Page I
Raylei8h United Refornied Church Charlty
(Alternatlve name- Chrlst Church United Reformed Churth Charity)
Charlty Re8lstratlon Number: 1132232
The
United
Reformed
Church
Report of the Trustees
For the year ended 31 December 2023.
Mlsslon Statement
Christ Church aims to promote and nourish faith in God, totell of God's love, and bv
working together, to share God's love with the community and wider world.
Thls report include5 information required by the Charities (Accounts and Reports)
Regulations 2CK)8 and the Statement of Recommended Practice for Accounting by Charities
2005 as applicable to charities entitled to prepare accounts on the receipts and payments
basis.
Legal and Admlnlstrdtlve Infmatlon
Christ Church United Reformed Church. Rayleigh is a local church of the United Reformed
Church in Great Britain and is a member church of Eastern Synod of the Unlted Reformed
Church.
The church premises are situated in Crown Hill, Rayleigh S56 7HA. Christ Church Unlted
Refornied Church Raylei8h is a community of people who 8ather tO8ether regularly to
worship God in a non-conformist tradition that traces Its roots to the Reformation. Chrlst
Church was establSshed as a Congre8ational Church in 1910 and joined the United Reformed
Church at Its fomiation in 1972. The church premises are vested in Eastern Province Trust as
trustees and held for the benefft of Christ Church United Reformed Church, Rayleigh in
accordance wlth the trusts appllcable to United Reformed Church Pfopertles.
Chrlst Church United Refornied Church, Raylei8h was re8lstered as a charbty on 21 October
2009 (Reg. No. 1132232) to comply with chan8ed legal requirements.
The charlty trustees are the members of the Elder5 Committee, during 2023 they were:
Joyce Berry
Kelth Berry
Robert Dart (to 12 September 2023)
Sue Deane
Gwyneth Delve (from 25 Aprll 20241
Phillip Headley lfrom 25 April 2024)
Thora Ker (to 25 April 2024)
lan Miller {to 25 April 20241
Richard Stokes {from 25 April 2024)
Naomi Young-Rodas
Bankers: Barclays Bank, 6>65 High Street, Rayleigh, SS6 7EL
Strurture and Govemance
The activities of Christ Church United Reformed Church, Rayleigh are overseen by the
Elders, Meeting of the Church in accordance with the provisions of The Structure of the
United Reformed Church determined by General Assembly of the United Reformed Church
and Supplemented by the rules of Christ Church United Reformed Church, Rayleigh.

Page 2
The Elder5, Meeting is re5pon5ible for the spiritual well-being and financlal administration of
the Church. and the care and maintenance of Church premises and the manse. The Church
Meeting (of all church members wishing to attend) gives guidance on the lrfe and work of
the Church. appolnts Church Officers. all major initiatives and significant items of church
Èxpenditure are also brought to Church Meeting for approval.
The members of the Elders. Meeting are the minister in pastoral charge and up to eight
members of Christ Church United Reformed Church, Rayleigh nominated and elected by the
members of the Church. Elders having Se￿ed for 3 years retire by rotation and are eli8ible
for re-election for a further period of 3 years. Followin8 a period of 6 consecutive years as a
servlng Elder. a period of one year must elapse before the person is eligible for re-election
as a servin8 Elder. There is no limit on the number of periods of servsce.
The members of the Elders, Meetin8 are the trustees of the registered charity durin8 thelr
period of service as Elders.
Objectlves and Artlvltles
As a local con8re8ation of the United Reft)rmed Church. Christ Church, Raylelgh seeks to
advance the Christian faith through its activities and the facilities offered to the community
by Its bulldin8 and descrlbed more speclfically in Its mission statement.
The Elders, Meeting is aware of the Chaiity Commission's guldance on publlc benefit In Yhe
Advancement of Religion for the Public Benefft. and has regard to It in the admln15tratlon of
the church.
The Elders. Meeting believes that the Church provides benefit to the publlc by..
providing resources and facilities for public worship. pastoral care and spiritual moral
and intellectual development, both for the congregatlon and for anyone else who
wlshes to benefft from what the Church offers:
managing the premlses for community use:
promotSng Chrlstlan values and services by members of the congregation to the
communlty, for the benefft of individuals and soclety as a whole.
Revlew of Actlvltles and Athlevements
Worshlp has been offered regularly on a Sunday mornln8 led by the minister, Revd. Naomi
Young-Rodas, by visiting worship leaders or by one of the lay preachers wrthin the
congregatlon. The average attendance was 47 at the morning service. Actlvities are
arranged for the younger members of the congregation (usually four or five children) In the
Sunday Club or, once a month the service is All A8e Worship. A spetial servlce of
Rememberingwas held in October and a Christingle Servlce on Christmas Eve. Messy Church
was held on six occasions duringthe year. A Carers and Toddlers Group meet once a week
during school term time organised by the church's Children and Family Worker and
volunteers from the churth have helped with the running of this 8roup. A service based on
the Tai2e style of worship is held once a month. A monthly Space for Prayer is arran8ed
8iving a quiet time for anyone wishing to attend. Atthe end of 2023 the church membership
wa5 70 with nine people regularly attending worship who are not church members.
Pastoral Care and Church Ufe
All members and adherents are included in Pastoral Groups. The church employs a Children
and Family Worker who liaises with the famllies of children connected with the church. A
number of artivities are arranged duringthe yearwhere members and friends can meet
including Quiz Ni8hts and Meals Out.

Page 3
A number of organisations are affiliated to the church. the membership of these
organisations 15 not limited to people who attend Christ Church, Rayleigh. They include the
Concord Ladies Club and the Badminton Club. The funds forthese organisatlon are in
separate accounts. they have their own committee structure and treasurer, but their total
receipts and payments and the balance held at the year end are included in this report.
Separate accounts for the Music Group and the Fairtrnde stall are maintained. again their
receipts and payments and year end balances a￿ induded in this report.
The Needles and Natter group contlnued meetin8 and as wlth the other organlsatlons Is not
limited to those who attend the church. In 2023 a Drop In Coffee moming was started once
a week and from January to March the church was open one mornln8 a week as a °Warm
Space" for anybodyto use.
The work on the bulldlng projert has continued with disCU$5ions bein8 held with the
archltect. Plans and specification were drawn up to include the necessary ￿paIrS identified
by the Quinquennlal Survey and to improve the insulation of the building. We were
successful Sn securlng grants from Eastern Synod and some other charitable funders, which
together we the Church Maintenance Fund and generous donations from members of the
church family have enabled work to commence. As the finance would not cover all the
desired work it was declded to divide the projert Into two phases, the first coverlng the
repairs identified In the quinquennial report and insulatlon work and replaclng the gas
heater In Caley Hall in Caley Hall.
Charltable Works
Fundraisin8 for other charities contlnues on a regular basls wlth dlfferent charltles beSng
supported each month during the year (see Note 51.
In addition, the church has a partner church in Zimbabwe, thls partnershlp was established
In 2010 and financial assistance has been given to the church In Budiriro.
Flnandal Revlew
The accounts for the year are set out on pages 6 to 12. The trustees have taken the
opportunity to prepare these financial statements in accordance with the Charities Act 2011
Section 144, uslngthe Receipts and Payments bas￿ available to small charities and the
Unlted Reformed Church guldance.
Forthe church the main source of recelpts are the Offertories, includln8the 8lving by some
members by monthly standln8 order. hall hire and the Income earned by the solar panels
Installed on the roof of the church. The General fund. after making some transfers to the
designated accounts, indicates receipts in excess of expenditure of £26712022- surplu5 of
£1,641).
The designated funds are detailed in Note 2 of the statements and provide resep4es to meet
various categories of non-routine expenditure. The church was fortunate to receive one
legary of £IO.O(K) in 2023 and this was added to the Bequest Fund. During 2023 the value
of the investments held bythe church increased in value by £7.402 and the professional
fees incurred in connertion with the building project were met either from the Church
Maintenance Fund or by drawlng down some of the grant from the Synod. After taking into
account the increase in the value of the investments held bythe church and with the grants
and donations to the building fund the total funds of the church charity were approximately
£41,334 higher at the end of 2023 compared with December 2022. The Restricted Funds

Page 4
comprise mainty of money glven for the building project, other charities and the funds of
the Other Organisations.
Reserves - the trustees consider that a minimum of £IO,IMM) should be held as a reserve in
the General Fund to meet routine expenditure, and although the balance of the General
Fund is lower than that at present It does not give too much cause for concern as funds are
held in designated funds which could be made available should the need arise.
Investment Pollry- as some of the funds were not needed for current expenditure they
were placed in investment funds with CCLA Management to provide a better return than
was available on Deposit Accounts. The income from the investments held In Designated
Funds is included within the general receipts. Although some of these investments will
need to be sold to fund the building project.
Rlsk M8na8ement- the trustees have identified what they belleve to be the fflajor risks
which the church faces and are satisfied that these have been adequately mltl8ated where
necessary and review the risk assessment annually.
Safe8uardlng Pollcy- the charltys Safeguardin8 Policy is based on the one approved by the
Unlted Reformed Church and Is revlewed regularly. The trustees and other key member5 Of
the charity have attended on-line refresher safeguarding training.
Publlc Benefft-the trustees are aware of the Charity Commission guldance on publlc
benefit Includlng the speclfic guldance on charities for the advancement of religion.
Everyone is welcome to attend our regular services and other attivities.
Volunteers- as would be expected wlthin a church structure many of the activlties are
carrled out by volunteers. The stipendiary minister Is paid from the central Unlted Reformed
Church's Mlnlstry and Mission Fund to whlch the church contributes. The work of the
church Is, therefore. substantlally dependent upon the voluntary members and it is not
considered approprlate to conslder the value of this tlme.
As mentioned earller the total rÈteipts and payments figures for the affiliated organisations
are included in the charitys reeeipts and payments accounts. The year end balances are
Included in the Statement of Assets and Liabilities.
Approved by the Elders and si8ned on their behalf by:
Church Secretary:
S.
Date: 544 SYk￿bAl ao%+

Page 5
Independent Examlnerfs Report to the Members of
Chrlst Church United Reformed Church Charlty
I report on the finanaal ststements of the Charlty for the year ended 31 December 2023 as set out on
pages 6 to 12.
Thls report is made solely to the charitrfs trustees, as a body. in accordance wlth section 145 of the
Charities Act 2011. My work has been undertaken so that I might state to the chariws trustees those
matters l am required to state to them in thi5 report and for no other purpose. To the fullest extent
permitted by law, I do not accept or assume responsibility to anyone other than the charity and chariV5
trustees as a body, for my work. for thls report. or for the opinlons I have fornied.
Rupertlve respon51bllltles of trustees and examlner
The tharws trustees are responsible for the p￿Pa￿tIOn of financlal statements. The charitvs trustees conslder
that an audlt Is not requlred for this year under Sectbn 14412) of the Charltles Act 2011 llhe 2011 ACV) and that
an Independent examlnatlon is needed.
It Is my responslblllty to:
> Examlne the financial statements under section 145 of the 2011 Act",
> To follow the procedures takl down in the General Dlrections 8lven by the Charity Cornmlsslon under
sectton 14515llbl of the 2011 Art; and
To State whether particular matters have come to my attentk)n.
8•sls of Independent examlnerg report
My exarnlnatlon was carrled out In accordan￿ wlth the General Directlons 8lven by the Charfty Commlsslon. An
examlnatlon Includes a review of accounting ￿ordS kept by the charlty and a compariwn of the ftnanclal
statements presented wlth those records, It also includes consideration of any unusual items or dlsclosures In the
flnanclal statements and seeklng eXPlanat￿n$ from you as trustees conternlng any such matters. The procedures
undertaken do not pro%ide all the evrdence that would be requlred In an audlL and consequently no oplnlon Is
Iven as to whether the financlal statements present a true and falrf vlew and the report is limlted to those
matters set out in the ststsment below.
Independent examlnerf statement
In connection with my examlnation. no matter has COMÈ to my attention:
al Which glves me reasonable cause to believe that in any materlal respect the requirements:
To keep accountin8 retords in accordance wlth sertlon 130 of the 2011 ACL. and
To p￿pare financial statements whlch accord wlth the accountin8 records and comply wlth the
accounting requlrements of the 2011 ACL"
Have not been meL or
b) To which. In my opinion. attention slK*uld be dftwn In order to enable proper understandlng of the
financlal ststements to ￿ reached.
Independent Examiner
Sl8nature
Name:
Mrs L Haworth
Date:

CHRIST CHURCH UNtrED REFORMED CHURCH. RAYLEIGH
Page 6
FINANCIAL STATEIIENTS YEAR ENDED 31 DECEMBER 2023
RECEIPTS AND PAYMENTS AGGI￿l￿r
Regl•t•r•d 48 ¥ Charlty. Numb•r 1132232
2022
Totst £
Furth£
FLMth£
To￿£
REC&PTS
0￿ring8
Oonab'ons
48.119
3,240
2,454
48.119
3.240
45.346
10.CKK)
10.C
7.849
1,255
450
442
1,292
Mc￿￿5 rai6ed lor outsAJ• ¢M••
Budiriro Prcwct
Budinro Church
cornmun￿ FuThl IACTS 435
930
1.2
1.250
1,042
1,042
Proparty. thurchlh811 u8•rn
In¥eBtyrnnl inCry￿1nknr*I
R•fund8
Fggd In Tariff
BuibJing Propd
Church Fum￿h*Y￿ Fur
ChibJrnn8 Are8
Hub Grant
Energy Grnnl
A¢AN• Tntyt
10
3.423
2.196
4.1C6
5.394
13.524
12
2,193
2,9
2,193
$0.751
125
9).751
125
241
211
815
Toi*l roc•lpts
89.
10.CX))
54.710
134.
93.637
PAYAIENTS
Minotry & FuTrJ
Worehy Coots
Fu￿1 l ACTS 135
SuFwt of QLtshJ•
8udiriro Project
8udiriro Church
37.932
1.737
37.932
1,737
2,124
1,181
13
1.692
1.272
1.419
489
2,089
2.124
t.181
1,716
14
15
18
19
17
18
732
16.e10
3,051
Chur¢h funnwd o)
AdMin￿￿￿[lOn Costs
M8inbnan
MinisWs Eyro•s
16.810
3.057
9,628
2,449
3.217
3,217
4,542
10.587
3,105
4,628
9.754
Chiklren and Fam*y Vlothw
ChibJren'$Ar•a
Up9rada to W*1
ButhlirvJ Propd
Sund￿•
10,587
14,553
14.553
20,723
1,777
Totsl payn*nts
82.029
19.043
101.073
101.629
12,(Kw)
-12,C(#J
Trnns Imrn ch￿￿h Oipanlutk*n•
11
NET RECEIPTS I IPAYMENTSI
267
33.933
Ca¥h & •hort t•vm d•pggits
Investmpnt Fun0• M 1 Jan
Unrnalis•d g•in on Fn¥88ln
7.131
619
70.772
1.970
17.073
81.372
-10.6¢J)
70.772
Church fvnd• cll 31 Doc•mb•r
76.793
37.836
121,827
8ON93

CHRIST CHURCH, RAYLEIGH UNfrED REFOFIMED CHURCH
P•ae 7
FWANCIAL STATEIIENTS YEAR ENDED 31 DÉCÉIIBER 2023
REGEIPTS ANO PAYME14TS ACCOUNT Icortd
STATEMENT OF ASSETS AND LIABILMES
Thmb Yo
2023
T¢Mal £
Last Year
Fwd•£
Tcrt* £
Church 0￿￿1111[0
Rac8iPt8
Paymènt8rrr8rffjfws Out
Balances bm 1 Jan
B•lanC￿ clf 31 O•c
6.132
6,132
1.451
1.698
2,104
2,104
Totsl ConAolid•t•d FundB
ReceiptslG•iTh on in￿lm￿ts
PayThents
Tran8lers fut*
Bal8nce bff
BalanG• cn
70.2
17.402
61,250
25,176
148.948
107.205
89,911
107,617
12.¢J))
7.131
7,3
-12.C
71.391
76.793
82.188
123.931
99,896
12.189
39.740
Chyych
Bank uJnBnt Aecount
twrt ac%ounts
Inv•#bn•nts
2,284
41,370
78.173
6.137
IEEE
5.894
27.428
9.430
68.743
70.n2
Chur¢h
7.398
78.793
121,827
10,493
C88h
Bank (￿￿8n1 accounl
175
175
154
1.541
Cfvu￿h Ory•nlM
2,104
1104
1.696
Totsl Alon•tsry A•••t•
CA8h
8ank
175
2,709
27,4
9,430
175
4,213
41,370
78,173
21
7,8n
Invasbnents
68.743
70,772
Totsl Con•olld•t•d
7,398
76.793
39.740
123.931
82.188
Bu&1iry uThlor•tatuW Iwusts
CtsJro)
APPROVED by th• Tru•l••• cffj 14
by Yc)vVétPa)AS Inarnel
TheTh*es 810 12 fLYrnP*tollhis finwoa1*8teJwt

CHRIST CHURCH UNThED REFORMED CHURCH. RAYLEIGH
Page 8
FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2023
NOTES
1 ACCOUNTING POLICIES
The financial stalemenls have been prepared in ac¢ordarK* WFlh the CharFbe$ Act 2011 Seth'on 14515llb), using
the Receipts and Payments basis avalable to small chariiits, and the United Refomed Church guidance.
FUND ACCOUNTING
unr••trI￿ Fund•
may be used by thé church for any of ils ordinary wrFoses.
Doslgnatod Funds
represent unrestricted funds set asde by the thurch for speok desunated
purposes, they can be transferred W into general fvnds at the church's deci5K￿.
R•8trfct•d Fund•
represent income which may be expended only on those restrthd Obj￿ provided
in the terms of a trust or bequest. or donations or grants r￿￿ed or iniAted for a specfft purpose.
These funds can onty b& spent on the specfft purF4)se for Wthich they were given. Any balance
remaining unspent must be carried forward as a balance on that fund for fvture exr£ndrture on that
Specific purF¥)se or retumed. rt cannot be absorbed Into general funds.
Balance
Receip
Transfer in
Payments l Adjustment
Transfers
investment
Out
value
2,467.00
4,934.00
Balance
2 DESIGNATED FUNDS
Fund name and purpo
Church Maintenance
Bequest FurKI
Youthlchildren Work Reser+M Fund
Youth Support Fund
17,328.72
46,689.04
5,671.75
1,701.27
2.OW.00
10,IXQ.00
21,795.72
47,623 04
5,671.75
1,701.27
14,000.00 ....
Totals of De•lgnat•d Fund8
71,390.78 1 12,000.001
14.000.001 I
7,401.00,,
76,791.781
3 RESTRICTED FUNDS
Fund n•mo and purpo
COmmun￿n
ACTS 435
Church Fumishing Fund
Balance blf
Receipts
Payments
Transfers
Balance cJf
1,433.41
0.00
5CHJ.00
730.47
520.00
125.¢)0
1,603.90
520.00
000
0.00
0.00
0.00
559.98
0.00
625.00
4 RESTRICTED FUNDS
Balance bm
Re¢eipts
Payments
Transfers
Balance clf
Building Project Fund
Receipts.. Grants
FundraNng
Hamonie cOn￿rt
autt N￿hts
T8￿nts
Cookery Book
TLC Concert
May Fair
Donat￿n8
Interest
Payments.. ProfessM)nal Fees
Misc. expenses
0.00
22,288.18
4￿.65
811.70
193.00
140.00
240.00
271.11
25,937.50
373.32
14,476.36
111
77.05
Tolal RestrlGtod Fund6
50.751.46
14,553.41
36,198.05

CHRIST CHURCH UNITED REFORMED CHURCH. RAYLEIGH
Page 9
FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2023
NOTES- Gontinu
BaUqn¢e
R&*ipts
inv£
Payments
in year £
Bal8
S RESTRICTED FUNDS
FOR OUTSIDE CAUSES
Commrtment Life
Trussel Trust
Bar N Bu5
in year £
1C6.
223.(KJ
103.C
0.00
223.cwj
103.00
0.00
Miiiii
Christian Aid
Big BrewlFairtrade
HARP
Havens Hospice
Romanian Crests'n Trust
Christingle - Lrtlle Havens
Hopeworx
Tools IAfith A Mission
Hamonie Concert
250.00
43.80
95.00
72.1x1
49.35
250.
81.05
95.00
72.C
49.35
58.30
143.IXJ
37.25
0.00
143.00
20.00
200.00
20.00
200.00
Total for Outslde Caus08
37.25
1.363.45
1,180.70
220.00
BaL3nce
Receipts Payments from PayThents
in year £ Genreral Fund• in year £
BaLqnce
6 Budiriro Proj
Budiriro Church
929.54
290.00
895.45
2,005.
34.09
0.00
Th18 Year
2023 Total £
L881 Ye8r
2022 Total £
FuTras e
FuTrJs £
FuThls £
7 OFFERINGS
Envelopes
standin9 Orders
Lcx)se
Grfi Aid Tax Refund
6.210
32,096
2,718
7,095
6,210
32,096
2,718
7,095
8,212
28,110
1.099
7,926
Total Oll•rtorl•8
48,119
48,119
45.347
FUNDRAISING
Christsnas card -postage"
Quiz Sheets
Easyfundraising
Amazon
Scrabble
Meals
Other
422
57
55
20
146
327
16
422
57
55
20
113
17
128
823
185
327
16
Total Fundralglng
1.042
1,042
1,117
9 ACTIVITIES
Messy Church
Mustard Seed Toddlers
Holiday Club l Farth Adventurers
Needles and Natter
Drop In Café
350
1,200
150
350
1,200
150
300
454
292
797
1c6
375
426
454
Total Acllvitles
2.454
2.454
1.996

CHRIST CHURCH UNITED REFORMED CHURCH. RAYLEIGH
Page 10
FINANGIAL STATEMENTS YEAR ENDED 31 DECEIABER 2023
NOTES - Gonllnued
This Year
2023 Total £
Last Year
2022 Totsl £
FuThts £
Furth £
10 PROPERTY INCOME
Hall Letb'ngs
3.658
3.658
3,423
Total prowty Income
3,658
3,423
11 TRANSFERS FROPIJ OTHER CHURCH ORGANISATION8
Goncord club
Christ Church News
350
290
Totsl donallon• for of pr•ml8•8
000
12 REFUNDS
Bridg8watsr Dfiva Refvnds for 2021
Bridgewater Drive RefrJnds
1.799
2,3C6
2,193
2.193
Totsl Rofund•
2,193
2,193
4,105
13 WORSHIP C08T8
Preaching Fees
Worship Costs
RSCM & Organist8' F888
Pi8nolOrgan Tuning
Flowers
Sound System
CCLI Llcence
Mi8cellaneou8
40
188
130
104
110
422
422
65
48
48
793
89
89
Totsl wor•hlp co•ts
1,737
1,737
1,692
14 ACTMTIES COSTS
Messy Church
Mustard Seed3 Toddlers Group
Holiday Club
Sunday Club
Artclub
Fallh Adventure
Drop In Café
Chrisbnas Books
381
140
81
48
381
140
81
48
383
156
58
177
32
29
29
53
53
Total Prnloct coots
732
732
15 CHURCH RUNNING C08T3
ElectTicty
Gas
Insurance
Water rates
Cleaning
Tealcoffee
Kitchen￿011et costs
M[￿lIaneOuS
2,877
6,702
2,635
76
3,675
299
323
23
2,877
6,702
2.635
76
3,675
299
323
23
1,497
2,347
2,500
72
2,958
215
39
Total ¢hurch runnlng costs
16,610
16,610
9,628

CHRIST CHURCH UNITED REFORMED CHURCH, RAYLEIGH
Page11
FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2023
. NOTES - ¢ontinu•d
This Year
2023 Totsl £
Last Year
2022 Total £
Furyts £
Furttts £
Furth £
16 ADMINISTRATION COSTS
StationerylPostsge
Offertory Envelopes
Photowpier
Websrte
Broadband
Miscellaneous
49
81
2.141
49
81
2,141
454
326
10
1.902
340
113
Tolal Admlnlstratlon Costs
3,051
3,051
17 MIN18TER'S EXPENSES
Fixed Car Allowance
Telephone
Travèl costs
Spring School
Book Allowance
Other
1,374
191
763
299
105
373
276
872
2QK)
105
276
872
200
105
399
Total Mlnl*t•e• Expen•
3.217
3,217
3,105
18 MANSE COSTS
Council Tax
Watsr rat89
Insurance
Telephone
Maintenancé
2.487
443
572
2,388
526
511
335
443
572
348.
691
Total IAanM Cost•
4,542
4,542
4,627
19 BUILDINGS
Maintenance- Buildings
Boiler Servlco
Fire Exts'nguishers et¢
Pest Control
305
204
281
293
305
283
2114
279
Bulldlngs
930
20 CHURCH ORGANISATIONS
Coni)Jrd Ladles Club
Badmlnton Club
Music Group
Fairtrad8
Balance blf
Receipts
Payments
B8￿n¢8 clf
576.28
578.16
286.63
254.53
576.28
578.16
286.63
265.58
742.36
731.31
Total of Church Oryanlsatlons '
1,69S.60
742A6
731.31
1,706.65
Price at
1Jan
2023
Value at
1Jan
2023
Pnce *
31 Dec
2023
Value at
31 Dec
2023
No of Unt
21 INVESTMENTS
Chureh
CCLA Fixed Interest Fund
CGLA Ethical Investsnent Fund
CCLA Global Equty Fur
10,728.33
13,051.92
9,233.06
115.78
273.67
24511
12,421.26
35,719.19
22,631.15
122.32
301.00
279.04
13,122.89
39,286.28
25.763.93
Total Invostmonts
70,771.60
78.173.10

CHRIST CHURCH. RAYLEIGH UN￿ED REFORMED CHURCH
Page 12
FINANCIAL STATEMENTS YEAR ENDED 31 DECEMBER 2023
NOTES - contlnued
22 MONETARY ASSErs
The chU￿h monEs are not held in segregated accounts, bul for the sake of this financ￿1 statement the
total of each account B allocated appropriatety over the various funds. The Churth 0rganisab.ons have their
(Min separ*8 bank accounts. All the investments dep¥)￿1 funds are hekl in the Church's name but
allocated accordingly to the ¥anous funds.
••
23 ASSETS USED FOR CHURCH PURPOSES
The chU￿h buildings 1$ vested in Eastern Syntrj Tntst as twstees aThJ is not a church asseL
The premises are held for th6 benefft of Christ Church, Rayleigh United RefOrn￿l Church
in accordance with the statutory trusts applicable lo URC properties under the URC ￿.
For insurance purwsos th& church buiklings are insured by the church for £ 4.476.148.