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2022-12-31-accounts

THE PAROCHIAL CHURCH COUNCIL

OF

ST MARK’S, BREDBURY

REPORT AND ACCOUNTS FOR THE YEAR ENDED

31[ST] DECEMBER 2022

THE PAROCHIAL CHURCH COUNCIL OF ST MARK’S BREDBURY

LEGAL AND ADMINISTRATIVE INFORMATION

The Parish of St Mark’s Bredbury, Diocese of Chester (Church of England)

Church Office

St Mark’s Church Hall, Redhouse Lane, Bredbury, Stockport SK6 1BX Tel: 0161 4306617

Bankers

Lloyds Bank, 60/62 Merseyway Shopping Centre, Stockport SK1 1PL

Independent Examiner for the accounts

Julie Howard, 38 Crosland Edge, Helme, Holmfirth HD9 5RS

Legal officer

The Diocesan Registrar, Church House 5500 Daresbury Park, Daresbury, Warrington, WA4 4GE

THE PAROCHIAL CHURCH COUNCIL OF ST MARK’S BREDBURY

ANNUAL REPORT FOR THE YEAR ENDED 31STDECEMBER 2022

STRUCTURE, GOVERNANCE AND MANAGEMENT

The Parochial Church Council (PCC) is a corporate body established by the Church of England. The PCC operates under the Parochial Church Council Powers Measure and as a charity is registered with the Charity Commission; charity number 1132326. The PCC has no other charities under its control.

The PCC pays Parish Share, at a level set by the Diocesan Synod, to the Chester Diocesan Board of Finance Ltd (Registered Charity) to provide the stipends for the clergy, support other parishes in the diocese, pay for vicarage repairs, pay for the central work of the Chester Diocese and the national work of the Church of England.

The Parochial Church Council - (PCC)

These are either ex-officio or elected according to Church Representation rules at the Annual Parochial Church Meeting (APCM). The Churchwardens are chosen by the Vicar and those present at a Meeting of Parishioners, held immediately before the APCM.

Vicar: Revd Andy Bull (Chair)
Curate: Revd Martin Makin
Reader: Ruth Bull (Deanery Synod Rep)
Churchwardens: John McNeil
Les Cope
Elected members: Dave Brotherton (Deanery Synod Rep) 2022-2025
Victoria Cope 2021-2024
Harry Davies (Deanery Synod Rep) 2021-2024
Amanda Dawson 2022-2025
Richard Hall (Secretary) 2020-2023
Kate Hughes 2021-2024
Rachel Kanes 2021-2024
Naana Kufuor 2020-2023
Simon Owen 2021-2024
Sadena Piroozfar 2021-2024
Harold Rothwell 2021-2024
Christine Wrenn (Treasurer) 2020-2023

The appointment of PCC members is governed by and set out in the Church of England Representation Rules.

Standing Committee

This sub-committee is required by church law. It has power to transact the business of the PCC between its meetings. This is composed of the clergy licensed to the parish, the churchwardens and treasurer, and the PCC secretary, appointed at the first meeting of the PCC following the APCM.

Safeguarding

The PCC oversees safeguarding in the life of the church, along with the church’s designated Parish Safeguarding Co-ordinator, Kevin McKeown and the deputy Parish Safeguarding Coordinator, Julie Green. The PCC conducts an annual review of all its procedures, and each year approves amended safeguarding policies for work amongst children and adults. All leaders in children's and youth groups have undergone DBS checks and have signed confidential Declarations of Criminal Offences prior to taking on leadership roles. Safer recruitment procedures are carried out with regards to volunteers working with adults, in line with the church's policies.

Contact details for our Safeguarding Co-ordinator along with the Diocesan Vulnerability and Safeguarding Officer are displayed prominently in the church premises. If there are any matters of concern to you, please contact them. As always, our aim is that all of the children, young people, and adults who have contact with the church should be kept safe from harm, and to this end, the most important factor that we can all contribute is to maintain a culture of informed vigilance.

Health and Safety

The PCC has delegated responsibility for Health and Safety to the churchwardens, who makes regular reports to the PCC.

Aims of the Church

The official aim of the PCC is to "cooperate with the minister in promoting in the parish the whole mission of the Church, pastoral, evangelistic, social and ecumenical". (PCC (Powers) Measure 1956).

St Mark’s Church vision is centred around the following three areas:

Loving God: We aim to be a church where people are pursuing a wholehearted relationship with God , devoted to a life of worship and prayer, applying the Bible to their daily lives, and responding to the leading of the Holy Spirit.

Sharing Life: We want to be a welcoming, generous and loving community, where people encourage and support one another.

Growing Faith: We seek to be a church that connects people with Jesus. By being missional and adventurous we will try to create as many opportunities as possible for people to encounter God.

As we look back at 2022 at St Mark’s, we are again thankful to God for all that he has done in us and through us.

Highlights from the period under review include:

Occasional Offices

In 2022, we conducted the following occasional offices:

I am so grateful for the church members at St Mark’s who have done so much to contribute to another amazing year.

The trustees' report was approved by the PCC on 16[th] March 2023 and signed on its behalf by:

Andy Bull Vicar

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE PAROCHIAL CHURCH COUNCIL OF THE ECCLESIASTICAL PARISH OF ST. MARKS, REDHOUSE LANE, BREDBURY, STOCKPORT - 1102 I report to the charity trustees on my examination of the accounts of The Parochial Church Council of the Ecclesiastical Parish of St. Marks, Redhouse Lane Bredbury, Stockport, for the year ended 31 December 2022. Respe¢tlve responslbllltles of Trustees and Examiner As members of the PCC you are responsible for the preparation of the Accounts., you consider that the audit requirement of Regulation 3(3} of the Church Accounting Regulations 2006 and Section 144(2) of the Charities Act 2011 (the Act) do not apply. It is my responsibility to issue this report on those Accounts in accordance with the terms of the Church Accounting Regulations 2006 and the Charities (Accounts and Reports) Regulations 2008. Independent examinerfs statement I have completed my examination. I confimi that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect.. 1. accounting records were not kept in respect of the Trust as required by section 130 of the Act., or 2. the accounts do not accord with those records., or 3. the accounts do not comply with the applicable requirements concerning the form and content of aGcounts 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 matter considered as part of an independent examination. I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. Name. HD'f Address . Signature. .Date.....

St.Marks Church

Balance Sheet detailed

31/12/2022
31/12/2021
As at
As at
Fixed assets
200,000.00
30101: Parish Hall
200,000.00
200,000.00
Total Fixed assets
200,000.00
Current assets
21,463.13
30201: Current A/C Lloyds/TSB
13,275.63
9,738.60
30202: HRMC
7,843.20
34,601.53
30203: CBF Investment Account
24,236.73

30204: TSB Deposit Account

515.97
30206: Petty Cash
518.60

Z05: Accounts Receivable

66,319.23
Total Current assets
45,874.16
Liabilities
2,284.45
6699: Agency collections
3,762.45
118,059.44
Z04: Accounts Payable
118,059.44
120,343.89
Total Liabilities
121,821.89
145,975.34
Net Asset surplus (deficit)
124,052.27
Reserves
21,923.07
Excess / (deficit) to date

124,052.27
Z01: Starting balances
124,052.27
145,975.34
Total Reserves
124,052.27
118,795.00
Unrestricted
117,076.95
27,055.24
Designated
20,544.07
120.10
Restricted
(13,568.75)
5.00
Endowment

Represented by Funds
145,975.34
124,052.27
Total

15 June 2023

Page 1

St.Marks Church

Analysis of income and expenditure

Selected period: 01 January 2022 to 31 December 2022

Total
Unrestricted Designated Restricted Endowment This year Last year
Incoming resources
Incoming resources from generated funds A1
Voluntary income A1a
10102 - Standing Orders (Gift AId) 36,555 5 36,560 38,542
10103 - Standing Orders (no Gift Aid) 3,444 3,444 5,228
10104 - Envelopes 1-40 (Gift Aid) 4,999 4,999
10106 - Tax Reclaimed (unrestricted) 12,012 12,012 6,962
10107 - Collection Plate at services 4,903 4,903 5,679
10108 - Collections 128 128
Weddings/Funerals
10109 - Misc donations no Gift Aid 12,606 12,606 1,371
10110 - Unplanned Gift Aid Income 3,342 3,342 4,576
10206 - Other Fundraising 10 10
10602 - Hall Donations + Gift Aid 137 12 150 150
10603 - Hall Donations no Gift Aid 400
10801 - Christians against Poverty 999 999 1,850
10803 - Perpetual Care of Churchyard 1,235 1,235 1,620
10804 - Restoration Fund 1,180 1,180
10805 - Willatts Charity 833 1,666 2,499
10808 - Rock Solid 2,067 2,067
10809 - Parish Hall 750 1,000 1,750
10814 - Other restricted donations 150 1,881 2,031
10818 - Grants (restricted fund) 1,089 1,089
10826 - Church Boiler 200 200
10829 - Food Bank 652 652 120
10831 - Church Reordering Project 3,350 3,350
11832 - Friends + gift aid 10 1,072 5 1,087 1,127
Voluntary income A1a Sub- 79,945 137 16,212 5 96,300 67,626
totals
Activities for generating funds A1b
10111 - Votive Candles etc 79 79
10601 - Hall Rents 15,969 15,969 8,559
Activities for generating funds 79 15,969 16,048 8,559
A1b Sub-totals
Investment income A1c
10114 - Interest 364 364 12
Investment income A1c Sub- 364 364 12
totals
Incoming resources from 80,389 16,106 16,212 5 112,712 76,198
generated funds A1 Totals

There may be minor discrepancies in the totals if the pence are not being shown

15 June 2023 Page 1

Total Last year

Unrestricted Designated

Restricted

Endowment

This year

Incoming resources from charitable activities A2

Incoming resources from charitable activities A2
10302 - Wedding Fees PCC 1,920 1,920 92
10303 - Funeral + Churchyard Fees 4,585 4,585 6,012
PCC
10304 - additional Churchyard Income 480 480 600
10501 - Memorial Pathway 2,121 2,121 2,171
Incoming resources from 9,106 9,106 8,875
charitable activities A2 Sub-
totals
Incoming resources from 9,106 9,106 8,875
charitable activities A2
Totals
Incoming resources 89,495 16,106 16,212 5 121,818 85,073
Grand totals

Resources used

Costs of generating funds B1

Fundraising trading: cost of goods sold etc B1b Fundraising trading: cost of goods sold etc B1b
20501 - Memorial Pathway 1,492 1,492 1,720
Fundraising trading: cost of 1,492 1,492 1,720
goods sold etc B1b Sub-totals
Costs of generating funds 1,492 1,492 1,720
B1 Totals
Charitable activities B2
Charitable activities B2
20101 - Parish Share 57,300 57,300 56,400
20102 - Deanery Contribution 64 64 30
20103 - Vicar's Expenses 1,154 1,154 26
20104 - Curate's Expenses 246 246
20106 - Vicarage Expenses 3,357 3,357 3,250
20107 - Curate's house expenses 4,882 4,882 4,746
20122 - Rock Solid & Youth Work 554 554
20201 - Worship Band 300
20203 - Chancel Supplies 169 169 30
20205 - Other items for services 563 563 359
20301 - Church Repairs 1,113 917 2,030
20302 - Insurance 4,433 4,433 4,192
20304 - Misc Church Building 2,574 2,574 1,926
expenses
20305 - Church Utilities 2,549 2,549 1,249
20402 - Office Supplies 35 35 431
20403 - Servicing of Office Equipment 156
20405 - Phone & Internet 1,173 1,173 946
20406 - Bank charges 294 294 113

There may be minor discrepancies in the totals if the pence are not being shown

15 June 2023 Page 2

Total
Unrestricted Designated Restricted Endowment This year Last year
20407 - Other Admin 886 886 708
20601 - Hall Insurance 1,916 1,916 1,796
20602 - Hall Gas 2,874 2,874 1,625
20603 - Hall Electric 1,388 1,388 906
20604 - Hall Water 836 836 113
20605 - Hall Cleaner 2,580 2,580 2,403
20608 - Hall heating service & repairs 485 485
20609 - Hall electrical cert.& repairs 183 183
20611 - Hall repairs 916 916
20613 - Hall miscellaneous 645 645
20614 - Hall Kitchen 210 210 131
20713 - other mission 3,046 1,052 4,098 5,354
20806 - Flowers 150
Charitable activities B2 Sub- 86,285 9,595 2,523 98,403 87,349
totals
Charitable activities B2 86,285 9,595 2,523 98,403 87,349
Totals
Resources used 87,777 9,595 2,523 99,895 89,069
Grand totals

There may be minor discrepancies in the totals if the pence are not being shown

15 June 2023 Page 3

St.Marks Church

Monthly Income / Expenditure totals - Details As at: 31 December 2022

Nominal code Jan_22 Feb_22 Mar_22 Apr_22 May_22 Jun_22 Jul_22 Aug_22 Sep_22 Oct_22 Nov_22 Dec_22 Code total
Income
10102 (Standing Orders (Gift AId)) 3,070.50 3,043.70 3,094.15 2,967.20 3,221.21 2,976.34 2,977.80 3,051.00 2,946.00 3,021.00 2,966.00 3,226.00 36,560.90
10103 (Standing Orders (no Gift Aid)) 197.00 292.00 357.00 302.00 332.00 297.00 292.00 132.00 272.00 322.00 342.00 307.00 3,444.00
10104 (Envelopes 1-40 (Gift Aid)) 316.76 602.82 510.76 710.47 187.63 475.18 543.89 542.08 414.60 381.12 314.12 4,999.43
10106 (Tax Reclaimed (unrestricted)) (7,843.20) 10,116.63 9,738.60 12,012.03
10107 (Collection Plate at services) 472.10 293.56 273.29 1,126.86 577.65 96.50 299.57 398.68 465.30 286.30 295.46 318.30 4,903.57
10108 (Collections 128.00 128.00
Weddings/Funerals)
10109 (Misc donations no Gift Aid) 12,606.67 12,606.67
10110 (Unplanned Gift Aid Income) 457.97 295.00 93.00 191.00 571.00 75.00 397.00 61.00 297.00 264.00 58.00 582.60 3,342.57
10111 (Votive Candles etc) 79.00 79.00
10114 (Interest) 364.80 364.80
10206 (Other Fundraising) 10.00 10.00
10302 (Wedding Fees PCC) 48.00 978.00 292.00 292.00 310.00 1,920.00
10303 (Funeral + Churchyard Fees 277.00 327.00 416.00 106.00 872.00 1,102.00 299.00 175.00 206.00 520.00 192.00 93.00 4,585.00
PCC)
10304 (additional Churchyard Income 60.00 120.00 180.00 60.00 60.00 480.00
)
10501 (Memorial Pathway) 383.75 717.55 479.05 158.90 381.90 2,121.15
10601 (Hall Rents) 2,952.00 952.00 1,802.00 1,312.00 842.00 1,297.00 142.00 542.00 342.00 392.00 4,802.00 592.00 15,969.00
10602 (Hall Donations + Gift Aid) 12.50 12.50 12.50 12.50 12.50 12.50 12.50 12.50 12.50 12.50 12.50 12.50 150.00
10801 (Christians against Poverty) 83.33 83.33 83.33 83.33 83.33 83.33 83.33 83.33 83.33 83.33 83.33 83.33 999.96
10803 (Perpetual Care of Churchyard 95.00 180.00 60.00 60.00 360.00 180.00 60.00 120.00 60.00 60.00 1,235.00
)
10804 (Restoration Fund) 200.00 100.00 100.00 150.00 143.20 83.47 114.84 118.39 64.25 106.03 1,180.18
10805 (Willatts Charity) 833.33 1,666.66 2,499.99
10808 (Rock Solid) 2,067.55 2,067.55
10809 (Parish Hall) 1,000.00 750.00 1,750.00
10814 (Other restricted donations) 150.00 1,881.00 2,031.00
10818 (Grants (restricted fund)) 1,089.54 1,089.54
10826 (Church Boiler) 200.00 200.00
10829 (Food Bank) 211.70 10.00 10.00 10.00 10.00 10.00 10.00 10.00 20.00 20.00 20.00 310.95 652.65
10831 (Church Reordering Project) 3,350.00 3,350.00
11832 (Friends + gift aid) 91.00 91.00 86.00 91.00 91.00 91.00 91.00 91.00 91.00 91.00 91.00 91.00 1,087.00

15 June 2023 Page 1

Nominal code Jan_22
Feb_22
Mar_22
Apr_22
May_22
Jun_22
Jul_22
Aug_22
Sep_22
Oct_22
Nov_22
Dec_22
Code total
336.90
6,075.85
9,639.39
6,772.65
9,976.71
8,359.35
5,584.58
6,243.87
28,115.35
Income totals
Expenditure
20101 (Parish Share)
4,700.00
4,700.00
4,700.00
4,800.00
4,800.00
4,800.00
4,800.00
4,800.00
4,800.00
20102 (Deanery Contribution)









20103 (Vicar's Expenses)
293.83



18.00
50.40
9.00


20104 (Curate's Expenses)








28.71
20106 (Vicarage Expenses)
314.33
62.33
62.33
318.55
325.00
325.00
325.00
325.00
325.00
20107 (Curate's house expenses)
395.57
395.57
395.57
395.57
420.29
407.93
411.92
411.92
411.92
20122 (Rock Solid & Youth Work)









20203 (Chancel Supplies)






35.13
134.42

20205 (Other items for services)


18.21
190.23
149.62




20301 (Church Repairs)








1,298.23
20302 (Insurance)
443.36
443.37
443.36
443.36
443.36
443.36
443.36
443.36
443.36
20304 (Misc Church Building
expenses)
175.00
175.00
175.00
175.00
175.00
175.00
175.00
175.00
175.00
20305 (Church Utilities)
282.87
202.56
207.71
209.36
230.43
139.74
92.08
77.86
70.56
20402 (Office Supplies)



25.48
9.99




20405 (Phone & Internet)
60.24
140.82
85.39
200.66
78.57
124.63
95.22
107.14
83.16
20406 (Bank charges)
30.82
34.08
30.75
19.55
27.15
27.31
22.75
24.70
17.35
20407 (Other Admin)

75.00
376.77

46.20




20501 (Memorial Pathway)

257.50



821.70



20601 (Hall Insurance)
191.62
191.62
191.63
191.63
191.63
191.63
191.63
191.63
191.63
20602 (Hall Gas)
255.63
258.11
195.17
211.73
168.21
115.07
102.94
103.25
102.44
20603 (Hall Electric)
135.28
127.81
121.11
118.66
115.84
100.61
86.60
96.46
100.79
20604 (Hall Water)
65.81
65.81
65.81
65.81
65.81
65.81
73.62
73.62
73.62
20605 (Hall Cleaner)
215.00
215.00
215.00
215.00
215.00
215.00
215.00
215.00
215.00
20608 (Hall heating service & repairs)

167.94


234.00




20609 (Hall electrical cert.& repairs)

183.60







20611 (Hall repairs)









20613 (Hall miscellaneous)









20614 (Hall Kitchen)









20713 (other mission)
294.00
394.00
444.00
60.00
528.00
294.00
60.00
528.00
544.00
7,853.36
8,090.12
7,727.81
7,640.59
8,242.10
8,297.19
7,139.25
7,707.36
8,880.77
Expenditure totals
5,884.02
13,992.89
20,837.43
121,818.99
4,800.00
4,800.00
4,800.00
57,300.00
64.00


64.00

725.00
58.40
1,154.63
44.55
63.30
109.61
246.17
325.00
325.00
325.00
3,357.54
411.92
411.92
411.92
4,882.02
554.00


554.00



169.55

34.00
171.31
563.37
732.14


2,030.37
443.36


4,433.61
372.00
175.00
452.40
2,574.40
111.23
532.47
392.36
2,549.23



35.47
83.16
57.16
57.16
1,173.31
15.92
21.16
23.03
294.57

23.98
365.03
886.98
157.05
256.00

1,492.25
191.63


1,916.28
104.97
526.10
730.66
2,874.28
110.30
274.73

1,388.19
73.62
73.62
73.62
836.58
215.00
215.00
215.00
2,580.00


83.58
485.52



183.60


916.00
916.00

603.69
41.99
645.68

210.32

210.32
294.00
364.00
294.00
4,098.00
9,103.85
9,692.45
9,521.07
99,895.92
Balance (income - expenditure)
21,923.07
336.90
6,075.85
9,639.39
6,772.65
9,976.71
8,359.35
5,584.58
6,243.87
28,115.35
Income totals
7,853.36
8,090.12
7,727.81
7,640.59
8,242.10
8,297.19
7,139.25
7,707.36
8,880.77
Expenditure totals

15 June 2023 Page 2

St.Marks Church

Trial balance

Selected period: 01 January 2022 to 31 December 2022

Nominal code Class Opening balance Debit Credit Closing balance
10102 - Standing Orders (Gift AId) Income 36,560.90 (36,560.90)
10103 - Standing Orders (no Gift Aid) Income 3,444.00 (3,444.00)
10104 - Envelopes 1-40 (Gift Aid) Income 4,999.43 (4,999.43)
10106 - Tax Reclaimed (unrestricted) Income 7,843.20 19,855.23 (12,012.03)
10107 - Collection Plate at services Income 4,903.57 (4,903.57)
10108 - Collections Weddings/Funerals Income 128.00 (128.00)
10109 - Misc donations no Gift Aid Income 12,606.67 (12,606.67)
10110 - Unplanned Gift Aid Income Income 3,342.57 (3,342.57)
10111 - Votive Candles etc Income 79.00 (79.00)
10114 - Interest Income 364.80 (364.80)
10206 - Other Fundraising Income 10.00 (10.00)
10302 - Wedding Fees PCC Income 1,920.00 (1,920.00)
10303 - Funeral + Churchyard Fees PCC Income 4,585.00 (4,585.00)
10304 - additional Churchyard Income Income 480.00 (480.00)
10501 - Memorial Pathway Income 2,121.15 (2,121.15)
10601 - Hall Rents Income 15,969.00 (15,969.00)
10602 - Hall Donations + Gift Aid Income 150.00 (150.00)
10801 - Christians against Poverty Income 999.96 (999.96)
10803 - Perpetual Care of Churchyard Income 1,235.00 (1,235.00)
10804 - Restoration Fund Income 1,180.18 (1,180.18)
10805 - Willatts Charity Income 2,499.99 (2,499.99)
10808 - Rock Solid Income 2,067.55 (2,067.55)
10809 - Parish Hall Income 1,750.00 (1,750.00)
10814 - Other restricted donations Income 2,031.00 (2,031.00)
10818 - Grants (restricted fund) Income 1,089.54 (1,089.54)
10826 - Church Boiler Income 200.00 (200.00)
10829 - Food Bank Income 652.65 (652.65)
10831 - Church Reordering Project Income 3,350.00 (3,350.00)
11832 - Friends + gift aid Income 1,087.00 (1,087.00)
20101 - Parish Share Expenditure 57,300.00 57,300.00
20102 - Deanery Contribution Expenditure 64.00 64.00
20103 - Vicar's Expenses Expenditure 1,154.63 1,154.63
20104 - Curate's Expenses Expenditure 246.17 246.17
20106 - Vicarage Expenses Expenditure 3,357.54 3,357.54
20107 - Curate's house expenses Expenditure 4,882.02 4,882.02
20122 - Rock Solid & Youth Work Expenditure 554.00 554.00
20203 - Chancel Supplies Expenditure 169.55 169.55
20205 - Other items for services Expenditure 563.37 563.37
20301 - Church Repairs Expenditure 2,030.37 2,030.37
20302 - Insurance Expenditure 4,433.61 4,433.61
20304 - Misc Church Building expenses Expenditure 2,574.40 2,574.40
20305 - Church Utilities Expenditure 2,549.23 2,549.23
20402 - Office Supplies Expenditure 35.47 35.47
20405 - Phone & Internet Expenditure 1,173.31 1,173.31
20406 - Bank charges Expenditure 294.57 294.57
20407 - Other Admin Expenditure 886.98 886.98
20501 - Memorial Pathway Expenditure 1,492.25 1,492.25
20601 - Hall Insurance Expenditure 1,916.28 1,916.28
20602 - Hall Gas Expenditure 2,874.28 2,874.28
20603 - Hall Electric Expenditure 1,388.19 1,388.19
20604 - Hall Water Expenditure 836.58 836.58
20605 - Hall Cleaner Expenditure 2,580.00 2,580.00
20608 - Hall heating service & repairs Expenditure 485.52 485.52

15 June 2023 Page 1

Nominal code Class
Debit
Credit
Closing balance
Opening balance
20609 - Hall electrical cert.& repairs
20611 - Hall repairs
20613 - Hall miscellaneous
20614 - Hall Kitchen
20713 - other mission
30101 - Parish Hall
30201 - Current A/C Lloyds/TSB
30202 - HRMC
30203 - CBF Investment Account
30206 - Petty Cash
6699 - Agency collections
Starting balance
Z04 - Accounts Payable

15 June 2023 Page 2

St.Marks Church

Statement of Financial Activities

For the period from 01 January 2022 to 31 December 2022

Unrestricted Restricted Endowment Total Prior year
funds funds funds funds total funds
Incoming resources
Incoming resources from generated funds A1
Voluntary income A1a 80,083 16,212 5 96,300 67,626
Activities for generating funds A1b 16,048 16,048 8,559
Investment income A1c 364 364 12
Incoming resources from charitable activities A2 9,106 9,106 8,875
Total incoming resources 105,601 16,212 5 121,818 85,073
Resources used
Costs of generating funds B1
Fundraising trading: cost of goods sold etc B1b 1,492 1,492 1,720
Charitable activities B2 95,880 2,523 98,403 87,349
Total resources used 97,372 2,523 99,895 89,069
Net incoming / outgoing resources before transfer 8,229 13,688 5 21,923 (3,995)
Transfers
Net incoming / outgoing before other gains / losses 8,229 13,688 5 21,923 (3,995)
Other recognised gains / losses
Net movement in funds 8,229 13,688 5 21,923 (3,995)
Reconciliation of funds
Total funds brought forward 137,621 (13,568) 124,052 128,047
Total funds carried forward 145,850 120 5 145,975 124,052
Represented by
Unrestricted
General fund 118,795 118,795 117,076
Designated
CAP Christians Against poverty (234) (234) (234)
Mission 10% Reserve 1,057 1,057 1,057
Missions and Charities Fund 2,677 2,677 2,677
Parish Hall 23,554 23,554 17,043
Restricted
Friends of St.Marks 5,236 5,236 5,077
Agency collection 22 22 22
Bells Maintenance and repair 142 142 142
CAP Christians Against poverty (7,812) (7,812) (7,760)
Children's Church / Sunday Club 300 300 300
Christmas Food Fund 109 109 109
Church Reordering 1,532 1,532 (1,817)
Churchyard upkeep and repairs 5,478 5,478 4,243
Clock Maintenance and repair 758 758 758
Flag fund 18 18 18
Flower Fund 48 48 48
Food Bank 1,074 1,074 422
Miscellaneous Restricted!!! 10,126 10,126 7,156

There may be minor discrepancies in the totals if the pence are not being shown

15 June 2023 Page 1

Unrestricted Restricted Endowment Total Prior year
funds funds funds funds total funds
Mission 10% Reserve (1,176) (1,176) (1,176)
Mr Willats Charity 1,666 1,666
Organ repairs and restoration 152 152 152
Parish Hall (5,034) (5,034) (6,046)
Pew Bibles 1 1 1
Restoration Fund (16,994) (16,994) (18,174)
Rock Solid Club 1,521 1,521 7
Tower Repair Fund 881 881 881
Youth Mission Support Fund 2,066 2,066 2,066
Endowment
Friends of St.Marks 5 5

There may be minor discrepancies in the totals if the pence are not being shown

15 June 2023 Page 2