCC’s assets, as the Balance Sheet on page 9 shows, the value of these was substantially reduced from £417,609 in 2024 to £377,552 in 2025. As can be seen from the balance sheet, this stemmed from a reduction in the value of the General Fund (-£47,608), a small increase in the Designated Fund (+£831), an increase in the value of the Restricted Funds (£28,540) – due mainly to the holding of an as yet unspent grant from Wirral Council (£71,213) and the elimination of the Endowment Fund (-£21,819).
Finally, I would again like to thank our Independent Examiner, Tim Odell, for checking that the accounts are in good order and comply with the appropriate charity accounting requirements.
Richard Fearnley, Treasurer
STRUCTURE, GOVERNANCE & MANAGEMENT
Background
The Parochial Church Council (PCC) has the responsibility of co-operating with the incumbent in promoting in the ecclesiastical parish, the whole mission of the Church; pastoral, ecclesiastical, social and ecumenical. It also has maintenance responsibilities for St. Stephen's church, St. Stephen's church halls, the curate's house, which it owns, and the premises that formerly housed the Prenton Dell Library, the long lease of which was acquired from Wirral Council during the year.
Membership of the PCC and Trustees of the Parish
Members of the PCC are either ex officio or elected by the Annual Parochial Church Meeting (APCM) in accordance with the Church Representation Rules. The Trustees listed in the PCC Secretary’s Report served as members of the PCC during the year.
Incumbent & Clergy
Revd Matt Graham Vicar and Chair of Trustees
Committees
There are a number of committees that attend to different aspects of the business of the PCC. They are as follows:
Standing Committee
This is the only committee required by law. It has the power to transact the business of the PCC between its meetings, subject to any directions given by the Council.
Outreach Group
This committee exists to facilitate growth and reaching out into the community to further the charity’s aims and objectives as a parish.
Buildings Committee
A working group to facilitate and progress plans for the building works that are required from time to time at the church and church halls, and also 89 Prenton Hall Road and the Dell Centre.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity number 1131998
Principal address Parish Office, St Stephen's Church Hall, 11 Prenton Lane, Birkenhead, Merseyside, CH42 8LA
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Trustees PCC Members for 2025/26 (as listed in the PCC Secretary’s report)
Independent examiner Timothy Odell FCA, CA(SA)
Bankers HSBC - Grange Precinct, Birkenhead
Reports and financial statements approved by order of the board of trustees (PCC) on 6[th] March 2026 and signed on its behalf by its Chairman, Revd Matt Graham (Vicar)
Miele
Signature________
Independent examiner's report to the trustees of The Parochial Church Council of St. Stephen’s Church Prenton
I report to the charity trustees on my examination of the accounts of The Parochial Church Council of St. Stephen’s Church Prenton for the year ended 31 December 2025.
Responsibilities and basis of report
As the charity trustees you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ('the Act'). I report in respect of my examination of the charity’s accounts carried out under section 145 of the Act and in carrying out my examination I have followed all applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
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(1) accounting records were not kept in respect of the charity as required by section 130 of the Act; or
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(2) the accounts do not accord with those records; or
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(3) the accounts do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a true and fair view which is not a matter considered as part of an independent examination.
I confirm that there are no other matters to which your attention should be drawn to enable a proper understanding of the accounts to be reached.
obs
Signed by ________ (Timothy Odell) on 26[th] February 2026
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Statement of Financial Activities 2025
| Unrestricted | Designated | Restricted | Endowment | Total | Funds | |
|---|---|---|---|---|---|---|
| funds | funds | funds | funds | 2025 | 2024 |
|
| Income and endowments from: | ||||||
| Donations and legacies | 149,433 | - | 122,476 | - | 271,909 | 122,754 |
| Income from charitable activities | 6,473 | - | - | - | 6,473 | 6,849 |
| Other trading activities | - | 20,499 | - | - | 20,499 | 21,638 |
| Investments | 22,327 | - | 50 | - | 22,376 | 26,553 |
| Other income | 300 | - | - | - | 300 | 6,330 |
| Total income | 178,533 | 20,499 | 122,525 | - | 321,557 | 184,124 |
| Expenditure on: | ||||||
| Raising funds | 1,387 | - | - | - | 1,387 | 680 |
| Expenditure on charitable activities | 212,588 | 19,668 | 83,132 | 22,051 | 337,439 | 185,718 |
| Other expenditure | 11,636 | - | 10,854 | 50 | 22,539 | 1,073 |
| Total expenditure | 225,611 | 19,668 | 93,985 | 22,101 | 361,365 | 187,471 |
| Net income / (expenditure) before | ||||||
| transfer | -47,078 | 831 | 28,540 | -22,101 | -39,808 | -3,347 |
| Transfers: | ||||||
| Gross transfers between funds – in | 322 | - | 4,322 | - | 4,645 | 175 |
| Gross transfers between funds – out | -322 | - | -4,322 | - | -4,645 | -175 |
| Other recognised gains/losses | ||||||
| Gains/losses on investment assets | -530 | - | - | 282 | -248 | 161 |
| Gains on revaluation, fixed assets, etc | - | - | - | - | - | - |
| Net movement in funds | -47,608 | 831 | 28,540 | -21,819 | -40,056 | -3,186 |
| Reconciliation of funds | ||||||
| Total funds b/f from 2023 | 331,996 | 14,264 | 49,529 | 21,819 | 417,609 | 420,795 |
| Total funds carried forward | 284,388 | 15,095 | 78,069 | 0 | 377,552 | 417,609 |
| Represented by | ||||||
| Unrestricted | ||||||
| General Fund | 284,388 | - | - | - | 284,388 | 331,996 |
| Designated | ||||||
| Halls Income And Expenditure Fund | - | 15,095 | - | - | 15,095 | 14,264 |
| Restricted | ||||||
| Hall Equipment | - | - | 989 | - | 989 | 989 |
| Len Ellis Restricted Fund | - | - | - | - | - | 194 |
| Mawby Memorial Income Fund | - | - | - | - | - | 256 |
| Ministry Support | - | - | - | - | - | 8,950 |
| Mission To Young People | - | - | 2,357 | - | 2,357 | 4,541 |
| Prenton Dell Project | - | - | 74,671 | - | 74,671 | - |
| Project 125 Fund | - | - | - | - | - | 33,639 |
| Staff Training | - | - | - | - | - | 866 |
| Vicar's Discretionary Fund | - | - | 53 | - | 53 | 93 |
| Endowment | ||||||
| Mawby Memorial Endowment Fund | - | - | - | - | - | 21,819 |
There may be minor discrepancies in the totals where the pence are not shown
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| Balance Sheet at 31 December 2025 As at 31/12/2025 |
As at 31/12/2024 |
|---|---|
| Fixed assets Former curate's house (89 Prenton Hall Road) 87,000 Total Fixed assets 87,000 Current assets Bank current account 9,074 Planned Giving Account 10 Bank deposit account 71,503 Mawby Income Account (R) 5 Len Ellis Account (R) - CCLA (CBF) deposit account 200,546 Mawby Endowment Investments - Petty Cash 200 Cash in hand 1,157 Accounts receivable 8,058 Total Current assets 290,552 Accounts payable - Total Liabilities - Net Asset surplus (deficit) 377,552 Reserves Excess/(deficit) to date -39,808 Starting balances at beginning of year 417,609 Gains/(losses) on investment assets -248 Total Reserves 377,552* |
87,000 87,000 13,784 10 30,680 783 530 269,679 7,210 200 497 8,014 331,387 778 778 417,609 45,938 371,509 161 417,609 |
| Represented by Funds General (Unrestricted) 284,388 Designated (Halls Income and Expenditure) 15,095 Restricted 78,069 Endowment - Total 377,552 |
331,996 14,264 49,529 21,819 417,609 |
There may be minor discrepancies in the totals where the pence are not shown
* The value attributed to the former curate’s house in the Balance Sheet is its original purchase value in November 1998 on a historic cost basis. Its value on 31/12/2025 is estimated to be £397,000.
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Analysis of Income 2025
| Analysis of Income 2025 | ||
|---|---|---|
| General Designated Restricted Endowment |
Total Total 2025 2024 |
|
| Income and endowments from: Donations and legacies Gift Aided Donations by SO Gift Aided Donations by Envelope Other planned giving Loose plate collections One-off Gift Aid gifts Donations appeals etc Tax recoverable on Gift Aid Legacies Non-recurring one-off grants Other funds generated Donations and legacies Totals Income from charitable activities Income from Church Events Votive candles Catering/refreshments Flowers Fees for weddings and funerals Book sales to promote objectives Income from charitable activities – Other trading activities Church hall lettings - fund raising Photocopying, etc Other trading activities Totals Investments Dividends Bank interest Rent from Curate's House Investments Totals Other income Insurance claims Surplus – sale of fixed assets Other income Totals Income and endowments – |
87,920 - - - 4,520 - - - 4,640 - - - 1,971 - - - 18,230 - 4,000 - 2,052 - - - 29,425 - - - - - - - 400 - 118,476 - 275 - - - |
87,920 83,545 4,520 4,027 4,640 4,470 1,971 2,926 22,230 1,225 2,052 4,230 29,425 22,299 - - 118,876 - 275 32 |
| 149,433 - 122,476 - 1,195 - - - 25 - - - 2,164 - - - 25 - - - 2,972 - - - 92 - - - |
271,909 122,754 1,195 1,108 25 72 2,164 1,984 25 30 2,972 3,656 92 - |
|
| 6,473 - - - 20,499 - - - - - - |
6,473 6,849 20,499 21,626 - 12 |
|
| - 20,499 - - - - 50 - 10,327 - - - 12,000 - - - |
20,499 21,638 50 196 10,327 14,357 12,000 12,000 |
|
| 22,327 - 50 - - - - - 300 - - - |
22,376 26,553 - 6,330 300 - |
|
| 300 - - - 178,533 20,499 122,525 - |
300 6,330 321,557 184,124 |
There may be minor discrepancies in the totals where the pence are not shown
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Analysis of Expenditure 2025
| Analysis of Expenditure 2025 | |
|---|---|
| Total Total General Designated Restricted Endowment 2025 2024 |
|
| Expenditure on: Raising funds Refreshments and other event |
1,387 - - - 1,387 680 |
| Raising funds Totals 1,387 - - - 1,387 680 Expenditure on charitable activities Missionary societies 3,625 - - - 3,625 3,125 Relief and development agencies 2,420 - - - 2,420 3,447 Home mission 6,510 - 40 - 6,550 6,550 Parish share 77,605 - - - 77,605 75,344 Fees paid to Diocese 2,052 - - - 2,052 2,013 Assistant staff costs - - - - - 258 Parish administrator 5,887 5,887 - - 11,774 10,952 Youth and Children’s Worker 6,467 - 8,950 - 15,417 4,744 Community Outreach Leader 11,835 - - - 11,835 - Clergy expenses 1,200 - - - 1,200 2,072 Council tax 2,897 - - - 2,897 2,753 Vicarage expenses 3,239 - - - 3,239 - Water rates – vicarage 1,166 - - - 1,166 941 Vicar's telephone 439 - - - 439 455 Publicity 290 - - - 290 303 Outreach materials 195 - - - 195 - Education - - - - - 36 Children's Work Expenses - - 2,185 - 2,185 1,828 Parish training and mission 146 - - - 146 - Church insurance 7,380 - - - 7,380 5,368 Church office – telephone - 439 - - 439 455 Organist 3,480 - - - 3,480 3,560 Church maintenance 1,583 - - - 1,583 1,759 Cleaning 1,406 58 - - 1,465 448 Upkeep of services 1,076 - - - 1,076 946 Flowers - - - - - 102 Upkeep of churchyard 2,580 - - - 2,580 4,733 Administration 2,802 - - - 2,802 1,393 Church running - electricity 2,451 - - - 2,451 2,268 Church running - gas 9,098 - - - 9,098 7,108 Church running - water 582 - - - 582 627 Hall running - electricity - 1,412 - - 1,412 1,376 Hall running - gas - 4,997 - - 4,997 3,344 Hall running - insurance - 1,169 - - 1,169 2,684 Hall running - maintenance - 4,375 - - 4,375 1,174 Hall running - water - 1,330 - - 1,330 774 Church major repairs - structure 7,009 - - 15,664 22,673 8,870 Church major repair - installation 37,841 - 68,761 6,387 112,989 1,555 Hall – major repairs - installation 990 - - - 990 2,210 Hall – Equipment 1,172 - - - 1,172 307 Curate's house - upkeep 3,462 - - - 3,462 2,838 Prenton Dell Project 1,098 - 542 - 1,640 - Church equipment 2,603 - 2,654 - 5,257 16,997 Expenditure on charitable activities – 212,588 19,668 83,132 22,051 337,439 185,718 Other expenditure Staff training 342 - 866 - 1,209 102 Bank charges 94 - - - 94 132 Professional fees 11,199 - 9,987 50 21,236 839 Other expenditure Totals 11,636 - 10,854 50 22,539 1,073 Expenditure Grand totals 225,611 19,668 93,985 22,101 361,365 187,471 There may be minor discrepancies in the totals where thepence are not shown |
1,387 - - - 1,387 680 3,625 - - - 3,625 3,125 2,420 - - - 2,420 3,447 6,510 - 40 - 6,550 6,550 77,605 - - - 77,605 75,344 2,052 - - - 2,052 2,013 - - - - - 258 5,887 5,887 - - 11,774 10,952 6,467 - 8,950 - 15,417 4,744 11,835 - - - 11,835 - 1,200 - - - 1,200 2,072 2,897 - - - 2,897 2,753 3,239 - - - 3,239 - 1,166 - - - 1,166 941 439 - - - 439 455 290 - - - 290 303 195 - - - 195 - - - - - - 36 - - 2,185 - 2,185 1,828 146 - - - 146 - 7,380 - - - 7,380 5,368 - 439 - - 439 455 3,480 - - - 3,480 3,560 1,583 - - - 1,583 1,759 1,406 58 - - 1,465 448 1,076 - - - 1,076 946 - - - - - 102 2,580 - - - 2,580 4,733 2,802 - - - 2,802 1,393 2,451 - - - 2,451 2,268 9,098 - - - 9,098 7,108 582 - - - 582 627 - 1,412 - - 1,412 1,376 - 4,997 - - 4,997 3,344 - 1,169 - - 1,169 2,684 - 4,375 - - 4,375 1,174 - 1,330 - - 1,330 774 7,009 - - 15,664 22,673 8,870 37,841 - 68,761 6,387 112,989 1,555 990 - - - 990 2,210 1,172 - - - 1,172 307 3,462 - - - 3,462 2,838 1,098 - 542 - 1,640 - 2,603 - 2,654 - 5,257 16,997 212,588 19,668 83,132 22,051 337,439 185,718 342 - 866 - 1,209 102 94 - - - 94 132 11,199 - 9,987 50 21,236 839 |
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Charitable Giving 2025
| Missionary societies Crosslinks (re Alex & Susannah Maclean) Relief & Development Agencies Tear Fund Home Mission Charles Thompson Mission Church at The Barn NW Partnership Bursary Fund Support for local families TOTAL |
3,625 2,420 2,420 1,820 1,820 490 |
|---|---|
| 12,595 |
Church and Halls Major Expenditure 2025
| Church building | Total | FUNDS General P125 Fund(R) Mawby (R) Mawby (E) Len Ellis (R) |
|---|---|---|
| Servery & Toilets Lady Chapel Stonework Audio Visual/Music Equipment Lighting Church Halls New Window Total |
115,260 5,065 22,673 7,400 4,576 990 |
32,679 80,903 50 1,628 256 4,809 7,009 15,664 7,206 194 4,576 990 |
| 155,964 | 52,460 80,903 306 22,101 194 |
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Halls Income and Expenditure 2025
| Income Income from hire of halls/rooms Expenditure Parish Administrator (50%) 5,887 Electricity 1,412 Gas 4,997 Insurance 1,169 Maintenance 4,375 Telephone 439 Water 1,330 Equipment - Repairs - Decoration - Cleaning 58 Net surplus/loss |
2025 2024 20,499 21,626 5,476 1,376 3,344 2,684 1,174 455 774 25 - - 19,668 15 15,323 |
|---|---|
| 831 6,303 |
Fund Movements Summary 2025
| Fund | Balance Incoming Outgoing Gains/ Balance 1st Jan Resource Resource Losses Transfers 31st Dec |
|---|---|
| 331,996 178,533 225,611 -530 - 284,388 14,264 20,499 19,668 - - 15,095 989 - - - - 989 194 - 194 - - - 256 50 306 - - - 8,950 - 8950 - - - 4,541 4,000 2,185 -4,000 - 2,357 33,639 47,263 80,903 - - - - 71,213 542 4,000 - 74,671 866 - 866 - - - 93 - 40 - - 53 21,819 - 22,101 282 - - |
|
| 417,609 321,557 361,365 -248 - 377,552 |
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