St. Margaret's Church, Horsforth
Regisiered Charity Number 1132085
Accounts
for the Year Ended
31st December
2021

SL Margarefs Church, Horsforth
Reg¢lered Chwty N4Jrt¢r 1132085
Finanelal Ststements for the Year Ended 31st December 2021
STATEMENT OF FINANCIAL ACTIVITIES
2020
Unr•strict•d Restricted Endov
FuTr(ts
Funds
IrK(xning R•sourcas
158,43Q Vcluntsy
11,753
11,648
3,￿1 In%*sErrert inccrfre
185,478 Total Inc(Ynlng ReSoU￿eS
,575
57,185
25.524
1.672
172.957
7,724
57,439
25,524
1,6n
180,935
7.978
Resouttes Expondod
132,896 Clwth
50,022 Cl¥Jrch ¢)J
4.255 P•ish Centre costs
305 Ccth of genefttsro Iwxts
787,4n Total R050urc8s EX￿nd•d
15B257
39241
2.891
56.439
161.148
95.680
203.323
59.330
261653
f2,0591 ￿ mtY4tnxrt in furth
.¥￿) {51,3521
181,718)
46&314 Baarw fvjm *JrnJMI ￿ 1 JWNOY
464,255 B*rtts carr*d fi)r*¥d 31 Decfjrtxr
394.257
363.891
69,662
18.310
,255
382,536
P•ge 1

SL Margaret's Church. Horsforth
Re9iStefed Charty Number 1132085
Flnancial Slatements for the Year Ended 31st December 2021
BALANCE SHEET AT 31 DECEMBER 2021
Trtal 203)
Fundj £
20
TANCI8LE FIXED ASSETS
83,277 Chwrh
21
￿￿0
CURRENT ASSETS
Cash a Bank and In H￿d
81,￿ C8F wor81 %ctsJnl
12&921 y¢)*￿1[* W ￿l￿ent ¥JXW
1,545 Lo¥1 as guar•ilY
81.564 Unitad TrLK%I
519 Fkmv FurbJ
J20 Cath & htr•1
37tl.481
81.9)4
81,
49.570
9.1
2.2
81.564
81,564
534
2.3
284,4B7
294.525
5,017 Gift kn1 repi>Yrttdsth* fr(th trWRC
. Pmh C* beth'r9 leas
VAT r• kn"tLts)
3.899
9,228
1,635
14,762
9.228
1635
5.$34
5.017
9,228
Current Liabilities
. L¢eOs Fmaru l•MI
twts re ￿t￿95
FtyAw Fund rwts tr J)22
l(KJ
2.4
521
621
521
T(*al LHbilil
651
.977
NET cl￿NT ASSErs
289.991
18,310
335
464.255
TOTAL ￿T ASSETS
363,891
18,310
335
382.536
ty th• Par¢¢Nal Chw¢h On YAh 2022 •rnl ils b•1￿1 ty:
Rw. *da

Margaret's Church, Horsforth
Hcoslcrté cThJrn¥ IlJX45
Financial Statements for the Year Ended 31st December 2021
INCOMING RESOURCES 2021
2020
Fur
Fun
Tolal 2021
vo￿n* hKon
Sl.C67 Qft gvry
6.6* ¢X*r rknl wY4J
4.870 Cpeft pl* cdeckns
2931
1931
31
24226
7.724
13.914
156.
8.635
18.575
7.n4
Church
1791 Fees fc¢
5.457
S.457
32
51.
S1,n9
195
It.753
57.185
AcllvEtt•s for GThrattng Furnls
9,169
k¢5 Cefitre
1.948 E￿ts *J
531 xtr&•l
19.177
6.347
19.177
6,347
25,524
25.524
estrityrt In¢on
3.$87 trth8$1 &
1587
1.672
1.672
1.6n
185.418 T￿11 In¢oniry R¢S￿￿c
171
7.9n
IW.934

St. Margaret's Church, Horsforth
Financlal Slatements for the Yèar Ended 31st December 2021
RESOURCES EXPENDED 2021
2020
Fun
TOTAL 2021
£98.974.C(I ￿3h sth¥e of
1.316
9Q974
7.317
S)yres & pknal
Muso (*ur S ¢ygwt
21
1185
5.5Yd
.619
Phobwwny &
1.179 Graits i rn*t
107
19
2,652
43
41421
239
1891
239
161.146
?32.8
158,256
Church RunrAng Colts
8.099
13Y)
10.144
10.141
Waw
191
5.278
542
191
5278
5,599
2.188
4.1ffi
9.164
e￿n9 & related
1.635 Eojlp￿( & •nrrnv
(*gan kniThJ 8 rews
9.137 ￿p)wI
&JiThyy payirwts
Genera
46.4
10,CO)
1632
11632
9.337
9J37
,022
39.241
9S.680
p￿Sh Centr• Costs
4.1
1￿ Equw &
4,255
Costs of G•nerallrfj Funds
187.4TT
Totsl Res¢urces Exp￿ded
203.627
262,955

SL Margaret's Church, Horsforth
Registe￿ Charty 1132085
Notes to the Annual Accounts 2021
I. ACCOUNTING PoL￿lEs
Basis of Financial Slatemgnts
The finanoal statements have been prepared urbder tt* Charilies Act 2011 and in Xcofdance wilh
Ihe Churth AcC￿nti￿] Regulations 2CX)6. in acccKdance wtth applicable accountirKJ standards and
the 2016 version of fv Staiement of Recommended Practice, Accounting and Reportin9 by Chanties
(SORP(FRS1021).
financial statements have been wep¥ed ur#Jer the hot(xiul cost c(Thethn. The ststéff￿nts
inGlude all transxkn'ons, assets arKI liablt1￿ the PCC ￿ resp(￿[ble in law. They do not
include the acc￿nts of church groups that th￿'r affiliabon to an¢xh6r b￿Jy. nor those that are
informal gatherings ol C￿rch mernbers.
Fund Accounting
Unrestnded funds income fijnds which can be SF￿¢ on the general wrposes of tho PCC.
Restiyct8d funds ￿MprIse (a) inccyne er¥kn¥￿ vthith is to be expeThJed only on tr
restnded wrposes interbjed by It* dOr￿r and (b) revenue donatsc￿ or grants for a Specific PCC
gctiwty intended by the dorKK. Vlhere Ihese funds have unsperrt ba[an￿, interest on Iheir pool•d
investment ￿ appOrt￿ne￿ to Ihe IndIv￿u￿ fu￿1$ on an average balance basis
De￿naled fvnds are general funds set aside by PCC use in Ihe future for specific proje
or pUrpo￿s. They remain unreslri(aed arKI the PCC may move any surou$ lo other general lunds.
Endowmcnt fvnds ¥e funds ofwhich captsl must te ret￿ned etiher Fernianently or at the PCC.
disuetson. The In¢cme derwed from the end0¥￿￿ent ￿ to be used either as restnded or unrestncted
income funds, dependirwJ on the purpose fof eThYowment was established In the first place.
Incoming Résources
Planned giving. collections and similar donatiohs are recofded V4then received Tax refunds are
recognised when the In¢omiTh9 resource to wh•ch they reiale Is re¢eived. Grants legatses are
accounted for when the PCC is ents￿ to the w of the resourcu. th•r ulbmate receipt '
reasonably certain aTrJ the amounts ¥e readily quantffiaL40. ￿"VK1entt5 are accounted for when
¢Jeclared r￿Nable. wtsresl ￿ and when OWL￿d ty thè payer. Al in¢￿ing resources are
accounted for gross.
Resources Expendad
Grants arwj donabOftS by Ihe PCC ¥e accounted for when paid ovw or *then awarded. if that award
creates a binding or ¢onstructsve oblrgation on the PCC. The dio¢esan pansh share expecled to be
paid over is accounted for when d￿. AU other exFeThJiture is ger*ally recognised rt is Incurred
and Is &c￿Unted for gross.
P405

St. Margarevs Church, Horsforth
R•gtstw•d Charty n￿￿t￿r 1132085
Notes to the Annual Accounts 2021
Fixed Assets
Consecraled •ThJ benefKe rrfoperty o not in the accounts. in accothnce secbon5
1012)(a) and (c) of Ihe Chant*s kt 2011.
Movable church fumtyhings Ihat are held by the virar and cI￿rGhWa[denS on speual twst the
PCC and which require a faculty dist￿1 a￿ inalienabbe kxowty. A is cuffenljy being
comFm￿d of the church's Inventory.
This is the seventh year thai the chw¢h equipYMrt has be￿ deFYeciated. A (ate of 20% ot ttr
reduong babanc* has been a(knp￿J.
2. NOTES ON THE BALANCE SHEET
2.1 Church etyikynent is valued after d•FYeciation. as shry•m fft Sec*ion 8 bekw.
2.2 St. Margarel'$ loan•d a r6lumatAe dep¢)srt as guarnntor for a rented house.
2.3 Petty cash lloal £120.
2.4 Chanty collectKm owed.. CfJft Njd lnt•rnat￿￿ £521.
3. INCOMING RESOURCES
3.1 DonatiotK% recewed Ind￿ an anonymcxts frc¥n a panshioner 01 £7.OCKI and a &¥ant of
£5.000 frcffi the Sir John Pr￿￿n8ft Ch*ty Trust iowards the repaw ol the churth ￿9¥Tr
3.2 Leeds City CouTril gave the Horsfuth CLNnmunty Assets Prqect grants lolalling £43.250 to
enable it lo assrsl wrth yovidirKJ supwrt fc￿ Ihose affected by the pandemic £10,OIXI was
transferred to MHA to assist wrth rt's work wrth Hot5forth Live at Home arwj £6.(M)O to Kirkstall
Valley Trust food th'strtjulion frcth St ArKlrew's chwch. The ba1￿ce has enabbed HCAP to
¢onbn￿ to proV￿e fc￿ parc*ls lo those in ￿ed throughout the pandemic as well as provmjiry
fo(MJ for cooknfwJ athtt￿5 cryani3ed thrclffjh the Children's Centre.
The c￿]MunrtY Cafè started up again In Sept￿nb8r once restrNSions wwt relaxed. Inc(xne
from the Café ts after deductrng charge us• of Parish Cwitr•.
4.RESOURCES EXPENDED
Grants and Oonallons - to uncertainty to the reStrIrt￿ bx*d0W￿ caused by
tN8 Covid 19 pandemic. rt was decwjed to defer out any grants or (kInath)￿ until followng
financial year.
P4e6

St. Margaret's Church, Horsforth
Rwstered Charty number 1132085
Notes to the Annual Accounts 2021
However, ￿ partr*rship *iih Horsforth Communty Cafe enabled the fol￿1￿ dc¥Htions: .
Focwj Revival (forn￿rtY The Real JLmk Food Prqed)
£soo
Chiktren's Centre - Chnstmas outing
£450
Horslorth Churches Tofftr- replacemwrt thennos flasks
£150
Mummy's Sl3r- chanty wptK*t In arKI arwnd w•gna
£1(M)
Total
Money raised resthcted Fuposes thrcxjgh fwwal collectiorts. rdffles and special appeab is not
I[￿uded In theye ￿0)urts.
Staff Costs are induded in the aCC￿ftts as pans of tr* reknvant mw cost$. Vve employed eight
part-time staff duriThJ the course of the year. Or9￿151. two church administralofs. Junior Church
leaders. cfft church carelaker and a Pansh Centre cleaner, The lolal empk)yment costs fN Ihe year
were £14.848. This is after a daim urthr t￿ govemment furf¢xyh scheme of £860.
Paym•fits to members of the par￿h1•1 Church C<>un¢il
No members of Ihe PCC recewed any remuneral￿n in the year to 31 De￿nber 2021
4. RESTRICTED FUNDS
Fund Titl•
Lad Chapl Gates Fund
Flowér Fund
Panshioner rentsl fuNI
31 D•c 2021
£350
£430
£735
Total , £1,515
£582
£735
6. ENDOWMENT FUNDS
31 Dec 2020
Fund Titl•
, The Bdls Fund, the HH Newton FuTrY.
the H HutchinsM Memorial Fund ar¥J
the H Cla
on Memonal Fund
31 D•c 2021
£335
£335
P•g• 7

St. Marga￿t'S Church, Horsforth
Regist•red Chanty numt*r 1132085
Notes to the Annual Accounts 2021
7. DESIGNATED FUNDS
UnrEstrKted fiJnds set aside in 2016 by the Par0th1￿ Church Counol for specrfic Pufposes.. -
Fund TfO•
January
1 January
2016
Utilised in T31 December
Buildinj Fund
2020
Outrea¢h and Mission Fund
£200.OQKI
the year
£168652
2021
£920
£168652
Lon￿Terrn Reserve
£1¢XI,000
£ 87.948
£2,912
£ 87948
Totsl d•s￿nated r•￿Th• funds
£ 50.860
£307.460
£ 50,860
£400,000
£3,832
8. FIXED ASSETS
Tangible Fixed Assets (Unrestricted)
OeFwiatron of Chvrth equiFrfnent ￿ charged al 20% of the net b￿k value at the start of the year
and a<klitions during the year. The ground source heatiry for Parish Centre will b• dwecialèd
over 20 year3.
Ground Source
H••ting
Cost
At 1 January 2021
Additions aunng Ihe
31 December 2021
Chur¢h Equlwne
Total
49.243
147.731
196974
49.243
147,731
Oepr•cl•tion
At 1 January 2021
Char9e for the ye¥
Total to 31 D¢cembw 2020
Net 8ook Valu•
At 310eceml)er 2021
At 31 December 2020
196.974
2.457
113.129
6.920
120.049
113,697
9,377
123 074
46,218
27.682
73.900
48.675
34,602
83,277
9. RESERVES
The policy of the Parochial Chwth is to attemot to marntain a reserve of unrestricted fuThJs
équivalent to six mcrfttts. r￿MI31 ex￿rA￿rtur?, n (Ydef lo $rIK￿h out fluctual￿nS in cash flthv and to
meet emergencies. At the eTh* of 2021, the urtstrithd ftryls availab￿ provKled a reSe￿e well in
excess ￿ the target,
Page 8